MORGAN J P & CO INC
13F-HR, 1999-11-16
STATE COMMERCIAL BANKS
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC  20549

FORM 13F

FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER END: SEPTEMBER 30 1	999

CHECK HERE IF AMENDMENT { };  AMENDMENT NUMBER:
THIS AMENDMENT (CHECK ONLY ONE);	{ } IS A RESTATEMENT
{ } ADDS NEW ENDINGS ENTRIES

INSTITUTIONAL INVENSTMENT MANAGER	FILING THIS REPORT

NAME:          J.P. MORGAN & CO.	INCORPORATED
ADDRESS:       60, WALL STREET
NEW YORK, NY 10260
13F FILE NUMBER:     28-490

THE INSTITUTIONAL INVESTMENT MANAGER FILING THIS RPORT 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 HERIN IS TRUE, CORRECT AND COMPLETE, AND
THAT IT IS UNDERSTOOD THAT ALL REQUIRED ITEMS, STATEMENTS,
SCHEDULES, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS OF
THIS FORM.

THE PERSON SIGNING THIS REPORT ON	BEHALF OF REPORTING MANAGER:

NAME:          JAMES C.P. BERRY
TITLE:         VICE PRESIDENT
PHONE:            (212)648-3380
SIGNATURE, PLACE, AND DATE OF SIGNING:
JAMES C.P. BERRY    NEW YORK, NEW	YORK   SEPTEMBER	30 1999

REPORT TYPE (CHECK ONLY ONE):

{X}      13F HOLDINGS REPORT.

{ }      13F NOTICE.

{ }      13F COMBINATION REPORT.

I AM SIGNING THIS REPORT AS REQUI	RED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>

FORM 13F SUMMARY PAGE

REPORT SUMMARY:
NUMBER OF OTHER INCLUDED MANAGERS	:	19
FORM 13F INFORMATION TABLE ENTRY	TOTAL:         6,415
FORM 13F INFORMATION TABLE VALUE	TOTAL:   108,866,727
LIST OF OTHER INCLUDED-MANAGERS:
NO.  13F FILE NUMBER  NAME
01   28-707         MORGAN GUARANTY TRUST CO. OF NEW YORK
02   28-1482        J.P. MORGAN INVESTMENT MANAGEMENT INC
03   28-1820        MARY L.F. WILEY
04   28-1818        THOMAS S. KENAN III
05   28-3387        J. P. MORGANFLORIDA FEDERAL SAVINGS
06   28-3389        J. P. MORGANVENTURES CORPORATION
07                  HOUGHTON FREEMAN
08                  GEORGE B. SNELL
09                  ROBERT J. MURTAGH
10                  SARAH KENAN KENNEDY
11                  CLAY KENAN KRIK
12                  JAMES G. KENAN III
13                  PAULINE H. VAN DYKE
14                  WILLIAM D. VAN DYKE
15                  OWEN KENAN, ELIZABETH HOWELL,THOMAS
16   28-4957        J. P. MORGAN SECURITIES, INC.
17   28-4959        J. P. MORGAN WHITEFRIARS, INC.
18   28-4955        J. P. MORGAN GT CORPORATION
19   28-4961        J. P. MORGAN CAPITAL CORPORATION
<PAGE>
<TABLE>
	                                <C>			                                   	    <C>
                                      FORM	13F INFORMATION TABLE						SEPTEMBER 30 1999      PAGE 1
                                                            VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DAIMLERCHRYSLER AG           	COMMON           D1668R123     1002    14424 SH       DEFINED 01       6433        0     7991
D DAIMLERCHRYSLER AG           	COMMON           D1668R123       43      623 SH       OTHER   01          0      623        0
D DAIMLERCHRYSLER AG           	COMMON           D1668R123     1127    16234 SH       DEFINED 02      13763        0     2471
D DAIMLERCHRYSLER AG           	COMMON           D1668R123     2430    35000 SH       DEFINED 16      35000        0        0
D TOTAL FINA S A               	COMMON           F9212D142      100     4500 SH       DEFINED 16       4500        0        0
D TOTAL FINA S A               	COMMON           F9212D142      195     8818 SH       DEFINED 17     153000        0        0
D ACE LTD.                     	COMMON           G0070K103     4999   295111 SH       DEFINED 01     266136        0    28975
D ACE LTD.                     	COMMON           G0070K103     2231   131700 SH       OTHER   01          0   131700        0
D ACE LTD.                     	COMMON           G0070K103    60242  3556572 SH       DEFINED 19    3556572        0        0
D ANNUITY AND LIFE RE (HOLDINGS	COMMON           G03910109     7032   282700 SH       DEFINED 01     282700        0        0
D ANNUITY AND LIFE RE (HOLDINGS	COMMON           G03910109    10341   415700 SH       DEFINED 02     330900        0    84800
D CORECOMM LTD                 	COMMON           G2422R109      306     9300 SH       DEFINED 02          0        0     9300
D CREDICORP LTD.               	COMMON           G2519Y108       52     4953 SH       DEFINED 17       4953        0        0
D CREDICORP LTD.               	COMMON           G2519Y108     3192   305788 SH       DEFINED 18     305788        0        0
D FRUIT OF THE LOOM LTD        	COMMON           G3682L105     1627   473100 SH       DEFINED 01     259100        0   214000
D FRUIT OF THE LOOM LTD        	COMMON           G3682L105        3      900 SH       OTHER   01        900        0        0
D FRUIT OF THE LOOM LTD        	COMMON           G3682L105     3474  1010400 SH       DEFINED 02     775700        0   234700
D FRUIT OF THE LOOM LTD        	COMMON           G3682L105        3      800 SH       DEFINED 17        800        0        0
D GEMSTAR INTERNATIONAL GROUP L	COMMON           G3788V106       63      800 SH       DEFINED 01          0        0      800
D GEMSTAR INTERNATIONAL GROUP L	COMMON           G3788V106     1127    14426 SH       DEFINED 02          0        0    14426
D GLOBAL CROSSING LTD          	COMMON           G3921A100    15106   570035 SH       DEFINED 01     448745        0   121290
D GLOBAL CROSSING LTD          	COMMON           G3921A100   118211  4460805 SH       DEFINED 02    3594200        0   866605
D GLOBAL CROSSING LTD          	COMMON           G3921A100     1219    46000 SH       DEFINED 16      46000        0        0
D GLOBALSTAR TELECOMMUNICATION 	COMMON           G3930H104      112     4888 SH       DEFINED 01          0        0     4888
D GLOBALSTAR TELECOMMUNICATION 	COMMON           G3930H104        1       43 SH       DEFINED 16         43        0        0
D IPC HOLDINGS LTD.            	COMMON           G4933P101    15375   820000 SH       DEFINED 01     785000        0    35000

FORM	13F INFORMATI	ON TABLE						SEPTEMBER 30 19 99     9     PAGE 2
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LORAL SPACE & COMMUNICATIONS.	COMMON           G56462107     249     14500 SH       DEFINED 01          0        0    14500
D LORAL SPACE & COMMUNICATIONS 	COMMON           G56462107     100      5800 SH       DEFINED 05       5800        0        0
D LORAL SPACE & COMMUNICATIONS 	COMMON           G56462107    5718    332700 SH       DEFINED 16     332700        0        0
D NORDIC AMERICAN TANKER SHIPP 	COMMON           G65773106    2832    236000 SH       DEFINED 16     236000        0        0
D PARTNERRE HOLDINGS LTD.      	COMMON           G6852T105      93      2675 SH       DEFINED 01          0        0     2675
D PARTNERRE HOLDINGS LTD.      	COMMON           G6852T105    3670    105625 SH       OTHER   01          0   105625        0
D RENAISSANCE HOLDINGS LTD.    	COMMON           G7496G103   15923    459043 SH       DEFINED 01     408243        0    50800
D RENAISSANCE HOLDINGS LTD.    	COMMON           G7496G103   12012    346300 SH       DEFINED 02     271600        0    74700
D RENAISSANCE HOLDINGS LTD.    	COMMON           G7496G103      76      2200 SH       DEFINED 05          0        0     2200
D SANTA FE INTERNATIONAL CORP. 	COMMON           G7805C108     970     45000 SH       DEFINED 17      45000        0        0
D TERRA NOVA BERMUDA HOLDINGS  	COMMON           G87615103    1444     45200 SH       OTHER   01          0    45200        0
D TRANSOCEAN OFFSHORE INC CAYM 	COMMON           G90076103       1        31 SH       DEFINED 16         31        0        0
D TRANSOCEAN OFFSHORE INC CAYM 	COMMON           G90076103     609     19900 SH       DEFINED 17      19900        0        0
D XL CAP LTD                   	COMMON           G98255105   20398    453288 SH       DEFINED 01     250263        0   203025
D XL CAP LTD                   	COMMON           G98255105     718     15950 SH       OTHER   01       1700    14250        0
D XL CAP LTD                   	COMMON           G98255105  112786   2506360 SH       DEFINED 02    1948160        0   558200
D XL CAP LTD                   	COMMON           G98255105     720     16000 SH       OTHER   09      16000        0        0
D XL CAP LTD                   	COMMON           G98255105     456     10000 SH       DEFINED 17      10000        0        0
D MILLICOM INTERNATIONAL MILLI 	COMMON           L6388F102     272      9563 SH       DEFINED 02          0        0     9563
D CHECK POINT SOFTWARE TECHNOL 	COMMON           M22465104    3634     43042 SH       DEFINED 01          0        0    43042
D GALILEO TECHNOLOGY LTD       	COMMON           M47298100    7080    283200 SH       DEFINED 01     200200        0    83000
D GALILEO TECHNOLOGY LTD       	COMMON           M47298100     315     12600 SH       DEFINED 02       7600        0     5000
D GALILEO TECHNOLOGY LTD       	COMMON           M47298100      75      3000 SH       DEFINED 05          0        0     3000
D RADCOM LTD                   	COMMON           M81865103     863    200000 SH       DEFINED 01          0        0   200000
D RIT TECHNOLOGIES LTD.        	COMMON           M8215N109     900    200000 SH       DEFINED 01          0        0   200000
D TARO PHARMACEUTICAL INDS LTD 	COMMON           M8737E108     763     50000 SH       DEFINED 01      50000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 3
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NEW HOLLAND N V              	COMMON           N62648105   10568    660500 SH       DEFINED 01     506450        0   154050
D NEW HOLLAND N V              	COMMON           N62648105    6563    410200 SH       DEFINED 02     315400        0    94800
D NEW HOLLAND N V              	COMMON           N62648105      86      5400 SH       DEFINED 05          0        0     5400
D PANAMERICAN BEVERAGES, INC. C	COMMON           P74823108     724     43700 SH       DEFINED 17      43700        0        0
D STEINER LEISURE LTD          	COMMON           P8744Y102   14996    599850 SH       DEFINED 01     294975        0   304875
D STEINER LEISURE LTD          	COMMON           P8744Y102    7679    307150 SH       DEFINED 02     232600        0    74550
D STEINER LEISURE LTD          	COMMON           P8744Y102      51      2050 SH       DEFINED 05          0        0     2050
D SUN INTL HOTELS LTD          	COMMON           P8797T133    4101    171775 SH       DEFINED 01     133750        0    38025
D SUN INTL HOTELS LTD          	COMMON           P8797T133    2342     98100 SH       DEFINED 02      73800        0    24300
D SUN INTL HOTELS LTD          	COMMON           P8797T133      36      1500 SH       DEFINED 05          0        0     1500
D ROYAL CARIBBEAN CRUISES, LTD.	COMMON           V7780T103    2997     66600 SH       DEFINED 02          0        0    66600
D CREATIVE TECHNOLOGY LTD. ORD.	COMMON           Y1775U107    2379    223900 SH       DEFINED 01     158100        0    65800
D CREATIVE TECHNOLOGY LTD. ORD.	COMMON           Y1775U107     102      9600 SH       DEFINED 02       6000        0     3600
D CREATIVE TECHNOLOGY LTD. ORD.	COMMON           Y1775U107      26      2400 SH       DEFINED 05          0        0     2400
D OMI CORP NEW                 	COMMON           Y6476W104      54     21200 SH       DEFINED 02          0        0    21200
D AAR CORP.                    	COMMON           000361105     192     10650 SH       DEFINED 02          0        0    10650
D ABC RAIL PRODUCTS CORP.      	COMMON           000752105    1634    115700 SH       DEFINED 01     115700        0        0
D ABC RAIL PRODUCTS CORP.      	COMMON           000752105    2759    195300 SH       DEFINED 02     170500        0    24800
D A.C. MOORE ARTS & CRAFTS, INC	COMMON           00086T103     311     70000 SH       DEFINED 01      70000        0        0
D ADC TELECOMMUNICATIONS, INC. 	COMMON           000886101     545     13000 SH       DEFINED 01          0        0    13000
D ADC TELECOMMUNICATIONS, INC. 	COMMON           000886101       2        44 SH       DEFINED 16         44        0        0
D AFC CABLE SYS INC            	COMMON           000950105     111      2600 SH       DEFINED 01       2600        0        0
D AFC CABLE SYS INC            	COMMON           000950105     404      9500 SH       DEFINED 02        600        0     8900
D AFLAC, INC.                  	COMMON           001055102     881     21038 SH       DEFINED 01      19838        0     1200
D AFLAC, INC.                  	COMMON           001055102     712     17000 SH       OTHER   01          0    17000        0
D AFLAC, INC.                  	COMMON           001055102    2923     69800 SH       DEFINED 02          0        0    69800

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 4
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AFLAC, INC.                  	COMMON           001055102       3        75 SH       DEFINED 16         75        0        0
D AFLAC, INC.                  	COMMON           001055102     121      2900 SH       DEFINED 17       2900        0        0
D AGCO CORP.                   	COMMON           001084102    3440    264600 SH       DEFINED 01     200200        0    64400
D AGCO CORP.                   	COMMON           001084102     337     25900 SH       DEFINED 02      22500        0     3400
D AGCO CORP.                   	COMMON           001084102      31      2400 SH       DEFINED 05          0        0     2400
D AGL RESOURCES, INC.          	COMMON           001204106     258     15900 SH       DEFINED 02      15900        0        0
D AES CORP.                    	COMMON           00130H105     130      2200 SH       DEFINED 01          0        0     2200
D AES CORP.                    	COMMON           00130H105     561      9500 SH       DEFINED 02          0        0     9500
D AES CORP.                    	COMMON           00130H105      24       400 SH       DEFINED 05        400        0        0
D AES CORP.                    	COMMON           00130H105  262684   4452275 SH       DEFINED 16    4452275        0        0
D AES CORP.                    	COMMON           00130H105     124      2100 SH       DEFINED 17       2100        0        0
D AMFM INC                     	COMMON           001693100    2132     35100 SH       DEFINED 02          0        0    35100
D AMR CORP.                    	COMMON           001765106   20959    384575 SH       DEFINED 01     279775        0   104800
D AMR CORP.                    	COMMON           001765106     910     16700 SH       OTHER   01        700    16000        0
D AMR CORP.                    	COMMON           001765106   29256    536801 SH       DEFINED 02     332501        0   204300
D AMR CORP.                    	COMMON           001765106      93      1700 SH       DEFINED 17       1700        0        0
D APAC CUSTOMER SERVICES INC   	COMMON           00185E106      49     11800 SH       DEFINED 02          0        0    11800
D ARI NETWORK SERVICES, INC.   	COMMON           001930205     649    125000 SH       DEFINED 01          0        0   125000
D AT&T CORP.                   	COMMON           001957109  203603   4680518 SH       DEFINED 01    2713118        0  1967400
D AT&T CORP.                   	COMMON           001957109   15378    353523 SH       OTHER   01     130099   223424        0
D AT&T CORP.                   	COMMON           001957109  419347   9640157 SH       DEFINED 02    6779785        0  2860372
D AT&T CORP.                   	COMMON           001957109    3160     72651 SH       DEFINED 05      28834        0    43817
D AT&T CORP.                   	COMMON           001957109    5242    120500 SH       DEFINED 06     120500        0        0
D AT&T CORP.                   	COMMON           001957109     895     20575 SH       OTHER   09      20575        0        0
D AT&T CORP.                   	COMMON           001957109    1305     30000 SH       OTHER   101112      0    30000        0
D AT&T CORP.                   	COMMON           001957109    1407     32344 SH       DEFINED 16      32344        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 5
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AT&T CORP.                   	COMMON           001957109   41786    960593 SH       DEFINED 17     960593        0        0
D AT&T CORP.                   	COMMON           001957109   17400    400000 SH       DEFINED 18     400000        0        0
D AT&T CORP                    	COMMON           001957208  187747   5031670 SH       DEFINED 01    3300328        0  1731342
D AT&T CORP                    	COMMON           001957208   11267    301954 SH       OTHER   01     138854   163100        0
D AT&T CORP                    	COMMON           001957208  344219   9225172 SH       DEFINED 02    7049050        0  2176122
D AT&T CORP                    	COMMON           001957208     879     23564 SH       DEFINED 05      16782        0     6782
D AT&T CORP                    	COMMON           001957208    2541     68100 SH       DEFINED 16      68100        0        0
D ATMI INC.                    	COMMON           00207R101   38358   1028000 SH       DEFINED 01     792000        0   236000
D ATMI INC.                    	COMMON           00207R101   17407    466500 SH       DEFINED 02     339900        0   126600
D ATMI INC.                    	COMMON           00207R101     332      8900 SH       DEFINED 05          0        0     8900
D AVT CORP                     	COMMON           002420107     885     28900 SH       DEFINED 01      28900        0        0
D AVT CORP                     	COMMON           002420107     101      3300 SH       DEFINED 02       3300        0        0
D AXA FINL INC                 	COMMON           002451102   18385    329949 SH       DEFINED 01     261249        0    68700
D AXA FINL INC                 	COMMON           002451102      50       900 SH       OTHER   01        900        0        0
D AXA FINL INC                 	COMMON           002451102   40577    727012 SH       DEFINED 02     429512        0   297500
D AXA FINL INC                 	COMMON           002451102       4        66 SH       DEFINED 16         66        0        0
D AARON RENTS, INC. CL. 'B'    	COMMON           002535201    2241    129900 SH       DEFINED 01          0        0        0
D AARON RENTS, INC. CL. 'B'    	COMMON           002535201     561     32500 SH       DEFINED 02          0        0        0
D ABACUS DIRECT CORP           	COMMON           002553105    8397     68900 SH       DEFINED 16      68900        0        0
D ABBOTT LABORATORIES, INC.    	COMMON           002824100  116087   3164176 SH       DEFINED 01    2090093        0  1074083
D ABBOTT LABORATORIES, INC.    	COMMON           002824100   23990    653891 SH       OTHER   01      95970   557921        0
D ABBOTT LABORATORIES, INC.    	COMMON           002824100  174314   4751260 SH       DEFINED 02    3021460        0  1729800
D ABBOTT LABORATORIES, INC.    	COMMON           002824100    4552    124083 SH       DEFINED 05      56223        0    67860
D ABBOTT LABORATORIES, INC.    	COMMON           002824100     638     17400 SH       OTHER   05       9400     8000        0
D ABBOTT LABORATORIES, INC.    	COMMON           002824100    1376     37500 SH       DEFINED 06      37500        0        0
D ABBOTT LABORATORIES, INC.    	COMMON           002824100      16       436 SH       DEFINED 16        436        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 6
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ABBOTT LABORATORIES, INC.    	COMMON           002824100    7213    196600.SH       DEFINED 17     196600        0        0
D ABERCROMBIE & FITCH CO-CL A  	COMMON           002896207   32018    939962.SH       DEFINED 01     600440        0   339522
D ABERCROMBIE & FITCH CO-CL A  	COMMON           002896207      27       800.SH       OTHER   01        800        0        0
D ABERCROMBIE & FITCH CO-CL A  	COMMON           002896207   96058   2820022.SH       DEFINED 02    2216422        0   603600
D ABERCROMBIE & FITCH CO-CL A  	COMMON           002896207      27       800.SH       DEFINED 05        800        0        0
D ACCLAIM ENTERTAINMENT, INC.  	COMMON           004325205     911    120000.SH       DEFINED 01     120000        0        0
D ACCLAIM ENTERTAINMENT, INC.  	COMMON           004325205    3810    501700.SH       DEFINED 02      16700        0   485000
D ACCRUE SOFTWARE INC          	COMMON           00437W102    1116     49600.SH       DEFINED 01      49600        0        0
D ACCRUE SOFTWARE INC          	COMMON           00437W102    2610    116000.SH       DEFINED 02      87100        0    28900
D ACCUMED INTERNATIONAL, INC.  	COMMON           004383303      39     83333.SH       DEFINED 01          0        0    83333
D ACNIELSEN CORP               	COMMON           004833109     992     43743.SH       DEFINED 01      43077        0      666
D ACNIELSEN CORP               	COMMON           004833109     447     19702.SH       OTHER   01        960    18742        0
D ACNIELSEN CORP               	COMMON           004833109     243     10700.SH       DEFINED 02       2700        0     8000
D ACNIELSEN CORP               	COMMON           004833109       6       266.SH       OTHER   05          0      266        0
D ACTION PERFORMANCE COMPANIES,	COMMON           004933107    9529    452400.SH       DEFINED 01     319700        0   132700
D ACTION PERFORMANCE COMPANIES,	COMMON           004933107    4562    216600.SH       DEFINED 02     209700        0     6900
D ACTION PERFORMANCE COMPANIES,	COMMON           004933107     103      4900.SH       DEFINED 05          0        0     4900
D ACTUATE CORP                 	COMMON           00508B102    5703    168350.SH       DEFINED 01     119000        0    49350
D ACTUATE CORP                 	COMMON           00508B102     234      6900.SH       DEFINED 02       4300        0     2600
D ACTUATE CORP                 	COMMON           00508B102      61      1800.SH       DEFINED 05          0        0     1800
D ACX TECHNOLOGIES, INC.       	COMMON           005123104    1174    123600.SH       DEFINED 02      10700        0   112900
D ACXIOM CORP.                 	COMMON           005125109     301     15300.SH       DEFINED 01      15300        0        0
D ACXIOM CORP.                 	COMMON           005125109     320     16300.SH       DEFINED 02        500        0    15800
D ADAPTEC, INC.                	COMMON           00651F108    4445    112000.SH       DEFINED 01     112000        0        0
D ADAPTEC, INC.                	COMMON           00651F108    1580     39800.SH       DEFINED 02       5100        0    34700
D ADAPTEC, INC.                	COMMON           00651F108      13       331.SH       DEFINED 16        331        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 7
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ADAPTEC INC 4.75% 2/01/04    	BOND             00651FAC2    3494   5000000 PRN      DEFINED 02
D ADECCO SA                    	COMMON           006754105     528      7600 SH       DEFINED 02          0        0     7600
D ADELPHIA COMMUNICATIONS CORP 	COMMON           006848105      18       300 SH       DEFINED 01        300        0        0
D ADELPHIA COMMUNICATIONS CORP 	COMMON           006848105    1235     21000 SH       DEFINED 02          0        0    21000
D ADOBE SYSTEMS, INC.          	COMMON           00724F101    1853     16330 SH       DEFINED 01      13980        0     2350
D ADOBE SYSTEMS, INC.          	COMMON           00724F101     897      7900 SH       DEFINED 02        700        0     7200
D ADOBE SYSTEMS, INC.          	COMMON           00724F101      22       198 SH       DEFINED 16        198        0        0
D ADOBE SYSTEMS, INC.          	COMMON           00724F101      79       700 SH       DEFINED 17        700        0        0
D ADVANCE PARADIGM INC         	COMMON           007491103     145      2653 SH       DEFINED 05       2653        0        0
D ADVANCE PARADIGM INC         	COMMON           007491103     328      5988 SH       DEFINED 16       5988        0        0
D ADVANCED LIGHTING TECH., INC 	COMMON           00753C102    1750    250000 SH       DEFINED 01          0        0   250000
D ADVANCED LIGHTING TECH., INC 	COMMON           00753C102      61      8700 SH       DEFINED 02          0        0     8700
D ADVANCED FIBRE COMMUNICATION 	COMMON           00754A105    8192    368200 SH       DEFINED 01     300900        0    67300
D ADVANCED FIBRE COMMUNICATION 	COMMON           00754A105    7583    340800 SH       DEFINED 02     252700        0    88100
D ADVANCED FIBRE COMMUNICATION 	COMMON           00754A105      56      2500 SH       DEFINED 05          0        0     2500
D ADVANCED FIBRE COMMUNICATION 	COMMON           00754A105       3       146 SH       DEFINED 16        146        0        0
D ADVANCED FIBRE COMMUNICATION 	COMMON           00754A105     516     23200 SH       DEFINED 17      23200        0        0
D ADVANCED RADIO TELECOM CORP  	COMMON           00754U101    1244     98500 SH       DEFINED 16      98500        0        0
D ADVANCED TISSUE SCIENCES, IN 	COMMON           00755F103       7      2200 SH       DEFINED 01       2200        0        0
D ADVANCED TISSUE SCIENCES, IN 	COMMON           00755F103     308    100000 SH       DEFINED 19    1000000        0        0
D ADVO, INC.                   	COMMON           007585102     211     10600 SH       DEFINED 01      10600        0        0
D ADVO, INC.                   	COMMON           007585102      98      4900 SH       DEFINED 02       3100        0     1800
D ADVANTICA RESTAURANT GROUP,  	COMMON           00758B109      84     27800 SH       DEFINED 02          0        0    27800
D AERIAL COMMUNICATIONS        	COMMON           007655103    2411     88900 SH       DEFINED 01      88900        0        0
D AERIAL COMMUNICATIONS        	COMMON           007655103     445     16400 SH       DEFINED 02      16400        0        0
D AEGON N V                    	COMMON           007924103    5687     65745 SH       DEFINED 01      50013        0    15732

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 8
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AEGON N V                    	COMMON           007924103     361      4177 SH       OTHER   01        937     3240        0
D AEGON N V                    	COMMON           007924103     494      5710 SH       DEFINED 02       5710        0        0
D AEGON N V                    	COMMON           007924103     125      1444 SH       DEFINED 05       1444        0        0
D ADVANTA CORP. CLASS A        	COMMON           007942105     525     35900 SH       DEFINED 01      35900        0        0
D ADVANTA CORP. CLASS A        	COMMON           007942105      34      2300 SH       DEFINED 02       2300        0        0
D ADVANTA CORP. CLASS A        	COMMON           007942105      12       837 SH       DEFINED 16        837        0        0
D ADVANCED ENERGY INDUSTRIES,  	COMMON           007973100     309     10000 SH       DEFINED 02          0        0    10000
D ADVENT SOFTWARE, INC.        	COMMON           007974108     380      6100 SH       DEFINED 02        100        0     6000
D AETNA, INC.                  	COMMON           008117103   27462    557600 SH       DEFINED 01     391900        0   165700
D AETNA, INC.                  	COMMON           008117103     174      3542 SH       OTHER   01       2642      900        0
D AETNA, INC.                  	COMMON           008117103   53762   1091606 SH       DEFINED 02     731206        0   360400
D AETNA, INC.                  	COMMON           008117103      25       500 SH       DEFINED 05        500        0        0
D AETNA, INC.                  	COMMON           008117103     320      6500 SH       DEFINED 17       6500        0        0
D AFFILIATED COMPUTER SERVICES 	COMMON           008190100    1629     40100 SH       DEFINED 01      40100        0        0
D AFFILIATED COMPUTER SERVICES 	COMMON           008190100    1521     37441 SH       DEFINED 02       1900        0    35541
D AFFILIATED COMPUTER SERVICES 	COMMON           008190100       1        23 SH       DEFINED 16         23        0        0
D AFFILIATED MANAGERS GROUP    	COMMON           008252108     341     12500 SH       DEFINED 01      12500        0        0
D AFFILIATED MANAGERS GROUP    	COMMON           008252108      27      1000 SH       DEFINED 02       1000        0        0
D AFFYMETRIX, INC.             	COMMON           00826T108   18487    187800 SH       DEFINED 01     151900        0    35900
D AFFYMETRIX, INC.             	COMMON           00826T108   11320    115000 SH       DEFINED 02      85700        0    29300
D AFFYMETRIX, INC.             	COMMON           00826T108     128      1300 SH       DEFINED 05          0        0     1300
D AGILE SOFTWARE CORP DEL      	COMMON           00846X105     550      8600 SH       DEFINED 01       8600        0        0
D AGILE SOFTWARE CORP DEL      	COMMON           00846X105    1280     20000 SH       DEFINED 02      15000        0     5000
D AGRIBRANDS INTERNATIONAL, IN 	COMMON           00849R105     245      4931 SH       DEFINED 01       4441        0      490
D AGRIBRANDS INTERNATIONAL, IN.	COMMON           00849R105      74      1497 SH       OTHER   01          0     1497        0
D AGRIBRANDS INTERNATIONAL, IN.	COMMON           00849R105     629     12670 SH       DEFINED 02          0        0    12670

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 9
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AGRIBRANDS INTERNATIONAL, IN 	COMMON           00849R105      50      1000 SH       DEFINED 16       1000        0        0
D AIR EXPRESS INTERNATIONAL, C 	COMMON           009104100     172      7593 SH       DEFINED 01          0        0     7593
D AIR EXPRESS INTERNATIONAL, C 	COMMON           009104100     692     30500 SH       OTHER   01          0    30500        0
D AIR EXPRESS INTERNATIONAL, C 	COMMON           009104100     276     12150 SH       DEFINED 02          0        0    12150
D AIR PRODUCTS & CHEMICALS, IN 	COMMON           009158106   38425   1313664 SH       DEFINED 01    1087364        0   226300
D AIR PRODUCTS & CHEMICALS, IN 	COMMON           009158106    1320     45132 SH       OTHER   01      10500    34632        0
D AIR PRODUCTS & CHEMICALS, IN 	COMMON           009158106   61889   2115870 SH       DEFINED 02    1343670        0   772200
D AIR PRODUCTS & CHEMICALS, IN 	COMMON           009158106     132      4500 SH       DEFINED 17       4500        0        0
D AIRBORNE FREIGHT CORP.       	COMMON           009266107    1774     84200 SH       DEFINED 01      84200        0        0
D AIRBORNE FREIGHT CORP.       	COMMON           009266107     946     44900 SH       DEFINED 02      22700        0    22200
D AIRGAS, INC.                 	COMMON           009363102     223     19200 SH       DEFINED 02          0        0    19200
D AIRTRAN HOLDINGS INC         	COMMON           00949P108     172     34100 SH       DEFINED 01      34100        0        0
D AIRTRAN HOLDINGS INC         	COMMON           00949P108      76     15100 SH       DEFINED 02      12100        0     3000
D ALAMO GROUP, INC.            	COMMON           011311107     110     11900 SH       DEFINED 02          0        0    11900
D ALASKA AIR GROUP, INC.       	COMMON           011659109    2921     71800 SH       DEFINED 01      71800        0        0
D ALASKA AIR GROUP, INC.       	COMMON           011659109    4826    118600 SH       DEFINED 02      83200        0    35400
D ALBEMARLE CORP.              	COMMON           012653101   17152    852295 SH       DEFINED 01     617000        0   235295
D ALBEMARLE CORP.              	COMMON           012653101     739     36710 SH       OTHER   01       5400    31310        0
D ALBEMARLE CORP.              	COMMON           012653101   23444   1164900 SH       DEFINED 02    1045400        0   119500
D ALBEMARLE CORP.              	COMMON           012653101     111      5500 SH       DEFINED 05          0        0     5500
D ALBERTA ENERGY CO. LTD.      	COMMON           012873105    3465    120000 SH       OTHER   01          0   120000        0
D ALBERTO CULVER CO. CLASS B C 	COMMON           013068101     400     17300 SH       DEFINED 02          0        0    17300
D ALBERTO CULVER CO. CLASS B C 	COMMON           013068101      14       600 SH       DEFINED 17        600        0        0
D ALBERTSON'S, INC.            	COMMON           013104104   28434    718699 SH       DEFINED 01     484012        0   234687
D ALBERTSON'S, INC.            	COMMON           013104104     200      5046 SH       OTHER   01       3282     1764        0
D ALBERTSON'S, INC.            	COMMON           013104104   46616   1178264 SH       DEFINED 02     771864        0   406400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 10
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ALBERTSON'S, INC.            	COMMON           013104104     851     21500 SH       DEFINED 06      21500        0        0
D ALBERTSON'S, INC.            	COMMON           013104104     182      4600 SH       DEFINED 17       4600        0        0
D ALCAN ALUMINIUM LTD.         	COMMON           013716105       3       100 SH       DEFINED 01        100        0        0
D ALCAN ALUMINIUM LTD.         	COMMON           013716105       0         2 SH       DEFINED 02          2        0        0
D ALCAN ALUMINIUM LTD.         	COMMON           013716105      78      2500 SH       DEFINED 17       2500        0        0
D ALCOA INC                    	COMMON           013817101  116803   1882004 SH       DEFINED 01    1172004        0   710000
D ALCOA INC                    	COMMON           013817101    6837    110170 SH       OTHER   01      56600    53570        0
D ALCOA INC                    	COMMON           013817101  133954   2158349 SH       DEFINED 02    1374235        0   784114
D ALCOA INC                    	COMMON           013817101    4588     73920 SH       DEFINED 05      26200        0    47720
D ALCOA INC                    	COMMON           013817101      37       600 SH       OTHER   05          0      600        0
D ALCOA INC                    	COMMON           013817101      73      1171 SH       DEFINED 16       1171        0        0
D ALCOA INC                    	COMMON           013817101     248      4000 SH       DEFINED 17       4000        0        0
D ALCATEL   ADR                	COMMON           013904305    1987     71610 SH       DEFINED 17      71610        0        0
D ALEXANDER & BALDWIN, INC.    	COMMON           014482103     728     30500 SH       DEFINED 02      11800        0    18700
D ALEXANDER'S, INC.            	COMMON           014752109     687      9500 SH       DEFINED 02          0        0     9500
D ALFA CORP.                   	COMMON           015385107     491     30200 SH       DEFINED 02      12200        0    18000
D ALLEGHANY CORP.              	COMMON           017175100    2375     13417 SH       DEFINED 01      13113        0      304
D ALLEGHANY CORP.              	COMMON           017175100     188      1060 SH       OTHER   01          0     1060        0
D ALLEGHENY ENERGY INC         	COMMON           017361106   40700   1276850 SH       DEFINED 01     890800        0   386050
D ALLEGHENY ENERGY INC         	COMMON           017361106     128      4000 SH       OTHER   01       2000     2000        0
D ALLEGHENY ENERGY INC         	COMMON           017361106   91001   2854940 SH       DEFINED 02    2131640        0   723300
D ALLEGHENY ENERGY INC         	COMMON           017361106     143      4500 SH       DEFINED 05       4200        0      300
D ALLEGHENY ENERGY INC         	COMMON           017361106      32      1000 SH       OTHER   05       1000        0        0
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100  105900   6275536 SH       DEFINED 01    4030476        0  2245059
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100    3141    186146 SH       OTHER   01      35852   150294        0
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100  241608  14317509 SH       DEFINED 02   11317865        0  2999644

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 11
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100    2025    120000 SH       OTHER   0304   120000        0        0
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100    2077    123088 SH       DEFINED 05      44417        0    78671
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100      78      4619 SH       OTHER   05       4619        0        0
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100     983     58250 SH       OTHER   09      58250        0        0
D ALLEGHENY TELEDYNE, INC.     	COMMON           017415100      35      2100 SH       DEFINED 17       2100        0        0
D ALLEGIANCE TELECOM INC       	COMMON           01747T102   26999    513050 SH       DEFINED 01     407450        0   105600
D ALLEGIANCE TELECOM INC       	COMMON           01747T102   13367    254000 SH       DEFINED 02     178300        0    75700
D ALLEGIANCE TELECOM INC       	COMMON           01747T102     205      3900 SH       DEFINED 05          0        0     3900
D ALLERGAN, INC.               	COMMON           018490102    7873     71570 SH       DEFINED 01       5000        0    66570
D ALLERGAN, INC.               	COMMON           018490102      55       500 SH       OTHER   01        500        0        0
D ALLERGAN, INC.               	COMMON           018490102    1001      9100 SH       DEFINED 02          0        0     9100
D ALLERGAN, INC.               	COMMON           018490102      77       700 SH       DEFINED 17        700        0        0
D ALLIANCE BANCORP             	COMMON           01852J105     334     17000 SH       OTHER   01          0    17000        0
D ALLIANT CORP                 	COMMON           018802108     606     21900 SH       DEFINED 01      21900        0        0
D ALLIANT CORP                 	COMMON           018802108      69      2500 SH       DEFINED 02        200        0     2300
D ALLIANT TECHSYSTEMS, INC.    	COMMON           018804104     166      2400 SH       DEFINED 01       2400        0        0
D ALLIANT TECHSYSTEMS, INC.    	COMMON           018804104     347      5000 SH       OTHER   01          0     5000        0
D ALLIANT TECHSYSTEMS, INC.    	COMMON           018804104      14       200 SH       DEFINED 02        100        0      100
D ALLIED CAPITAL CORPORATION   	COMMON           01903Q108    4297    191500 SH       DEFINED 01     191500        0        0
D ALLIED CAPITAL CORPORATION   	COMMON           01903Q108    8495    378600 SH       DEFINED 02     276600        0   102000
D ALLIED HOLDINGS, INC.        	COMMON           019223106     544     89800 SH       DEFINED 01      89800        0        0
D ALLIED HOLDINGS, INC.        	COMMON           019223106     397     65400 SH       DEFINED 02      64100        0     1300
D ALLIED PRODUCTS CORP.        	COMMON           019411107      59     14850 SH       DEFINED 02          0        0    14850
D ALLIED SIGNA                 	COMMON           019512102     656     11000 SH       DEFINED 06      11000        0        0
D ALLIEDSIGNAL, INC.           	COMMON           019512102  228438   3811236 SH       DEFINED 01    2143750        0  1667486
D ALLIEDSIGNAL, INC.           	COMMON           019512102   35785    597040 SH       OTHER   01     251055   345985        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 12
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ALLIEDSIGNAL, INC.           	COMMON           019512102  252245   4208432 SH       DEFINED 02    2911551        0  1296881
D ALLIEDSIGNAL, INC.           	COMMON           019512102    5394     90000 SH       OTHER   0304    90000        0        0
D ALLIEDSIGNAL, INC.           	COMMON           019512102    8709    145308 SH       DEFINED 05      75322        0    69986
D ALLIEDSIGNAL, INC.           	COMMON           019512102     929     15500 SH       OTHER   05      12000     3500        0
D ALLIEDSIGNAL, INC.           	COMMON           019512102    3321     55400 SH       OTHER   09      55400        0        0
D ALLIEDSIGNAL, INC.           	COMMON           019512102       9       151 SH       DEFINED 16        151        0        0
D ALLIEDSIGNAL, INC.           	COMMON           019512102   43401    724100 SH       DEFINED 17     724100        0        0
D ALLIED WASTE INDUSTRIES, INC 	COMMON           019589308   26699   2284290 SH       DEFINED 01    2244290        0    40000
D ALLIED WASTE INDUSTRIES, INC 	COMMON           019589308     236     20200 SH       DEFINED 02       5100        0    15100
D ALLIED WASTE INDUSTRIES, INC 	COMMON           019589308      23      2000 SH       DEFINED 17       2000        0        0
D ALLMERICA FINANCIAL CORP.    	COMMON           019754100    2457     51600 SH       DEFINED 01      51600        0        0
D ALLMERICA FINANCIAL CORP.    	COMMON           019754100     424      8900 SH       DEFINED 02       2300        0     6600
D ALLMERICA FINANCIAL CORP.    	COMMON           019754100     762     16000 SH       DEFINED 17      16000        0        0
D ALLOY ONLINE INC             	COMMON           019855105     457     35000 SH       DEFINED 01      35000        0        0
D ALLOY ONLINE INC             	COMMON           019855105    1505    115200 SH       DEFINED 02      95000        0    20200
D ALLSCRIPTS INC               	COMMON           019886100    8165    514325 SH       DEFINED 01     391050        0   123275
D ALLSCRIPTS INC               	COMMON           019886100    4010    252600 SH       DEFINED 02     189850        0    62750
D ALLSCRIPTS INC               	COMMON           019886100      73      4600 SH       DEFINED 05          0        0     4600
D ALLSTATE CORP.               	COMMON           020002101  111389   4466630 SH       DEFINED 01    3068338        0  1398292
D ALLSTATE CORP.               	COMMON           020002101    1155     46316 SH       OTHER   01      32386    13930        0
D ALLSTATE CORP.               	COMMON           020002101  228713   9171252 SH       DEFINED 02    5904487        0  3266765
D ALLSTATE CORP.               	COMMON           020002101      83      3332 SH       DEFINED 05       3332        0        0
D ALLSTATE CORP.               	COMMON           020002101    1232     49400 SH       DEFINED 17      49400        0        0
D ALLTEL CORP                  	COMMON           020039103      11       158 SH       DEFINED 16        158        0        0
D ALLTEL CORP.                 	COMMON           020039103    1357     19279 SH       DEFINED 01       6290        0    12989
D ALLTEL CORP.                 	COMMON           020039103     938     13329 SH       OTHER   01       6571     6758        0
FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 13
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ALLTEL CORP.                 	COMMON           020039103    5396     76679 SH       DEFINED 02          0        0    76679
D ALLTEL CORP.                 	COMMON           020039103     232      3300 SH       DEFINED 17       3300        0        0
D ALPHA INDS INC               	COMMON           020753109     733     13000 SH       DEFINED 01      13000        0        0
D ALPHA INDS INC               	COMMON           020753109     130      2300 SH       DEFINED 02       2300        0        0
D ALPHARMA, INC.               	COMMON           020813101     932     26400 SH       DEFINED 01      26400        0        0
D ALPHARMA, INC.               	COMMON           020813101    3524     99800 SH       DEFINED 02      10200        0    89600
D ALPHARMA INC                 	BOND             020813AC5       0   5225000 PRN      DEFINED 16
D ALPINE GROUP, INC.           	COMMON           020825105     273     21100 SH       DEFINED 01      21100        0        0
D ALPINE GROUP, INC.           	COMMON           020825105      71      5500 SH       DEFINED 02       3300        0     2200
D ALTERA CORP                  	COMMON           021441100       3        63 SH       DEFINED 16         63        0        0
D ALTERA CORP.                 	COMMON           021441100     416      9600 SH       DEFINED 02          0        0     9600
D ALTERA CORP.                 	COMMON           021441100     260      6000 SH       DEFINED 06       6000        0        0
D ALTERNATIVE LIVING SVCS5.25% 	BOND             02145KAB3    9671   8955000 PRN      DEFINED 02
D ALTERNATIVE RESOURCES CORP   	COMMON           02145R102      73     14000 SH       DEFINED 02          0        0    14000
D ALTERRA HEALTHCARE CORP      	COMMON           02146C104     683     77000 SH       DEFINED 01      77000        0        0
D ALTERRA HEALTHCARE CORP      	COMMON           02146C104     129     14500 SH       DEFINED 02      14500        0        0
D ALZA CORPORATION             	COMMON           022615108  126562   2956162 SH       DEFINED 01    1610830        0  1345332
D ALZA CORPORATION             	COMMON           022615108    3302     77135 SH       OTHER   01      44655    32480        0
D ALZA CORPORATION             	COMMON           022615108  346606   8095805 SH       DEFINED 02    6863859        0  1231945
D ALZA CORPORATION             	COMMON           022615108    1284     30000 SH       OTHER   0304    30000        0        0
D ALZA CORPORATION             	COMMON           022615108    3596     84000 SH       DEFINED 05      31700        0    52300
D ALZA CORPORATION             	COMMON           022615108     171      4000 SH       OTHER   05       3000     1000        0
D ALZA CORPORATION             	COMMON           022615108     779     18200 SH       OTHER   09      18200        0        0
D ALZA CORPORATION             	COMMON           022615108    8314    194200 SH       DEFINED 16     194200        0        0
D ALZA CORPORATION             	COMMON           022615108    1674     39100 SH       DEFINED 17      39100        0        0
D ALZA CORPORATION             	COMMON           022615108   59317   1385500 SH       DEFINED 18    1385500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 15
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ALZA CORP. - WARRANTS EXP. 12     WARRANT          022615157      22    716000 PRN      DEFINED 01
D ALZA CORP. - WARRANTS EXP. 12     WARRANT          022615157       0       510 PRN      OTHER   01
D ALZA CORP. - WARRANTS EXP. 12	WARRANT          022615157       0       395 PRN      DEFINED 02
D ALZA CORP. 0% CPN. LYON DUE 7	BOND             022615AC2   16800  30000000 PRN      DEFINED 02
D ALZA CORP. 0% CPN. LYON DUE 7	BOND             022615AC2   14000  25000000 PRN      DEFINED 16
D ALZA CORP. 5% CSD DUE 5/01/20	BOND             022615AD0    9180   7650000 PRN      DEFINED 01
D ALZA CORP. 5% CSD DUE 5/01/20	BOND             022615AD0   30000  25000000 PRN      DEFINED 02
D ALZA CORP. 5% CSD DUE 5/01/20	BOND             022615AD0   15637  13031000 PRN      DEFINED 16
D AMAZON.COM INC               	COMMON           023135106      16       200 SH       DEFINED 01        200        0        0
D AMAZON.COM INC               	COMMON           023135106    2742     34300 SH       DEFINED 02          0        0    34300
D AMAZON.COM INC               	COMMON           023135106    1282     16041 SH       DEFINED 16      16041        0        0
D AMAZON.COM INC               	COMMON           023135106     789      9874 SH       DEFINED 17       9874        0        0
D AMBAC FINANCIAL GROUP INC.   	COMMON           023139108   44762    944835 SH       DEFINED 01     582825        0   362010
D AMBAC FINANCIAL GROUP INC.   	COMMON           023139108    1861     39280 SH       OTHER   01      10380    28900        0
D AMBAC FINANCIAL GROUP INC.   	COMMON           023139108  138693   2927563 SH       DEFINED 02    2394080        0   533483
D AMBAC FINANCIAL GROUP INC.   	COMMON           023139108      24       500 SH       DEFINED 05        500        0        0
D AMBAC FINANCIAL GROUP INC.   	COMMON           023139108       1        21 SH       DEFINED 16         21        0        0
D AMCAST INDUSTRIAL CORP.      	COMMON           023395106     264     19800 SH       DEFINED 01      19800        0        0
D AMCAST INDUSTRIAL CORP.      	COMMON           023395106      24      1800 SH       DEFINED 02       1800        0        0
D AMCOL INTERNATIONAL CORP.    	COMMON           02341W103      90      6100 SH       DEFINED 01       6100        0        0
D AMCOL INTERNATIONAL CORP.    	COMMON           02341W103     336     22750 SH       DEFINED 02       8800        0    13950
D AMERADA HESS CORP.           	COMMON           023551104     527      8600 SH       DEFINED 01          0        0     8600
D AMERADA HESS CORP.           	COMMON           023551104     613     10000 SH       OTHER   01          0    10000        0
D AMERADA HESS CORP.           	COMMON           023551104    5509     89940 SH       DEFINED 02      31340        0    58600
D AMERADA HESS CORP.           	COMMON           023551104    2401     39200 SH       DEFINED 17      39200        0        0
D AMERCO, INC.                 	COMMON           023586100    1342     47000 SH       DEFINED 02       2000        0    45000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 16
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMEREN CORPORATION           	COMMON           023608102     163      4300 SH       DEFINED 01       1800        0     2500
D AMEREN CORPORATION           	COMMON           023608102     281      7420 SH       OTHER   01          0     7420        0
D AMEREN CORPORATION           	COMMON           023608102    1764     46662 SH       DEFINED 02      24062        0    22600
D AMEREN CORPORATION           	COMMON           023608102      57      1500 SH       DEFINED 17       1500        0        0
D AMERICA ONLINE, INC.         	COMMON           02364J104  308246   2962110 SH       DEFINED 01    1899712        0  1062398
D AMERICA ONLINE, INC.         	COMMON           02364J104    4820     46315 SH       OTHER   01      23040    23275        0
D AMERICA ONLINE, INC.         	COMMON           02364J104  628182   6036551 SH       DEFINED 02    4278165        0  1758385
D AMERICA ONLINE, INC.         	COMMON           02364J104    4456     42820 SH       DEFINED 05      15800        0    27020
D AMERICA ONLINE, INC.         	COMMON           02364J104      21       200 SH       OTHER   05          0      200        0
D AMERICA ONLINE, INC.         	COMMON           02364J104    1717     16500 SH       OTHER   09      16500        0        0
D AMERICA ONLINE, INC.         	COMMON           02364J104    3589     34500 SH       DEFINED 16      34500        0        0
D AMERICA ONLINE, INC.         	COMMON           02364J104    3085     29649 SH       DEFINED 17      29649        0        0
D AMERICA WEST HLDG CORP       	COMMON           023657208    1274     73600 SH       DEFINED 01      73600        0        0
D AMERICA WEST HLDG CORP       	COMMON           023657208     746     43061 SH       DEFINED 02      38900        0     4161
D AMCORE FINANCIAL, INC.       	COMMON           023912108     899     43600 SH       DEFINED 01      43600        0        0
D AMCORE FINANCIAL, INC.       	COMMON           023912108     663     32162 SH       DEFINED 02      23500        0     8662
D AMERICAN BUSINESS PRODUCTS,  	COMMON           024763104     104      6600 SH       DEFINED 01       6600        0        0
D AMERICAN BUSINESS PRODUCTS,  	COMMON           024763104     952     60450 SH       DEFINED 02       9800        0    50650
D AMERCIAN CLASSIC VOYAGES CO. 	COMMON           024928103    4258    185625 SH       DEFINED 01     147300        0    38325
D AMERCIAN CLASSIC VOYAGES CO. 	COMMON           024928103    3630    158250 SH       DEFINED 02     107500        0    50750
D AMERCIAN CLASSIC VOYAGES CO. 	COMMON           024928103      30      1300 SH       DEFINED 05          0        0     1300
D AMERICAN ELECTRIC POWER, INC 	COMMON           025537101     488     14300 SH       DEFINED 01       2300        0    12000
D AMERICAN ELECTRIC POWER, INC 	COMMON           025537101     111      3250 SH       OTHER   01       2000     1250        0
D AMERICAN ELECTRIC POWER, INC 	COMMON           025537101     505     14800 SH       DEFINED 02       4000        0    10800
D AMERICAN ELECTRIC POWER, INC 	COMMON           025537101      72      2100 SH       DEFINED 17       2100        0        0
D AMERICAN EAGLE OUTFITTERS NE 	COMMON           02553E106     252      5200 SH       DEFINED 01       5200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 17
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMERICAN EAGLE OUTFITTERS NE 	COMMON           02553E106     388      8000 SH       DEFINED 02        200        0     7800
D AMERICAN EXPRESS CO.         	COMMON           025816109   80609    597104 SH       DEFINED 01     424494        0   172610
D AMERICAN EXPRESS CO.         	COMMON           025816109    4096     30338 SH       OTHER   01      10900    19438        0
D AMERICAN EXPRESS CO.         	COMMON           025816109   14896    110344 SH       DEFINED 02      76844        0    33500
D AMERICAN EXPRESS CO.         	COMMON           025816109     313      2315 SH       DEFINED 05       1500        0      815
D AMERICAN EXPRESS CO.         	COMMON           025816109    2700     20000 SH       OTHER   101112      0    20000        0
D AMERICAN EXPRESS CO.         	COMMON           025816109     287      2126 SH       DEFINED 16       2126        0        0
D AMERICAN EXPRESS CO.         	COMMON           025816109     783      5800 SH       DEFINED 17       5800        0        0
D AMERICAN FINANCIAL GROUP, IN 	COMMON           025932104    1409     50200 SH       DEFINED 01      50200        0        0
D AMERICAN FINANCIAL GROUP, IN 	COMMON           025932104     547     19500 SH       DEFINED 02       1200        0    18300
D AMERICAN FREIGHTWAYS CORP.   	COMMON           02629V108    2606    143300 SH       DEFINED 01     143300        0        0
D AMERICAN FREIGHTWAYS CORP.   	COMMON           02629V108    2668    146700 SH       DEFINED 02     104500        0    42200
D AMERICAN GENERAL CORP.       	COMMON           026351106    4491     71002 SH       DEFINED 01      20101        0    50901
D AMERICAN GENERAL CORP.       	COMMON           026351106     917     14500 SH       DEFINED 02       7100        0     7400
D AMERICAN GENERAL CORP.       	COMMON           026351106     430      6806 SH       DEFINED 05         71        0     6735
D AMERICAN GENERAL CORP.       	COMMON           026351106     171      2700 SH       DEFINED 17       2700        0        0
D AMERICAN GREETINGS CORP.     	COMMON           026375105    1120     43500 SH       DEFINED 01      38800        0     4700
D AMERICAN GREETINGS CORP.     	COMMON           026375105      31      1200 SH       OTHER   01          0     1200        0
D AMERICAN GREETINGS CORP.     	COMMON           026375105     162      6300 SH       DEFINED 02       1700     4600        0
D AMERICAN GREETINGS CORP.     	COMMON           026375105     129      5000 SH       DEFINED 05          0        0     5000
D AMERICAN GREETINGS CORP.     	COMMON           026375105      18       700 SH       DEFINED 17        700        0        0
D AMERICAN GENERAL LLC $3.00 C 	PREF-CONV        02637G200     896     11200 PRN      DEFINED 01
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107  286083   6893578 SH       DEFINED 01    4462507        0  2431071
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107   42918   1034173 SH       OTHER   01     126340   907833        0
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107  564448  13601162 SH       DEFINED 02   10041324        0  3559837
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107    2490     60000 SH       OTHER   0304    60000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 18
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107    5355    129040 SH       DEFINED 05      62300        0   667400
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107     523     12600 SH       OTHER   05      11800      800        0
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107    2029     48900 SH       OTHER   09      48900        0        0
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107    3905     94100 SH       DEFINED 17      94100        0        0
D AMERICAN HOME PRODUCTS CORP. 	COMMON           026609107    8300    200000 SH       DEFINED 18     200000        0        0
D AMERICAN INDL PPTYS REIT     	COMMON           026791202     266     20000 SH       DEFINED 01      20000        0        0
D AMERICAN INDL PPTYS REIT     	COMMON           026791202     313     23500 SH       DEFINED 02      19300        0     4200
D AMERICAN INT                 	COMMON           026874107     556      6375 SH       DEFINED 16       6375        0        0
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107  501492   5768381 SH       DEFINED 01    2372814        0  3395567
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107  187107   2152193 SH       OTHER   01     173717  1978476        0
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107  202274   2326644 SH       DEFINED 02    1434591        0   892053
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107    7448     85674 SH       DEFINED 05      20999        0    64675
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107     495      5693 SH       OTHER   05       5693        0        0
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107 1304035  14999600 SH       OTHER   0708        0 14999600        0
D AMERICAN INTERNATIONAL GROUP 	COMMON           026874107    3074     35363 SH       DEFINED 17      35363        0        0
D AMERICAN INT'L PETROLEUM COR 	COMMON           026909408     103    150000 SH       DEFINED 01          0        0   150000
D AMERICAN ITALIAN PASTA COMPA 	COMMON           027070101    6492    226800 SH       DEFINED 01     179600        0    47200
D AMERICAN ITALIAN PASTA COMPA 	COMMON           027070101    5404    188800 SH       DEFINED 02     145800        0    43000
D AMERICAN ITALIAN PASTA COMPA 	COMMON           027070101      40      1400 SH       DEFINED 05          0        0     1400
D AMER MANAGEM                 	COMMON           027352103       5       200 SH       DEFINED 17        200        0        0
D AMERICAN MANAGEMENT SYSTEMS, 	COMMON           027352103    1396     54400 SH       DEFINED 01      54400        0        0
D AMERICAN MANAGEMENT SYSTEMS, 	COMMON           027352103     308     12000 SH       OTHER   01      12000        0        0
D AMERICAN MANAGEMENT SYSTEMS, 	COMMON           027352103     906     35325 SH       DEFINED 02      11700        0    23625
D AMERICAN MOBILE SATELLITE CO 	COMMON           02755R103   12493    713875 SH       DEFINED 01     550050        0   163825
D AMERICAN MOBILE SATELLITE CO 	COMMON           02755R103    6889    393650 SH       DEFINED 02     292550        0   101100
D AMERICAN MOBILE SATELLITE CO 	COMMON           02755R103     105      6000 SH       DEFINED 05          0        0     6000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 19
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMERICAN NATL CAN GROUP INC  	COMMON           027714104    2016    127500 SH       DEFINED 01      87500        0    40000
D AMERICAN NATL CAN GROUP INC  	COMMON           027714104    3362    212600 SH       DEFINED 02     162400        0    50200
D AMERICAN NATIONAL INSURANCE  	COMMON           028591105    1280     19100 SH       DEFINED 01      19100        0        0
D AMERICAN NATIONAL INSURANCE  	COMMON           028591105     168      2500 SH       DEFINED 02        700        0     1800
D AMERICAN RETIREMENT CORP     	BOND             028913AA9    2484   3000000 PRN      DEFINED 02
D AMERICAN POW                 	COMMON           029066107       1        59 SH       DEFINED 16         59        0        0
D AMERICAN POWER CONVERSION CO 	COMMON           029066107     709     37300 SH       DEFINED 01      29700        0     7600
D AMERICAN POWER CONVERSION CO 	COMMON           029066107     604     31800 SH       DEFINED 02       1700        0    30100
D AMERICAN PRECISION INDUSTRIE 	COMMON           029069101     118     11500 SH       DEFINED 02          0        0    11500
D AMERICAN SOFTWARE, INC. CLAS 	COMMON           029683109    2013    700000 SH       DEFINED 01          0        0   700000
D AMERICAN STANDARD COMPANIES, 	COMMON           029712106    3306     85600 SH       DEFINED 01      85600        0        0
D AMERICAN STANDARD COMPANIES, 	COMMON           029712106     564     14600 SH       DEFINED 02       4000        0    10600
D AMERICAN STS WTR CO          	COMMON           029899101     653     19700 SH       DEFINED 01      19700        0        0
D AMERICAN STS WTR CO          	COMMON           029899101    1017     30700 SH       DEFINED 02      27300        0     3400
D AMERICAN TOWER CORP          	COMMON           029912201    2643    134700 SH       DEFINED 01      34700        0   100000
D AMERICAN TOWER CORP          	COMMON           029912201     448     22830 SH       DEFINED 02       1400        0    21430
D AMERICAN WATER WORKS, INC.   	COMMON           030411102    2020     69800 SH       DEFINED 01      69800        0        0
D AMERICAN WATER WORKS, INC.   	COMMON           030411102     353     12200 SH       DEFINED 02       2400        0     9800
D AMERICREDIT CORP.            	COMMON           03060R101    9838    658600 SH       DEFINED 01      52200        0   606400
D AMERICREDIT CORP.            	COMMON           03060R101    1052     70400 SH       DEFINED 02      10000        0    60400
D AMERISOURCE HEALTH CORP. CLA 	COMMON           03071P102     640     27000 SH       DEFINED 01      27000        0        0
D AMERISOURCE HEALTH CORP. CLA 	COMMON           03071P102     256     10800 SH       DEFINED 02       5400        0     5400
D AMERITRADE HOLDING CORPORATI 	PREF-CONV        03072HAA7       0  10000000 PRN      DEFINED 16
D AMERUS LIFE HLDGS INC        	COMMON           030732101     960     45326 SH       DEFINED 01      45326        0        0
D AMERUS LIFE HLDGS INC        	COMMON           030732101      66      3100 SH       DEFINED 02       3100        0        0
D AMES DEPARTMENT STORES, INC. 	COMMON           030789507    2955     92700 SH       DEFINED 01      92700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 20
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMES DEPARTMENT STORES, INC. 	COMMON           030789507    4211    132100 SH       DEFINED 02      78200        0    53900
D AMERITECH CORP.              	COMMON           030954101  122097   1829170 SH       DEFINED 01    1411505        0   417665
D AMERITECH CORP.              	COMMON           030954101   13456    201592 SH       OTHER   01      33660   167932        0
D AMERITECH CORP.              	COMMON           030954101  307064   4600216 SH       DEFINED 02    3137016        0  1463200
D AMERITECH CORP.              	COMMON           030954101     360      5400 SH       DEFINED 05       1000        0     4400
D AMERITECH CORP.              	COMMON           030954101     534      8000 SH       OTHER   05          0     8000        0
D AMERITECH CORP.              	COMMON           030954101    3104     46500 SH       DEFINED 16      46500        0        0
D AMERITECH CORP.              	COMMON           030954101    4413     66109 SH       DEFINED 17      66109        0        0
D AMERITECH CORP.              	COMMON           030954101   11214    168000 SH       DEFINED 18     168000        0        0
D AMERITECH CP                 	COMMON           030954101    1275     19100 SH       DEFINED 06      19100        0        0
D AMF BOWLING INC 0% 05/12/18  	BOND             03113VAA7    2743  26122000 PRN      DEFINED 01
D AMF BOWLING INC 0% 05/12/18  	BOND             03113VAA7    4937  47023000 PRN      DEFINED 02
D AMGEN, INC.                  	COMMON           031162100   21068    258500 SH       DEFINED 01     173595        0    84905
D AMGEN, INC.                  	COMMON           031162100     391      4800 SH       OTHER   01       4800        0        0
D AMGEN, INC.                  	COMMON           031162100   88050   1080373 SH       DEFINED 02     831356        0   249017
D AMGEN, INC.                  	COMMON           031162100      41       500 SH       DEFINED 05        500        0        0
D AMGEN, INC.                  	COMMON           031162100    1845     22643 SH       DEFINED 16      22643        0        0
D AMGEN, INC.                  	COMMON           031162100     668      8200 SH       DEFINED 17       8200        0        0
D AMKOR TECHNOLOGY INC         	COMMON           031652100     845     52400 SH       DEFINED 01      52400        0        0
D AMKOR TECHNOLOGY INC         	COMMON           031652100     469     29100 SH       DEFINED 02      18500        0    10600
D AMKOR TECHNOLOGY INC 5.750%  	BOND             031652AA8     603   1000000 PRN      DEFINED 02
D AMKOR TECHNOLOGY INC 5.750%  	BOND             031652AA8     151    250000 PRN      DEFINED 16
D AMRESCO, INC.                	COMMON           031909104     851    283500 SH       DEFINED 01      83500        0   200000
D AMRESCO, INC.                	COMMON           031909104      52     17400 SH       DEFINED 02      15400        0     2000
D AMRESCO CAP TRUST            	COMMON           031919103    3544    405000 SH       DEFINED 01     405000        0        0
D AMSOUTH BANCORPORATION       	COMMON           032165102      54      2300 SH       DEFINED 01       2300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 21
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AMSOUTH BANCORPORATION       	COMMON           032165102     474     20211 SH       DEFINED 02          0        0    20211
D AMSOUTH BANCORPORATION       	COMMON           032165102     938     40000 SH       DEFINED 06      40000        0        0
D AMSOUTH BANCORPORATION       	COMMON           032165102      45      1900 SH       DEFINED 17       1900        0        0
D ANADARKO PETROLEUM CORP.     	COMMON           032511107     530     17348 SH       DEFINED 01       8448        0     8900
D ANADARKO PETROLEUM CORP.     	COMMON           032511107      55      1800 SH       DEFINED 02       1400        0      400
D ANADARKO PETROLEUM CORP.     	COMMON           032511107      37      1200 SH       DEFINED 05          0        0     1200
D ANADARKO PETROLEUM CORP.     	COMMON           032511107      40      1300 SH       DEFINED 17       1300        0        0
D ANALOG DEVICES, INC.         	COMMON           032654105     164      3200 SH       DEFINED 01          0        0     3200
D ANALOG DEVICES, INC.         	COMMON           032654105     820     16000 SH       OTHER   01          0    16000        0
D ANALOG DEVICES, INC.         	COMMON           032654105    2614     51000 SH       DEFINED 06      51000        0        0
D ANALOGIC CORP.               	COMMON           032657207     331     10500 SH       DEFINED 02          0        0    10500
D ANALYSTS INTERNATIONAL CORP. 	COMMON           032681108     141     13600 SH       DEFINED 01      13600        0        0
D ANALYSTS INTERNATIONAL CORP. 	COMMON           032681108     267     25700 SH       DEFINED 02       2200        0    23500
D ANCHOR GAMING                	COMMON           033037102   20194    339400 SH       DEFINED 01     269900        0    69500
D ANCHOR GAMING                	COMMON           033037102   16065    270000 SH       DEFINED 02     203200        0    66800
D ANCHOR GAMING                	COMMON           033037102     155      2600 SH       DEFINED 05          0        0     2600
D ANCOR COMMUNICATIONS INC     	COMMON           03332K108     647     26700 SH       DEFINED 01      26700        0        0
D ANCOR COMMUNICATIONS INC     	COMMON           03332K108     129      5300 SH       DEFINED 02       5300        0        0
D ANDOVER BANCORP INC DEL      	COMMON           034258103     295      9800 SH       DEFINED 02       9800        0        0
D ANDREW CORP.                 	COMMON           034425108    1612     92800 SH       DEFINED 01      92800        0        0
D ANDREW CORP.                 	COMMON           034425108     738     42475 SH       DEFINED 02      17500        0    24975
D ANDREW CORP                 .	COMMON           034425108      16       900 SH       DEFINED 17        900        0        0
D ANDRX CORP.                  	COMMON           034551101    2054     35100 SH       DEFINED 01      35100        0        0
D ANDRX CORP.                  	COMMON           034551101     773     13200 SH       DEFINED 02       1600        0    11600
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103  102897   1468637 SH       DEFINED 01    1420246        0    48391
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103    2477     35350 SH       OTHER   01      25800     9550        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 22
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103     189      2700 SH       DEFINED 02       2700        0        0
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103     570      8140 SH       DEFINED 05       4140        0     4000
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103       8       109 SH       DEFINED 16        109        0        0
D ANHEUSER-BUSCH COMPANIES, IN 	COMMON           035229103     364      5200 SH       DEFINED 17       5200        0        0
D ANIXTER INTERNATIONAL, INC.  	COMMON           035290105   11665    501700 SH       DEFINED 01     315400        0   186300
D ANIXTER INTERNATIONAL, INC.  	COMMON           035290105   17147    737500 SH       DEFINED 02     481100        0   256400
D ANNTAYLOR STORES CORP.       	COMMON           036115103   17310    423475 SH       DEFINED 01     330700        0    92775
D ANNTAYLOR STORES CORP.       	COMMON           036115103   10910    266900 SH       DEFINED 02     210900        0    56000
D ANNTAYLOR STORES CORP.       	COMMON           036115103     139      3400 SH       DEFINED 05          0        0     3400
D ANN TAYLOR STORES INC BOND   	BOND             036115AA1       0   9000000 PRN      DEFINED 16
D ANTEC CORPORATION            	COMMON           03664P105    3448     64900 SH       DEFINED 01      64900        0        0
D ANTEC CORPORATION            	COMMON           03664P105    1100     20700 SH       DEFINED 02      18000        0     2700
D ANTEC CORP 4.5% 05/15/03     	BOND             03664PAA3     811    900000 PRN      DEFINED 02
D ANSWERTHINK CONSULTING GROUP 	COMMON           036916104    1385    143900 SH       DEFINED 01      43900        0   100000
D ANSWERTHINK CONSULTING GROUP 	COMMON           036916104      55      5700 SH       DEFINED 02       5700        0        0
D AON CORP.                    	COMMON           037389103   51079   1727800 SH       DEFINED 01    1195450        0   532350
D AON CORP.                    	COMMON           037389103     256      8675 SH       OTHER   01       2600     6075        0
D AON CORP.                    	COMMON           037389103  137076   4636740 SH       DEFINED 02    3225490        0  1411250
D AON CORP.                    	COMMON           037389103     143      4825 SH       DEFINED 05       4825        0        0
D AON CORP.                    	COMMON           037389103      83      2800 SH       DEFINED 17       2800        0        0
D APACHE CORP.                 	COMMON           037411105     215      4988 SH       DEFINED 01          0        0     4988
D APACHE CORP.                 	COMMON           037411105     497     11506 SH       DEFINED 02          0        0    11506
D APACHE CORP.                 	COMMON           037411105      52      1200 SH       DEFINED 17       1200        0        0
D APARTMENT INVT & MGMT CO     	COMMON           03748R101    7577    198100 SH       DEFINED 01     198100        0        0
D APARTMENT INVT & MGMT CO     	COMMON           03748R101   13401    350353 SH       DEFINED 02     308400        0    41953
D APARTMENT INVT & MGMT CO     	PREF-CONV        03748R705    2955    120000 PRN      DEFINED 02

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 23
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D APEX INC                     	COMMON           037548104     314     16800 SH       DEFINED 01      16800        0        0
D APEX INC                     	COMMON           037548104     339     18150 SH       DEFINED 02      11600        0     6550
D APOGEE ENTERPRISES, INC.     	COMMON           037598109     113     16100 SH       DEFINED 02       1700        0    14400
D APHTON CORP.                 	COMMON           03759P101     582     43900 SH       DEFINED 17      43900        0        0
D APPLE COMPUTER, INC.         	COMMON           037833100   26895    424800 SH       DEFINED 01     350400        0    74400
D APPLE COMPUTER, INC.         	COMMON           037833100      44       700 SH       OTHER   01        700        0        0
D APPLE COMPUTER, INC.         	COMMON           037833100   56098    886049 SH       DEFINED 02     632249        0   253800
D APPLE COMPUTER, INC.         	COMMON           037833100     202      3191 SH       DEFINED 16       3191        0        0
D APPLE COMPUTER, INC.         	COMMON           037833100     108      1700 SH       DEFINED 17       1700        0        0
D APRIA HEALTHCARE GROUP, INC. 	COMMON           037933108    1750    104500 SH       DEFINED 01     104500        0        0
D APRIA HEALTHCARE GROUP, INC. 	COMMON           037933108    1244     74263 SH       DEFINED 02      41400        0    32863
D APPLIED INDL TECHNOLOGIES IN 	COMMON           03820C105     255     14175 SH       DEFINED 02       6300        0     7875
D APPLIED MATE                 	COMMON           038222105    1220     15309 SH       DEFINED 16      15309        0        0
D APPLIED MATERIALS, INC.      	COMMON           038222105   83712   1077540 SH       DEFINED 01     760040        0   317500
D APPLIED MATERIALS, INC.      	COMMON           038222105     179      2300 SH       OTHER   01       2300        0        0
D APPLIED MATERIALS, INC.      	COMMON           038222105  227033   2922369 SH       DEFINED 02    1969068        0   953300
D APPLIED MATERIALS, INC.      	COMMON           038222105      47       600 SH       DEFINED 05        600        0        0
D APPLIED MATERIALS, INC.      	COMMON           038222105     319      4100 SH       DEFINED 17       4100        0        0
D APPLIED POWER, INC. CLASS A  	COMMON           038225108    1473     48500 SH       DEFINED 01      48500        0        0
D APPLIED POWER, INC. CLASS A  	COMMON           038225108    6967    229355 SH       DEFINED 02      13900        0   215455
D APPLIED MICRO CIRCUITS CORPO 	COMMON           03822W109   19790    347200 SH       DEFINED 01     279500        0    67700
D APPLIED MICRO CIRCUITS CORPO 	COMMON           03822W109   17015    298500 SH       DEFINED 02     222500        0    76000
D APPLIED MICRO CIRCUITS CORPO 	COMMON           03822W109     148      2600 SH       DEFINED 05          0        0     2600
D APPLIED SCIENCE & TECHNOLOGY 	COMMON           038236105    1073     52000 SH       DEFINED 01      52000        0        0
D APPLIED SCIENCE & TECHNOLOGY 	COMMON           038236105    2720    131900 SH       DEFINED 02      99200        0    32700
D APPLIEDTHEORY CORP           	COMMON           03828R104     116      9800 SH       DEFINED 01       9800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 24
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D APPLIEDTHEORY CORP           	COMMON           03828R104      23      1900 SH       DEFINED 02       1900        0        0
D APPNET SYS INC               	COMMON           03831Q101   12018    439025 SH       DEFINED 01     309500        0   129525
D APPNET SYS INC               	COMMON           03831Q101     501     18300 SH       DEFINED 02      11400        0     6900
D APPNET SYS INC               	COMMON           03831Q101     131      4800 SH       DEFINED 05          0        0     4800
D APTARGROUP, INC.             	COMMON           038336103    1390     51946 SH       DEFINED 01      42900        0     9046
D APTARGROUP, INC.             	COMMON           038336103    4590    171600 SH       DEFINED 02     107400        0    64200
D AQUARION CO.                 	COMMON           03838W101     258      7200 SH       DEFINED 02          0        0     7200
D ARCADIA FINL LTD             	COMMON           039101100      65     15000 SH       DEFINED 02      15000        0        0
D ARCH COAL INC                	COMMON           039380100      10       800 SH       DEFINED 01        800        0        0
D ARCH COAL INC                	COMMON           039380100     138     11200 SH       DEFINED 02      11200        0        0
D ARCH COMMUNICATIONS GROUP IN 	COMMON           039381504     566    141470 SH       DEFINED 01          0        0   141470
D ARCHER-DANIELS-MIDLAND CO.   	COMMON           039483102      93      7671 SH       DEFINED 01       2993        0     4678
D ARCHER-DANIELS-MIDLAND CO.   	COMMON           039483102     124     10213 SH       OTHER   01          0    10213        0
D ARCHER-DANIELS-MIDLAND CO.   	COMMON           039483102    1477    121800 SH       DEFINED 02          0        0   121800
D ARCHER-DANIELS-MIDLAND CO.   	COMMON           039483102      81      6720 SH       DEFINED 17       6720        0        0
D ARCHSTONE COMMUNITIES TRUST  	COMMON           039581103    3285    166314 SH       DEFINED 01     127600        0    38714
D ARCHSTONE COMMUNITIES TRUST  	COMMON           039581103    6864    347522 SH       DEFINED 02     311687        0    35835
D ARCHSTONE COMMUNITIES TRUST  	COMMON           039581103     626     31672 SH       DEFINED 17      31672        0        0
D ARCHSTONE COMMUNITIES TR 1.75	PREF-CONV        039581202    1659     62300 PRN      DEFINED 02
D ARCTIC CAT, INC.             	COMMON           039670104     183     19125 SH       DEFINED 02          0        0    19125
D ARDEN RLTY GROUP INC         	COMMON           039793104    9737    447700 SH       DEFINED 01     432900        0    14800
D ARDEN RLTY GROUP INC         	COMMON           039793104   16865    775400 SH       DEFINED 02     654300        0   121100
D ARDEN RLTY GROUP INC         	COMMON           039793104       9       400 SH       DEFINED 05          0        0      400
D ARDENT SOFTWARE INC          	COMMON           039794102    3631    134800 SH       DEFINED 01      34800        0   100000
D ARDENT SOFTWARE INC          	COMMON           039794102     167      6200 SH       DEFINED 02       6200        0        0
D ARGOSY GAMING CORP.          	COMMON           040228108    1074     81000 SH       DEFINED 01      61000        0    20000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 25
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ARGOSY GAMING CORP.          	COMMON           040228108     258     19500 SH       DEFINED 02      16100        0     3400
D ARMOR HOLDINGS INC           	COMMON           042260109     914     84000 SH       DEFINED 01      84000        0        0
D ARMOR HOLDINGS INC           	COMMON           042260109    2278    209500 SH       DEFINED 02     160600        0    48900
D ARMSTRONG WORLD INDUSTRIES,  	COMMON           042476101    1699     37800 SH       DEFINED 01      37800        0        0
D ARMSTRONG WORLD INDUSTRIES,  	COMMON           042476101     274      6100 SH       DEFINED 02       1700        0     4400
D ARMSTRONG WORLD INDUSTRIES,  	COMMON           042476101      18       400 SH       DEFINED 17        400        0        0
D ARROW ELECTRONICS, INC.      	COMMON           042735100     936     53100 SH       DEFINED 01      53100        0        0
D ARROW ELECTRONICS, INC.      	COMMON           042735100     416     23600 SH       DEFINED 02       2700        0    20900
D ARROW FINANCIAL CORP.        	COMMON           042744102     186      7144 SH       DEFINED 01          0        0     7144
D ARROW FINANCIAL CORP.        	COMMON           042744102     463     17800 SH       DEFINED 02          0        0    17800
D ART TECHNOLOGY GROUP INC     	COMMON           04289L107    3582     94100 SH       DEFINED 01      76300        0    17800
D ART TECHNOLOGY GROUP INC     	COMMON           04289L107    2961     77800 SH       DEFINED 02      57800        0    20000
D ART TECHNOLOGY GROUP INC     	COMMON           04289L107      27       700 SH       DEFINED 05          0        0      700
D ARTESYN TECHNOLOGIES INC     	COMMON           043127109     558     29400 SH       DEFINED 01      29400        0        0
D ARTESYN TECHNOLOGIES INC     	COMMON           043127109     379     20000 SH       DEFINED 02       9200        0    10800
D ARVIN INDUSTRIES, INC.       	COMMON           043339100     306      9900 SH       DEFINED 01       9900        0        0
D ARVIN INDUSTRIES, INC.       	COMMON           043339100    1040     33600 SH       DEFINED 02      20900        0    12700
D ASHLAND, INC.                	COMMON           044204105     707     21014 SH       DEFINED 01      17614        0     3400
D ASHLAND, INC.                	COMMON           044204105     262      7800 SH       OTHER   01          0     7800        0
D ASHLAND, INC.                	COMMON           044204105     871     25918 SH       DEFINED 05      10278        0    15640
D ASHLAND, INC.                	COMMON           044204105      88      2628 SH       OTHER   05       2628        0        0
D ASHLAND, INC.                	COMMON           044204105      27       800 SH       DEFINED 17        800        0        0
D ASHTON TECHNOLOGY GROUP INC  	COMMON           045084100     181     24100 SH       DEFINED 01      24100        0        0
D ASHTON TECHNOLOGY GROUP INC  	COMMON           045084100      36      4800 SH       DEFINED 02       4800        0        0
D ASIA PULP & PAPER LTD. SPNSR 	COMMON           04516V100     118     20000 SH       OTHER   01          0    20000        0
D ASIA PULP & PAPER LTD. SPNSR 	COMMON           04516V100      25      4300 SH       DEFINED 16       4300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 26
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ASPECT DEVELOPMENT, INC.     	COMMON           045234101    3777    149200 SH       DEFINED 01     149200        0        0
D ASPECT DEVELOPMENT, INC.     	COMMON           045234101    4680    184900 SH       DEFINED 02     141500        0    43400
D ASPECT DEVELOPMENT, INC.     	COMMON           045234101      72      2858 SH       DEFINED 16       2858        0        0
D ASPECT TELECOMMUNICATIONS CO 	COMMON           045237104     373     22000 SH       DEFINED 02          0        0    22000
D ASPECT TELECOMMUNICATIONS CO 	COMMON           045237104      12       695 SH       DEFINED 16        695        0        0
D ASPEN TECHNOLOGY, INC.       	COMMON           045327103    6162    631950 SH       DEFINED 01     443150        0   188800
D ASPEN TECHNOLOGY, INC.       	COMMON           045327103     265     27200 SH       DEFINED 02      16800        0    10400
D ASPEN TECHNOLOGY, INC.       	COMMON           045327103      71      7300 SH       DEFINED 05          0        0     7300
D ASSISTED LIVING CONCEPTS   5 	BOND             04543LAG4    3750   5000000 PRN      DEFINED 02
D ASSOCIATED BANC CORP.        	COMMON           045487105   12883    356000 SH       DEFINED 01     303800        0    52200
D ASSOCIATED BANC CORP.        	COMMON           045487105      14       400 SH       OTHER   01        400        0        0
D ASSOCIATED BANC CORP.        	COMMON           045487105   33110    914934 SH       DEFINED 02     642172        0   272762
D ASSOCIATED BANC CORP.        	COMMON           045487105      11       300 SH       DEFINED 05        300        0        0
D ASSOCIATED GROUP, INC. CL. A 	COMMON           045651106      61      1000 SH       DEFINED 01       1000        0        0
D ASSOCIATED GROUP, INC. CL. A 	COMMON           045651106     938     15500 SH       DEFINED 02          0        0    15500
D AT HOME CORPORATION          	COMMON           045919107     174      4193 SH       DEFINED 01       1934        0     2259
D AT HOME CORPORATION          	COMMON           045919107     258      6234 SH       OTHER   01       6234        0        0
D AT HOME CORPORATION          	COMMON           045919107    2938     70900 SH       DEFINED 02          0        0    70900
D AT HOME CORPORATION          	COMMON           045919107    2945     71078 SH       DEFINED 17      71078        0        0
D AT HOME                      	BOND             045919AA5       0   5275000 PRN      DEFINED 16
D AT HOME CORPORATION          	BOND             045919AC1   47822  86850000 PRN      DEFINED 17
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108   73180   2032777 SH       DEFINED 01    1558920        0   473857
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108    3030     84164 SH       OTHER   01      14032    70132        0
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108  177344   4926226 SH       DEFINED 02    3553339        0  1372886
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108     586     16274 SH       DEFINED 05       6826        0     9448
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108      72      2000 SH       OTHER   05          0     2000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 27
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108       8       224 SH       DEFINED 16        224        0        0
D ASSOCIATES FIRST CAPITAL COR 	COMMON           046008108     284      7900 SH       DEFINED 17       7900        0        0
D ASTEC INDUSTRIES INC         	COMMON           046224101    1283     53200 SH       DEFINED 01      53200        0        0
D ASTEC INDUSTRIES INC         	COMMON           046224101     222      9200 SH       DEFINED 02       9200        0        0
D ASTORIA FINANCIAL CORPORATION	COMMON           046265104   51271   1667350 SH       DEFINED 01     948070        0   719280
D ASTORIA FINANCIAL CORPORATION	COMMON           046265104      15       500 SH       OTHER   01        500        0        0
D ASTORIA FINANCIAL CORPORATION	COMMON           046265104  168928   5493586 SH       DEFINED 02    4300098        0  1193488
D ASTORIA FINANCIAL CORPORATION	COMMON           046265104      62      2005 SH       DEFINED 05       2005        0        0
D ASTRAZENECA PLC              	COMMON           046353108      82      1943 SH       DEFINED 01        632        0     1311
D ASTRAZENECA PLC              	COMMON           046353108     405      9597 SH       OTHER   01          0     9597        0
D ASTRAZENECA PLC              	COMMON           046353108      57      1344 SH       OTHER   05          0     1344        0
D ASYST TECHNOLOGIES, INC.     	COMMON           04648X107    4221    127900 SH       DEFINED 01      89600        0    38300
D ASYST TECHNOLOGIES, INC.     	COMMON           04648X107     172      5200 SH       DEFINED 02       3200        0     2000
D ASYST TECHNOLOGIES, INC.     	COMMON           04648X107      46      1400 SH       DEFINED 05          0        0     1400
D ATLANTIC COAST AIRLINES HLDG 	COMMON           048396105     195     11000 SH       DEFINED 01      11000        0        0
D ATLANTIC COAST AIRLINES HLDG 	COMMON           048396105      39      2200 SH       DEFINED 02       2200        0        0
D ATLANTIC RICHFIELD CO.       	COMMON           048825103   17854    201451 SH       DEFINED 01     126007        0    75444
D ATLANTIC RICHFIELD CO.       	COMMON           048825103   14794    166931 SH       OTHER   01      27246   139685        0
D ATLANTIC RICHFIELD CO.       	COMMON           048825103   35108    396140 SH       DEFINED 02     109440        0   286700
D ATLANTIC RICHFIELD CO.       	COMMON           048825103    3545     40000 SH       OTHER   0304    40000        0        0
D ATLANTIC RICHFIELD CO.       	COMMON           048825103    1356     15300 SH       DEFINED 05       5200        0    10100
D ATLANTIC RICHFIELD CO.       	COMMON           048825103     257      2900 SH       OTHER   05          0     2900        0
D ATLANTIC RICHFIELD CO.       	COMMON           048825103    3536     39900 SH       DEFINED 16      39900        0        0
D ATLANTIC RICHFIELD CO.       	COMMON           048825103    8730     98500 SH       DEFINED 17      98500        0        0
D ATMOS ENERGY CORP.           	COMMON           049560105    6552    271600 SH       DEFINED 01     271600        0        0
D ATMOS ENERGY CORP.           	COMMON           049560105   10434    432500 SH       DEFINED 02     339200        0    93300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 28
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ATWOOD OCEANICS, INC.        	COMMON           050095108      18       600 SH       DEFINED 01        600        0        0
D ATWOOD OCEANICS, INC.        	COMMON           050095108     312     10200 SH       DEFINED 02          0        0    10200
D AURORA BIOSCIENCES CORPORATI 	COMMON           051920106    3179    233300 SH       DEFINED 17     233300        0        0
D AUSPEX SYSTEMS, INC.         	COMMON           052116100     178     20000 SH       OTHER   101112      0    20000        0
D AUTHENTIC FITNESS CORP.      	COMMON           052661105     353     20100 SH       DEFINED 01      20100        0        0
D AUTHENTIC FITNESS CORP.      	COMMON           052661105     383     21800 SH       DEFINED 02      13800        0     8000
D AUTOIMMUNE, INC.             	COMMON           052776101      81    143000 SH       DEFINED 17     143000        0        0
D AUTOLIV INC                  	COMMON           052800109    4326    115000 SH       DEFINED 17     115000        0        0
D AUTOLIV, INC.                	COMMON           052800109    1897     50422 SH       DEFINED 01      50116        0      306
D AUTOLIV, INC.                	COMMON           052800109     138      3681 SH       OTHER   01       2455     1226        0
D AUTOLIV, INC.                	COMMON           052800109     312      8300 SH       DEFINED 02       2300        0     6000
D AUTOLIV, INC.                	COMMON           052800109      58      1534 SH       OTHER   05          0     1534        0
D AUTOMATIC DA                 	COMMON           053015103       8       179 SH       DEFINED 16        179        0        0
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103   85533   1916700 SH       DEFINED 01    1295285        0   621415
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103    4413     98881 SH       OTHER   01       9870    89011        0
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103  148809   3334656 SH       DEFINED 02    2134830        0  1199826
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103     594     13300 SH       DEFINED 05       6100        0     7200
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103      18       400 SH       OTHER   05          0      400        0
D AUTOMATIC DATA PROCESSING,   	COMMON           053015103     299      6700 SH       DEFINED 17       6700        0        0
D AUTOZONE, INC.               	COMMON           053332102    1816     64700 SH       DEFINED 01      57500        0     7200
D AUTOZONE, INC.               	COMMON           053332102      45      1600 SH       DEFINED 17       1600        0        0
D AVADO BRANDS INC             	COMMON           05336P108     121     21500 SH       DEFINED 02       1800        0    19700
D AVADO BRANDS INC             	COMMON           05336P108       6      1118 SH       DEFINED 16       1118        0        0
D AVADO BRANDS INC             	COMMON           05336P108    2384    423800 SH       DEFINED 17     423800        0        0
D AVADO FIN I $3.50 SERIES A   	PREFERRED        05336Q205    4086    136760 PRN      DEFINED 16
D AVALONBAY CUMMUNITIES, INC   	COMMON           053484101    1883     55600 SH       DEFINED 01      55600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 29
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AVALONBAY CUMMUNITIES, INC   	COMMON           053484101    6411    189269 SH       DEFINED 02     155700        0    33569
D AVANT IMMUNOTHERAPEUTICS INC 	COMMON           053491106     101     47500 SH       DEFINED 01      47500        0        0
D AVERY DENNIS                 	COMMON           053611109       2        34 SH       DEFINED 16         34        0        0
D AVERY DENNISON CORP.         	COMMON           053611109     706     13380 SH       DEFINED 01       7300        0     6080
D AVERY DENNISON CORP.         	COMMON           053611109     158      3000 SH       OTHER   01          0     3000        0
D AVERY DENNISON CORP.         	COMMON           053611109    1081     20500 SH       DEFINED 02          0        0    20500
D AVERY DENNISON CORP.         	COMMON           053611109      21       400 SH       DEFINED 05        400        0        0
D AVERY DENNISON CORP.         	COMMON           053611109      63      1200 SH       DEFINED 17       1200        0        0
D AVIALL, INC.                 	COMMON           05366B102      99      9700 SH       DEFINED 02          0        0     9700
D AVIATION SALES CO            	COMMON           053672101    1900    100000 SH       DEFINED 02     100000        0        0
D AVID TECHNOLOGY, INC.        	COMMON           05367P100       3       200 SH       DEFINED 01        200        0        0
D AVID TECHNOLOGY, INC.        	COMMON           05367P100     193     14700 SH       DEFINED 02          0        0    14700
D AVIS RENT A CAR, INC.        	COMMON           053790101    1071     51300 SH       DEFINED 01      51300        0        0
D AVIS RENT A CAR, INC.        	COMMON           053790101     426     20400 SH       DEFINED 02      11500        0     8900
D AVISTA CORP                  	COMMON           05379B107    2134    121500 SH       DEFINED 02          0        0   121500
D AVNET, INC.                  	COMMON           053807103     890     21200 SH       DEFINED 02      21200        0        0
D AVON PRODUCTS, INC.          	COMMON           054303102    2300     92696 SH       DEFINED 01      18340        0    74356
D AVON PRODUCTS, INC.          	COMMON           054303102    1045     42100 SH       OTHER   01      13400    28700        0
D AVON PRODUCTS, INC.          	COMMON           054303102      37      1500 SH       DEFINED 02       1500        0        0
D AVON PRODUCTS, INC.          	COMMON           054303102     149      6000 SH       DEFINED 05       2000        0     4000
D AVON PRODUCTS, INC.          	COMMON           054303102    4345    175100 SH       DEFINED 06     175100        0        0
D AVON PRODUCTS, INC.          	COMMON           054303102      72      2900 SH       DEFINED 17       2900        0        0
D AWARE INC                    	COMMON           05453N100    1162     40500 SH       DEFINED 01      40500        0        0
D AWARE INC                    	COMMON           05453N100    2740     95500 SH       DEFINED 02      71600        0    23900
D AWARE INC                    	COMMON           05453N100    1859     64800 SH       DEFINED 17      64800        0        0
D AXCESS INC                   	COMMON           054546106     752    267169 SH       DEFINED 19     267169        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 30
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D AZTAR CORP.                  	COMMON           054802103    2478    241800 SH       DEFINED 01     199300        0    42500
D AZTAR CORP.                  	COMMON           054802103    2467    240700 SH       DEFINED 02     187000        0    53700
D AZTAR CORP.                  	COMMON           054802103      16      1600 SH       DEFINED 05          0        0     1600
D BB&T CORPORATION             	COMMON           054937107     332     10250 SH       DEFINED 01          0        0    10250
D BB&T CORPORATION             	COMMON           054937107    1072     33108 SH       DEFINED 02          0        0    33108
D BB&T CORPORATION             	COMMON           054937107     110      3400 SH       DEFINED 17       3400        0        0
D AZURIX CORP                  	COMMON           05501M104    3077    179000 SH       DEFINED 01     125200        0    53800
D AZURIX CORP                  	COMMON           05501M104      65      3800 SH       OTHER   01          0     3800        0
D AZURIX CORP                  	COMMON           05501M104     125      7300 SH       DEFINED 02       4500        0     2800
D AZURIX CORP                  	COMMON           05501M104      34      2000 SH       DEFINED 05          0        0     2000
D BHC COMMUNICATIONS, INC.     	COMMON           055448104      42       300 SH       DEFINED 01        300        0        0
D BHC COMMUNICATIONS, INC.     	COMMON           055448104    1814     13000 SH       DEFINED 02          0        0    13000
D B J SERVICES                 	COMMON           055482103    1291     40600 SH       DEFINED 17      40600        0
D BJ SERVICES CO.              	COMMON           055482103    1107     34800 SH       DEFINED 01      34800        0        0
D BJ SERVICES CO.              	COMMON           055482103     862     27100 SH       DEFINED 02       1800        0    25300
D BMC INDUSTRIES, INC.         	COMMON           055607105     287     23300 SH       DEFINED 02       1700        0    21600
D BP AMOCO ADR                 	COMMON           055622104   47871    432000 SH       DEFINED 17     432000        0        0
D BP AMOCO P L C               	COMMON           055622104   53592    483623 SH       DEFINED 01     246445        0   237178
D BP AMOCO P L C               	COMMON           055622104   19367    174776 SH       OTHER   01      55576   119200        0
D BP AMOCO P L C               	COMMON           055622104    3351     30242 SH       DEFINED 02      19259        0    10983
D BP AMOCO P L C               	COMMON           055622104    4367     39405 SH       DEFINED 05      16877        0    22528
D BP AMOCO P L C               	COMMON           055622104      78       700 SH       OTHER   05          0      700        0
D BMC SOFTWARE, INC.           	COMMON           055921100   44705    624700 SH       DEFINED 01     446200        0   178500
D BMC SOFTWARE, INC.           	COMMON           055921100      79      1100 SH       OTHER   01       1100        0        0
D BMC SOFTWARE, INC.           	COMMON           055921100  113040   1579589 SH       DEFINED 02    1170172        0   409417
D BMC SOFTWARE, INC.           	COMMON           055921100      10       138 SH       DEFINED 16        138        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 31
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BMC SOFTWARE, INC.           	COMMON           055921100     186      2600 SH       DEFINED 17       2600        0        0
D BAKER HUGHES, INC.           	COMMON           057224107    4350    150000 SH       DEFINED 01     150000        0        0
D BAKER HUGHES, INC.           	COMMON           057224107      49      1700 SH       DEFINED 05          0        0     1700
D BAKER HUGHES, INC.           	COMMON           057224107    1589     54800 SH       DEFINED 17      51200        0        0
D BALDOR ELECTRIC CO.          	COMMON           057741100     188      9908 SH       DEFINED 01          0        0     9908
D BALDOR ELECTRIC CO.          	COMMON           057741100     252     13320 SH       DEFINED 02          0        0    13320
D BALDWIN & LYONS, INC. CL. B  	COMMON           057755209     343     16700 SH       DEFINED 02
D BALL CORP.                   	COMMON           058498106    2512     57000 SH       DEFINED 01      57000        0        0
D BALL CORP.                   	COMMON           058498106     466     10577 SH       DEFINED 02       2700        0     7877
D BALL CORP.                   	COMMON           058498106      13       300 SH       DEFINED 17        300        0        0
D BALLY TOTAL FITNESS HOLDING  	COMMON           05873K108     206      6725 SH       DEFINED 02          0        0     6725
BANCO DE GAL                   	COMMON           059538207      92      4400 SH       DEFINED 16       4400        0        0
D BANCO DE GALICIA Y BUENOS AI 	COMMON           059538207     980     47135 SH       DEFINED 17      47135        0        0
D BANCO DE GALICIA Y BUENOS AI 	COMMON           059538207     271     13000 SH       DEFINED 18      13000        0        0
D BANCO FRANCES DEL RIO DE LA  	COMMON           059591107    2335    117470 SH       DEFINED 17     117470        0        0
D BANCO WIESE - SPONSORED ADR  	COMMON           059651109      60     53600 SH       DEFINED 17      53600        0        0
D BANCORPSOUTH, INC.           	COMMON           059692103     617     36400 SH       DEFINED 01      36400        0        0
D BANCORPSOUTH, INC.           	COMMON           059692103    3106    183360 SH       DEFINED 02      70400        0   112960
D BANCWEST CORPORATION         	COMMON           059790105    8495    209100 SH       DEFINED 01     185700        0    23400
D BANCWEST CORPORATION         	COMMON           059790105       8       200 SH       OTHER   01        200        0        0
D BANCWEST CORPORATION         	COMMON           059790105    7943    195530 SH       DEFINED 02     116030        0    79500
D BANK OF AMERICA CORP         	COMMON           060505104  426735   7662970 SH       DEFINED 01    4777055        0  2885915
D BANK OF AMERICA CORP         	COMMON           060505104   37414    671857 SH       OTHER   01     226128   445729        0
D BANK OF AMERICA CORP         	COMMON           060505104  868359  15593279 SH       DEFINED 02   10865396        0  4727883
D BANK OF AMERICA CORP         	COMMON           060505104    3743     67210 SH       OTHER   0304    67210        0        0
D BANK OF AMERICA CORP         	COMMON           060505104    8177    146835 SH       DEFINED 05      73290        0    73545

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 32
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BANK OF AMERICA CORP         	COMMON           060505104     799     14342 SH       OTHER   05       5000     9342        0
D BANK OF AMERICA CORP         	COMMON           060505104    3830     68769 SH       OTHER   09      68769        0        0
D BANK OF AMERICA CORP         	COMMON           060505104  104052   1868475 SH       DEFINED 17    1868475        0        0
D BANKAMERICA                  	COMMON           060505104    5462     98100 SH       DEFINED 06      97000        0        0
BANK OF NEW                    	COMMON           064057102       5       152 SH       DEFINED 16        152        0        0
D BANK OF NEW YORK CO., INC.   	COMMON           064057102   13666    408704 SH       DEFINED 01     188282        0   220422
D BANK OF NEW YORK CO., INC.   	COMMON           064057102   11576    346200 SH       OTHER   01      68360   277840        0
D BANK OF NEW YORK CO., INC.   	COMMON           064057102    1123     33588 SH       DEFINED 02          0        0    33588
D BANK OF NEW YORK CO., INC.   	COMMON           064057102     816     24400 SH       DEFINED 05      18000        0     6400
D BANK OF NEW YORK CO., INC.   	COMMON           064057102     344     10300 SH       DEFINED 17      10300        0        0
D BANK ONE CORPORATION         	COMMON           06423A103   73214   2103060 SH       DEFINED 01    1448173        0   654887
D BANK ONE CORPORATION         	COMMON           06423A103    1837     52782 SH       OTHER   01      31579    21203        0
D BANK ONE CORPORATION         	COMMON           06423A103   98799   2837988 SH       DEFINED 02    1619691        0  1218297
D BANK ONE CORPORATION         	COMMON           06423A103    1205     34601 SH       DEFINED 05      24481        0    10120
D BANK ONE CORPORATION         	COMMON           06423A103     100      2860 SH       OTHER   05       1760     1100        0
D BANK ONE CORPORATION         	COMMON           06423A103    7932    227848 SH       DEFINED 17     227848        0        0
D BANK ONE CORPORATION         	COMMON           06423A103    4352    125000 SH       DEFINED 18     125000        0        0
D BANK UNITED CORP.            	COMMON           065412108   17628    544500 SH       DEFINED 01     465600        0    78900
D BANK UNITED CORP.            	COMMON           065412108   15152    468000 SH       DEFINED 02     339300        0   128700
D BANK UNITED CORP.            	COMMON           065412108     100      3100 SH       DEFINED 05          0        0     3100
D BANKBOSTON CORP              	COMMON           06605R106   26800    617860 SH       DEFINED 01     610540        0     7320
D BANKBOSTON CORP              	COMMON           06605R106    3718     85720 SH       OTHER   01          0    85720        0
D BANKBOSTON CORP              	COMMON           06605R106    7074    163100 SH       DEFINED 02     138800        0    24300
D BANKBOSTON CORP              	COMMON           06605R106    1960     45177 SH       DEFINED 16      45177        0        0
D BANKBOSTON CORP              	COMMON           06605R106     139      3200 SH       DEFINED 17       3200        0        0
D BANKNORTH GROUP, INC.        	COMMON           06646L100    3388    113400 SH       DEFINED 01     113400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 33
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BANKNORTH GROUP, INC.        	COMMON           06646L100    1748     58500 SH       DEFINED 02      40300        0    18200
D BANTA CORP.                  	COMMON           066821109    1591     71300 SH       DEFINED 01      71300        0        0
D BANTA CORP.                  	COMMON           066821109     721     32300 SH       DEFINED 02      32300        0        0
D BARD (C. R.), INC.           	COMMON           067383109     532     11300 SH       DEFINED 01      11300        0        0
D BARD (C. R.), INC.           	COMMON           067383109      85      1800 SH       DEFINED 02        800        0     1000
D BARD (C. R.), INC.           	COMMON           067383109      28       600 SH       DEFINED 17        600        0        0
D BARNES & NOBLE, INC.         	COMMON           067774109    2881    110800 SH       DEFINED 16     110800        0        0
D BARNES GROUP, INC.           	COMMON           067806109    1260     62800 SH       DEFINED 02      11300        0    51500
D BARNESANDNOBLE COM INC       	COMMON           067846105     697     36100 SH       DEFINED 01      36100        0        0
D BARNESANDNOBLE COM INC       	COMMON           067846105    1736     89900 SH       DEFINED 02      69000        0    20900
D BARNESANDNOBLE COM INC       	COMMON           067846105      54      2807 SH       DEFINED 16       2807        0        0
D BARRICK GOLD CORP.           	COMMON           067901108     288     13250 SH       DEFINED 01      13250        0        0
D BARRICK GOLD CORP.           	COMMON           067901108     231     10600 SH       DEFINED 02      10600        0        0
D BARRICK GOLD CORP.           	COMMON           067901108     513     23600 SH       DEFINED 16      23600        0        0
D BARRICK GOLD CORP.           	COMMON           067901108      91      4200 SH       DEFINED 17       4200        0        0
D BARR LABORATORIES, INC.      	COMMON           068306109    1965     61900 SH       DEFINED 01      61900        0        0
D BARR LABORATORIES, INC.      	COMMON           068306109     298      9400 SH       DEFINED 02       2100        0     7300
D BARRETT RESOURCES CORP.      	COMMON           068480201     772     20900 SH       DEFINED 01      20900        0        0
D BARRETT RESOURCES CORP.      	COMMON           068480201    2480     67140 SH       DEFINED 02      39300        0    27840
D BATTLE MOUNTAIN GOLD CO.     	COMMON           071593107     936    293600 SH       DEFINED 01     293600        0        0
D BATTLE MOUNTAIN GOLD CO.     	COMMON           071593107     319    100100 SH       DEFINED 02      64800        0    35300
D BAUSCH & LOMB, INC.          	COMMON           071707103     969     14700 SH       DEFINED 01       8500        0     6200
D BAUSCH & LOMB, INC.          	COMMON           071707103     304      4604 SH       DEFINED 02       4604        0        0
D BAUSCH & LOMB, INC.          	COMMON           071707103      66      1000 SH       DEFINED 05       1000        0        0
D BAUSCH & LOMB, INC.          	COMMON           071707103      40       600 SH       DEFINED 17        600        0        0
D BAXTER INTERNATIONAL, INC.   	COMMON           071813109    1277     21188 SH       DEFINED 01       9400        0    11788

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 34
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BAXTER INTERNATIONAL, INC.   	COMMON           071813109      55       920 SH       OTHER   01          0      920        0
D BAXTER INTERNATIONAL, INC.   	COMMON           071813109    1392     23100 SH       DEFINED 02      20100        0     3000
D BAXTER INTERNATIONAL, INC.   	COMMON           071813109     193      3200 SH       DEFINED 17       3200        0        0
D BAY VIEW CAPITAL CORP.       	COMMON           07262L101     292     22000 SH       DEFINED 02      12400        0     9600
D BE AEROSPACE, INC.           	COMMON           073302101      88      7400 SH       DEFINED 01       7400        0        0
D BE AEROSPACE, INC.           	COMMON           073302101     303     25400 SH       DEFINED 02       6800        0    18600
D BEA SYSTEMS, INC.            	COMMON           073325102    1782     50119 SH       DEFINED 01      40292        0     9827
D BEA SYSTEMS, INC.            	COMMON           073325102     154      4368 SH       OTHER   01       4368        0        0
D BEA SYSTEMS, INC.            	COMMON           073325102     639     18100 SH       DEFINED 02       1700        0    16400
D BEA SYSTEMS INC              	BOND             073325AB8    2145   3000000 PRN      DEFINED 02
D BEAR STEARNS COMPANIES, INC. 	COMMON           073902108   11726    305074 SH       DEFINED 01     238182        0    66892
D BEAR STEARNS COMPANIES, INC. 	COMMON           073902108      27       700 SH       OTHER   01        700        0        0
D BEAR STEARNS COMPANIES, INC. 	COMMON           073902108   16178    420898 SH       DEFINED 02     264198        0   156700
D BEAR STEARNS COMPANIES, INC. 	COMMON           073902108    1924     50062 SH       DEFINED 17      50062        0        0
D THE BEAR STE                 	COMMON           073902108      14       374 SH       DEFINED 16        374        0        0
D BEAZER HOMES USA, INC.       	COMMON           07556Q105     284     15300 SH       DEFINED 02          0        0    15300
D BEBE STORES INC              	COMMON           075571109   10258    425200 SH       DEFINED 01     300500        0   124700
D BEBE STORES INC              	COMMON           075571109    1838     76200 SH       DEFINED 02      69600        0     6600
D BEBE STORES INC              	COMMON           075571109     111      4600 SH       DEFINED 05          0        0     4600
D BECKMAN COULTER INC          	COMMON           075811109    2640     58500 SH       DEFINED 01      58500        0        0
D BECKMAN COULTER INC          	COMMON           075811109     442      9800 SH       DEFINED 02       2600        0     7200
D BECTON DICKINSON & CO.       	COMMON           075887109   29041   1034840 SH       DEFINED 01     470650        0   564190
D BECTON DICKINSON & CO.       	COMMON           075887109     836     29780 SH       OTHER   01       8300    21480        0
D BECTON DICKINSON & CO.       	COMMON           075887109   21283    758390 SH       DEFINED 02     407490        0   350900
D BECTON DICKINSON & CO.       	COMMON           075887109      76      2700 SH       DEFINED 17       2700        0        0
D BED, BATH & BEYOND, INC.     	COMMON           075896100       7       200 SH       DEFINED 06        200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 35
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BED, BATH & BEYOND, INC.     	COMMON           075896100     512     14651 SH       DEFINED 16      14651        0        0
D BELCO OIL & GAS CORP.        	COMMON           077410108      34      5000 SH       DEFINED 01       5000        0        0
D BELCO OIL & GAS CORP.        	COMMON           077410108     178     26300 SH       DEFINED 02          0        0    26300
D BELDEN INC                   	COMMON           077459105    7739    377500 SH       DEFINED 17     377500        0        0
D BELL & HOWELL CO NEW         	COMMON           077852101    1765     48100 SH       DEFINED 01      48100        0        0
D BELL & HOWELL CO NEW         	COMMON           077852101     686     18700 SH       DEFINED 02       9100        0     9600
D BELL ATLANTIC CORP.          	COMMON           077853109  318270   4728203 SH       DEFINED 01    3088390        0  1639813
D BELL ATLANTIC CORP.          	COMMON           077853109   15838    235288 SH       OTHER   01      84822   150466        0
D BELL ATLANTIC CORP.          	COMMON           077853109  686977  10205715 SH       DEFINED 02    7144815        0  3060900
D BELL ATLANTIC CORP.          	COMMON           077853109    3981     59148 SH       DEFINED 05      26412        0    32736
D BELL ATLANTIC CORP.          	COMMON           077853109     471      7000 SH       OTHER   05       4600     2400        0
D BELL ATLANTIC CORP.          	COMMON           077853109    1144     17000 SH       OTHER   09      17000        0        0
D BELL ATLANTIC CORP.          	COMMON           077853109  127071   1887758 SH       DEFINED 17    1887758        0        0
D BELLSOUTH CORP.              	COMMON           079860102   63320   1407120 SH       DEFINED 01     729516        0   677604
D BELLSOUTH CORP.              	COMMON           079860102   10596    235456 SH       OTHER   01      40954   194502        0
D BELLSOUTH CORP.              	COMMON           079860102   50988   1133060 SH       DEFINED 02     691060        0   442000
D BELLSOUTH CORP.              	COMMON           079860102    5773    128284 SH       DEFINED 05      64600        0    63684
D BELLSOUTH CORP.              	COMMON           079860102     855     19000 SH       OTHER   05      19000        0        0
D BELLSOUTH CORP.              	COMMON           079860102   17127    380600 SH       DEFINED 17     380600        0        0
D BELO (A. H.) CORP. CLASS A   	COMMON           080555105    2682    140238 SH       DEFINED 01     137946        0     2292
D BELO (A. H.) CORP. CLASS A   	COMMON           080555105    7986    417560 SH       OTHER   01          0   417560        0
D BELO (A. H.) CORP. CLASS A   	COMMON           080555105     465     24300 SH       DEFINED 02       5900        0    18400
D BENCHMARK ELECTRONICS, INC.  	COMMON           08160H101     703     19900 SH       DEFINED 01      19900        0        0
D BENCHMARK ELECTRONICS, INC.  	COMMON           08160H101     321      9100 SH       DEFINED 02       9100        0        0
D BENTON OIL & GAS CO.         	COMMON           083288100      34     12600 SH       DEFINED 02          0        0    12600
D BERGEN BRUNSWIG CORP.        	COMMON           083739102    1366    131700 SH       DEFINED 01     131700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 36
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BERGEN BRUNSWIG CORP.        	COMMON           083739102     237     22838 SH       DEFINED 02       5700        0    17138
D BERINGER WINE ESTATES HOLDIN 	COMMON           084102102    3191     77700 SH       DEFINED 01      77700        0        0
D BERINGER WINE ESTATES HOLDIN 	COMMON           084102102    5872    143000 SH       DEFINED 02     116700        0    26300
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108  108405      1971 SH       DEFINED 01        472        0     1499
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108  173470      3154 SH       OTHER   01         38     3116        0
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108    1540        28 SH       DEFINED 05         10        0       18
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108    2200        40 SH       OTHER   101112      0       40        0
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108    7425       135 SH       DEFINED 17        135        0        0
D BERKSHIRE HATHAWAY, INC.     	COMMON           084670108   33880       616 SH       DEFINED 18        616        0        0
D BERKSHIRE HATHAWAY, INC. CL. 	COMMON           084670207    9415      5073 SH       DEFINED 01        891        0     4182
D BERKSHIRE HATHAWAY, INC. CL. 	COMMON           084670207    1490       803 SH       OTHER   01          0      803        0
D BERKSHIRE HATHAWAY, INC. CL. 	COMMON           084670207   11916      6420 SH       DEFINED 02       5339        0     1081
D BERKSHIRE HATHAWAY, INC. CL. 	COMMON           084670207      28        15 SH       DEFINED 05          0        0       15
D BERLITZ INTERNATIONAL, INC.  	COMMON           08520F100     322     15300 SH       DEFINED 02          0        0    15300
D BERRY PETROLEUM CO. CLASS A  	COMMON           085789105     916     67500 SH       DEFINED 02          0        0    67500
D BEST BUY, INC.               	COMMON           086516101    8077    130276 SH       DEFINED 01      82376        0    47900
D BEST BUY, INC.               	COMMON           086516101     886     14288 SH       OTHER   01       5200     9088        0
D BEST BUY, INC.               	COMMON           086516101    1277     20600 SH       DEFINED 02       5500        0    15100
D BEST BUY, INC.               	COMMON           086516101     136      2200 SH       DEFINED 17       2200        0        0
D BESTFOODS                    	COMMON           08658U101   55788   1148766 SH       DEFINED 01     710521        0   438245
D BESTFOODS                    	COMMON           08658U101   13168    271160 SH       OTHER   01     102210   168950        0
D BESTFOODS                    	COMMON           08658U101  103711   2135606 SH       DEFINED 02    1537306        0   598300
D BESTFOODS                    	COMMON           08658U101    1943     40000 SH       OTHER   0304    40000        0        0
D BESTFOODS                    	COMMON           08658U101    5726    117900 SH       DEFINED 05      46300        0    71600
D BESTFOODS                    	COMMON           08658U101      19       400 SH       OTHER   05        400        0        0
D BESTFOODS                    	COMMON           08658U101    1943     40000 SH       OTHER   101112      0    40000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 37
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BESTFOODS                    	COMMON           08658U101     146      3000 SH       DEFINED 17       3000        0        0
D BIG FLOWER HOLDINGS, INC.    	COMMON           089159107     478     16900 SH       DEFINED 02          0        0    16900
D BILLING INFORMATION CONCEPTS 	COMMON           090063108      11      2200 SH       DEFINED 01       2200        0        0
D BILLING INFORMATION CONCEPTS 	COMMON           090063108      57     11400 SH       DEFINED 02          0        0    11400
D BINDLEY WESTERN INDUSTRIES,  	COMMON           090324104     115      8000 SH       DEFINED 01       8000        0        0
D BINDLEY WESTERN INDUSTRIES,  	COMMON           090324104     176     12300 SH       DEFINED 02       9600        0     2700
D BIO-TECHNOLOGY GENERAL CORP. 	COMMON           090578105       5       500 SH       DEFINED 01        500        0        0
D BIO-TECHNOLOGY GENERAL CORP. 	COMMON           090578105     361     37600 SH       DEFINED 02        700        0    36900
D BIOGEN INC                   	COMMON           090597105      38       483 SH       DEFINED 16        483        0        0
D BIOGEN, INC.                 	COMMON           090597105     457      5800 SH       DEFINED 01       5200        0      600
D BIOGEN, INC.                 	COMMON           090597105    6936     88000 SH       DEFINED 02      88000        0        0
D BIOGEN, INC.                 	COMMON           090597105    1529     19400 SH       DEFINED 17      19400        0        0
D BIOMATRIX, INC.              	COMMON           09060P102      31      1400 SH       DEFINED 01       1400        0        0
D BIOMATRIX, INC.              	COMMON           09060P102     247     11000 SH       DEFINED 02        800        0    10200
D BIOMET, INC.                 	COMMON           090613100     445     16900 SH       DEFINED 01      16900        0        0
D BIOMET, INC.                 	COMMON           090613100      55      2100 SH       DEFINED 02       2100        0        0
D BIOMET, INC.                 	COMMON           090613100      14       516 SH       DEFINED 16        516        0        0
D BIOMET, INC.                 	COMMON           090613100      32      1200 SH       DEFINED 17       1200        0        0
D BITSTREAM                    	COMMON           091736108      30     13038 SH       DEFINED 19      13038        0        0
D BLACK & DECKER CORP.         	COMMON           091797100   10754    235380 SH       DEFINED 01      96740        0   138640
D BLACK & DECKER CORP.         	COMMON           091797100    1332     29150 SH       OTHER   01      18850    10300        0
D BLACK & DECKER CORP.         	COMMON           091797100    2344     51300 SH       DEFINED 05      12300        0    39000
D BLACK & DECKER CORP.         	COMMON           091797100      59      1300 SH       OTHER   05          0     1300        0
D BLACK & DECKER CORP.         	COMMON           091797100      41       900 SH       DEFINED 17        900        0        0
D BLACK BOX CORP.              	COMMON           091826107    3943     75100 SH       DEFINED 02        700        0    74400
D BLACK BOX CORP.              	COMMON           091826107      11       209 SH       DEFINED 16        209        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 38
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BLANCH (E. W.) HOLDINGS, INC 	COMMON           093210102    3881     59600 SH       DEFINED 01      59600        0        0
D BLANCH (E. W.) HOLDINGS, INC 	COMMON           093210102    8740    134200 SH       DEFINED 02      99400        0    34800
D BLOCK (H&R), INC.            	COMMON           093671105      78      1800 SH       DEFINED 01       1800        0        0
D BLOCK (H&R), INC.            	COMMON           093671105     575     13240 SH       DEFINED 02        440        0    12800
D BLOCK (H&R), INC.            	COMMON           093671105    1738     40000 SH       OTHER   101112      0    40000        0
D BLOCK (H&R), INC.            	COMMON           093671105      48      1100 SH       DEFINED 17       1100        0        0
D BLYTH INDUSTRIES, INC.       	COMMON           09643P108     713     25400 SH       DEFINED 01      25400        0        0
D BLYTH INDUSTRIES, INC.       	COMMON           09643P108     561     20000 SH       OTHER   01          0    20000        0
D BLYTH INDUSTRIES, INC.       	COMMON           09643P108    1224     43600 SH       DEFINED 02      40500        0     3100
D BOB EVANS FARMS, INC.        	COMMON           096761101    2663    130683 SH       DEFINED 01     100000        0    30683
D BOB EVANS FARMS, INC.        	COMMON           096761101      43      2100 SH       DEFINED 02       2100        0        0
D BOCA RESEARCH, INC.          	COMMON           096888102    1325    200000 SH       DEFINED 01          0        0   200000
D BOEING CO                    	COMMON           097023105     188      4400 SH       DEFINED 16       4400        0        0
D BOEING COMPANY               	COMMON           097023105   46464   1090073 SH       DEFINED 01     703105        0   386968
D BOEING COMPANY               	COMMON           097023105    1451     34043 SH       OTHER   01      17280    16763        0
D BOEING COMPANY               	COMMON           097023105  147650   3463925 SH       DEFINED 02    2466224        0   997700
D BOEING COMPANY               	COMMON           097023105    1492     35000 SH       OTHER   0304    35000        0        0
D BOEING COMPANY               	COMMON           097023105     132      3100 SH       DEFINED 05       3100        0        0
D BOEING COMPANY               	COMMON           097023105    8112    190300 SH       DEFINED 17     190300        0        0
D BOISE CASCADE CORP.          	COMMON           097383103     332      9110 SH       DEFINED 01        700        0     8410
D BOISE CASCADE CORP.          	COMMON           097383103     111      3043 SH       OTHER   01          0     3043        0
D BOISE CASCADE CORP.          	COMMON           097383103     179      4900 SH       DEFINED 02       1900        0     3000
D BOISE CASCADE CORP.          	COMMON           097383103     459     12600 SH       DEFINED 06      12600        0        0
D BOISE CASCADE CORP.          	COMMON           097383103      22       600 SH       DEFINED 17        600        0        0
D BOLDER TECHNOLOGIES CORP.    	COMMON           097519102    1654    165399 SH       DEFINED 01     165399        0        0
D BORDERS GROUP, INC.          	COMMON           099709107     223     15200 SH       DEFINED 01      15200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 39
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BORDERS GROUP, INC.          	COMMON           099709107     319     21700 SH       DEFINED 02        500        0    21200
D BORG WARNER AUTOMOTIVE, INC. 	COMMON           099724106    2313     53800 SH       DEFINED 01      53800        0        0
D BORG WARNER AUTOMOTIVE, INC. 	COMMON           099724106    1936     45017 SH       DEFINED 02       2100        0    42917
D BORG WARNER AUTOMOTIVE, INC. 	COMMON           099724106    1405     32686 SH       DEFINED 17      32686        0        0
D BORG WARNER AUTOMOTIVE, INC. 	COMMON           099724106   29131    677473 SH       DEFINED 19     677473        0        0
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107    2779    112300 SH       DEFINED 01     107000        0     5300
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107     228      9200 SH       OTHER   01       1200     8000        0
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107    4264    172298 SH       DEFINED 02     117912        0    54386
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107     106      4300 SH       DEFINED 05        300        0     4000
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107    2623    106000 SH       DEFINED 16     106000        0        0
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107    6912    279299 SH       DEFINED 17     279299        0        0
D BOSTON SCIENTIFIC CORP.      	COMMON           101137107    3712    150000 SH       DEFINED 18     150000        0        0
D BOWATER, INC.                	COMMON           102183100   16085    306385 SH       DEFINED 01     237465        0    68920
D BOWATER, INC.                	COMMON           102183100      32       600 SH       OTHER   01        600        0        0
D BOWATER, INC.                	COMMON           102183100   33106    630582 SH       DEFINED 02     446682        0   183900
D BOWNE & CO., INC.            	COMMON           103043105     848     69900 SH       DEFINED 01      69900        0        0
D BOWNE & CO., INC.            	COMMON           103043105     932     76900 SH       DEFINED 02      36100        0    40800
D BOYD GAMING CORP.            	COMMON           103304101     761    126800 SH       DEFINED 01      26800        0   100000
D BOYD GAMING CORP.            	COMMON           103304101     513     85500 SH       DEFINED 02      36600        0    48900
D BRADY (W. H.) & CO. CL. A NO 	COMMON           104674106     358     11200 SH       DEFINED 02          0        0    11200
D BRANDYWINE REALTY TRUST      	COMMON           105368203     809     49800 SH       DEFINED 01      49800        0        0
D BRANDYWINE REALTY TRUST      	COMMON           105368203      52      3200 SH       DEFINED 02       3200        0        0
D BREED TECHNOLOGIES, INC.     	COMMON           106702103       6     17000 SH       DEFINED 02          0        0    17000
D BRENTON BANKS, INC.          	COMMON           107211104     998     71800 SH       DEFINED 02          0        0    71800
D BRIGGS & STRATTON CORPORATIO 	COMMON           109043109    1868     32000 SH       DEFINED 01      32000        0        0
D BRIGGS & STRATTON CORPORATIO 	COMMON           109043109     321      5500 SH       DEFINED 02       1400        0     4100

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 40
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BRIGGS & STRATTON CORPORATIO 	COMMON           109043109      18       300 SH       DEFINED 17        300        0        0
D BRIGHTPOINT, INC.            	COMMON           109473108       6       800 SH       DEFINED 01        800        0        0
D BRIGHTPOINT, INC.            	COMMON           109473108      91     12500 SH       DEFINED 16      12500        0        0
D BRINKER INTERNATIONAL, INC.  	COMMON           109641100    2403     88800 SH       DEFINED 01      88800        0        0
D BRINKER INTERNATIONAL, INC.  	COMMON           109641100     355     13100 SH       DEFINED 02       3600        0     9500
D BRISTOL HOTEL & RESORTS INC  	COMMON           110041100     116     16850 SH       DEFINED 02          0        0    16850
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108  547062   8104616 SH       DEFINED 01    5506467        0  2598149
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108   35669    528423 SH       OTHER   01     129040   399383        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108 1117753  16559303 SH       DEFINED 02   12124882        0  4434420
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    5130     76000 SH       OTHER   0304    76000        0        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    7367    109136 SH       DEFINED 05      44962        0    64174
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108      81      1200 SH       OTHER   05       1200        0        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    3898     57750 SH       OTHER   09      57750        0        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    5400     80000 SH       OTHER   101112      0    80000        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    5400     80000 SH       OTHER   1314        0    80000        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108     335      4966 SH       DEFINED 16       4966        0        0
D BRISTOL-MYERS SQUIBB CO.     	COMMON           110122108    7000    103700 SH       DEFINED 17      13700        0        0
D BRITISH STEEL                	COMMON           111015301     792     40000 SH       DEFINED 17      40000        0        0
D BRITISH TELECOM - A/D/R FINA 	COMMON           111021408     164      1060 SH       DEFINED 01        360        0      700
D BRITISH TELECOM - A/D/R FINA 	COMMON           111021408      79       510 SH       DEFINED 05          0        0      510
D BROADCOM CORPORATION         	COMMON           111320107      11       100 SH       DEFINED 01        100        0        0
D BROADCOM CORPORATION         	COMMON           111320107     185      1700 SH       OTHER   01          0     1700        0
D BROADCOM CORPORATION         	COMMON           111320107     316      2900 SH       DEFINED 02          0        0     2900
D BROADVISION, INC.            	COMMON           111412102    1956     14700 SH       DEFINED 01      14700        0        0
D BROADVISION, INC.            	COMMON           111412102    1371     10300 SH       DEFINED 02       2400        0     7900
D BROOKS AUTOMATION INC        	COMMON           11434A100    3875    220650 SH       DEFINED 01     155650        0    65000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 41
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BROOKS AUTOMATION INC        	COMMON           11434A100     160      9100 SH       DEFINED 02       5600        0     3500
D BROOKS AUTOMATION INC        	COMMON           11434A100      42      2400 SH       DEFINED 05          0        0     2400
D BROWN & BROWN INC            	COMMON           115236101     130      3900 SH       DEFINED 01       3900        0        0
D BROWN & BROWN INC            	COMMON           115236101     140      4200 SH       DEFINED 02          0        0     4200
D BROWN (TOM), INC.            	COMMON           115660201     152     10300 SH       DEFINED 02          0        0    10300
D BRUNSWICK CO                 	COMMON           117043109       1        29 SH       DEFINED 16         29        0        0
D BRUNSWICK CORP.              	COMMON           117043109    2301     92500 SH       DEFINED 01      92500        0        0
D BRUNSWICK CORP.              	COMMON           117043109     391     15700 SH       DEFINED 02       4800        0    10900
D BRUNSWICK CORP.              	COMMON           117043109      25      1000 SH       DEFINED 17       1000        0        0
D BUCKEYE TECHNOLOGIES INC.    	COMMON           118255108    8236    525000 SH       DEFINED 01     525000        0        0
D BUCKEYE TECHNOLOGIES INC.    	COMMON           118255108    3993    254500 SH       DEFINED 02     192700        0    61800
D BUDGET GROUP INC             	COMMON           119003101      95     13500 SH       DEFINED 01      13500        0        0
D BUDGET GROUP INC             	COMMON           119003101       7      1000 SH       DEFINED 02       1000        0        0
D BUFETE INDL S A              	COMMON           11942H100     106     67600 SH       DEFINED 17      67600        0        0
D BUFETE INDL S A              	COMMON           11942H100    1260    806000 SH       DEFINED 18     806000        0        0
D BUFFETS, INC.                	COMMON           119882108     641     55100 SH       DEFINED 01      55100        0        0
D BUFFETS, INC.                	COMMON           119882108     105      9000 SH       OTHER   01          0     9000        0
D BUFFETS, INC.                	COMMON           119882108     753     64767 SH       DEFINED 02      41000        0    23767
D BUILDING ONE SERVICES CORPOR 	COMMON           120114103     882     72393 SH       DEFINED 01      72393        0        0
D BURLINGTON INDUSTRIES, INC.  	COMMON           121693105     133     29600 SH       DEFINED 01      29600        0        0
D BURLINGTON INDUSTRIES, INC.  	COMMON           121693105     167     37100 SH       DEFINED 02      37100        0        0
D BURLINGTON NORTHERN SANTA FE 	COMMON           12189T104   26008    945743 SH       DEFINED 01     708500        0   237243
D BURLINGTON NORTHERN SANTA FE 	COMMON           12189T104     308     11200 SH       OTHER   01       2200     9000        0
D BURLINGTON NORTHERN SANTA FE 	COMMON           12189T104   42652   1550988 SH       DEFINED 02    1011788        0   539200
D BURLINGTON NORTHERN SANTA FE 	COMMON           12189T104     140      5100 SH       DEFINED 17       5100        0        0
D BURLINGTON RESOURCES, INC.   	COMMON           122014103     677     18431 SH       DEFINED 01      18431        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 42
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D BURLINGTON RESOURCES, INC.   	COMMON           122014103      77      2091 SH       OTHER   01          0     2091        0
D BURLINGTON RESOURCES, INC.   	COMMON           122014103      70      1900 SH       DEFINED 17       1900        0        0
D BURNHAM PAC PPTYS INC        	COMMON           12232C108    1814    171700 SH       DEFINED 01     171700        0        0
D BURNHAM PAC PPTYS INC       	COMMON           12232C108    1786    169100 SH       DEFINED 02     169100        0        0
D BURNS INTL SVCS CORP        	COMMON           122374101     943     58500 SH       DEFINED 01      58500        0        0
D BURNS INTL SVCS CORP        	COMMON           122374101     203     12600 SH       DEFINED 02       8500        0     4100
D BURR-BROWN CORP.            	COMMON           122574106      36       900 SH       DEFINED 01        900        0        0
D BURR-BROWN CORP.            	COMMON           122574106     304      7687 SH       DEFINED 02        600        0     7087
D BUSH, BOAKE, ALLEN, INC.    	COMMON           123162109    7472    283300 SH       DEFINED 01     248100        0    35200
D BUSH, BOAKE, ALLEN, INC.    	COMMON           123162109    6428    243700 SH       DEFINED 02     186500        0    57200
D BUSH, BOAKE, ALLEN, INC.    	COMMON           123162109      50      1900 SH       DEFINED 05          0        0     1900
D C&D TECHNOLOGIES INC        	COMMON           124661109    1492     41100 SH       DEFINED 01      41100        0        0
D C&D TECHNOLOGIES INC        	COMMON           124661109     127      3500 SH       DEFINED 02       3500        0        0
D CBL & ASSOCIATES PROPERTIES 	COMMON           124830100    3292    134700 SH       DEFINED 01     134700        0        0
D CBL & ASSOCIATES PROPERTIES 	COMMON           124830100    2930    119900 SH       DEFINED 02     112700        0     7200
D CBT GROUP PUB LTD           	COMMON           124853300    5954    241800 SH       DEFINED 01     174600        0    67200
D CBT GROUP PUB LTD           	COMMON           124853300     978     39700 SH       DEFINED 02      28500        0    11200
D CBT GROUP PUB LTD           	COMMON           124853300      62      2500 SH       DEFINED 05          0        0     2500
D CCB FINANCIAL CORP.         	COMMON           124875105     233      5600 SH       DEFINED 01          0        0     5600
D CCB FINANCIAL CORP.         	COMMON           124875105    1278     30700 SH       DEFINED 02       6400        0    24300
D CBS CORP                    	COMMON           12490K107    2829     60468 SH       DEFINED 01      22536        0    37932
D CBS CORP                    	COMMON           12490K107     316      6826 SH       OTHER   01          0     6826        0
D CBS CORP                    	COMMON           12490K107   33065    714915 SH       DEFINED 02     394939        0   319976
D CBS CORP                    	COMMON           12490K107     139      3000 SH       DEFINED 05          0        0     3000
D CBS CORP                    	COMMON           12490K107     616     13300 SH       DEFINED 16      13300        0        0
D CBS CORP                    	COMMON           12490K107     361      7800 SH       DEFINED 17       7800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 43
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D C-COR ELECTRONICS, INC.      	COMMON           125010108     392     12900 SH       DEFINED 02        300        0    12600
D C-COR ELECTRONICS, INC.      	COMMON           125010108      49      1600 SH       DEFINED 05       1600        0        0
D C-CUBE MICROSYSTEMS, INC.    	COMMON           125015107    1161     26700 SH       DEFINED 01      26700        0        0
D C-CUBE MICROSYSTEMS, INC.    	COMMON           125015107     257      5900 SH       DEFINED 02       5900        0        0
D CDW COMPUTER CENTERS, INC.   	COMMON           125129106     430      8800 SH       DEFINED 01       8800        0        0
D CDW COMPUTER CENTERS, INC.   	COMMON           125129106      68      1400 SH       DEFINED 02        400        0     1000
D CEC ENTERTAINMENT INC.       	COMMON           125137109    2470     68850 SH       DEFINED 01      68850        0        0
D CEC ENTERTAINMENT INC.       	COMMON           125137109    1131     31525 SH       DEFINED 02      13300        0    18225
D CEM CORP.                    	COMMON           125165100     129     21000 SH       DEFINED 02          0        0    21000
D C.H. ROBINSON WORLDWIDE, INC 	COMMON           12541W100    3911    116100 SH       DEFINED 01     116100        0        0
D C.H. ROBINSON WORLDWIDE, INC 	COMMON           12541W100   11228    333300 SH       DEFINED 02     254100        0    79200
D CIGNA CORP.                  	COMMON           125509109   50470    649127 SH       DEFINED 01     470893        0   178234
D CIGNA CORP.                  	COMMON           125509109     544      7000 SH       OTHER   01       4000     3000        0
D CIGNA CORP.                  	COMMON           125509109   93158   1198180 SH       DEFINED 02     776680        0   421500
D CIGNA CORP.                  	COMMON           125509109      16       200 SH       DEFINED 05        200        0        0
D CIGNA CORP.                  	COMMON           125509109     669      8600 SH       DEFINED 16       8600        0        0
D CIGNA CORP.                  	COMMON           125509109     171      2200 SH       DEFINED 17       2200        0        0
D CIT GROUP, INC. CL A         	COMMON           125577106   50741   2467600 SH       DEFINED 01    1541000        0   926600
D CIT GROUP, INC. CL A         	COMMON           125577106     228     11100 SH       OTHER   01       5100     6000        0
D CIT GROUP, INC. CL A         	COMMON           125577106  168544   8196460 SH       DEFINED 02    6775759        0  1420700
D CIT GROUP, INC. CL A         	COMMON           125577106    2597    126300 SH       DEFINED 05      53000        0    73300
D CIT GROUP, INC. CL A         	COMMON           125577106     146      7100 SH       OTHER   05       7100        0        0
D CKE RESTAURANTS, INC.        	COMMON           12561E105     428     59100 SH       DEFINED 01      59100        0        0
D CKE RESTAURANTS, INC.        	COMMON           12561E105     158     21812 SH       DEFINED 02      12600        0     9212
D CLECO CORP NEW               	COMMON           12561W105    9705    299200 SH       DEFINED 01     299200        0        0
D CLECO CORP NEW               	COMMON           12561W105   14610    450400 SH       DEFINED 02     364200        0    86200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 44
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CK WITCO CORP                	COMMON           12562C108     953     64100 SH       DEFINED 02      11600        0    52500
D CMG INFORMATION SERVICES, INC	COMMON           125750109    2194     21400 SH       DEFINED 01      21400        0        0
D CMG INFORMATION SERVICES, INC	COMMON           125750109    2368     23100 SH       DEFINED 02       1500        0    21600
D CMP GROUP INC                	COMMON           125887109     746     28300 SH       DEFINED 01      28300        0        0
D CMP GROUP INC                	COMMON           125887109     596     22600 SH       DEFINED 02      22600        0        0
D CMS ENERGY CORP.             	COMMON           125896100   13507    398000 SH       DEFINED 01     309200        0    88800
D CMS ENERGY CORP.             	COMMON           125896100      31       900 SH       OTHER   01        900        0        0
D CMS ENERGY CORP.             	COMMON           125896100   24882    733158 SH       DEFINED 02     500658        0   232500
D CMS ENERGY CORP.             	COMMON           125896100      44      1300 SH       DEFINED 17       1300        0        0
D C-NET INC DEL                	COMMON           125945105    1798     32100 SH       DEFINED 01      32100        0        0
D C-NET INC DEL                	COMMON           125945105   18592    332000 SH       OTHER   01          0   332000        0
D C-NET INC DEL                	COMMON           125945105    1109     19800 SH       DEFINED 02       1400        0    18400
D C-NET INC DEL                	COMMON           125945105      37       662 SH       DEFINED 16        662        0        0
D CTG RES INC                  	COMMON           125957100     442     12500 SH       DEFINED 02      12500        0        0
D CNA FINANCIAL CORP.          	COMMON           126117100    1218     34800 SH       DEFINED 02          0        0    34800
D CNB BANCSHARES, INC.         	COMMON           126126101     111      2100 SH       DEFINED 01       2100        0        0
D CNB BANCSHARES, INC.         	COMMON           126126101     475      8954 SH       DEFINED 02          0        0     8954
D CNA SURETY CORPORATION       	COMMON           12612L108     328     25000 SH       DEFINED 01          0        0    25000
D CNA SURETY CORPORATION       	COMMON           12612L108     680     51800 SH       DEFINED 02          0        0    51800
D CNF TR I                     	PREFERRED        12612V205    7646    142260 PRN      DEFINED 16
D CNF TRANSN INC               	COMMON           12612W104   13655    366585 SH       DEFINED 01     298685        0    67900
D CNF TRANSN INC               	COMMON           12612W104     242      6500 SH       OTHER   01       1800     4700        0
D CNF TRANSN INC               	COMMON           12612W104   30151    809410 SH       DEFINED 02     525310        0   284100
D CNF TRANSN INC               	COMMON           12612W104      93      2500 SH       DEFINED 05       2500        0        0
D CSG SYSTEMS INTERNATIONAL, I 	COMMON           126349109    2499     91200 SH       DEFINED 01      91200        0        0
D CSG SYSTEMS INTERNATIONAL, I 	COMMON           126349109    2436     88900 SH       DEFINED 02       4000        0    84900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 45
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CSX CORP.                    	COMMON           126408103   36728    866726 SH       DEFINED 01     610426        0   256300
D CSX CORP.                    	COMMON           126408103     305      7200 SH       OTHER   01       1100     6100        0
D CSX CORP.                    	COMMON           126408103  100135   2363076 SH       DEFINED 02    1822276        0   540800
D CSX CORP.                    	COMMON           126408103     788     18600 SH       DEFINED 05       6500        0    12100
D CSX CORP.                    	COMMON           126408103     102      2400 SH       DEFINED 17       2400        0        0
D CTS CORP.                    	COMMON           126501105     173      3000 SH       DEFINED 01          0        0     3000
D CTS CORP.                    	COMMON           126501105     104      1800 SH       DEFINED 02       1800        0        0
D CVB FINANCIAL CORP.          	COMMON           126600105     314     11845 SH       DEFINED 02       6800        0     5045
D CVS CORP                     	COMMON           126650100    7985    195658 SH       DEFINED 01     179658        0    16000
D CVS CORP                     	COMMON           126650100    5796    142008 SH       OTHER   01      54098    87910        0
D CVS CORP                     	COMMON           126650100    3454     84638 SH       DEFINED 02      13200        0    71438
D CVS CORP                     	COMMON           126650100      59      1450 SH       DEFINED 05        800        0      650
D CVS CORP                     	COMMON           126650100    4155    101800 SH       DEFINED 06     101800        0        0
D CVS CORP                     	COMMON           126650100     175      4300 SH       DEFINED 17       4300        0        0
D CABLE WIRE                   	COMMON           12682P104     261      5000 SH       DEFINED 17       5000        0        0
D CABLE & WIRELESS PUB LTD CO  	COMMON           126830207     345     10400 SH       DEFINED 01      10400        0        0
D CABLEVISION SYSTEM CORP. CLA 	COMMON           12686C109      80      1100 SH       DEFINED 01        400        0      700
D CABLEVISION SYSTEM CORP. CLA 	COMMON           12686C109    1702     23400 SH       DEFINED 02          0        0    23400
D CABOT CORP.                  	COMMON           127055101    2268     95500 SH       DEFINED 01      95500        0        0
D CABOT CORP.                  	COMMON           127055101      29      1200 SH       OTHER   01          0     1200        0
D CABOT CORP.                  	COMMON           127055101     366     15400 SH       DEFINED 02       4300        0    11100
D CABOT OIL & GAS CORP.        	COMMON           127097103     247     14300 SH       DEFINED 02          0        0    14300
D CADENCE DESIGN SYSTEMS, INC. 	COMMON           127387108      58      4358 SH       DEFINED 01       4358        0        0
D CADENCE DESIGN SYSTEMS, INC. 	COMMON           127387108     388     29000 SH       DEFINED 06      29000        0        0
D CADENCE DESIGN SYSTEMS, INC. 	COMMON           127387108     120      9000 SH       OTHER   101112      0     9000        0
D CALIFORNIA FED BANK          	COMMON           130209703      30     28600 SH       DEFINED 16      28600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 46
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CALIFORNIA WATER SERVICE GRO 	COMMON           130788102     230      8400 SH       DEFINED 02          0        0     8400
D CALPINE CORP                 	COMMON           131347106    4253     50000 SH       DEFINED 01          0        0    50000
D CALPINE CORP                 	COMMON           131347106     230      2700 SH       DEFINED 02          0        0     2700
D CAMBREX CORP.                	COMMON           132011107     769     29100 SH       DEFINED 01      29100        0        0
D CAMBREX CORP.                	COMMON           132011107     241      9100 SH       DEFINED 02       9100        0        0
D CAMBRIDGE TECHNOLOGY PARTNER 	COMMON           132524109     682     47000 SH       DEFINED 01      47000        0        0
D CAMBRIDGE TECHNOLOGY PARTNER 	COMMON           132524109     129      8900 SH       DEFINED 02       8900        0        0
D CAMDEN PROPERTY TRUST S/B/I  	COMMON           133131102    4432    164900 SH       DEFINED 01     164900        0        0
D CAMDEN PROPERTY TRUST S/B/I  	COMMON           133131102    6044    224900 SH       DEFINED 02     206300        0    18600
D CAMPBELL SOUP                	COMMON           134429109      90      2300 SH       DEFINED 16       2300        0        0
D CAMPBELL SOUP CO.            	COMMON           134429109   13068    334003 SH       DEFINED 01     281605        0    52398
D CAMPBELL SOUP CO.            	COMMON           134429109    1279     32700 SH       OTHER   01          0    32700        0
D CAMPBELL SOUP CO.            	COMMON           134429109      75      1908 SH       DEFINED 02       1908        0        0
D CAMPBELL SOUP CO.            	COMMON           134429109     188      4800 SH       DEFINED 17       4800        0        0
D CAMPBELL SOUP CO.            	COMMON           134429109  433149  11070900 SH       DEFINED 18   11070900        0        0
D CANADIAN PACIFIC LTD.        	COMMON           135923100     115      5060 SH       DEFINED 01        510        0     4550
D CANADIAN PACIFIC LTD.        	COMMON           135923100      46      2000 SH       DEFINED 05       2000        0        0
D CANANDAIGUA WINE, INC.       	COMMON           137219101     347      5850 SH       DEFINED 02          0        0     5850
D CANANDAIGUA WINE, INC.       	COMMON           137219101       0         8 SH       DEFINED 16          8        0        0
D CANDLEWOOD HOTEL COMPANY INC.	COMMON           13741M108      44     26200 SH       DEFINED 02      26200        0        0
D CAPITAL AUTOMOTIVE REIT      	COMMON           139733109    8447    682600 SH       DEFINED 01     682600        0        0
D CAPITAL CROSSING BK          	COMMON           140071101     639     44100 SH       DEFINED 01      44100        0        0
D CAPITAL CROSSING BK          	COMMON           140071101    1543    106400 SH       DEFINED 02      81100        0    25300
D CAPITAL ENVIRONMENTAL RESOUR 	COMMON           14008M104    1100    200000 SH       DEFINED 01          0        0   200000
D CAPITAL ONE FINANCIAL CORP.  	COMMON           14040H105    2032     52100 SH       DEFINED 01      18600        0    33500
D CAPITAL ONE FINANCIAL CORP.  	COMMON           14040H105     605     15525 SH       OTHER   01          0    15525        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 47
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CAPITAL ONE FINANCIAL CORP.  	COMMON           14040H105       0         6 SH       DEFINED 02          6        0        0
D CAPITAL ONE FINANCIAL CORP.  	COMMON           14040H105      86      2200 SH       DEFINED 17       2200        0        0
D CAPITAL RE CORP.             	COMMON           140432105    2842    284200 SH       DEFINED 01     281800        0     2400
D CAPITAL RE CORP.             	COMMON           140432105     561     56100 SH       DEFINED 02      55500        0      600
D CAPITAL RE CORP.             	COMMON           140432105     426     42600 SH       DEFINED 16      42600        0        0
D CAPITAL SOUTHWEST CORP.      	COMMON           140501107     103      1400 SH       DEFINED 02          0        0     1400
D CAPROCK COMMUNICATIONS CORP  	COMMON           140667106    8917    383525 SH       DEFINED 01     292875        0    90650
D CAPROCK COMMUNICATIONS CORP  	COMMON           140667106    4418    190000 SH       DEFINED 02     143300        0    46700
D CAPROCK COMMUNICATIONS CORP  	COMMON           140667106      77      3300 SH       DEFINED 05          0        0     3300
D CAPSTEAD MORTGAGE CORP.      	COMMON           14067E100      16      4000 SH       DEFINED 01       4000        0        0
D CAPSTEAD MORTGAGE CORP.      	COMMON           14067E100      73     18550 SH       DEFINED 02      12900        0     5650
D CARAUSTAR INDUSTRIES, INC.   	COMMON           140909102    6870    269400 SH       DEFINED 01     269400        0        0
D CARAUSTAR INDUSTRIES, INC.   	COMMON           140909102   18143    711500 SH       DEFINED 02     443200        0   268300
D CARDINAL HEALTH, INC.        	COMMON           14149Y108     512      9394 SH       DEFINED 01       3915        0     5479
D CARDINAL HEALTH, INC.        	COMMON           14149Y108      12       228 SH       OTHER   01          0      228        0
D CARDINAL HEALTH, INC.        	COMMON           14149Y108    1572     28837 SH       DEFINED 02          0        0    28837
D CARDINAL HEALTH, INC.        	COMMON           14149Y108       4        80 SH       DEFINED 16         80        0        0
D CARDINAL HEALTH, INC.        	COMMON           14149Y108     164      3000 SH       DEFINED 17       3000        0        0
D CAREERBUILDER INC            	COMMON           141684100     703    100000 SH       DEFINED 01          0        0   100000
D CAREMATRIX CORP              	COMMON           141706101      99     19100 SH       DEFINED 01      19100        0        0
D CAREMATRIX CORP              	COMMON           141706101     109     21000 SH       DEFINED 02       7200        0    13800
D CAREMATRIX CORP              	COMMON           141706101       6      1202 SH       DEFINED 16       1202        0        0
D CAREINSITE INC               	COMMON           14170M106    3569     70500 SH       DEFINED 01      58100        0    12400
D CAREINSITE INC               	COMMON           14170M106    3610     71300 SH       DEFINED 02      53700        0    17600
D CAREINSITE INC               	COMMON           14170M106      20       400 SH       DEFINED 05          0        0      400
D CARLISLE COMPANIES, INC.     	COMMON           142339100      91      2300 SH       DEFINED 01          0        0     2300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 48
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CARLISLE COMPANIES, INC.     	COMMON           142339100      43      1100 SH       OTHER   01          0     1100        0
D CARLISLE COMPANIES, INC.     	COMMON           142339100    1323     33500 SH       DEFINED 02          0        0    33500
D CARNIVAL CORP. CL. A         	COMMON           143658102    4620    106200 SH       DEFINED 01      21600        0    84600
D CARNIVAL CORP. CL. A         	COMMON           143658102    1475     33900 SH       OTHER   01      31500     2400        0
D CARNIVAL CORP. CL. A         	COMMON           143658102    4846    111400 SH       DEFINED 02          0        0   111400
D CARNIVAL CORP. CL. A         	COMMON           143658102     206      4740 SH       DEFINED 05          0        0     4740
D CARNIVAL CORP. CL. A         	COMMON           143658102       8       176 SH       DEFINED 16        176        0        0
D CARNIVAL CORP. CL. A         	COMMON           143658102     291      6700 SH       DEFINED 17       6700        0        0
D CAROLINA POWER & LIGHT COMPAN	COMMON           144141108   33956    959900 SH       DEFINED 01     676900        0   283000
D CAROLINA POWER & LIGHT COMPAN	COMMON           144141108     110      3100 SH       OTHER   01       2100     1000        0
D CAROLINA POWER & LIGHT COMPAN	COMMON           144141108   52929   1496217 SH       DEFINED 02     991550        0   504667
D CAROLINA POWER & LIGHT COMPAN	COMMON           144141108      50      1400 SH       DEFINED 05       1400        0        0
D CAROLINA POWER & LIGHT COMPAN	COMMON           144141108      57      1600 SH       DEFINED 17       1600        0        0
D CARPENTER TECHNOLOGY CORP.   	COMMON           144285103      12       500 SH       DEFINED 01        500        0        0
D CARPENTER TECHNOLOGY CORP.   	COMMON           144285103     662     27000 SH       DEFINED 02      23800        0     3200
D CARRAMERICA REALTY CORPORATIO	COMMON           144418100     542     24700 SH       DEFINED 01      24700        0        0
D CARRAMERICA REALTY CORPORATIO	COMMON           144418100    1323     60300 SH       DEFINED 02      55100        0     5200
D CARRAMERICA REALTY CORPORATIO	COMMON           144418100     553     25200 SH       DEFINED 17      25200        0        0
D CARRIER ACCESS CORP          	COMMON           144460102     368      8800 SH       DEFINED 01       8800        0        0
D CARRIER ACCESS CORP          	COMMON           144460102     523     12500 SH       DEFINED 02       2100        0    10400
D CARSON INC. CLASS C          	COMMON           145845103    3414   1187482 SH       DEFINED 01    1187482        0        0
D CARTER-WALLACE, INC.         	COMMON           146285101      25      1400 SH       DEFINED 01       1400        0        0
D CARTER-WALLACE, INC.         	COMMON           146285101     266     14900 SH       DEFINED 02          0        0    14900
D CASE CORP.                   	COMMON           14743R103      35       700 SH       DEFINED 01          0        0      700
D CASE CORP.                   	COMMON           14743R103     329      6600 SH       DEFINED 16       6600        0        0
D CASE CORP.                   	COMMON           14743R103      40       800 SH       DEFINED 17        800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 49
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CASELLA WASTE SYS INC        	COMMON           147448104     447     26800 SH       DEFINED 01      26800        0        0
D CASELLA WASTE SYS INC        	COMMON           147448104     134      8000 SH       DEFINED 02       8000        0        0
D CASEY'S GENERAL STORES, INC. 	COMMON           147528103     429     32000 SH       DEFINED 02          0        0    32000
D CASTLE (A. M.) & COMPANY     	COMMON           148411101      25      2000 SH       DEFINED 01       2000        0        0
D CASTLE (A. M.) & COMPANY     	COMMON           148411101     209     16550 SH       DEFINED 02          0        0    16550
D CASTLE & COOKE, INC.         	COMMON           148433105      77      5000 SH       DEFINED 01          0        0     5000
D CASTLE & COOKE, INC.         	COMMON           148433105     231     15000 SH       DEFINED 02          0        0    15000
D CATALINA MARKETING CORP.     	COMMON           148867104    9550    112600 SH       DEFINED 01      79800        0    32800
D CATALINA MARKETING CORP.     	COMMON           148867104     670      7900 SH       DEFINED 02       2800        0     5100
D CATALINA MARKETING CORP.     	COMMON           148867104     102      1200 SH       DEFINED 05          0        0     1200
D CATELLUS DEVELOPMENT CORP.   	COMMON           149111106     348     29600 SH       DEFINED 02          0        0    29600
D CATERPILLAR                  	COMMON           149123101       8       150 SH       DEFINED 16        150        0        0
D CATERPILLAR, INC.            	COMMON           149123101   16804    306573 SH       DEFINED 01      88191        0   218382
D CATERPILLAR, INC.            	COMMON           149123101    4329     78981 SH       OTHER   01      33840    45141        0
D CATERPILLAR, INC.            	COMMON           149123101      71      1304 SH       DEFINED 02       1304        0        0
D CATERPILLAR, INC.            	COMMON           149123101    1211     22100 SH       DEFINED 05       8300        0    13800
D CATERPILLAR, INC.            	COMMON           149123101     400      7300 SH       OTHER   05       5500     1800        0
D CATERPILLAR, INC.            	COMMON           149123101    1129     20600 SH       DEFINED 17      20600        0        0
D CATO CORP.                   	COMMON           149205106     303     21500 SH       DEFINED 01      21500        0        0
D CATO CORP.                   	COMMON           149205106     226     16000 SH       DEFINED 02       4900        0    11100
D CEDAR FAIR L.P. - DEPOSITARY 	UNIT             150185106     909     43800 PRN      OTHER   01
D CELL GENESYS, INC.           	COMMON           150921104     120     15200 SH       DEFINED 02          0        0    15200
D CELL GENESYS, INC.           	COMMON           150921104    1213    154000 SH       DEFINED 17     154000        0        0
D CELLSTAR CORP.               	COMMON           150925105     370     49300 SH       DEFINED 01      49300        0        0
D CELLSTAR CORP.               	COMMON           150925105     221     29400 SH       DEFINED 02       2600        0    26800
D CELGENE CORPORATION          	COMMON           151020104    2192     81000 SH       DEFINED 17      81000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 50
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CELLNET DATA SYSTEMS INC     	COMMON           15115M101     193     48900 SH       DEFINED 02        800        0    48100
D CEMEX S A                    	COMMON           151290889    5711    236741 SH       DEFINED 17     236741        0        0
D CEMEX S A                    	COMMON           151290889    4958    205518 SH       DEFINED 18     205518        0        0
D CENDANT CORPORATION          	COMMON           151313103  121487   6844364 SH       DEFINED 01    4423116        0  2421248
D CENDANT CORPORATION          	COMMON           151313103     766     43165 SH       OTHER   01      24770    18395        0
D CENDANT CORPORATION          	COMMON           151313103  342227  19280382 SH       DEFINED 02   15028919        0  4251463
D CENDANT CORPORATION          	COMMON           151313103      69      3900 SH       DEFINED 05       3900        0        0
D CENDANT CORPORATION          	COMMON           151313103     641     36100 SH       OTHER   09      36100        0        0
D CENDANT CORPORATION          	COMMON           151313103    2335    131577 SH       DEFINED 16     131577        0        0
D CENDANT CORPORATION          	COMMON           151313103    1874    105600 SH       DEFINED 17     105600        0        0
D CENTENNIAL CELLULAR CORP     	COMMON           15133V208     381      8394 SH       DEFINED 02          0        0     8394
D CENTERPOINT PROPERTIES CORP. 	COMMON           151895109    5603    166000 SH       DEFINED 01     166000        0        0
D CENTERPOINT PROPERTIES CORP. 	COMMON           151895109   12437    368500 SH       DEFINED 02     321300        0    47200
D CENTEX CONSTRUCTION PRODUCTS 	COMMON           15231R109     438     11800 SH       DEFINED 01      11800        0        0
D CENTEX CONSTRUCTION PRODUCTS 	COMMON           15231R109    3683     99200 SH       DEFINED 02       3400        0    95800
D CENTOCOR, INC.               	COMMON           152342101    2799     47801 SH       DEFINED 01      47801        0        0
D CENTOCOR, INC.               	COMMON           152342101     580      9900 SH       DEFINED 02       2100        0     7800
D CENTOCOR, INC.               	COMMON           152342101      23       400 SH       DEFINED 05          0        0      400
D CENTOCOR, INC.               	COMMON           152342101     316      5400 SH       DEFINED 17       5400        0        0
D CENTRAL & SOUTH WEST CORP.   	COMMON           152357109   34236   1620660 SH       DEFINED 01    1182860        0   437800
D CENTRAL & SOUTH WEST CORP.   	COMMON           152357109     297     14050 SH       OTHER   01       9400     4650        0
D CENTRAL & SOUTH WEST CORP.   	COMMON           152357109  108568   5139297 SH       DEFINED 02    3781897        0  1357400
D CENTRAL & SOUTH WEST CORP.   	COMMON           152357109       8       400 SH       DEFINED 05        400        0        0
D CENTRAL & SOUTH WEST CORP.   	COMMON           152357109      49      2300 SH       DEFINED 17       2300        0        0
D CENTRAL HUDSON GAS & ELECTRIC	COMMON           153609102    1008     25600 SH       DEFINED 01      25600        0        0
D CENTRAL HUDSON GAS & ELECTRIC	COMMON           153609102    1492     37900 SH       DEFINED 02      36600        0     1300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 51
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CENTRAL NEWSPAPERS, INC. CL. 	COMMON           154647101    1718     38600 SH       DEFINED 01      38600        0        0
D CENTRAL NEWSPAPERS, INC. CL. 	COMMON           154647101     552     12400 SH       DEFINED 02       1400        0    11000
D CENTRAL PARKING CORP.        	COMMON           154785109    5126    175250 SH       DEFINED 01     147650        0    27600
D CENTRAL PARKING CORP.        	COMMON           154785109    6505    222400 SH       DEFINED 02     165500        0    56900
D CENTRAL PARKING CORP.        	COMMON           154785109      29      1000 SH       DEFINED 05          0        0     1000
D CENTURY BUSINESS SVCS INC    	COMMON           156490104     223     19200 SH       DEFINED 02       1300        0    17900
D CENTURYTEL INC               	COMMON           156700106     411     10125 SH       DEFINED 01      10125        0        0
D CENTURYTEL INC               	COMMON           156700106     898     22100 SH       DEFINED 02          0        0    22100
D CENTURYTEL INC               	COMMON           156700106       2        41 SH       DEFINED 16         41        0        0
D CENTURYTEL INC               	COMMON           156700106      61      1500 SH       DEFINED 17       1500        0        0
D CHAMPION INTERNATIONAL CORP. 	COMMON           158525105     867     16885 SH       DEFINED 01       4100        0    12785
D CHAMPION INTERNATIONAL CORP. 	COMMON           158525105      77      1500 SH       OTHER   01          0     1500        0
D CHAMPION INTERNATIONAL CORP. 	COMMON           158525105       0         2 SH       DEFINED 02          2        0        0
D CHAMPION INTERNATIONAL CORP. 	COMMON           158525105     383      7452 SH       DEFINED 05       7452        0        0
D CHAMPION INTERNATIONAL CORP. 	COMMON           158525105      51      1000 SH       DEFINED 17       1000        0        0
D CHAMPIONSHIP AUTO RACING TEA 	COMMON           158711101     216      8300 SH       DEFINED 02          0        0     8300
D CHARTER ONE FINANCIAL, INC.  	COMMON           160903100   30347   1312300 SH       DEFINED 01     873245        0   439055
D CHARTER ONE FINANCIAL, INC.  	COMMON           160903100      28      1200 SH       OTHER   01       1200        0        0
D CHARTER ONE FINANCIAL, INC.  	COMMON           160903100   61135   2643693 SH       DEFINED 02    1792219        0   851474
D CHARTER ONE FINANCIAL, INC.  	COMMON           160903100      39      1680 SH       DEFINED 05       1680        0        0
D CHARMING SHOPPES, INC.       	COMMON           161133103     305     59600 SH       DEFINED 02      59600        0        0
D CHARMING SHOPPES, INC.       	COMMON           161133103      10      1940 SH       DEFINED 16       1940        0        0
D CHARMING SHOPPES 7.5% CSD 7/ 	BOND             161133AA1    1376   1500000 PRN      DEFINED 02
D CHASE INDUSTRIES, INC.       	COMMON           161568100       4       500 SH       DEFINED 01        500        0        0
D CHASE INDUSTRIES, INC.       	COMMON           161568100     125     14550 SH       DEFINED 02          0        0    14550
D CHASE MANHAT                 	COMMON           16161A108   48640    645300 SH       DEFINED 06     645300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 52
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CHASE MANHATTAN CORP. - NEW  	COMMON           16161A108   18016    239020 SH       DEFINED 01     137614        0   101406
D CHASE MANHATTAN CORP. - NEW  	COMMON           16161A108    3225     42786 SH       OTHER   01      12086    30700        0
D CHASE MANHATTAN CORP. - NEW  	COMMON           16161A108   19003    252112 SH       DEFINED 02     165168        0    86944
D CHASE MANHATTAN CORP. - NEW  	COMMON           16161A108    3594     47677 SH       DEFINED 05      20697        0    26980
D CHASE MANHATTAN CORP. - NEW  	COMMON           16161A108    1553     10300 SH       DEFINED 18      10300        0        0
D CHATEAU PROPERTIES, INC.     	COMMON           161726104     206      7919 SH       DEFINED 02          0        0     7919
D CHATTEM, INC.                	COMMON           162456107      31      1400 SH       DEFINED 01       1400        0        0
D CHATTEM, INC.                	COMMON           162456107     413     18700 SH       DEFINED 02          0        0    18700
D CHECKFREE HLDGS CORP         	COMMON           162816102    5786    140700 SH       DEFINED 01     117900        0    22800
D CHECKFREE HLDGS CORP         	COMMON           162816102     411     10000 SH       OTHER   01      10000        0        0
D CHECKFREE HLDGS CORP         	COMMON           162816102    8973    218200 SH       DEFINED 02     153300        0    64900
D CHECKFREE HLDGS CORP         	COMMON           162816102      33       800 SH       DEFINED 05          0        0      800
D CHECKFREE HLDGS CORP         	COMMON           162816102      91      2223 SH       DEFINED 16       2223        0        0
D CHEESECAKE FACTORY, INC.     	COMMON           163072101      33      1200 SH       DEFINED 01       1200        0        0
D CHEESECAKE FACTORY, INC.     	COMMON           163072101     300     10800 SH       DEFINED 02          0        0    10800
D CHELSEA GCA                  	COMMON           163262108     564     17830 SH       DEFINED 17      17830        0        0
D CHEMED CORP.                 	COMMON           163596109    1068     35300 SH       DEFINED 01      35300        0        0
D CHEMED CORP.                 	COMMON           163596109      88      2900 SH       DEFINED 02       2900        0        0
D CHEMFAB CORP.                	COMMON           16361L102    1082     67100 SH       OTHER   01          0    67100        0
D CHESAPEAKE ENERGY CORP.      	COMMON           165167107    3226    832400 SH       DEFINED 17     832400        0        0
D CHEVRON CORPORATION          	COMMON           166751107  303036   3414492 SH       DEFINED 01     489519        0  2924973
D CHEVRON CORPORATION          	COMMON           166751107    8833     99522 SH       OTHER   01      23066    76456        0
D CHEVRON CORPORATION          	COMMON           166751107  105997   1194335 SH       DEFINED 02     580410        0   613925
D CHEVRON CORPORATION          	COMMON           166751107    2512     28306 SH       DEFINED 05      18106        0    10200
D CHEVRON CORPORATION          	COMMON           166751107     444      5000 SH       OTHER   05       4000     1000        0
D CHEVRON CORPORATION          	COMMON           166751107    1083     12200 SH       DEFINED 06      12200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 53
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CHEVRON CORPORATION          	COMMON           166751107     630      7100 SH       DEFINED 17       7100        0        0
D CHICAGO TITLE CORPORATION    	COMMON           168228104    1595     39944 SH       DEFINED 01      39332        0      612
D CHICAGO TITLE CORPORATION    	COMMON           168228104     127      3180 SH       OTHER   01          0     3180        0
D CHICAGO TITLE CORPORATION    	COMMON           168228104       4       100 SH       DEFINED 02        100        0        0
D CHICOS FAS INC               	COMMON           168615102     134      4900 SH       DEFINED 01       4900        0        0
D CHICOS FAS INC               	COMMON           168615102     142      5200 SH       DEFINED 02        200        0     5000
D CHOICE HOTELS INTERNATIONAL, 	COMMON           169905106     238     13900 SH       DEFINED 01      13900        0        0
D CHOICE HOTELS INTERNATIONAL, 	COMMON           169905106      79      4600 SH       DEFINED 02          0        0     4600
D CHIQUITA BRANDS INTERNATIONAL	COMMON           170032106     714    120300 SH       DEFINED 01     120300        0        0
D CHIQUITA BRANDS INTERNATIONAL	COMMON           170032106     192     32300 SH       DEFINED 02      32300        0        0
D CHIREX, INC.                 	COMMON           170038103    2581    100000 SH       DEFINED 01          0        0   100000
D CHIREX, INC.                 	COMMON           170038103     176      6800 SH       DEFINED 02        500        0     6300
D CHIRON CORP.                 	COMMON           170040109     106      3812 SH       DEFINED 01       3812        0        0
D CHIRON CORP.                 	COMMON           170040109    3963    143140 SH       DEFINED 02     130640        0    12500
D CHIRON CORP.                 	COMMON           170040109      14       497 SH       DEFINED 16        497        0        0
D CHIRON CORP.                 	COMMON           170040109     130      4700 SH       DEFINED 17       4700        0        0
D CHITTENDEN CORP.             	COMMON           170228100     975     34200 SH       DEFINED 01      34200        0        0
D CHITTENDEN CORP.             	COMMON           170228100     592     20756 SH       DEFINED 02      12700        0     8056
D CHRIS CRAFT INDUSTRIES, INC  	COMMON           170520100    3064     54600 SH       DEFINED 01      54600        0        0
D CHRIS CRAFT INDUSTRIES, INC  	COMMON           170520100    1358     24200 SH       DEFINED 02       2600        0    21600
D CHUBB CORP.                  	COMMON           171232101   30148    607523 SH       DEFINED 01     458011        0   149512
D CHUBB CORP.                  	COMMON           171232101     951     19164 SH       OTHER   01       6864    12300        0
D CHUBB CORP.                  	COMMON           171232101   48731    981978 SH       DEFINED 02     634078        0   347900
D CHUBB CORP.                  	COMMON           171232101     764     15400 SH       DEFINED 05       4400        0    11000
D CHUBB CORP.                  	COMMON           171232101    2030     40900 SH       DEFINED 06      40900        0        0
D CHUBB CORP.                  	COMMON           171232101      89      1800 SH       DEFINED 17       1800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 54
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CHURCH & DWIGHT, INC.        	COMMON           171340102     814     32544 SH       DEFINED 01      32544        0        0
D CHURCH & DWIGHT, INC.        	COMMON           171340102   14125    565018 SH       OTHER   01          0   565018        0
D CIBER, INC.                  	COMMON           17163B102     530     34600 SH       DEFINED 01      34600        0        0
D CIBER, INC.                  	COMMON           17163B102      75      4900 SH       DEFINED 02       4500        0      400
D CIENA CORP                   	COMMON           171779101   20082    550193 SH       DEFINED 01      79800        0   470393
D CIENA CORP                   	COMMON           171779101     500     13700 SH       DEFINED 02       3900        0     9800
D CIENA CORP                   	COMMON           171779101      36      1000 SH       DEFINED 16       1000        0        0
D CIENA CORP                   	COMMON           171779101    1445     39600 SH       DEFINED 17      39600        0        0
D CINCINNATI BELL, INC.        	COMMON           171870108    3534    181800 SH       DEFINED 01     181800        0        0
D CINCINNATI BELL, INC.        	COMMON           171870108     626     32208 SH       DEFINED 02       8408        0    23800
D CINCINNATI BELL, INC.        	COMMON           171870108       1        42 SH       DEFINED 16         42        0        0
D CINAR CORPORATION            	COMMON           171905300   33924   1121450 SH       DEFINED 01     796600        0   324850
D CINAR CORPORATION            	COMMON           171905300   16964    560800 SH       DEFINED 02     429200        0   131600
D CINAR CORPROATION            	COMMON           171905300     260      8600 SH       DEFINED 05          0        0     8600
D CINCINNATI FINANCIAL CORP.   	COMMON           172062101      34       900 SH       DEFINED 01          0        0      900
D CINCINNATI FINANCIAL CORP.   	COMMON           172062101      68      1800 SH       DEFINED 17       1800        0        0
D CINERGY CORP.                	COMMON           172474108    8534    301400 SH       DEFINED 01     186700        0   114700
D CINERGY CORP.                	COMMON           172474108       8       300 SH       OTHER   01        300        0        0
D CINERGY CORP.                	COMMON           172474108   14860    524834 SH       DEFINED 02     309234        0   215600
D CINERGY CORP.                	COMMON           172474108      48      1700 SH       DEFINED 17       1700        0        0
D CIRCUIT CITY STORES, INC.    	COMMON           172737108    8362    198200 SH       DEFINED 01      89500        0   108700
D CIRCUIT CITY STORES, INC.    	COMMON           172737108   63751   1511112 SH       DEFINED 02    1435404        0    75708
D CIRCUIT CITY STORES, INC.    	COMMON           172737108       8       200 SH       DEFINED 05        200        0        0
D CIRCUIT CITY STORES, INC.    	COMMON           172737108      93      2200 SH       DEFINED 17       2200        0        0
D CIRRUS LOGIC INC.            	COMMON           172755100     193     17500 SH       DEFINED 02       9900        0     7600
D CISCO SYSTEMS, INC.          	COMMON           17275R102  923432  13468370 SH       DEFINED 01    7488513        0  5979857

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 55
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CISCO SYSTEMS, INC.          	COMMON           17275R102   51143    745932 SH       OTHER   01     297246   448686        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102 1529466  22307461 SH       DEFINED 02   15861404        0  6446057
D CISCO SYSTEMS, INC.          	COMMON           17275R102    7542    110000 SH       OTHER   0304   110000        0        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102   12098    176456 SH       DEFINED 05      75850        0   100606
D CISCO SYSTEMS, INC.          	COMMON           17275R102      14       200 SH       OTHER   05          0      200        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102    5996     87450 SH       OTHER   09      87450        0        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102    1234     18000 SH       OTHER   101112      0    18000        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102    2386     34793 SH       DEFINED 16      34793        0        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102    8084    117900 SH       DEFINED 17     117900        0        0
D CISCO SYSTEMS, INC.          	COMMON           17275R102    2684     39144 SH       DEFINED 19      39144        0        0
D CITADEL COMMUNICATIONS CORP  	COMMON           172853202    2017     59100 SH       DEFINED 01      59100        0        0
D CITADEL COMMUNICATIONS CORP  	COMMON           172853202    4986    146100 SH       DEFINED 02     111700        0    34400
D CITATION CORP.               	COMMON           172895104    3424    201400 SH       DEFINED 01       1400        0   200000
D CITATION CORP.               	COMMON           172895104     156      9200 SH       DEFINED 02       9200        0        0
D CINTAS CORP                  	COMMON           172908105       2        33 SH       DEFINED 16         33        0        0
D CINTAS CORP.                 	COMMON           172908105    1058     18300 SH       OTHER   01          0    18300        0
D CINTAS CORP.                 	COMMON           172908105    1920     33207 SH       DEFINED 02          0        0    33207
D CITIGROUP INC                	COMMON           172967101  447541  10171395 SH       DEFINED 01    6826655        0  3344739
D CITIGROUP INC                	COMMON           172967101   20280    460901 SH       OTHER   01     181740   279161        0
D CITIGROUP INC                	COMMON           172967101  827112  18798003 SH       DEFINED 02   12862609        0  5935394
D CITIGROUP INC                	COMMON           172967101    2237     50850 SH       OTHER   0304    50850        0        0
D CITIGROUP INC                	COMMON           172967101    3107     70623 SH       DEFINED 05      26898        0    43725
D CITIGROUP INC                	COMMON           172967101     349      7942 SH       OTHER   05       5400     2542        0
D CITIGROUP INC                	COMMON           172967101    1674     38049 SH       OTHER   09      38049        0        0
D CITIGROUP INC                	COMMON           172967101    9210    209325 SH       DEFINED 17     209325        0        0
D CITIZENS BANKING CORP. (MI)  	COMMON           174420109     462     17700 SH       DEFINED 02       8100        0     9600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 56
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CITIZENS UTILITIES CO. CLASS 	COMMON           177342201     526     46509 SH       DEFINED 01      46509        0        0
D CITIZENS UTILITIES CO. CLASS 	COMMON           177342201     112      9900 SH       DEFINED 02       1900        0     8000
D CITIZENS UTILITIES COMPANY 5%	PREF-CONV        177351202    3234     65000 PRN      DEFINED 02
D CITRIX SYSTEMS, INC.         	COMMON           177376100      12       200 SH       DEFINED 01        200        0        0
D CITRIX SYSTEMS, INC.         	COMMON           177376100     539      8700 SH       DEFINED 02          0        0     8700
D CITY NATIONAL CORP.          	COMMON           178566105    7229    215400 SH       DEFINED 01     182300        0    33100
D CITY NATIONAL CORP.          	COMMON           178566105    5293    157700 SH       DEFINED 02     125400        0    32300
D CITY NATIONAL CORP.          	COMMON           178566105      40      1200 SH       DEFINED 05          0        0     1200
D CLAIRE'S STORES, INC.        	COMMON           179584107    1068     64500 SH       DEFINED 01      64500        0        0
D CLAIRE'S STORES, INC.        	COMMON           179584107     569     34350 SH       DEFINED 02       2900        0    31450
D CLARENT CORP DEL             	COMMON           180461105    3229     63400 SH       DEFINED 01      63400        0        0
D CLARENT CORP DEL             	COMMON           180461105    7758    152300 SH       DEFINED 02     115500        0    36800
D CLARIFY, INC.                	COMMON           180492100    1761     35000 SH       DEFINED 01      35000        0        0
D CLARIFY, INC.                	COMMON           180492100    1031     20500 SH       DEFINED 02       7600        0    12900
D CLAYTON HOMES, INC.          	COMMON           184190106     317     36502 SH       DEFINED 01      18750        0    17752
D CLAYTON HOMES, INC.          	COMMON           184190106       0        43 SH       DEFINED 16         43        0        0
D CLEAN HARBORS, INC.          	COMMON           184496107     351    244007 SH       DEFINED 01     244007        0        0
D CLEAR CHANNEL COMMUNICATIONS,	COMMON           184502102     959     12000 SH       DEFINED 01          0        0    12000
D CLEAR CHANNEL COMMUNICATIONS,	COMMON           184502102     734      9186 SH       OTHER   01          0     9186        0
D CLEAR CHANNEL COMMUNICATIONS,	COMMON           184502102    3677     46040 SH       DEFINED 02          0        0    46040
D CLEAR CHANNEL COMMUNICATIONS,	COMMON           184502102     313      3920 SH       DEFINED 05       2000        0     1920
D CLEAR CHANNEL COMMUNICATIONS,	COMMON           184502102     288      3600 SH       DEFINED 17       3600        0        0
D CLEVELAND CLIFFS, INC.       	COMMON           185896107      19       600 SH       DEFINED 01        600        0        0
D CLEVELAND CLIFFS, INC.       	COMMON           185896107     255      8200 SH       DEFINED 02       8200        0        0
D CLOROX CO.                   	COMMON           189054109   31363    819950 SH       DEFINED 01     556200        0   263750
D CLOROX CO.                   	COMMON           189054109     207      5400 SH       OTHER   01       1400     4000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 57
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CLOROX CO.                   	COMMON           189054109   70573   1845050 SH       DEFINED 02    1298550        0   546500
D CLOROX CO.                   	COMMON           189054109     115      3000 SH       DEFINED 05       1200        0     1800
D CLOROX CO.                   	COMMON           189054109    3596     94000 SH       DEFINED 06      94000        0        0
D CLOROX CO.                   	COMMON           189054109       2        64 SH       DEFINED 16         64        0        0
D CLOROX CO.                   	COMMON           189054109  172992   4522664 SH       DEFINED 18    4522664        0        0
D COACHMEN INDUSTRIES, INC.    	COMMON           189873102     304     19600 SH       DEFINED 02        400        0    19200
D COAST FEDERAL LITIGATION TRUS	COMMON           19034Q110       2      2400 SH       DEFINED 02          0        0     2400
D COAST FEDERAL LITIGATION TRUS	COMMON           19034Q110      72     69600 SH       DEFINED 16      69600        0        0
D COASTAL CORP.                	COMMON           190441105       3        64 SH       DEFINED 16         64        0        0
D COASTAL CORP.                	COMMON           190441105     479     11700 SH       DEFINED 01       2500        0     9200
D COASTAL CORP.                	COMMON           190441105    1261     30800 SH       DEFINED 02          0        0    30800
D COASTAL CORP.                	COMMON           190441105      24       580 SH       DEFINED 05          0        0      580
D COASTAL CORP.                	COMMON           190441105      94      2300 SH       DEFINED 17       2300        0        0
D COCA-COLA BOTTLING CO. CONSOL	COMMON           191098102     230      4100 SH       DEFINED 02          0        0     4100
D COCA COLA CO.                	COMMON           191216100  271996   5637229 SH       DEFINED 01    3454467        0  2182762
D COCA COLA CO.                	COMMON           191216100   72102   1494333 SH       OTHER   01     361783  1132550        0
D COCA COLA CO.                	COMMON           191216100  322095   6675542 SH       DEFINED 02    3883568        0  2791973
D COCA COLA CO.                	COMMON           191216100    1206     25000 SH       OTHER   0304    25000        0        0
D COCA COLA CO.                	COMMON           191216100    5001    103652 SH       DEFINED 05      49282        0    54370
D COCA COLA CO.                	COMMON           191216100    1033     21400 SH       OTHER   05      20400     1000        0
D COCA COLA CO.                	COMMON           191216100    1558     32300 SH       OTHER   09      32300        0        0
D COCA COLA CO.                	COMMON           191216100    2316     48000 SH       OTHER   101112      0    48000        0
D COCA COLA CO.                	COMMON           191216100    2087     43250 SH       DEFINED 16      43250        0        0
D COCA COLA CO.                	COMMON           191216100    5891    122100 SH       DEFINED 17     122100        0        0
D COCA COLA CO.                	COMMON           191216100    5452    113000 SH       DEFINED 18     113000        0        0
D COCA COLA ENTERPRISES, INC.  	COMMON           191219104    2040     90400 SH       DEFINED 01      61900        0    28500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 58
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COCA COLA ENTERPRISES, INC.  	COMMON           191219104   11460    507900 SH       DEFINED 02     306900        0   201000
D COCA COLA ENTERPRISES, INC.  	COMMON           191219104     104      4600 SH       DEFINED 17       4600        0        0
D COGNEX CORP.                 	COMMON           192422103    8391    277950 SH       DEFINED 01     195250        0    82700
D COGNEX CORP.                 	COMMON           192422103     507     16800 SH       DEFINED 02       7300        0     9500
D COGNEX CORP.                 	COMMON           192422103      91      3000 SH       DEFINED 05          0        0     3000
D COLE KENNETH PRODUCTIONS, INC	COMMON           193294105    4425    118400 SH       DEFINED 01      84200        0    34200
D COLE KENNETH PRODUCTIONS, INC	COMMON           193294105     520     13900 SH       DEFINED 02       3100        0    10800
D COLE KENNETH PRODUCTIONS, INC	COMMON           193294105      49      1300 SH       DEFINED 05          0        0     1300
D COLEMAN, INC.                	COMMON           193559101     732     77100 SH       DEFINED 16      77100        0        0
D COLGATE-PALMOLIVE CO.        	COMMON           194162103   13109    286526 SH       DEFINED 01     141424        0   145102
D COLGATE-PALMOLIVE CO.        	COMMON           194162103    3478     76020 SH       OTHER   01      41620    34400        0
D COLGATE-PALMOLIVE CO.        	COMMON           194162103     275      6004 SH       DEFINED 02       6004        0        0
D COLGATE-PALMOLIVE CO.        	COMMON           194162103    1549     33856 SH       DEFINED 05      18396        0    15460
D COLGATE-PALMOLIVE CO.        	COMMON           194162103     293      6400 SH       DEFINED 17       6400        0        0
D COLLAGENEX PHARMACEUTICALS I 	COMMON           19419B100     975     55700 SH       DEFINED 17      55700        0        0
D COLLINS & AIKMAN CORP.       	COMMON           194830105     223     31800 SH       DEFINED 02          0        0    31800
D COLONIAL BANCGROUP, INC.     	COMMON           195493309    7051    630200 SH       DEFINED 01     572400        0    57800
D COLONIAL BANCGROUP, INC.     	COMMON           195493309       7       600 SH       OTHER   01        600        0        0
D COLONIAL BANCGROUP, INC.     	COMMON           195493309   10475    936240 SH       DEFINED 02     632040        0   304200
D COLONIAL BANCGROUP, INC.     	COMMON           195493309      11      1000 SH       DEFINED 05          0        0     1000
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108   89978   1624888 SH       DEFINED 01    1019769        0   605119
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108    5229     94425 SH       OTHER   01       3650    90775        0
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108  430313   7770893 SH       DEFINED 02    5882443        0  1888450
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108     679     12260 SH       DEFINED 05       3700        0     8560
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108    1016     18350 SH       OTHER   09      18350        0        0
D COLUMBIA GAS SYSTEM, INC.    	COMMON           197648108      50       900 SH       DEFINED 17        900        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 59
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107   53178   2509795 SH       DEFINED 01    1791345        0   718450
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107     102      4800 SH       OTHER   01       4800        0        0
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107  122766   5794143 SH       DEFINED 02    4097742        0  1696400
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107      23      1100 SH       DEFINED 05       1100        0        0
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107    2008     94765 SH       DEFINED 17      94765        0        0
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107   18592    877500 SH       DEFINED 18     877500        0        0
D COLUMBIA/HCA HEALTHCARE CORP.	COMMON           197677107  445809  21040648 SH       DEFINED 19   21040648        0        0
D COLUMBIA LABORATORIES, INC.  	COMMON           197779101     158     21100 SH       DEFINED 02          0        0    21100
D COLUMBIA SPORTSWEAR COMPANY  	COMMON           198516106    1486    104300 SH       DEFINED 01     104300        0        0
D COLUMBIA SPORTSWEAR COMPANY  	COMMON           198516106    1509    105900 SH       DEFINED 02      70100        0    35800
D COMAIR HOLDINGS, INC.        	COMMON           199789108    1174     70321 SH       DEFINED 02          0        0    70321
D COMAIR HOLDINGS, INC.        	COMMON           199789108       4       231 SH       DEFINED 16        231        0        0
D COMFORT SYS USA INC          	COMMON           199908104     634     53700 SH       DEFINED 01      53700        0        0
D COMFORT SYS USA INC          	COMMON           199908104     224     19000 SH       DEFINED 02      19000        0        0
D COMCAST CORP. CLASS A        	COMMON           200300101    1846     51200 SH       DEFINED 01      21200        0    30000
D COMCAST CORP                 	COMMON           200300200       4        91 SH       DEFINED 16         91        0        0
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200  168337   4221615 SH       DEFINED 01          0        0  4221615
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200    6456    161902 SH       OTHER   01          0        0   161902
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200  248070   6221184 SH       DEFINED 02          0        0  6221184
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200     191      4800 SH       DEFINED 05          0        0     4800
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200    1408     35300 SH       OTHER   09          0        0    35300
D COMCAST CORP. CLASS A SPECIA 	COMMON           200300200     323      8100 SH       DEFINED 17       8100        0        0
D COMERICA, INC.               	COMMON           200340107   16008    316208 SH       DEFINED 01     243300        0    72908
D COMERICA, INC.               	COMMON           200340107      46       900 SH       OTHER   01        900        0        0
D COMERICA, INC.               	COMMON           200340107   20670    408296 SH       DEFINED 02     229800        0   178496
D COMERICA, INC.               	COMMON           200340107      15       300 SH       DEFINED 05        300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 60
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COMERICA, INC.               	COMMON           200340107      86      1700 SH       DEFINED 17       1700        0        0
D COMMERCE BANCORP, INC. (NJ)  	COMMON           200519106    3450     83126 SH       DEFINED 01      49600        0    33526
D COMMERCE BANCORP, INC. (NJ)  	COMMON           200519106     631     15200 SH       DEFINED 02      15200        0        0
D COMMERCE BANCSHARES, INC.    	COMMON           200525103     835     23600 SH       DEFINED 01       6300        0    17300
D COMMERCE BANCSHARES, INC.    	COMMON           200525103     780     22050 SH       DEFINED 02      11950        0    10100
D COMMERCE GROUP, INC.         	COMMON           200641108      21       900 SH       DEFINED 01        900        0        0
D COMMERCE GROUP, INC.         	COMMON           200641108     331     14400 SH       DEFINED 02      10200        0     4200
D COMMERCIAL FEDERAL CORP.     	COMMON           201647104    6817    347375 SH       DEFINED 01     302775        0    44600
D COMMERCIAL FEDERAL CORP.     	COMMON           201647104    7555    384949 SH       DEFINED 02     287074        0    97875
D COMMERCIAL FEDERAL CORP.     	COMMON           201647104      29      1500 SH       DEFINED 05          0        0     1500
D COMMERCIAL INTERTECH CORP.   	COMMON           201709102     239     19800 SH       DEFINED 02      10800        0     9000
D COMMERCIAL METALS CO.        	COMMON           201723103    5951    207000 SH       DEFINED 01     207000        0        0
D COMMERCIAL METALS CO.        	COMMON           201723103    5962    207366 SH       DEFINED 02     160000        0    47366
D COMMERCIAL NET LEASE REALTY, 	COMMON           202218103     438     41200 SH       DEFINED 02          0        0    41200
D COMMONWEALTH INDS INC DEL    	COMMON           203004106     942     70100 SH       DEFINED 01      70100        0        0
D COMMONWEALTH INDS INC DEL    	COMMON           203004106     922     68600 SH       DEFINED 02      23800        0    44800
D COMMSCOPE, INC.              	COMMON           203372107    1511     46500 SH       DEFINED 01      46500        0        0
D COMMSCOPE, INC.              	COMMON           203372107    1128     34700 SH       DEFINED 02       8100        0    26600
D COMMUNITY FIRST BANKSHARES,  	COMMON           203902101    3930    232900 SH       DEFINED 01     232900        0        0
D COMMUNITY FIRST BANKSHARES,  	COMMON           203902101    6953    412038 SH       DEFINED 02     309000        0   103038
D COMPANIA ANONIMA NACIONL TEL 	COMMON           204421101     373     13900 SH       DEFINED 18      13900        0        0
D COMPANIA DE MINAS BUENAVENTU 	COMMON           204448104     497     28700 SH       DEFINED 17      28700        0        0
D COMPANIA TELECOM CHILE       	COMMON           204449300     667     36900 SH       DEFINED 17      36900        0        0
D COMPAQ COMPUTER              	COMMON           204493100       2       100 SH       DEFINED 16        100        0        0
D COMPAQ COMPUTER CORP.        	COMMON           204493100    9877    431765 SH       DEFINED 01     145655        0   286110
D COMPAQ COMPUTER CORP.        	COMMON           204493100    2177     95150 SH       OTHER   01      49200    45950        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 61
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COMPAQ COMPUTER CORP.        	COMMON           204493100   36227   1583701 SH       DEFINED 02    1520401        0    63300
D COMPAQ COMPUTER CORP.        	COMMON           204493100    2454    107262 SH       DEFINED 05      48962        0    58300
D COMPAQ COMPUTER CORP.        	COMMON           204493100     286     12500 SH       OTHER   05      12500        0        0
D COMPAQ COMPUTER CORP.        	COMMON           204493100    1816     79400 SH       DEFINED 17      79400        0        0
D COMPASS BANCSHARES, INC.     	COMMON           20449H109    7934    317350 SH       DEFINED 01     259950        0    57400
D COMPASS BANCSHARES, INC.     	COMMON           20449H109      23       900 SH       OTHER   01        900        0        0
D COMPASS BANCSHARES, INC.     	COMMON           20449H109   23272    930874 SH       DEFINED 02     607974        0   322900
D COMPASS BANCSHARES, INC.     	COMMON           20449H109       0        19 SH       DEFINED 16         19        0        0
D COMPLETE BUSINESS SOLUTIONS  	COMMON           20452F107     212     15500 SH       DEFINED 01      15500        0        0
D COMPLETE BUSINESS SOLUTIONS  	COMMON           20452F107      31      2300 SH       DEFINED 02       2300        0        0
D COMPUCOM SYSTEMS, INC.       	COMMON           204780100       7      2000 SH       DEFINED 01       2000        0        0
D COMPUCOM SYSTEMS, INC.       	COMMON           204780100      70     18700 SH       DEFINED 02          0        0    18700
D COMPUTER ASSOCIATES INT'L, IN	COMMON           204912109   21875    357875 SH       DEFINED 01     263275        0    94600
D COMPUTER ASSOCIATES INT'L, IN	COMMON           204912109     206      3375 SH       OTHER   01       3375        0        0
D COMPUTER ASSOCIATES INT'L, IN	COMMON           204912109   49496    809758 SH       DEFINED 02     561158        0   248600
D COMPUTER ASSOCIATES INT'L, IN	COMMON           204912109       6       100 SH       DEFINED 05        100        0        0
D COMPUTER ASSOCIATES INT'L, IN	COMMON           204912109     434      7100 SH       DEFINED 17       7100        0        0
D COMPUTER NETWORK TECHNOLOGY C	COMMON           204925101     406     43600 SH       DEFINED 01      43600        0        0
D COMPUTER NETWORK TECHNOLOGY C	COMMON           204925101     237     25400 SH       DEFINED 02       8000        0    17400
D COMPUSA, INC.                	COMMON           204932107    2673    445500 SH       DEFINED 01     285100        0   160400
D COMPUSA, INC.                	COMMON           204932107       7      1100 SH       OTHER   01       1100        0        0
D COMPUSA, INC.                	COMMON           204932107    4678    779600 SH       DEFINED 02     559600        0   220000
D COMPUTER LEARNING CENTERS, I 	COMMON           205199102       7      1800 SH       DEFINED 01       1800        0        0
D COMPUTER LEARNING CENTERS, I 	COMMON           205199102     120     32500 SH       DEFINED 02          0        0    32500
D COMPUTER SCIENCES CORP.      	COMMON           205363104     267      3800 SH       DEFINED 01       3800        0        0
D COMPUTER SCIENCES CORP.      	COMMON           205363104     633      9000 SH       OTHER   01       9000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 62
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COMPUTER SCIENCES CORP.      	COMMON           205363104     619      8802 SH       DEFINED 02          0        0     8802
D COMPUTER SCIENCES CORP.      	COMMON           205363104       4        52 SH       DEFINED 16         52        0        0
D COMPUTER SCIENCES CORP.      	COMMON           205363104     169      2400 SH       DEFINED 17       2400        0        0
D COMPTER TAS                  	COMMON           205477102      12       800 SH       DEFINED 17        800        0        0
D COMPUTER TASK GROUP, INC.    	COMMON           205477102      19      1300 SH       DEFINED 01       1300        0        0
D COMPUTER TASK GROUP, INC.    	COMMON           205477102     240     16300 SH       DEFINED 02          0        0    16300
D COMPUWARE CORP.              	COMMON           205638109       5       200 SH       DEFINED 02          0        0      200
D COMPUWARE CORP.              	COMMON           205638109     617     23677 SH       DEFINED 16      23677        0        0
D COMPUWARE CORP.              	COMMON           205638109     104      4000 SH       DEFINED 17       4000        0        0
D COMSAT CORP.                 	COMMON           20564D107     225      7600 SH       DEFINED 16       7600        0        0
D COMSTOCK RES INC             	COMMON           205768203     182     44200 SH       DEFINED 02          0        0    44200
D COMVERSE TECHNOLOGY INC.     	COMMON           205862402    1509     16000 SH       DEFINED 01      16000        0        0
D COMVERSE TECHNOLOGY INC.     	COMMON           205862402    1039     11017 SH       DEFINED 02          0        0    11017
D COMVERSE TECHNOLOGY INC.     	COMMON           205862402       2        26 SH       DEFINED 16         26        0        0
D CONCENTRIC NETWORK CORPORATI 	COMMON           20589R107   18612    916250 SH       DEFINED 01     681400        0   234850
D CONCENTRIC NETWORK CORPORATI 	COMMON           20589R107    1820     89600 SH       DEFINED 02      42800        0    46800
D CONCENTRIC NETWORK CORPORATI 	COMMON           20589R107     177      8700 SH       DEFINED 05          0        0     8700
D CONCENTRIC NETWORK CORPORATI 	COMMON           20589R107       6       294 SH       DEFINED 16        294        0        0
D COMPUTER HOR                 	COMMON           205908106      42      3650 SH       DEFINED 17       3650        0        0
D COMPUTER HORIZONS CORP       	COMMON           205908106    1831    157500 SH       DEFINED 01     157500        0        0
D COMPUTER HORIZONS CORP       	COMMON           205908106    3165    272300 SH       DEFINED 02     220300        0    52000
D CONCORD COMMUNICATIONS, INC. 	COMMON           206186108     441     11100 SH       DEFINED 01      11100        0        0
D CONCORD COMMUNICATIONS, INC. 	COMMON           206186108     604     15200 SH       DEFINED 02       6100        0     9100
D CONCORD EFS, INC.            	COMMON           206197105     415     20100 SH       OTHER   01          0    20100        0
D CONCORD EFS, INC.            	COMMON           206197105    1307     63355 SH       DEFINED 02          0        0    63355
D CONCORD EFS, INC.            	COMMON           206197105     157      7593 SH       DEFINED 05       7593        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 63
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CONCORD EFS, INC.            	COMMON           206197105       3       160 SH       DEFINED 16        160        0        0
D CONDOR TECHNOLOGY SOLUTIONS, 	COMMON           206772105     498    204100 SH       DEFINED 01     144100        0    60000
D CONDOR TECHNOLOGY SOLUTIONS, 	COMMON           206772105      20      8300 SH       DEFINED 02       5100        0     3200
D CONDOR TECHNOLOGY SOLUTIONS, 	COMMON           206772105       5      2200 SH       DEFINED 05          0        0     2200
D CONECTIV INC                 	COMMON           206829103    1372     69900 SH       DEFINED 01      69900        0        0
D CONECTIV INC                 	COMMON           206829103      93      4750 SH       OTHER   01          0     4750        0
D CONECTIV INC                 	COMMON           206829103     249     12700 SH       DEFINED 02       3000        0     9700
D CONEXANT SYSTEMS INC         	COMMON           207142100    2924     40250 SH       DEFINED 01      39500        0      750
D CONEXANT SYSTEMS INC         	COMMON           207142100     451      6206 SH       DEFINED 02       1606        0     4600
D CONMED CORP.                 	COMMON           207410101    3287    134150 SH       DEFINED 01     121300        0    12850
D CONMED CORP.                 	COMMON           207410101    3138    128100 SH       DEFINED 02      96000        0    32100
D CONMED CORP.                 	COMMON           207410101      12       500 SH       DEFINED 05          0        0      500
D CONNETICS CORP               	COMMON           208192104     553    110600 SH       DEFINED 17     110600        0        0
D CONOCO INC CLASS A           	COMMON           208251306   12857    463300 SH       DEFINED 01     362600        0   100700
D CONOCO INC CLASS A           	COMMON           208251306      25       900 SH       OTHER   01        900        0        0
D CONOCO INC CLASS A           	COMMON           208251306   21627    779340 SH       DEFINED 02     446640        0   332700
D CONOCO INC                   	COMMON           208251405   78120   2853715 SH       DEFINED 01    1905899        0   947816
D CONOCO INC                   	COMMON           208251405    4507    164629 SH       OTHER   01      66765    97864        0
D CONOCO INC                   	COMMON           208251405  212220   7752327 SH       DEFINED 02    5851924        0  1900403
D CONOCO INC                   	COMMON           208251405    3994    145890 SH       DEFINED 05      79752        0    66138
D CONOCO INC                   	COMMON           208251405     316     11538 SH       OTHER   05      10311     1227        0
D CONOCO INC                   	COMMON           208251405    2037     74400 SH       DEFINED 16      74400        0        0
D CONOCO INC                   	COMMON           208251405    1494     54592 SH       DEFINED 17      54592        0        0
D CONOCO INC                   	COMMON           208251405    4072    148760 SH       DEFINED 18     148760        0        0
D CONSECO, INC.                	COMMON           208464107     173      9104 SH       DEFINED 01       3391        0     5713
D CONSECO, INC.                	COMMON           208464107     470     24754 SH       DEFINED 02          0        0    24754

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 64
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CONSECO, INC.                	COMMON           208464107      67      3500 SH       DEFINED 17       3500        0        0
D COSOL ENERGY                 	COMMON           20854P109   26941   1850000 SH       DEFINED 18    1850000        0        0
D CONSOLIDATED EDISON INC.     	COMMON           209115104     307      7400 SH       DEFINED 01       2000        0     5400
D CONSOLIDATED EDISON INC.     	COMMON           209115104     266      6400 SH       OTHER   01          0     6400        0
D CONSOLIDATED EDISON INC.     	COMMON           209115104     104      2500 SH       DEFINED 17       2500        0        0
D CONSOLIDATED FGHT CORP       	COMMON           209232107     266     26900 SH       DEFINED 01      21900        0     5000
D CONSOLIDATED FGHT CORP       	COMMON           209232107     228     23050 SH       DEFINED 02      15250        0     7800
D CONSOLIDATED NATURAL GAS CO. 	COMMON           209615103   16529    265000 SH       DEFINED 01     191600        0    73400
D CONSOLIDATED NATURAL GAS CO. 	COMMON           209615103     480      7699 SH       OTHER   01          0     7699        0
D CONSOLIDATED NATURAL GAS CO. 	COMMON           209615103   27851    446504 SH       DEFINED 02     285904        0   160600
D CONSOLIDATED NATURAL GAS CO. 	COMMON           209615103      50       800 SH       DEFINED 05        800        0        0
D CONSOLIDATED NATURAL GAS CO. 	COMMON           209615103      62      1000 SH       DEFINED 17       1000        0        0
D CONSOLIDATED PAPERS, INC.    	COMMON           209759109     108      4000 SH       DEFINED 01       4000        0        0
D CONSOLIDATED PAPERS, INC.    	COMMON           209759109     129      4800 SH       DEFINED 02        900        0     3900
D CONSOLIDATED STORES CORP.    	COMMON           210149100     455     20625 SH       DEFINED 02          0        0    20625
D CONSOLIDATED STORES CORP.    	COMMON           210149100      26      1200 SH       DEFINED 17       1200        0        0
D CONSORCIO G GRUPO 8% CSD 8/0 	BOND             210306AB2     594   1320000 PRN      DEFINED 17
D CONSTELLATION ENERGY CORP    	COMMON           210371100   13416    476998 SH       DEFINED 01     349100        0   127898
D CONSTELLATION ENERGY CORP    	COMMON           210371100     906     32200 SH       OTHER   01       3400    28800        0
D CONSTELLATION ENERGY CORP    	COMMON           210371100   21882    778040 SH       DEFINED 02     484540        0   293500
D CONSTELLATION ENERGY CORP    	COMMON           210371100    1688     60000 SH       OTHER   0304    60000        0        0
D CONSTELLATION ENERGY CORP    	COMMON           210371100      45      1600 SH       DEFINED 17       1600        0        0
D CONTINENTAL AIRLINES, INC. C 	COMMON           210795308      98      3000 SH       DEFINED 01       3000        0        0
D CONTINENTAL AIRLINES, INC. C 	COMMON           210795308     275      8400 SH       DEFINED 02          0        0     8400
D CONVERGYS CORP               	COMMON           212485106     551     27808 SH       DEFINED 02          8        0    27800
D COOPER CAMERON CORP.         	COMMON           216640102   28770    762118 SH       DEFINED 01     573774        0     188344

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 65
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COOPER CAMERON CORP.         	COMMON           216640102     323      8560 SH       OTHER   01       6136     2424        0
D COOPER CAMERON CORP.         	COMMON           216640102   90349   2393354 SH       DEFINED 02    2075954        0   317400
D COOPER CAMERON CORP.         	COMMON           216640102      79      2100 SH       DEFINED 05          0        0     2100
D COOPER CAMERON CORP.         	COMMON           216640102    1182     31300 SH       DEFINED 17      31300        0        0
D COOPER INDUSTRIES, INC.      	COMMON           216669101   60092   1285393 SH       DEFINED 01     888962        0   396431
D COOPER INDUSTRIES, INC.      	COMMON           216669101    2130     45569 SH       OTHER   01      36200     9369        0
D COOPER INDUSTRIES, INC.      	COMMON           216669101  212176   4538523 SH       DEFINED 02    3419298        0  1119225
D COOPER INDUSTRIES, INC.      	COMMON           216669101    1403     30000 SH       OTHER   0304    30000        0        0
D COOPER INDUSTRIES, INC.      	COMMON           216669101      23       500 SH       DEFINED 05        500        0        0
D COOPER INDUSTRIES, INC.      	COMMON           216669101      47      1000 SH       DEFINED 17       1000        0        0
D COOPER TIRE & RUBBER CO.     	COMMON           216831107    4103    232800 SH       DEFINED 01     169000        0    63800
D COOPER TIRE & RUBBER CO.     	COMMON           216831107      26      1500 SH       OTHER   01        400     1100        0
D COOPER TIRE & RUBBER CO.     	COMMON           216831107    4530    257000 SH       DEFINED 02     155900        0   101100
D COOPER TIRE & RUBBER CO.     	COMMON           216831107      14       800 SH       DEFINED 17        800        0        0
D COORS (ADOLPH) CO. CLASS B   	COMMON           217016104    1678     31000 SH       DEFINED 01      31000        0        0
D COORS (ADOLPH) CO. CLASS B   	COMMON           217016104    2327     43000 SH       DEFINED 02      27600        0    15400
D COORS (ADOLPH) CO. CLASS B   	COMMON           217016104      22       400 SH       DEFINED 17        400        0        0
D COPART, INC.                 	COMMON           217204106     232     12600 SH       DEFINED 02          0        0    12600
D COPYTELE, INC.               	COMMON           217721109     713    600000 SH       DEFINED 01          0        0   600000
D CORDANT TECHNOLOGIES INC     	COMMON           218412104    2750     90338 SH       DEFINED 01      90100        0      238
D CORDANT TECHNOLOGIES INC     	COMMON           218412104      58      1920 SH       OTHER   01       1920        0        0
D CORDANT TECHNOLOGIES INC     	COMMON           218412104    1236     40600 SH       DEFINED 02       4500        0    36100
D CORN PRODUCTS INTERNATIONAL, 	COMMON           219023108     529     17370 SH       DEFINED 01      16370        0     1000
D CORN PRODUCTS INTERNATIONAL, 	COMMON           219023108      35      1162 SH       OTHER   01          0     1162        0
D CORN PRODUCTS INTERNATIONAL, 	COMMON           219023108    2055     67500 SH       DEFINED 02      14000        0    53500
D CORNERSTONE PPTYS INC        	COMMON           21922H103    5722    375200 SH       DEFINED 01     375200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 66
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CORNERSTONE PPTYS INC        	COMMON           21922H103   10968    719200 SH       DEFINED 02     649300        0    69900
D CORNING, INC.                	COMMON           219350105    2472     36061 SH       DEFINED 01      35061        0     1000
D CORNING, INC.                	COMMON           219350105      69      1000 SH       OTHER   01          0     1000        0
D CORNING, INC.                	COMMON           219350105     115      1680 SH       DEFINED 02          0        0     1680
D CORNING, INC.                	COMMON           219350105      82      1200 SH       OTHER   05       1200        0        0
D CORNING, INC.                	COMMON           219350105     185      2700 SH       DEFINED 17       2700        0        0
D CORPORATE EXPRESS, INC.      	COMMON           219888104    3222    342500 SH       DEFINED 01     290500        0    52000
D CORPORATE EXPRESS, INC.      	COMMON           219888104    4382    465900 SH       DEFINED 02     310400        0   155500
D CORPORATE EXPRESS, INC.      	COMMON           219888104    2498    265615 SH       DEFINED 16     265615        0        0
D CORT BUSINESS SVCS CORP      	COMMON           220493100     220      9500 SH       DEFINED 01       9500        0        0
D CORT BUSINESS SVCS CORP      	COMMON           220493100      32      1400 SH       DEFINED 02       1400        0        0
D CORUS BANKSHARES, INC.       	COMMON           220873103     638     24900 SH       DEFINED 02          0        0    24900
D COST PLUS, INC.              	COMMON           221485105    7474    154100 SH       DEFINED 01     109100        0    45000
D COST PLUS, INC.              	COMMON           221485105     356      7350 SH       DEFINED 02       3900        0     3450
D COST PLUS, INC.              	COMMON           221485105      82      1700 SH       DEFINED 05          0        0     1700
D COSTCO WHSL CORP NEW         	COMMON           22160K105     999     13872 SH       DEFINED 01      10400        0     3472
D COSTCO WHSL CORP NEW         	COMMON           22160K105     153      2130 SH       OTHER   01          0     2130        0
D COSTCO WHSL CORP NEW         	COMMON           22160K105    3218     44700 SH       DEFINED 02      13700        0    31000
D COSTCO WHSL CORP NEW         	COMMON           22160K105      94      1300 SH       DEFINED 05          0        0     1300
D COSTCO WHSL CORP NEW         	COMMON           22160K105     263      3659 SH       DEFINED 16       3659        0        0
D COSTCO WHSL CORP NEW         	COMMON           22160K105     173      2400 SH       DEFINED 17       2400        0        0
D COSTAR GROUP INC             	COMMON           22160N109    2224     93150 SH       DEFINED 01      79650        0    13500
D COSTAR GROUP INC             	COMMON           22160N109    2949    123500 SH       DEFINED 02      95400        0    28100
D COSTAR GROUP INC             	COMMON           22160N109      12       500 SH       DEFINED 05          0        0      500
D COUNTRYWIDE CREDIT INDUSTRIES	COMMON           222372104    7391    229165 SH       DEFINED 01     177965        0    51200
D COUNTRYWIDE CREDIT INDUSTRIES	COMMON           222372104      23       700 SH       OTHER   01        700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 67
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D COUNTRYWIDE CREDIT INDUSTRIES	COMMON           222372104   10439    323680 SH       DEFINED 02     196680        0   127000
D COUNTRYWIDE CREDIT INDUSTRIES	COMMON           222372104      12       362 SH       DEFINED 16        362        0        0
D COUNTRYWIDE CREDIT INDUSTRIES	COMMON           222372104      39      1200 SH       DEFINED 17       1200        0        0
D COUSINS PROPERTIES, INC.     	COMMON           222795106    8118    239200 SH       DEFINED 01     239200        0        0
D COUSINS PROPERTIES, INC.     	COMMON           222795106   17916    527900 SH       DEFINED 02     440600        0    87300
D COVAD COMMUNICATIONS GROUP I 	COMMON           222814204   26095    598588 SH       DEFINED 01     544338        0    54250
D COVAD COMMUNICATIONS GROUP I 	COMMON           222814204     767     17600 SH       DEFINED 02      11300        0     6300
D COVAD COMMUNICATIONS GROUP I 	COMMON           222814204      89      2050 SH       DEFINED 05          0        0     2050
D COVENANT TRANSPORT, INC.     	COMMON           22284P105     320     21000 SH       DEFINED 02          0        0    21000
D COX COMMUNICATIONS, INC. CL. 	COMMON           224044107    1384     33155 SH       DEFINED 01      15242        0    17913
D COX COMMUNICATIONS, INC. CL. 	COMMON           224044107    1119     26806 SH       OTHER   01          0    26806        0
D COX COMMUNICATIONS, INC. CL. 	COMMON           224044107      84      2000 SH       DEFINED 05       2000        0        0
D COX COMMUNICATIONS, INC. CL. 	COMMON           224044107      70      1683 SH       DEFINED 16       1683        0        0
D CRAIG (JENNY), INC.          	COMMON           224206102      34     14800 SH       DEFINED 02          0        0    14800
D CREDENCE SYSTEM CORP         	BOND             225302AC2       0  10255000 PRN      DEFINED 17
D CREDITRUST CORP              	COMMON           225429109    3155    140600 SH       DEFINED 01     106900        0    33700
D CREDITRUST CORP              	COMMON           225429109    1811     80700 SH       DEFINED 02      61000        0    19700
D CREDITRUST CORP              	COMMON           225429109      25      1100 SH       DEFINED 05          0        0     1100
D CRESCENDO PH                 	COMMON           225637107     285     15795 SH       DEFINED 17      15795        0        0
D CRESCENDO PHARMACEUTICALS COR	COMMON           225637107    8916    493600 SH       DEFINED 01     463100        0    30500
D CRESCENDO PHARMACEUTICALS COR	COMMON           225637107       2       100 SH       DEFINED 02          0        0      100
D CRESCENT REAL ESTATE EQUITIES	COMMON           225756105    5742    319000 SH       DEFINED 01     304100        0    14900
D CRESCENT REAL ESTATE EQUITIES	COMMON           225756105   36847   2047050 SH       DEFINED 02    1732750        0   314300
D CRESCENT OPER INC            	COMMON           22575M100     223     54560 SH       DEFINED 02          0        0    54560
D CROSS TIMBERS OIL CO.        	COMMON           227573102      43      3200 SH       DEFINED 01       3200        0        0
D CROSS TIMBERS OIL CO.        	COMMON           227573102     196     14500 SH       DEFINED 02       2300        0    12200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 68
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D CROSS TIMBERS ROYALTY TRUST  	COMMON           22757R109     144     12100 SH       DEFINED 05          0        0    12100
D CROSSMANN COMMUNITIES INC    	COMMON           22764E109     219     13400 SH       DEFINED 02        100        0    13300
D CROWN CENTRAL PETROLEUM CORP.	COMMON           228219101     107     17900 SH       DEFINED 02          0        0    17900
D CULLEN FROST BANKERS, INC.   	COMMON           229899109    1001     40040 SH       DEFINED 02       2200        0    37840
D CULP INC                     	COMMON           230215105     106     14600 SH       DEFINED 02          0        0    14600
D CUMMINS ENGINE, INC.         	COMMON           231021106    2994     60100 SH       DEFINED 01      60100        0        0
D CUMMINS ENGINE, INC.         	COMMON           231021106     513     10300 SH       DEFINED 02       2800        0     7500
D CUMMINS ENGINE, INC.         	COMMON           231021106      25       500 SH       DEFINED 17        500        0        0
D CYBERONICS, INC.             	COMMON           23251P102    1303     72900 SH       DEFINED 01      51400        0    21500
D CYBERONICS, INC.             	COMMON           23251P102      54      3000 SH       DEFINED 02       1900        0     1100
D CYBERONICS, INC.             	COMMON           23251P102      14       800 SH       DEFINED 05          0        0      800
D CYBEX COMPUTER PRODS CORP    	COMMON           232522102     247      7400 SH       DEFINED 01       7400        0        0
D CYBEX COMPUTER PRODS CORP    	COMMON           232522102      60      1800 SH       DEFINED 02       1800        0        0
D CYMER, INC.                  	COMMON           232572107   10406    300000 SH       DEFINED 01     211700        0    88300
D CYMER, INC.                  	COMMON           232572107     805     23200 SH       DEFINED 02       8200        0    15000
D CYMER, INC.                  	COMMON           232572107     114      3300 SH       DEFINED 05          0        0     3300
D CYPRESS SEMICONDUCTOR CORP.  	COMMON           232806109   16488    766900 SH       DEFINED 01     565900        0   201000
D CYPRESS SEMICONDUCTOR CORP.  	COMMON           232806109    2182    101500 SH       DEFINED 02      47100        0    54400
D CYPRESS SEMICONDUCTOR CORP.  	COMMON           232806109     161      7500 SH       DEFINED 05          0        0     7500
D CYPRESS SEMICONDUCTOR CORP.  	COMMON           232806109     133      6200 SH       DEFINED 16       6200        0        0
D CYPRESS SEMICONDUCTOR 6% DUE 	BOND             232806AD1   25682  25240000 PRN      DEFINED 17
D CYTEC INDUSTRIES, INC.       	COMMON           232820100     353     15013 SH       DEFINED 01      14800        0      213
D CYTEC INDUSTRIES, INC.       	COMMON           232820100      35      1494 SH       OTHER   01          0     1494        0
D CYTEC INDUSTRIES, INC.       	COMMON           232820100     428     18200 SH       DEFINED 02      18200        0        0
D CYTOTHERAPEUTICS, INC.       	COMMON           232923102     321    214257 SH       DEFINED 01     214257        0        0
D DII GROUP, INC.              	COMMON           232949107    1791     50900 SH       DEFINED 01      50900        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 69
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DII GROUP, INC.              	COMMON           232949107     690     19600 SH       DEFINED 02      10600        0     9000
D DRS TECHNOLOGIES INC         	COMMON           23330X100    1000    100000 SH       DEFINED 01          0        0   100000
D D. R. HORTON, INC.           	COMMON           23331A109    2330    180100 SH       DEFINED 01     180100        0        0
D D. R. HORTON, INC.           	COMMON           23331A109    1991    153918 SH       DEFINED 02      85600        0    68318
D DST SYSTEMS, INC.            	COMMON           233326107    1553     27300 SH       DEFINED 01      27300        0        0
D DST SYSTEMS, INC.            	COMMON           233326107    1311     23042 SH       DEFINED 02       1100        0    21942
D DST SYSTEMS, INC.            	COMMON           233326107     114      2000 SH       DEFINED 05       2000        0        0
D DST SYSTEMS, INC.            	COMMON           233326107       1        19 SH       DEFINED 16         19        0        0
D DSP COMMUNICATIONS, INC.     	COMMON           23332K106      59      3100 SH       DEFINED 01       3100        0        0
D DSP COMMUNICATIONS, INC.     	COMMON           23332K106     374     19700 SH       DEFINED 02       1100        0    18600
D DTE ENERGY COMPANY           	COMMON           233331107   13721    377200 SH       DEFINED 01     298300        0    78900
D DTE ENERGY COMPANY           	COMMON           233331107      18       500 SH       OTHER   01        500        0        0
D DTE ENERGY COMPANY           	COMMON           233331107   18122    498200 SH       DEFINED 02     303500        0   194700
D DTE ENERGY COMPANY           	COMMON           233331107      58      1600 SH       DEFINED 17       1600        0        0
D DAIN RAUSCHER CORPORATION    	COMMON           233856103     480      9800 SH       DEFINED 02       6200        0     3600
D DAL-TILE INTL INC            	COMMON           23426R108     248     31200 SH       DEFINED 01      31200        0        0
D DAL-TILE INTL INC            	COMMON           23426R108     387     48800 SH       DEFINED 02      11200        0    37600
D DALLAS SEMICONDUCTOR CORP.   	COMMON           235204104     502      9400 SH       DEFINED 01       9400        0        0
D DALLAS SEMICONDUCTOR CORP.   	COMMON           235204104    1379     25800 SH       DEFINED 02       1300        0    24500
D DANA CORP.                   	COMMON           235811106   36166    974171 SH       DEFINED 01     687171        0   287000
D DANA CORP.                   	COMMON           235811106     509     13700 SH       OTHER   01       1700    12000        0
D DANA CORP.                   	COMMON           235811106   72815   1961346 SH       DEFINED 02    1345846        0   615500
D DANA CORP.                   	COMMON           235811106      26       700 SH       DEFINED 05        700        0        0
D DANA CORP.                   	COMMON           235811106       2        49 SH       DEFINED 16         49        0        0
D DANA CORP.                   	COMMON           235811106      67      1800 SH       DEFINED 17       1800        0        0
D DANAHER CORP.                	COMMON           235851102      73      1389 SH       DEFINED 01          0        0     1389

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 70
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DANAHER CORP.                	COMMON           235851102    1060     20123 SH       DEFINED 02          0        0    20123
D DANAHER CORP.                	COMMON           235851102       3        61 SH       DEFINED 16         61        0        0
D DANAHER CORP.                	COMMON           235851102      79      1500 SH       DEFINED 17       1500        0        0
D DARDEN RESTAURANTS, INC.     	COMMON           237194105    1702     87000 SH       DEFINED 01      87000        0        0
D DARDEN RESTAURANTS, INC.     	COMMON           237194105     184      9400 SH       OTHER   01       2200     7200        0
D DARDEN RESTAURANTS, INC.     	COMMON           237194105     321     16400 SH       DEFINED 02       4000        0    12400
D DARDEN RESTAURANTS, INC.     	COMMON           237194105      29      1500 SH       DEFINED 17       1500        0        0
D DATA DIMENSI                 	COMMON           237654207      17     10700 SH       DEFINED 17      10700        0        0
D DATA GENERAL                 	COMMON           237688106       0     10300 SH       DEFINED 16      10300        0        0
D DATA GENERAL CORP.           	COMMON           237688106    4994    237100 SH       DEFINED 01     237100        0        0
D DATA GENERAL CORP.           	COMMON           237688106     868     41200 SH       DEFINED 02       8100        0    33100
D DATA GENERAL CORP.           	COMMON           237688106      13       600 SH       DEFINED 17        600        0        0
D DATAMETRICS CORP             	COMMON           238085104     300    200000 SH       DEFINED 01          0        0   200000
D DATASCOPE CORP.              	COMMON           238113104      84      2400 SH       DEFINED 02       2400        0        0
D DAVE & BUSTERS, INC.         	COMMON           23833N104     159     13300 SH       DEFINED 02          0        0    13300
D DAYTON-HUDSON                	COMMON           239753106      85      1411 SH       DEFINED 16       1411        0        0
D DAYTON-HUDSON CORP.          	COMMON           239753106  153248   2551453 SH       DEFINED 01    1388074        0  1163379
D DAYTON-HUDSON CORP.          	COMMON           239753106    7295    121450 SH       OTHER   01      74590    46860        0
D DAYTON-HUDSON CORP.          	COMMON           239753106  237024   3946259 SH       DEFINED 02    2756159        0  1190100
D DAYTON-HUDSON CORP.          	COMMON           239753106     276      4600 SH       DEFINED 05       3100        0     1500
D DAYTON-HUDSON CORP.          	COMMON           239753106    1772     29500 SH       DEFINED 06      29500        0        0
D DAYTON-HUDSON CORP.          	COMMON           239753106    2042     34000 SH       OTHER   09      34000        0        0
D DAYTON-HUDSON CORP.          	COMMON           239753106   18307    304800 SH       DEFINED 17     304800        0        0
D DAYTON-HUDSON CORP.          	COMMON           239753106    1502     25003 SH       DEFINED 18      25003        0        0
D DEERE & CO                   	COMMON           244199105       0     25096 SH       DEFINED 16      25096        0        0
D DEERE & CO.                  	COMMON           244199105   71257   1841835 SH       DEFINED 01    1216875        0   624960

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 71
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DEERE & CO.                  	COMMON           244199105     752     19425 SH       OTHER   01       7275    12150        0
D DEERE & CO.                  	COMMON           244199105  223575   5778922 SH       DEFINED 02    4182222        0  1596700
D DEERE & CO.                  	COMMON           244199105     774     20000 SH       OTHER   0304    20000        0        0
D DEERE & CO.                  	COMMON           244199105     209      5400 SH       DEFINED 05       5400        0        0
D DEERE & CO.                  	COMMON           244199105     790     20425 SH       OTHER   09      20425        0        0
D DEERE & CO.                  	COMMON           244199105      97      2500 SH       DEFINED 17       2500        0        0
D DELCO REMY INTERNATIONAL INC 	COMMON           246626105     145     16100 SH       DEFINED 02       2600        0    13500
D DELHAIZE AMER INC            	COMMON           246688105     381     18000 SH       DEFINED 01          0        0    18000
D DELHAIZE AMER INC            	COMMON           246688105    1278     60300 SH       DEFINED 02          0        0    60300
D DELHAIZE AMER INC            	COMMON           246688105     198      9333 SH       DEFINED 17       9333        0        0
D DELHAIZE AMER INC            	COMMON           246688204     407     18000 SH       DEFINED 01          0        0    18000
D DELIA*S INC                  	COMMON           246885107      77     12200 SH       DEFINED 01      12200        0        0
D DELIA*S INC                  	COMMON           246885107      49      7800 SH       DEFINED 02       7800        0        0
D DELL COMPUTE                 	COMMON           247025109       0     39571 SH       DEFINED 16      39571        0        0
D DELL COMPUTER CORP.          	COMMON           247025109  122200   2922531 SH       DEFINED 01    1839831        0  1082700
D DELL COMPUTER CORP.          	COMMON           247025109      21       500 SH       OTHER   01        500        0        0
D DELL COMPUTER CORP.          	COMMON           247025109  274904   6574601 SH       DEFINED 02    4429900        0  2144700
D DELL COMPUTER CORP.          	COMMON           247025109     195      4660 SH       DEFINED 05       2900        0     1760
D DELL COMPUTER CORP.          	COMMON           247025109    7066    169000 SH       DEFINED 17     169000        0        0
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105   32497   2023118 SH       DEFINED 01    1440038        0   583080
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105    1237     77007 SH       OTHER   01      18300    58707        0
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105   53307   3318631 SH       DEFINED 02    2169292        0  1149339
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105     305     19004 SH       DEFINED 05      13555        0     5449
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105      24      1466 SH       OTHER   05        698      768        0
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105     100      6200 SH       DEFINED 17       6200        0        0
D DELPHI AUTOMOTIVE SYS        	COMMON           247126105   32929   2050000 SH       DEFINED 18    2050000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 72
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DELPHI FINANCIAL GROUP, INC. 	COMMON           247131105    1336     44248 SH       DEFINED 01      41800        0     2448
D DELPHI FINANCIAL GROUP, INC. 	COMMON           247131105      39      1300 SH       OTHER   01          0     1300        0
D DELPHI FINANCIAL GROUP, INC. 	COMMON           247131105    3348    110899 SH       DEFINED 02      20100        0    90799
D DELTA & PINE LAND CO.        	COMMON           247357106    9247    357365 SH       DEFINED 01     342365        0    15000
D DELTA & PINE LAND CO.        	COMMON           247357106      78      3000 SH       DEFINED 05          0        0     3000
D DELTA & PINE LAND CO.        	COMMON           247357106     492     19000 SH       DEFINED 16      19000        0        0
D DELTA AIR LINES, INC.        	COMMON           247361108     970     20000 SH       OTHER   01          0    20000        0
D DELTA AIR LINES, INC.        	COMMON           247361108      29       600 SH       DEFINED 02        600        0        0
D DELTA AIR LINES, INC.        	COMMON           247361108      39       800 SH       OTHER   05          0      800        0
D DELTA AIR LINES, INC.        	COMMON           247361108      73      1500 SH       DEFINED 17       1500        0        0
D DELTA AIRLIN                 	COMMON           247361108     798     16400 SH       DEFINED 16      16400        0        0
D DELTA FINANCIAL CORP         	COMMON           247918105     196     39100 SH       DEFINED 02          0        0    39100
D DELUXE CORP.                 	COMMON           248019101    2533     74500 SH       DEFINED 01      74500        0        0
D DELUXE CORP.                 	COMMON           248019101     109      3200 SH       OTHER   01          0     3200        0
D DELUXE CORP.                 	COMMON           248019101     925     27200 SH       DEFINED 02       4100        0    23100
D DELUXE CORP.                 	COMMON           248019101      31       900 SH       DEFINED 17        900        0        0
D DENTSPLY INTERNATIONAL, INC. 	COMMON           249030107    1747     76800 SH       DEFINED 01      73900        0     2900
D DENTSPLY INTERNATIONAL, INC. 	COMMON           249030107     273     12000 SH       DEFINED 02       3300        0     8700
D DESC S.A. DE C.V. - A/D/R    	COMMON           250309101    2390    142691 SH       DEFINED 17     142691        0        0
D DEUTSCHE TEL                 	COMMON           251566105     210      5000 SH       DEFINED 17       5000        0        0
D DEVELOPERS DIVERSIFIED REALTY	COMMON           251591103    4455    318200 SH       DEFINED 01     318200        0        0
D DEVELOPERS DIVERSIFIED REALTY	COMMON           251591103    8812    629400 SH       DEFINED 02     573300        0    56100
D DEVON ENERGY CORP NEW        	COMMON           25179M103   22236    536600 SH       DEFINED 01     413100        0   123500
D DEVON ENERGY CORP NEW        	COMMON           25179M103    8167    197100 SH       DEFINED 02     146400        0    50700
D DEVON ENERGY CORP NEW        	COMMON           25179M103     186      4500 SH       DEFINED 05          0        0     4500
D DEVRY, INC.                  	COMMON           251893103    8264    413200 SH       DEFINED 01     291300        0   121900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 73
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DEVRY, INC.                  	COMMON           251893103     490     24500 SH       DEFINED 02      10100        0    14400
D DEVRY, INC.                  	COMMON           251893103      88      4400 SH       DEFINED 05          0        0     4400
D DIAGNOSTIC PRODUCTS CORP.    	COMMON           252450101      72      2700 SH       DEFINED 01       2700        0        0
D DIAGNOSTIC PRODUCTS CORP.    	COMMON           252450101     609     22700 SH       DEFINED 02       7400        0    15300
D DIAL CORP NEW                	COMMON           25247D101     408     15990 SH       DEFINED 01          0        0    15990
D DIAMOND OFFSHORE DRILLING, IN	COMMON           25271C102    7252    217300 SH       DEFINED 01     159600        0    57700
D DIAMOND OFFSHORE DRILLING, IN	COMMON           25271C102     184      5500 SH       OTHER   01        500     5000        0
D DIAMOND OFFSHORE DRILLING, IN	COMMON           25271C102   14368    430516 SH       DEFINED 02     267716        0   162800
D DIAMOND OFFS                 	COMMON           25271CAA0            150000 SH       DEFINED 16     150000        0        0
D DIAMOND TECHNOLOGY PARTNERS  	COMMON           252762109    4622    103000 SH       DEFINED 01      72900        0    30100
D DIAMOND TECHNOLOGY PARTNERS  	COMMON           252762109     193      4300 SH       DEFINED 02       2700        0     1600
D DIAMOND TECHNOLOGY PARTNERS  	COMMON           252762109      49      1100 SH       DEFINED 05          0        0     1100
D DIEBOLD, INC.                	COMMON           253651103     269     11616 SH       DEFINED 01          0        0    11616
D DIGEX INC DEL                	COMMON           253756100     663     28000 SH       DEFINED 01      28000        0        0
D DIGEX INC DEL                	COMMON           253756100    1632     68900 SH       DEFINED 02      52300        0    16600
D DIGITAL MICROWAVE CORP.      	COMMON           253859102       9       600 SH       DEFINED 01        600        0        0
D DIGITAL MICROWAVE CORP.      	COMMON           253859102     635     40500 SH       DEFINED 02          0        0    40500
D DIGITAL IS INC DEL           	COMMON           25385N101    3221    123900 SH       DEFINED 01     123900        0        0
D DIGITAL IS INC DEL           	COMMON           25385N101    7652    294300 SH       DEFINED 02     218600        0    75700
D DILLARD'S INC. CL A          	COMMON           254067101    1613     79400 SH       DEFINED 01      79400        0        0
D DILLARD'S INC. CL A          	COMMON           254067101     256     12606 SH       DEFINED 02       3306        0     9300
D DILLARD'S INC. CL A          	COMMON           254067101      83      4100 SH       DEFINED 06       4100        0        0
D DILLARD'S INC. CL A          	COMMON           254067101      24      1200 SH       DEFINED 17       1200        0        0
D DIME BANCORP, INC.           	COMMON           25429Q102   39068   2232484 SH       DEFINED 01    1302884        0   929600
D DIME BANCORP, INC.           	COMMON           25429Q102      25      1400 SH       OTHER   01       1400        0        0
D DIME BANCORP, INC.           	COMMON           25429Q102   96783   5530452 SH       DEFINED 02    3568916        0  1961536

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 74
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DIME BANCORP, INC.           	COMMON           25429Q102      37      2100 SH       DEFINED 05       2100        0        0
D DIMON, INC.                  	COMMON           254394109      93     24100 SH       DEFINED 02          0        0    24100
D DIONEX CORP.                 	COMMON           254546104     923     21600 SH       DEFINED 02          0        0    21600
D DISNEY (WALT) & CO.          	COMMON           254687106  125001   4807741 SH       DEFINED 01    1910150        0  2897591
D DISNEY (WALT) & CO.          	COMMON           254687106   37525   1443261 SH       OTHER   01     726001   717260        0
D DISNEY (WALT) & CO.          	COMMON           254687106  115887   4457211 SH       DEFINED 02    2622211        0  1835000
D DISNEY (WALT) & CO.          	COMMON           254687106    2904    111686 SH       DEFINED 05      46570        0    65116
D DISNEY (WALT) & CO.          	COMMON           254687106     126      4857 SH       OTHER   05       4857        0        0
D DISNEY (WALT) & CO.          	COMMON           254687106    2455     94434 SH       OTHER   101112      0    94434        0
D DISNEY (WALT) & CO.          	COMMON           254687106    1300     50000 SH       DEFINED 16      50000        0        0
D DISNEY (WALT) & CO.          	COMMON           254687106   76193   2930500 SH       DEFINED 17    2930500        0        0
D DISPATCH MGMT SVCS CORP      	COMMON           254927106      49     21900 SH       DEFINED 02          0        0    21900
D DOLE FOOD COMPANY, INC.      	COMMON           256605106     110      5800 SH       DEFINED 01       5800        0        0
D DOLE FOOD COMPANY, INC.      	COMMON           256605106     327     17200 SH       DEFINED 02        200        0    17000
D DOLLAR GENERAL CORP.         	COMMON           256669102    6596    213625 SH       DEFINED 01     213625        0        0
D DOLLAR GENERAL CORP.         	COMMON           256669102    2212     71641 SH       DEFINED 02          0        0    71641
D DOLLAR GENERAL CORP.         	COMMON           256669102      17       550 SH       DEFINED 16        550        0        0
D DOLLAR GENERAL CORP.         	COMMON           256669102      74      2400 SH       DEFINED 17       2400        0        0
D DOLLAR THRIFTY AUTOMOTIVE GRO	COMMON           256743105     890     43000 SH       DEFINED 01      43000        0        0
D DOLLAR THRIFTY AUTOMOTIVE GRO	COMMON           256743105     987     47700 SH       DEFINED 02      23100        0    24600
D DOLLAR TREE STORES INC       	COMMON           256747106    4317    108100 SH       DEFINED 01     108100        0        0
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104   53017   1174895 SH       DEFINED 01     872725        0   302170
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104    1226     27175 SH       OTHER   01       5050    22125        0
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104  126000   2792250 SH       DEFINED 02    2114150        0   678100
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104      23       500 SH       DEFINED 05        500        0        0
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104    1006     22300 SH       OTHER   09      22300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 75
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DOMINION RESOURCES, INC.  VIR	COMMON           257470104      95      2100 SH       DEFINED 17       2100        0        0
D DONALDSON, INC.              	COMMON           257651109     478     20600 SH       DEFINED 02          0        0    20600
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101     422     14600 SH       DEFINED 01        700        0    13900
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101     118      4100 SH       OTHER   01          0     4100        0
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101    1618     56050 SH       DEFINED 02      24450        0    31600
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101    1155     40000 SH       OTHER   0304    40000        0        0
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101     139      4800 SH       DEFINED 05        400        0     4400
D DONNELLEY (R. R.) & SONS, CO.	COMMON           257867101      40      1400 SH       DEFINED 17       1400        0        0
D DOUBLECLICK INC.             	COMMON           258609304   37146    311820 SH       DEFINED 01      85700        0   226120
D DOUBLECLICK INC.             	COMMON           258609304   40791    342420 SH       DEFINED 02     242420        0   100000
D DOUBLECLICK INC.             	COMMON           258609304    1920     16115 SH       DEFINED 17      16115        0        0
D DOUBLECLICK INC 4.75% PFD    	BOND             258609AA4       0   4000000 PRN      DEFINED 17
D DOVER CORP.                  	COMMON           260003108       2        45 SH       DEFINED 16         45        0        0
D DOVER CORP.                  	COMMON           260003108    7895    193151 SH       DEFINED 01     119080        0    74071
D DOVER CORP.                  	COMMON           260003108    1210     29600 SH       OTHER   01          0    29600        0
D DOVER CORP.                  	COMMON           260003108    4988    122040 SH       DEFINED 02      47640        0    74400
D DOVER CORP.                  	COMMON           260003108    7966    194900 SH       DEFINED 18     697200        0        0
D DOVER DOWNS ENTMT INC        	COMMON           260086103     283     20400 SH       DEFINED 02          0        0    20400
D DOW CHEMICAL CO.             	COMMON           260543103   64824    570511 SH       DEFINED 01     347505        0   223006
D DOW CHEMICAL CO.             	COMMON           260543103    6118     53844 SH       OTHER   01       9387    44457        0
D DOW CHEMICAL CO.             	COMMON           260543103  137262   1208028 SH       DEFINED 02     707108        0   500920
D DOW CHEMICAL CO.             	COMMON           260543103    1818     16000 SH       OTHER   0304    16000        0        0
D DOW CHEMICAL CO.             	COMMON           260543103     205      1800 SH       DEFINED 05        300        0     1500
D DOW CHEMICAL CO.             	COMMON           260543103     273      2400 SH       DEFINED 17       2400        0        0
D DOW JONES & CO, INC.         	COMMON           260561105     776     14541 SH       OTHER   01          0    14541        0
D DOW JONES & CO, INC.         	COMMON           260561105     886     16600 SH       DEFINED 02          0        0    16600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 76
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DOW JONES & CO, INC.         	COMMON           260561105      53      1000 SH       DEFINED 17       1000        0        0
D DOWNEY FINANCIAL CORP.       	COMMON           261018105     231     11500 SH       DEFINED 02      11500        0        0
D DREYER'S GRAND ICE CREAM, INC	COMMON           261878102      35      2000 SH       DEFINED 01          0        0     2000
D DREYER'S GRAND ICE CREAM, INC	COMMON           261878102     351     20200 SH       DEFINED 02          0        0    20200
D DRKOOP COM INC               	COMMON           262098106    5474    385800 SH       DEFINED 01     250700        0   135100
D DRKOOP COM INC               	COMMON           262098106     315     22200 SH       DEFINED 01      15100        0     7100
D DRKOOP COM INC               	COMMON           262098106      71      5000 SH       DEFINED 05          0        0     5000
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109   70732   1169121 SH       DEFINED 01     571706        0   597415
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109   10374    171463 SH       OTHER   01      46896   124567        0
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109   12009    198499 SH       DEFINED 02     128400        0    70099
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109    4201     69431 SH       DEFINED 05      37975        0    31456
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109     332      5488 SH       OTHER   05       4904      584        0
D DU PONT (E. I.) DE NEMOURS & 	COMMON           263534109    5830     96369 SH       DEFINED 17      96369        0        0
D DUFF & PHELPS UTILITIES INCOM	COMMON           264324104     165     17026 SH       DEFINED 01      17026        0        0
D DUKE POWER CO.               	COMMON           264399106   13639    247421 SH       DEFINED 01     154276        0    93145
D DUKE POWER CO.               	COMMON           264399106    6569    119164 SH       OTHER   01      47389    71775        0
D DUKE POWER CO.               	COMMON           264399106    1523     27627 SH       DEFINED 02       5900        0    21727
D DUKE POWER CO.               	COMMON           264399106    2470     44800 SH       DEFINED 05      16200        0    28600
D DUKE POWER CO.               	COMMON           264399106     209      3800 SH       OTHER   05          0     3800        0
D DUKE POWER CO.               	COMMON           264399106    2150     39000 SH       DEFINED 17      39000        0        0
D DUKE REALTY INVESTMENTS, INC.	COMMON           264411505    1103     56588 SH       DEFINED 01      56588        0        0
D DUKE REALTY INVESTMENTS, INC.	COMMON           264411505    3995    204868 SH       DEFINED 02     190730        0    14138
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106     876     29336 SH       DEFINED 01      14753        0    14583
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106    2057     68869 SH       OTHER   01       3782    65087        0
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106     998     33400 SH       DEFINED 02          0        0    33400
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106      60      2000 SH       OTHER   05          0     2000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 77
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106     299     10000 SH       OTHER   101112      0    10000        0
D DUN & BRADSTREET CORPORATION 	COMMON           26483B106      54      1800 SH       DEFINED 17       1800        0        0
D DURA AUTOMOTIVE SYSTEMS CORP 	COMMON           265903104    1131     47000 SH       DEFINED 01      47000        0        0
D DURA AUTOMOTIVE SYSTEMS CORP 	COMMON           265903104    2088     86753 SH       DEFINED 02      47300        0    39453
D DURA AUTOMOTIVE SYSTEMS CORP 	COMMON           265903104      17       700 SH       DEFINED 16        700        0        0
D DUPONT PHOTOMASKS, INC.      	COMMON           26613X101     447      9700 SH       DEFINED 01       9700        0        0
D DUPONT PHOTOMASKS, INC.      	COMMON           26613X101      46      1000 SH       DEFINED 02       1000        0        0
D DURA PHARMAC                 	COMMON           26632S109    1326     95100 SH       DEFINED 17       1326        0        0
D DURA PHARMACEUTICALS, INC.   	COMMON           26632S109     210     15100 SH       DEFINED 01      15100        0        0
D DURA PHARMACEUTICALS, INC.   	COMMON           26632S109    1277     91600 SH       DEFINED 02       3200        0    88400
D DURA PHARMACEUTICALS, INC.   	COMMON           26632S109      23      1630 SH       DEFINED 16       1630        0        0
D DYCOM INDUSTRIES, INC.       	COMMON           267475101    7118    168725 SH       DEFINED 01     126600        0    42125
D DYCOM INDUSTRIES, INC.       	COMMON           267475101    3059     72500 SH       DEFINED 02      54900        0    17600
D DYCOM INDUSTRIES, INC.       	COMMON           267475101      68      1600 SH       DEFINED 05          0        0     1600
D ECI TELECOMMUNICATIONS LTD. D	COMMON           268258100     133      5400 SH       DEFINED 01          0        0     5400
D ECI TELECOMMUNICATIONS LTD. D	COMMON           268258100     185      7500 SH       OTHER   01          0     7500        0
D ECI TELECOMMUNICATIONS LTD. D	COMMON           268258100     202      8184 SH       DEFINED 02          0        0     8184
D ECI TELECOMMUNICATIONS LTD. D	COMMON           268258100      74      3000 SH       DEFINED 05       3000        0        0
D EG & G, INC.                 	COMMON           268457108      25       640 SH       DEFINED 01          0        0      640
D EG & G, INC.                 	COMMON           268457108    1026     25800 SH       OTHER   01          0    25800        0
D EG & G, INC.                 	COMMON           268457108      20       500 SH       DEFINED 17        500        0        0
D EMC CORP.                    	COMMON           268648102  384343   5384837 SH       DEFINED 01    2924029        0  2460808
D EMC CORP.                    	COMMON           268648102   42856    600430 SH       OTHER   01     282340   318090        0
D EMC CORP.                    	COMMON           268648102  473652   6636105 SH       DEFINED 02    4931937        0  1704167
D EMC CORP.                    	COMMON           268648102    8565    120000 SH       OTHER   0304   120000        0        0
D EMC CORP.                    	COMMON           268648102    8065    113000 SH       DEFINED 05      43500        0    69500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 78
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EMC CORP.                    	COMMON           268648102      29       400 SH       OTHER   05          0      400        0
D EMC CORP.                    	COMMON           268648102    2991     41900 SH       OTHER   09      41900        0        0
D EMC CORP.                    	COMMON           268648102    1142     16000 SH       OTHER   101112      0    16000        0
D EMC CORP.                    	COMMON           268648102      21       294 SH       DEFINED 16        294        0        0
D EMC CORP.                    	COMMON           268648102    1343     18820 SH       DEFINED 17      18820        0        0
D EMC CORP. CV PFD 144A 03/15/2	BOND             268648AC6    1409    550000 PRN      DEFINED 02
D EMC CORP                     	BOND             26865YAA2    1445    850000 PRN      DEFINED 01
D ENSCO INTERNATIONAL, INC.    	COMMON           26874Q100   12303    681100 SH       DEFINED 01     566700        0   114400
D ENSCO INTERNATIONAL, INC.    	COMMON           26874Q100      18      1000 SH       OTHER   01       1000        0        0
D ENSCO INTERNATIONAL, INC.    	COMMON           26874Q100   26425   1462952 SH       DEFINED 02    1024052        0   438900
D ENSCO INTERNATIONAL, INC.    	COMMON           26874Q100       5       300 SH       DEFINED 05        300        0        0
D ENSCO INTERNATIONAL, INC.    	COMMON           26874Q100       1        42 SH       DEFINED 16         42        0        0
D ENI SPA ADR                  	COMMON           26874R108    4734     75000 SH       DEFINED 17      75000        0        0
D EOG RES INC                  	COMMON           26875P101    1614     75950 SH       DEFINED 01      68000        0     7950
D EOG RES INC                  	COMMON           26875P101    1566     73700 SH       DEFINED 02       2700        0    71000
D E.SPIRE COMMUNICATIONS INC.  	COMMON           269153102     107     14700 SH       DEFINED 02          0        0    14700
D E.SPIRE COMMUNICATIONS INC.  	COMMON           269153102     299     41200 SH       DEFINED 17      41200        0        0
D E-TEK DYNAMICS INC           	COMMON           269240107   11989    221000 SH       DEFINED 01     184750        0    36250
D E-TEK DYNAMICS INC           	COMMON           269240107    6415    118250 SH       DEFINED 02      85000        0    33250
D E-TEK DYNAMICS INC           	COMMON           269240107      71      1300 SH       DEFINED 05          0        0     1300
D E'TOWN CORP.                 	COMMON           269242103    5687    114600 SH       DEFINED 01     113100        0     1500
D E'TOWN CORP.                 	COMMON           269242103    8565    172600 SH       DEFINED 02     136700        0    35900
D E TRADE GROUP, INC.          	COMMON           269246104    1265     53840 SH       DEFINED 01      53840        0        0
D E TRADE GROUP, INC.          	COMMON           269246104    1692     72000 SH       DEFINED 02       2400        0    69600
D E TRADE GROUP, INC.          	COMMON           269246104      16       696 SH       DEFINED 16        696        0        0
D EARTHGRAINS CO.              	COMMON           270319106    1392     62900 SH       DEFINED 01      62900        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 79
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EARTHGRAINS CO.              	COMMON           270319106    1836     83000 SH       DEFINED 02      18900        0    64100
D EARTHGRAINS CO.              	COMMON           270319106       0        12 SH       DEFINED 05         12        0        0
D EARTHSHELL CORP              	COMMON           27032B100     388    100000 SH       DEFINED 01          0        0   100000
D EAST WEST BANCORP INC        	COMMON           27579R104   11875   1000000 SH       DEFINED 01    1000000        0        0
D EASTERN ENTERPRISES          	COMMON           27637F100     130      2800 SH       DEFINED 02       2800        0        0
D EASTERN ENTERPRISES          	COMMON           27637F100    2006     43200 SH       DEFINED 17      43200        0        0
D EASTMAN CHEMICAL CO.         	COMMON           277432100     124      3111 SH       DEFINED 01       1626        0     1485
D EASTMAN CHEMICAL CO.         	COMMON           277432100     148      3711 SH       OTHER   01          0     3711        0
D EASTMAN CHEMICAL CO.         	COMMON           277432100     710     17800 SH       DEFINED 02          0        0    17800
D EASTMAN CHEMICAL CO.         	COMMON           277432100       8       200 SH       DEFINED 05        200        0        0
D EASTMAN CHEMICAL CO.         	COMMON           277432100      36       900 SH       DEFINED 17        900        0        0
D EASTMAN KODAK CO.            	COMMON           277461109  132565   1752932 SH       DEFINED 01    1188952        0   563980
D EASTMAN KODAK CO.            	COMMON           277461109    3209     42431 SH       OTHER   01       4100    38331        0
D EASTMAN KODAK CO.            	COMMON           277461109  266237   3520494 SH       DEFINED 02    2387994        0  1132500
D EASTMAN KODAK CO.            	COMMON           277461109     151      2000 SH       DEFINED 05       2000        0        0
D EASTMAN KODAK CO.            	COMMON           277461109     265      3500 SH       DEFINED 17       3500        0        0
D EATON CORP.                  	COMMON           278058102   58028    672300 SH       DEFINED 01     429920        0   242380
D EATON CORP.                  	COMMON           278058102    2776     32160 SH       OTHER   01       3400    28760        0
D EATON CORP.                  	COMMON           278058102   99088   1148010 SH       DEFINED 02     814910        0   333100
D EATON CORP.                  	COMMON           278058102    2589     30000 SH       OTHER   0304    30000        0        0
D EATON CORP.                  	COMMON           278058102     216      2500 SH       DEFINED 05        400        0     2100
D EATON CORP.                  	COMMON           278058102      86      1000 SH       OTHER   05       1000        0        0
D EATON CORP.                  	COMMON           278058102     682      7900 SH       OTHER   09       7900        0        0
D EATON CORP.                  	COMMON           278058102      69       800 SH       DEFINED 17        800        0        0
D EATON VANCE CORP.            	COMMON           278265103     973     30400 SH       DEFINED 02          0        0    30400
D EBAY INC                     	COMMON           278642103     165      1170 SH       DEFINED 01       1170        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 80
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EBAY INC                     	COMMON           278642103    5121     36300 SH       DEFINED 02      20300        0    16000
D EBAY INC                     	COMMON           278642103    5643     40000 SH       DEFINED 16      40000        0        0
D EBAY INC                     	COMMON           278642103     959      6798 SH       DEFINED 17       6798        0        0
D ECHELON CORP                 	COMMON           27874N105    2711    355524 SH       DEFINED 01       3000        0   352524
D ECHOSTAR COMMUNICATIONS CL. A	COMMON           278762109     209      2300 SH       DEFINED 01       2300        0        0
D ECHOSTAR COMMUNICATIONS CL. A	COMMON           278762109    3287     36200 SH       DEFINED 02          0        0    36200
D ECHOSTAR COMMUNICATIONS CL. A	COMMON           278762109      19       210 SH       DEFINED 16        210        0        0
D ECLIPSE SURGICAL TECHNOLOGIES	COMMON           278849104    1308     79300 SH       DEFINED 01      79300        0        0
D ECLIPSE SURGICAL TECHNOLOGIES	COMMON           278849104    1792    108600 SH       DEFINED 02      62200        0    46400
D ECOLAB, INC.                 	COMMON           278865100      55      1600 SH       DEFINED 01       1600        0        0
D ECOLAB, INC.                 	COMMON           278865100     171      5000 SH       OTHER   01       5000        0        0
D ECOLAB, INC.                 	COMMON           278865100     836     24500 SH       DEFINED 02          0        0    24500
D ECOLAB, INC.                 	COMMON           278865100      48      1400 SH       DEFINED 17       1400        0        0
D EDISON INTERNATIONAL         	COMMON           281020107   10686    439510 SH       DEFINED 01     261200        0   178310
D EDISON INTERNATIONAL         	COMMON           281020107     180      7400 SH       OTHER   01       5000     2400        0
D EDISON INTERNATIONAL         	COMMON           281020107   19407    798199 SH       DEFINED 02     168066        0   630133
D EDISON INTERNATIONAL         	COMMON           281020107    1206     49600 SH       DEFINED 05      13300        0    36300
D EDISON INTERNATIONAL         	COMMON           281020107    4143    170400 SH       DEFINED 17     170400        0        0
D EDUCATION MGMT CORP          	COMMON           28139T101    2085    168500 SH       DEFINED 01     158100        0    10400
D EDUCATION MGMT CORP          	COMMON           28139T101    1969    159100 SH       DEFINED 02     124100        0    35000
D EDUCATION MGMT CORP          	COMMON           28139T101       5       400 SH       DEFINED 05          0        0      400
D EDWARDS (A. G.), INC.        	COMMON           281760108    4775    181025 SH       DEFINED 01     133495        0    47530
D EDWARDS (A. G.), INC.        	COMMON           281760108    1163     44100 SH       OTHER   01      37650     6450        0
D EDWARDS (A. G.), INC.        	COMMON           281760108     418     15850 SH       DEFINED 02       3300        0    12550
D EDWARDS (A. G.), INC.        	COMMON           281760108     791     30000 SH       OTHER   0304    30000        0        0
D EDWARDS (A. G.), INC.        	COMMON           281760108       1        25 SH       DEFINED 16         25        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 81
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EFFICIENT NETWORKS INC       	COMMON           282056100    2699     74200 SH       DEFINED 01      52400        0    21800
D EFFICIENT NETWORKS INC       	COMMON           282056100     107      2950 SH       DEFINED 02       1800        0     1150
D EFFICIENT NETWORKS INC       	COMMON           282056100      29       800 SH       DEFINED 05          0        0      800
D EL PASO ELECTRIC COMPANY     	COMMON           283677854    9860   1095600 SH       DEFINED 01    1095600        0        0
D EL PASO ELECTRIC COMPANY     	COMMON           283677854     552     61300 SH       DEFINED 02      55000        0     6300
D EL PASO ENERGY CAP TRUST 4.75	PREF-CONV        283678209    5447    104000 PRN      DEFINED 01
D EL PASO ENERGY CAP TRUST 4.75	PREF-CONV        283678209    8223    157000 PRN      DEFINED 02
D EL PASO ENERGY CORP DEL      	COMMON           283905107   15208    377850 SH       DEFINED 01     284700        0    93150
D EL PASO ENERGY CORP DEL      	COMMON           283905107     809     20110 SH       OTHER   01       1000    19110        0
D EL PASO ENERGY CORP DEL      	COMMON           283905107   76187   1892850 SH       DEFINED 02    1249650        0   643200
D ELAN PLC A/D/R               	COMMON           284131208     487     14496 SH       DEFINED 01          0        0    14496
D ELAN PLC A/D/R               	COMMON           284131208    1572     46842 SH       DEFINED 02          0        0    46842
D ELAN PLC A/D/R               	COMMON           284131208    1212     36100 SH       DEFINED 16      36100        0        0
D ELCOM INTL INC               	COMMON           284434107    2438    500000 SH       DEFINED 01          0        0   500000
D ELCOR CORPORATION            	COMMON           284443108    1328     53100 SH       DEFINED 01      53100        0        0
D ELCOR CORPORATION            	COMMON           284443108    3427    137075 SH       DEFINED 02     103300        0    33775
D ELECTRIC FUEL CORP           	COMMON           284871100     131    100000 SH       DEFINED 01          0        0   100000
D ELECTRO SCIENTIFIC INDUSTRIES	COMMON           285229100    4572     85800 SH       DEFINED 01      60600        0    25200
D ELECTRO SCIENTIFIC INDUSTRIES	COMMON           285229100     783     14700 SH       DEFINED 02       7100        0     7600
D ELECTRO SCIENTIFIC INDUSTRIES	COMMON           285229100      48       900 SH       DEFINED 05          0        0      900
D ELECTROGLAS, INC.            	COMMON           285324109     213      9100 SH       DEFINED 02          0        0     9100
D ELECTRONIC A                 	COMMON           285512109       0     21036 SH       DEFINED 16      21036        0        0
D ELECTRONIC ARTS, INC.        	COMMON           285512109    2852     39400 SH       DEFINED 01      37900        0     1500
D ELECTRONIC ARTS, INC.        	COMMON           285512109    5704     78808 SH       DEFINED 02      46508        0    32300
D ELECTRONIC DATA SYSTEMS CORP.	COMMON           285661104   74149   1400670 SH       DEFINED 01     951950        0   448720
D ELECTRONIC DATA SYSTEMS CORP.	COMMON           285661104    1530     28901 SH       OTHER   01       2712    26189        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 82
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ELECTRONIC DATA SYSTEMS CORP.	COMMON           285661104  106960   2020470 SH       DEFINED 02    1207070        0   813400
D ELECTRONIC DATA SYSTEMS CORP.	COMMON           285661104      64      1200 SH       DEFINED 05       1200        0        0
D ELECTRONIC DATA SYSTEMS CORP.	COMMON           285661104     371      7000 SH       DEFINED 17       7000        0        0
D ELECTRONICS FOR IMAGING, INC.	COMMON           286082102    3316     64500 SH       DEFINED 01      64500        0        0
D ELECTRONICS FOR IMAGING, INC.	COMMON           286082102     807     15700 SH       DEFINED 02       2900        0    12800
D ELECTRONICS FOR IMAGING, INC.	COMMON           286082102       1        23 SH       DEFINED 16         23        0        0
D ELF AQUITAIN                 	COMMON           286269105       0     31900 SH       DEFINED 16      31900        0        0
D ELF AQUITAIN                 	COMMON           286269105   17866    194588 SH       DEFINED 17     194588        0        0
D ELSEVIER N.V. SPONS. A/D/R   	COMMON           290259100     289     14000 SH       OTHER   01          0    14000        0
D ELSEVIER N.V. SPONS. A/D/R   	COMMON           290259100     113      5500 SH       DEFINED 05        500        0     5000
D EMBOTELLADORA ANDINA S.A.    	COMMON           29081P204     860     49700 SH       DEFINED 17      49700        0        0
D EMERSON ELECTRIC             	COMMON           291011104       8       123 SH       DEFINED 16        123        0        0
D EMERSON ELECTRIC CO.         	COMMON           291011104   97199   1538250 SH       DEFINED 01    1114535        0   423715
D EMERSON ELECTRIC CO.         	COMMON           291011104    4155     65762 SH       OTHER   01      17308    48454        0
D EMERSON ELECTRIC CO.         	COMMON           291011104  145172   2297466 SH       DEFINED 02    1440666        0   856800
D EMERSON ELECTRIC CO.         	COMMON           291011104     632     10000 SH       OTHER   0304    10000        0        0
D EMERSON ELECTRIC CO.         	COMMON           291011104    3012     47660 SH       DEFINED 05      14060        0    33600
D EMERSON ELECTRIC CO.         	COMMON           291011104     114      1800 SH       OTHER   05       1800        0        0
D EMERSON ELECTRIC CO.         	COMMON           291011104     297      4700 SH       DEFINED 17       4700        0        0
D EMMIS BROADCASTING CORP. CL. 	COMMON           291525103    2068     31300 SH       DEFINED 01      31300        0        0
D EMMIS BROADCASTING CORP. CL. 	COMMON           291525103     667     10100 SH       DEFINED 02       8200        0     1900
D EMMIS BROADCASTING CORP. CL. 	COMMON           291525103      11       165 SH       DEFINED 16        165        0        0
D EMPRESAS ICA S.A. SPNSRD. A/D	COMMON           292448107    1130    389556 SH       DEFINED 17     389556        0        0
D EMPRESAS ICA SOCIEDAD CONTRL 	PREF-CONV        292448AC1   99531   1750000 PRN      DEFINED 02
D EMPRISAS                     	COMMON           292448AC1       0    500000 SH       DEFINED 16     500000        0        0
D EMPRESA NACIONAL DE ELCTRCID 	COMMON           29244T101     692     53780 SH       DEFINED 17      53780        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 83
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EMULEX CORP.                 	COMMON           292475209    1005     11700 SH       DEFINED 02          0        0    11700
D ENERGEN CORP.                	COMMON           29265N108    1405     69400 SH       DEFINED 02      25700        0    43700
D ENERGY EAST CORPORATION      	COMMON           29266M109    3717    156500 SH       DEFINED 01     154100        0     2400
D ENERGY EAST CORPORATION      	COMMON           29266M109    1489     62700 SH       DEFINED 02       6800        0    55900
D ENERSIS S.A. SPONS. A/D/R    	COMMON           29274F104     731     35020 SH       DEFINED 17      35020        0        0
D ENGELHARD CORP.              	COMMON           292845104    3077    168600 SH       DEFINED 01     118400        0    50200
D ENGELHARD CORP.              	COMMON           292845104     326     17839 SH       OTHER   01          0    17839        0
D ENGELHARD CORP.              	COMMON           292845104     845     46300 SH       DEFINED 02       6000        0    40300
D ENGELHARD CORP.              	COMMON           292845104      26      1400 SH       DEFINED 17       1400        0        0
D ENGINEERING ANIMATION, INC.  	COMMON           292872108      47      3000 SH       DEFINED 01       3000        0        0
D ENGINEERING ANIMATION, INC.  	COMMON           292872108      24      1500 SH       OTHER   01       1500        0        0
D ENGINEERING ANIMATION, INC.  	COMMON           292872108     847     53556 SH       DEFINED 16      53556        0        0
D ENHANCE FINANCIAL SVCS GROUP,	COMMON           293310108     773     43687 SH       DEFINED 01      43687        0        0
D ENHANCE FINANCIAL SVCS GROUP,	COMMON           293310108    2494    141000 SH       DEFINED 02      18600        0   122400
D ENNIS BUSINESS FORMS, INC.   	COMMON           293389102     155     17500 SH       DEFINED 02          0        0    17500
D ENRON CORP.                  	COMMON           293561106   10291    250620 SH       DEFINED 01     185030        0    65590
D ENRON CORP.                  	COMMON           293561106    4282    104274 SH       OTHER   01      22240    82034        0
D ENRON CORP.                  	COMMON           293561106  39629     965074 SH       DEFINED 02     778440        0   186634
D ENRON CORP.                  	COMMON           293561106     926     22550 SH       DEFINED 05      14420        0     8130
D ENRON CORP.                  	COMMON           293561106    8533    207800 SH       DEFINED 17     207800        0        0
D ENTERCOM COMMUNICATIONS CORP 	COMMON           293639100    9623    267300 SH       DEFINED 01     212400        0    54900
D ENTERCOM COMMUNICATIONS CORP 	COMMON           293639100    7740    215000 SH       DEFINED 02     163100        0    51900
D ENTERCOM COMMUNICATIONS CORP 	COMMON           293639100      72      2000 SH       DEFINED 05          0        0     2000
D ENTERGY CORP.                	COMMON           29364G103   27859    962700 SH       DEFINED 01     745700        0   217000
D ENTERGY CORP.                	COMMON           29364G103     326     11275 SH       OTHER   01       5100     6175        0
D ENTERGY CORP.                	COMMON           29364G103   70333   2430464 SH       DEFINED 02    1738864        0   691600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 84
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ENTERGY CORP.                	COMMON           29364G103       3       100 SH       DEFINED 05        100        0        0
D ENTERGY CORP.                	COMMON           29364G103     240      8300 SH       DEFINED 18       8300        0        0
D ENTERTAINMENT PPTYS TR       	COMMON           29380T105     512     35000 SH       DEFINED 02          0        0    35000
D ENTRUST TECHNOLOGIES INC     	COMMON           293848107   31476   1402787 SH       DEFINED 01    1387787        0    15000
D ENZON, INC.                  	COMMON           293904108    1086     35600 SH       DEFINED 01      35600        0        0
D ENZON, INC.                  	COMMON           293904108     293      9600 SH       DEFINED 02       9600        0        0
D ENVIRONMENTAL TECHNOLOGIES C 	COMMON           293961108     113    100000 SH       DEFINED 01          0        0   100000
D EPICOR SOFTWARE CORP         	COMMON           29426L108      79     13800 SH       DEFINED 01      13800        0        0
D EPICOR SOFTWARE CORP         	COMMON           29426L108      91     15812 SH       DEFINED 02        100        0    15712
D EQUANT NV                    	COMMON           294409107   16321    200560 SH       DEFINED 17     200560        0        0
D EQUANT NV-NY REGISTERED SHARE	COMMON           294409107    5265     64700 SH       DEFINED 01      64700        0        0
D EQUANT NV-NY REGISTERED SHARE	COMMON           294409107    8813    108300 SH       DEFINED 02      79000        0    29300
D EQUIFAX, INC.                	COMMON           294429105   48494   1724232 SH       DEFINED 01    1071532        0   652700
D EQUIFAX, INC.                	COMMON           294429105     138      4900 SH       OTHER   01       2900     2000        0
D EQUIFAX, INC.                	COMMON           294429105  102956   3660656 SH       DEFINED 02    2582456        0  1078200
D EQUIFAX, INC.                	COMMON           294429105      68      2400 SH       DEFINED 05       2400        0        0
D EQUIFAX, INC.                	COMMON           294429105       1        38 SH       DEFINED 16         38        0        0
D EQUIFAX, INC.                	COMMON           294429105      45      1600 SH       DEFINED 17       1600        0        0
D EQUITY INNS, INC.            	COMMON           294703103     360     42400 SH       DEFINED 02          0        0    42400
D EQUITY OFFICE PROPERTIES TRUS	COMMON           294741103    8544    367503 SH       DEFINED 01     350503        0    17000
D EQUITY OFFICE PROPERTIES TRUS	COMMON           294741103   27038   1162910 SH       DEFINED 02    1030573        0   132337
D EQUITY OFFICE PROPERTIES TRUS	PREF-CONV        294741509    2944     75000 PRN      DEFINED 02
D EQUITY RESIDENTIAL PROPERTIES	COMMON           29476L107    7390    174393 SH       DEFINED 01     174393        0        0
D EQUITY RESIDENTIAL PROPERTIES	COMMON           29476L107   15766    372051 SH       DEFINED 02     337178        0    34873
D EQUITY RESIDENTIAL PROPERTIES	COMMON           29476L107     614     14500 SH       DEFINED 17      14500        0        0
D EQUITY RESIDENTIAL PROP 7% 12	PREF-CONV        29476L883    6669    275000 PRN      DEFINED 02

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 85
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ERICSSON (L.M.) TELEPHONE CO.	COMMON           294821400     253      8100 SH       DEFINED 01       7400        0      700
D ERICSSON (L.M.) TELEPHONE CO.	COMMON           294821400     506     16200 SH       OTHER   01       7200     9000        0
D ERICSSON (L.M.) TELEPHONE CO.	COMMON           294821400      63      2000 SH       OTHER   05          0     2000        0
D ESTERLINE TECHNOLOGIES CORP. 	COMMON           297425100     172     10900 SH       DEFINED 02       7500        0     3400
D ETHAN ALLEN                  	COMMON           297602104    6004    188850 SH       DEFINED 17     188850        0        0
D ETHAN ALLEN INTERIORS, INC.  	COMMON           297602104     674     21200 SH       DEFINED 02       3500        0    17700
D ETHYL CORP.                  	COMMON           297659104     211     54500 SH       DEFINED 01      54500        0        0
D ETHYL CORP.                  	COMMON           297659104      43     11100 SH       DEFINED 02      11100        0        0
D ETOYS INC                    	COMMON           297862104    3381     50800 SH       DEFINED 01      10800        0    40000
D ETOYS INC                    	COMMON           297862104     373      5600 SH       DEFINED 02       3400        0     2200
D ETOYS INC                    	COMMON           297862104     100      1500 SH       DEFINED 05          0        0     1500
D ETOYS INC                    	COMMON           297862104      67      1000 SH       DEFINED 16       1000        0        0
D EVEREN CAPITAL CORP          	COMMON           299761106      32      1100 SH       DEFINED 01          0        0     1100
D EVEREN CAPITAL CORP          	COMMON           299761106    1106     37500 SH       DEFINED 16      37500        0        0
D EVEREST REINSURANCE HOLDINGS,	COMMON           299808105    1298     54500 SH       DEFINED 01      53100        0     1400
D EVEREST REINSURANCE HOLDINGS,	COMMON           299808105      38      1600 SH       OTHER   01          0     1600        0
D EVEREST REINSURANCE HOLDINGS,	COMMON           299808105     217      9100 SH       DEFINED 02       2300        0     6800
D EXAR CORP.                   	COMMON           300645108   13251    353950 SH       DEFINED 01     299250        0    54700
D EXAR CORP.                   	COMMON           300645108   11690    312250 SH       DEFINED 02     232800        0    79450
D EXAR CORP.                   	COMMON           300645108      75      2000 SH       DEFINED 05          0        0     2000
D EXCALIBUR TECHNOLOGIES CORP. 	COMMON           300651205     782     94800 SH       DEFINED 01      94800        0        0
D EXCALIBUR TECHNOLOGIES CORP. 	COMMON           300651205    1825    221200 SH       DEFINED 02     165400        0    55800
D EXCEL SWITCHING CORPORATION  	COMMON           30067V108    3214     89600 SH       DEFINED 01      89600        0        0
D EXCEL SWITCHING CORPORATION  	COMMON           30067V108     732     20400 SH       DEFINED 02      20400        0        0
D EXCHANGE APPLICATIONS        	COMMON           300867108    6998    240800 SH       DEFINED 01     170100        0    70700
D EXCHANGE APPLICATIONS        	COMMON           300867108     299     10300 SH       DEFINED 02       6600        0     3700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 86
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D EXCHANGE APPLICATIONS        	COMMON           300867108      76      2600 SH       DEFINED 05          0        0     2600
D EXECUTONE INFORMATION SYSTEMS	COMMON           301607107      78     25900 SH       DEFINED 02          0        0    25900
D EXODUS COMMUNICATIONS, INC.  	COMMON           302088109   57062    791830 SH       DEFINED 01     512480        0   279350
D EXODUS COMMUNICATIONS, INC.  	COMMON           302088109    1140     15820 SH       OTHER   01      12270     3550        0
D EXODUS COMMUNICATIONS, INC.  	COMMON           302088109   67486    936480 SH       DEFINED 02     686180        0   250300
D EXODUS COMMUNICATIONS, INC.  	COMMON           302088109     468      6500 SH       DEFINED 05       1500        0     5000
D EXPEDITORS INTL OF WASHINGTON	COMMON           302130109     770     24000 SH       DEFINED 01      24000        0        0
D EXPEDITORS INTL OF WASHINGTON	COMMON           302130109     257      8000 SH       OTHER   01          0     8000        0
D EXPEDITORS INTL OF WASHINGTON	COMMON           302130109      26       800 SH       DEFINED 02          0        0      800
D EXPRESS SCRIPTS, INC.        	COMMON           302182100     282      3600 SH       DEFINED 02          0        0     3600
D EXPRESS SCRIPTS, INC.        	COMMON           302182100       2        20 SH       DEFINED 16         20        0        0
D EXTENDED STAY AMERICA, INC.  	COMMON           30224P101    5143    571400 SH       DEFINED 01     503900        0    67500
D EXTENDED STAY AMERICA, INC.  	COMMON           30224P101    8798    977600 SH       DEFINED 02     742100        0   235500
D EXXON CORP.                  	COMMON           302290101 1012927  13327981 SH       DEFINED 01    4801966        0  8526015
D EXXON CORP.                  	COMMON           302290101  208708   2746156 SH       OTHER   01    1671275  1074881        0
D EXXON CORP.                  	COMMON           302290101  724327   9530620 SH       DEFINED 02    6306681        0  3223939
D EXXON CORP.                  	COMMON           302290101    1748     23000 SH       OTHER   0304    23000        0        0
D EXXON CORP.                  	COMMON           302290101   28101    369746 SH       DEFINED 05     321074        0    48672
D EXXON CORP.                  	COMMON           302290101    6176     81257 SH       OTHER   05       7120    74137        0
D EXXON CORP.                  	COMMON           302290101    2903     38200 SH       OTHER   09      38200        0        0
D EXXON CORP.                  	COMMON           302290101  183981   2420800 SH       OTHER   101112      0  2420800        0
D EXXON CORP.                  	COMMON           302290101  136800   1800000 SH       OTHER   15    1800000        0        0
D EXXON CORP.                  	COMMON           302290101    5586     73500 SH       DEFINED 17      73500        0        0
D FBL FINL GROUP INC           	COMMON           30239F106      95      4600 SH       DEFINED 01       4600        0        0
D FBL FINL GROUP INC           	COMMON           30239F106     590     28600 SH       DEFINED 02      28600        0        0
D FMC CORP.                    	COMMON           302491303    1848     38300 SH       DEFINED 01      38300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 87
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FMC CORP.                    	COMMON           302491303     290      6000 SH       DEFINED 02       1700        0     4300
D FMC CORP.                    	COMMON           302491303      14       300 SH       DEFINED 17        300        0        0
D FNB FINANCIAL SERVICES CORPOR	COMMON           302526108     960     79200 SH       DEFINED 01      56600        0    22600
D FNB FINANCIAL SERVICES CORPOR	COMMON           302526108      36      3000 SH       DEFINED 02       2000        0     1000
D FNB FINANCIAL SERVICES CORPOR	COMMON           302526108       5       400 SH       DEFINED 05          0        0      400
D FPL GROUP, INC.              	COMMON           302571104   18134    359972 SH       DEFINED 01     205572        0   154400
D FPL GROUP, INC.              	COMMON           302571104     871     17300 SH       OTHER   01          0    17300        0
D FPL GROUP, INC.              	COMMON           302571104   16860    334690 SH       DEFINED 02     153590        0   181100
D FPL GROUP, INC.              	COMMON           302571104      85      1687 SH       DEFINED 05        187        0     1500
D FPL GROUP, INC.              	COMMON           302571104     101      2000 SH       DEFINED 17       2000        0        0
D FAB INDUSTRIES, INC.         	COMMON           302747100     491     37600 SH       DEFINED 02          0        0    37600
D FAIRCHILD SEMICONDUCTOR INTL 	COMMON           303726103    8892    374420 SH       DEFINED 01     265130        0   109290
D FAIRCHILD SEMICONDUCTOR INTL 	COMMON           303726103     362     15230 SH       DEFINED 02       9430        0     5800
D FAIRCHILD SEMICONDUCTOR INTL 	COMMON           303726103      97      4100 SH       DEFINED 05          0        0     4100
D FANTOM TECHNOLOGIES INC.     	COMMON           306906108     135     10000 SH       OTHER   01      10000        0        0
D FAMILY DOLLAR STORES, INC.   	COMMON           307000109    1716     81218 SH       DEFINED 01      81218        0        0
D FAMILY DOLLAR STORES, INC.   	COMMON           307000109      53      2500 SH       DEFINED 05          0        0     2500
D FAMILY GOLF CENTERS INC. 5.75	BOND             30701AAA4    3051   3250000 PRN      DEFINED 02
D FARMER BROTHERS CO.          	COMMON           307675108      50       300 SH       DEFINED 01          0        0      300
D FARMER BROTHERS CO.          	COMMON           307675108     481      2900 SH       DEFINED 02          0        0     2900
D FASTENAL CO.                 	COMMON           311900104     245      5200 SH       DEFINED 01       5200        0        0
D FASTENAL CO.                 	COMMON           311900104    1418     30100 SH       DEFINED 02        200        0    29900
D FDX CORP                     	COMMON           31304N107       3        88 SH       DEFINED 16         88        0        0
D FDX CORPORATION              	COMMON           31304N107     187      4800 SH       DEFINED 01          0        0     4800
D FDX CORPORATION              	COMMON           31304N107     187      4802 SH       DEFINED 02       2602        0     2200
D FDX CORPORATION              	COMMON           31304N107     124      3200 SH       DEFINED 17       3200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 88
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FEDERAL HOME                 	COMMON           313400301   14071    270600 SH       DEFINED 06     270600        0        0
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301   19166    368585 SH       DEFINED 01     287560        0    81025
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301   14872    286000 SH       OTHER   01          0   286000        0
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301   22535    433370 SH       DEFINED 02     172670        0   260700
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301      96      1850 SH       DEFINED 05          0        0     1850
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301    2080     40000 SH       OTHER   101112      0    40000        0
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301    1061     20400 SH       DEFINED 16      20400        0        0
D FEDERAL HOME LOAN MORTGAGE CO	COMMON           313400301     458      8800 SH       DEFINED 17       8800        0        0
D FEDERAL MOGUL CORP.          	COMMON           313549107    2202     79900 SH       DEFINED 01      79900        0        0
D FEDERAL MOGUL CORP.          	COMMON           313549107     890     32300 SH       DEFINED 02      23300        0     9000
D FEDERAL MOGUL CORP.          	COMMON           313549107    2089     75800 SH       DEFINED 16      75800        0        0
D FEDERAL NATL                 	COMMON           313586109       0     57000 SH       DEFINED 16      57000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109  137381   2191508 SH       DEFINED 01    1170937        0  1020571
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109   18301    291943 SH       OTHER   01      47845   244098        0
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109  218609   3487250 SH       DEFINED 02    2146820        0  1340430
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109    1881     30000 SH       OTHER   0304    30000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109    3857     61530 SH       DEFINED 05      20700        0    40830
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109     740     11800 SH       OTHER   09      11800        0        0
D FEDERAL NAT'L MORTGAGE ASSOCI	COMMON           313586109     702     11200 SH       DEFINED 17      11200        0        0
D FEDERAL REALTY INVESTMENT TR.	COMMON           313747206    2389    114100 SH       DEFINED 01     114100        0        0
D FEDERAL REALTY INVESTMENT TR.	COMMON           313747206    6361    303800 SH       DEFINED 02     271900        0    31900
D FEDERATED DEPARTMENT STORES, 	COMMON           31410H101   91843   2102243 SH       DEFINED 01    1321095        0   781148
D FEDERATED DEPARTMENT STORES, 	COMMON           31410H101    3002     68722 SH       OTHER   01      43800    24922        0
D FEDERATED DEPARTMENT STORES, 	COMMON           31410H101  243625   5576479 SH       DEFINED 02    4277329        0  1299150
D FEDERATED DEPARTMENT STORES, 	COMMON           31410H101     197      4500 SH       DEFINED 05       4500        0        0
D FEDERATED DEPARTMENT STORES, 	COMMON           31410H101    3569     81700 SH       DEFINED 17      81700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 89
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FELCOR LODGING TRUST INC     	COMMON           31430F101    2041    116600 SH       DEFINED 01     112600        0     4000
D FELCOR LODGING TRUST INC     	COMMON           31430F101    1187     67800 SH       DEFINED 02      35900        0    31900
D FIDELITY HLDGS INC           	COMMON           31617J108     200     12000 SH       DEFINED 01      12000        0        0
D FIDELITY HLDGS INC           	COMMON           31617J108      33      2000 SH       DEFINED 02       2000        0        0
D FIDELITY NATIONAL FINANCIAL,I	COMMON           316326107      46      3000 SH       DEFINED 01       3000        0        0
D FIDELITY NATIONAL FINANCIAL,I	COMMON           316326107     417     27432 SH       DEFINED 02      10500        0    16932
D FIFTH THIRD                  	COMMON           316773100       5        89 SH       DEFINED 16         89        0        0
D FIFTH THIRD BANCORP          	COMMON           316773100    3562     58550 SH       DEFINED 01      58550        0        0
D FIFTH THIRD BANCORP          	COMMON           316773100    6140    100912 SH       OTHER   01          0   100912        0
D FIFTH THIRD BANCORP          	COMMON           316773100     365      6000 SH       DEFINED 05       6000        0        0
D FIFTH THIRD BANCORP          	COMMON           316773100     176      2900 SH       DEFINED 17       2900        0        0
D FILENET CORP.                	COMMON           316869106      31      2900 SH       DEFINED 01       2900        0        0
D FILENET CORP.                	COMMON           316869106     108     10100 SH       DEFINED 02       1000        0     9100
D FINANCIAL FEDERAL CORP.      	COMMON           317492106    9187    489950 SH       DEFINED 01     361950        0   128000
D FINANCIAL FEDERAL CORP.      	COMMON           317492106     330     17600 SH       DEFINED 02      10600        0     7000
D FINANCIAL FEDERAL CORP.      	COMMON           317492106     109      5800 SH       DEFINED 05          0        0     5800
D FINANCIAL SECURITY ASSURN HLD	COMMON           31769P100   11481    222127 SH       DEFINED 01     190335        0    31792
D FINANCIAL SECURITY ASSURN HLD	COMMON           31769P100   13053    252528 SH       OTHER   01       6250   246278        0
D FINANCIAL SECURITY ASSURN HLD	COMMON           31769P100   21678    419400 SH       DEFINED 02     305300        0   114100
D FINANCIAL SECURITY ASSURN HLD	COMMON           31769P100    1618     31300 SH       OTHER   09      31300        0        0
D FINISH LINE, INC. CLASS A    	COMMON           317923100    5091    581800 SH       DEFINED 01     470500        0   111300
D FINISH LINE, INC. CLASS A    	COMMON           317923100     175     20000 SH       OTHER   01          0    20000        0
D FINISH LINE, INC. CLASS A    	COMMON           317923100    2597    296800 SH       DEFINED 02     164200        0   132600
D FINISH LINE, INC. CLASS A    	COMMON           317923100      38      4300 SH       DEFINED 05          0        0     4300
D FINOVA GROUP, INC.           	COMMON           317928109   37197   1019092 SH       DEFINED 01     550400        0   468692
D FINOVA GROUP, INC.           	COMMON           317928109      15       400 SH       OTHER   01        400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 90
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FINOVA GROUP, INC.           	COMMON           317928109   73011   2000298 SH       DEFINED 02    1482398        0   517900
D FINOVA GROUP, INC.           	COMMON           317928109      44      1200 SH       DEFINED 05       1200        0        0
D FINOVA GROUP, INC.           	COMMON           317928109       1        20 SH       DEFINED 16         20        0        0
D FINOVA FIN TR                	PREF-CONV        31808E207    2559     50000 PRN      DEFINED 02
D FINOVA FIN TR                	PREF-CONV        31808E207    2283     44600 PRN      DEFINED 16
D FIRST AMERICAN FINANCIAL CORP	COMMON           318522307    1249     93400 SH       DEFINED 01      93400        0        0
D FIRST AMERICAN FINANCIAL CORP	COMMON           318522307    1003     74996 SH       DEFINED 02      20500        0    54496
D FIRST AMERICAN CORP. TN      	COMMON           318900107   25528    586860 SH       DEFINED 01     407500        0   179360
D FIRST AMERICAN CORP. TN      	COMMON           318900107      57      1300 SH       OTHER   01       1300        0        0
D FIRST AMERICAN CORP. TN      	COMMON           318900107   48122   1106249 SH       DEFINED 02     669210        0   437039
D FIRST AMERICAN CORP. TN      	COMMON           318900107     936     21513 SH       DEFINED 16      21513        0        0
D FIRST CITIZENS BANCSHARES,INC	COMMON           31946M103    1681     21900 SH       DEFINED 02          0        0    21900
D FIRST COMMONWEALTH FINANCIAL 	COMMON           319829107     169      6612 SH       DEFINED 01       6612        0        0
D FIRST COMMONWEALTH FINANCIAL 	COMMON           319829107     232      9107 SH       DEFINED 05       9107        0        0
D FIRST DATA CORP.             	COMMON           319963104   45679   1041108 SH       DEFINED 01     777591        0   263517
D FIRST DATA CORP.             	COMMON           319963104    3267     74466 SH       OTHER   01      14000    60466        0
D FIRST DATA CORP.             	COMMON           319963104   84189   1918846 SH       DEFINED 02    1271866        0   646980
D FIRST DATA CORP.             	COMMON           319963104     277      6304 SH       DEFINED 05       6304        0        0
D FIRST DATA CORP.             	COMMON           319963104     206      4700 SH       DEFINED 17       4700        0        0
D FIRST INDUSTRIAL REALTY TRUST	COMMON           32054K103     569     23010 SH       DEFINED 17      23010        0        0
D FIRST INTERNATIONAL BANCORP, 	COMMON           32054Q100     261     26400 SH       DEFINED 01      26400        0        0
D FIRST INTERNATIONAL BANCORP, 	COMMON           32054Q100     168     17000 SH       DEFINED 02      17000        0        0
D FIRST MIDWEST BANCORP, INC. (	COMMON           320867104     344      9000 SH       DEFINED 01       9000        0        0
D FIRST MIDWEST BANCORP, INC. (	COMMON           320867104     562     14712 SH       DEFINED 02       4000        0    10712
D FIRST HEALTH GROUP CORP.     	COMMON           320960107     229     10200 SH       DEFINED 02          0        0    10200
D FIRST SECURITY CORP. (DE)    	COMMON           336294103     217      9144 SH       DEFINED 16       9144        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 91
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FIRST TENNESSEE NATIONAL CORP	COMMON           337162101    8872    315440 SH       DEFINED 01     239040        0    76400
D FIRST TENNESSEE NATIONAL CORP	COMMON           337162101     698     24800 SH       OTHER   01      19600     5200        0
D FIRST TENNESSEE NATIONAL CORP	COMMON           337162101    9591    341000 SH       DEFINED 02     212200        0   128800
D FIRST TENNESSEE NATIONAL CORP	COMMON           337162101    1046     37200 SH       DEFINED 05      13000        0    24200
D FIRST TENNESSEE NATIONAL CORP	COMMON           337162101      39      1400 SH       OTHER   05       1400        0        0
D FIRST UNION CORP.            	COMMON           337358105  201004   5642209 SH       DEFINED 01    3514946        0  2127263
D FIRST UNION CORP.            	COMMON           337358105    8797    246939 SH       OTHER   01     130433   116506        0
D FIRST UNION CORP.            	COMMON           337358105  512026  14372648 SH       DEFINED 02   10928488        0  3444159
D FIRST UNION CORP.            	COMMON           337358105    1087     30500 SH       OTHER   0304    30500        0        0
D FIRST UNION CORP.            	COMMON           337358105    1762     49446 SH       DEFINED 05      40728        0     8718
D FIRST UNION CORP.            	COMMON           337358105     252      7084 SH       OTHER   05          0     7084        0
D FIRST UNION CORP.            	COMMON           337358105    1636     45925 SH       OTHER   09      45925        0        0
D FIRST UNION CORP.            	COMMON           337358105   13954    391700 SH       DEFINED 17     391704        0        0
D FIRST UNION CORP.            	COMMON           337358105       0         2 SH       DEFINED 18          2        0        0
D FIRST UNION                  	COMMON           337400105    5569   1099960 SH       DEFINED 17    1099960        0        0
D FIRST VIRGINIA BANKS, INC.   	COMMON           337477103    2662     61100 SH       DEFINED 01      37200        0    23900
D FIRST VIRGINIA BANKS, INC.   	COMMON           337477103     474     10875 SH       OTHER   01        750    10125        0
D FIRST VIRGINIA BANKS, INC.   	COMMON           337477103    3176     72904 SH       DEFINED 02      33704        0    39200
D FIRSTAR CORPORATION          	COMMON           33763V109   19578    764032 SH       DEFINED 01     468398        0   295634
D FIRSTAR CORPORATION          	COMMON           33763V109     334     13020 SH       OTHER   01       1596    11424        0
D FIRSTAR CORPORATION          	COMMON           33763V109   16011    624819 SH       DEFINED 02     205874        0   418945
D FIRSTAR CORPORATION          	COMMON           33763V109     263     10260 SH       DEFINED 05       1140        0     9120
D FIRSTAR CORPORATION          	COMMON           33763V109     379     14800 SH       DEFINED 16      14800        0        0
D FIRSTAR CORPORATION          	COMMON           33763V109     276     10754 SH       DEFINED 17      10754        0        0
D FISERV, INC.                 	COMMON           337738108     647     19900 SH       DEFINED 02          0        0    19900
D FISERV, INC.                 	COMMON           337738108      13       394 SH       DEFINED 16        394        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 92
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FIRSTFED FINANCIAL CORPORATIO	COMMON           337907109    2997    172500 SH       DEFINED 01     172500        0        0
D FIRSTFED FINANCIAL CORPORATIO	COMMON           337907109    1261     72600 SH       DEFINED 02      70000        0     2600
D FIRSTMERIT CORP.             	COMMON           337915102    4403    173500 SH       DEFINED 01     136000        0    37500
D FIRSTMERIT CORP.             	COMMON           337915102    5596    220546 SH       DEFINED 02     134746        0    85800
D FLAGSTAR BANCORP, INC.       	COMMON           337930101    1353     88000 SH       DEFINED 01      88000        0        0
D FLAGSTAR BANCORP, INC.       	COMMON           337930101     792     51500 SH       DEFINED 02      48500        0     3000
D FIRSTENERGY CORP.            	COMMON           337932107     124      4900 SH       DEFINED 01        500        0     4400
D FIRSTENERGY CORP.            	COMMON           337932107    1390     54900 SH       DEFINED 02          0        0    54900
D FIRSTENERGY CORP.            	COMMON           337932107      66      2600 SH       DEFINED 17       2600        0        0
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101   41061   1121119 SH       DEFINED 01     365207        0   755912
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101    9670    264020 SH       OTHER   01      66348   197672        0
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101   53939   1472736 SH       DEFINED 02     676525        0   796211
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101      75      2048 SH       DEFINED 05       2048        0        0
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101    1359     37100 SH       DEFINED 06      37100        0        0
D FLEET FINANCIAL GROUP, INC.  	COMMON           338915101     960     26200 SH       DEFINED 17      26200        0        0
D FLEXIINTERNATIONAL SOFTWARE  	COMMON           338923105     132    233832 SH       DEFINED 19     233832        0        0
D FLORIDA EAST COAST INDUSTRIES	COMMON           340632108    1722     55000 SH       DEFINED 01      52000        0     3000
D FLORIDA EAST COAST INDUSTRIES	COMMON           340632108     595     19000 SH       OTHER   01          0    19000        0
D FLORIDA EAST COAST INDUSTRIES	COMMON           340632108     676     21600 SH       DEFINED 02          0        0    21600
D FLORIDA PROGRESS CORP.       	COMMON           341109106     139      3000 SH       DEFINED 01       3000        0        0
D FLORIDA PROGRESS CORP.       	COMMON           341109106     416      9000 SH       OTHER   01          0     9000        0
D FLORIDA PROGRESS CORP.       	COMMON           341109106    1193     25800 SH       DEFINED 02          0        0    25800
D FLORIDA PROGRESS CORP.       	COMMON           341109106      51      1100 SH       DEFINED 17       1100        0        0
D FLORIDA ROCK INDUSTRIES, INC.	COMMON           341140101     115      3300 SH       DEFINED 01       3300        0        0
D FLORIDA ROCK INDUSTRIES, INC.	COMMON           341140101     257      7400 SH       DEFINED 02       7200        0      200
D FLOW INTERNATIONAL CORP.     	COMMON           343468104     113     10900 SH       DEFINED 02          0        0    10900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 93
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FLOWSERVE CORPORATION        	COMMON           34354P105      92      5546 SH       OTHER   01          0     5546        0
D FLOWSERVE CORPORATION        	COMMON           34354P105     140      8400 SH       DEFINED 02       4200        0     4200
D FLUOR CORP.                  	COMMON           343861100      89      2200 SH       DEFINED 01       2200        0        0
D FLUOR CORP.                  	COMMON           343861100     725     18000 SH       OTHER   01          0    18000        0
D FLUOR CORP.                  	COMMON           343861100      32       800 SH       DEFINED 17        800        0        0
D FLUSHING FINANCIAL CORP.     	COMMON           343873105     382     23772 SH       DEFINED 01      23772        0        0
D FLUSHING FINANCIAL CORP.     	COMMON           343873105   14266    888138 SH       OTHER   01          0   888138        0
D FLYCAST COMMUNICATIONS CORP  	COMMON           344067103       5       100 SH       DEFINED 02        100        0        0
D FLYCAST COMMUNICATIONS CORP  	COMMON           344067103     273      6000 SH       DEFINED 16       6000        0        0
D FOAMEX INTERNATIONAL, INC.   	COMMON           344123104      63      9000 SH       OTHER   01          0     9000        0
D FOAMEX INTERNATIONAL, INC.   	COMMON           344123104     136     19400 SH       DEFINED 02          0        0    19400
D FOAMEX INTERNATIONAL, INC.   	COMMON           344123104       4       588 SH       DEFINED 16        588        0        0
D FOMENTO ECONOMICO MEXICANO,SA	COMMON           344419106    7619    243333 SH       DEFINED 17     243333        0        0
D FOMENTO ECONOMICO MEXICANO,SA	COMMON           344419106     497     15884 SH       DEFINED 18      15884        0        0
D FOODMAKER, INC.              	COMMON           344839204    1797     72040 SH       DEFINED 01      71500        0      540
D FOODMAKER, INC.              	COMMON           344839204    1145     45900 SH       DEFINED 02      17600        0    28300
D FOOTSTAR INC                 	COMMON           344912100      77      2185 SH       DEFINED 01       2185        0        0
D FOOTSTAR INC                 	COMMON           344912100     101      2868 SH       OTHER   01       2663      205        0
D FOOTSTAR INC                 	COMMON           344912100     532     15100 SH       DEFINED 02      15100        0        0
D FORD MOTOR CO.               	COMMON           345370100  145634   2898189 SH       DEFINED 01    1982576        0   915613
D FORD MOTOR CO.               	COMMON           345370100    4039     80379 SH       OTHER   01      22591    57788        0
D FORD MOTOR CO.               	COMMON           345370100  306713   6103748 SH       DEFINED 02    4099448        0  2004300
D FORD MOTOR CO.               	COMMON           345370100    2412     48008 SH       DEFINED 05      24141        0    23867
D FORD MOTOR CO.               	COMMON           345370100     251      5000 SH       OTHER   05       5000        0        0
D FORD MOTOR CO.               	COMMON           345370100    4889     97300 SH       DEFINED 17      97300        0        0
D FORD MOTOR CO.               	COMMON           345370100    6532    130000 SH       DEFINED 18     130000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 94
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FOREST CITY ENTERPRISES, INC.	COMMON           345550107     382     17100 SH       DEFINED 02          0        0    17100
D FOREST LABORATORIES, INC.    	COMMON           345838106  109722   2604667 SH       DEFINED 01    1537015        0  1067652
D FOREST LABORATORIES, INC.    	COMMON           345838106    1091     25895 SH       OTHER   01       8420    17475        0
D FOREST LABORATORIES, INC.    	COMMON           345838106  309352   7343669 SH       DEFINED 02    5885499        0  1458170
D FOREST LABORATORIES, INC.    	COMMON           345838106      25       600 SH       DEFINED 05        600        0        0
D FOREST LABORATORIES, INC.    	COMMON           345838106    1129     26800 SH       OTHER   09      26800        0        0
D FORT JAMES CORPORATION       	COMMON           347471104  124505   4665205 SH       DEFINED 01    4526162        0   139043
D FORT JAMES CORPORATION       	COMMON           347471104      32      1200 SH       OTHER   01       1200        0        0
D FORT JAMES CORPORATION       	COMMON           347471104   22259    834060 SH       DEFINED 02     516260        0   317800
D FORT JAMES CORPORATION       	COMMON           347471104     168      6289 SH       DEFINED 05       6289        0        0
D FORT JAMES CORPORATION       	COMMON           347471104    3216    120500 SH       DEFINED 06     120500        0        0
D FORT JAMES CORPORATION       	COMMON           347471104      64      2400 SH       DEFINED 17       2400        0        0
D FORTUNE BRANDS, INC.         	COMMON           349631101     287      8900 SH       DEFINED 01          0        0     8900
D FORTUNE BRANDS, INC.         	COMMON           349631101     103      3200 SH       OTHER   01          0     3200        0
D FORTUNE BRANDS, INC.         	COMMON           349631101    1777     55100 SH       DEFINED 02          0        0    55100
D FORTUNE BRANDS, INC.         	COMMON           349631101     103      3200 SH       DEFINED 05          0        0     3200
D FORTUNE BRANDS, INC.         	COMMON           349631101      58      1800 SH       DEFINED 17       1800        0        0
D FOUNDATION HEALTH SYS INC    	COMMON           350404109     602     63800 SH       DEFINED 01      63800        0        0
D FOUNDATION HEALTH SYS INC    	COMMON           350404109     102     10800 SH       DEFINED 02       2800        0     8000
D FOUR SEASONS HOTEL, INC.     	COMMON           35100E104     786     21500 SH       DEFINED 01      21500        0        0
D FOUR SEASONS HOTEL, INC.     	COMMON           35100E104     406     11100 SH       DEFINED 02      11100        0        0
D FOX ENTERTAINMENT GROUP, INC.	COMMON           35138T107       7       340 SH       DEFINED 01          0        0      340
D FOX ENTERTAINMENT GROUP, INC.	COMMON           35138T107     489     23200 SH       DEFINED 02          0        0    23200
D FRANCE TELEC                 	COMMON           35177Q105    3490     40000 SH       DEFINED 17      40000        0        0
D FRANCHISE FINANCE CORP. OF AM	COMMON           351807102    3137    134200 SH       DEFINED 01     134200        0        0
D FRANCHISE FINANCE CORP. OF AM	COMMON           351807102     851     36400 SH       DEFINED 02      22200        0    14200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 95
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FRANKLIN COVEY CO.           	COMMON           353469109      93     12100 SH       DEFINED 02       6200        0     5900
D FRANKLIN RES                 	COMMON           354613101       2        74 SH       DEFINED 16         74        0        0
D FRANKLIN RESOURCES, INC.     	COMMON           354613101    1061     34700 SH       DEFINED 01       3300        0    31400
D FRANKLIN RESOURCES, INC.     	COMMON           354613101    2010     65750 SH       DEFINED 02      32750        0    33000
D FRANKLIN RESOURCES, INC.     	COMMON           354613101      83      2700 SH       DEFINED 17       2700        0        0
D FREEDOM SECURITIES CORPORATIO	COMMON           35644K103     228     16900 SH       DEFINED 01      16900        0        0
D FREEDOM SECURITIES CORPORATIO	COMMON           35644K103      18      1300 SH       DEFINED 02       1300        0        0
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D105    2428    174968 SH       DEFINED 01      60368        0   114600
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D105    6320    455510 SH       DEFINED 02     291910        0   163600
D FREEPORT-MCMORAN COPPER 5% CV	PREF-CONV        35671D501    3525    200000 PRN      DEFINED 01
D FREEPORT-MCMORAN COPPER 5% CV	PREF-CONV        35671D501   10540    598000 PRN      DEFINED 02
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D857   16498   1060100 SH       DEFINED 01     896700        0   163400
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D857    1832    117746 SH       OTHER   01       2900   114846        0
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D857   16576   1065090 SH       DEFINED 02     591090        0   474000
D FREEPORT-MCMORAN COPPER & GOL	COMMON           35671D857      28      1800 SH       DEFINED 17       1800        0        0
D FREMONT GENERAL CORP.        	COMMON           357288109    6544    693350 SH       DEFINED 01     560750        0   132600
D FREMONT GENERAL CORP.        	COMMON           357288109       8       800 SH       OTHER   01        800        0        0
D FREMONT GENERAL CORP.        	COMMON           357288109    9056    959494 SH       DEFINED 02     692960        0   266534
D FREMONT GENERAL CORP.        	COMMON           357288109      31      3300 SH       DEFINED 05          0        0     3300
D FRESENIUS MED CARE AG        	COMMON           358029106     649     29069 SH       DEFINED 01          0        0    29069
D FRONTIER CORP.               	COMMON           35906P105       0     67540 SH       DEFINED 01      59740        0     7800
D FRONTIER CORP.               	COMMON           35906P105       0      2625 SH       OTHER   01        425     2200        0
D FRONTIER CORP.               	COMMON           35906P105       0       500 SH       DEFINED 05        500        0        0
D FRONTIER CORP.               	COMMON           35906P105       0      1900 SH       DEFINED 17       1900        0        0
D FRONTIER INSURANCE GROUP, INC	COMMON           359081106     147     16770 SH       DEFINED 02          0        0    16770
D FUISZ TECHNOLOGIES LTD.      	COMMON           359536109     183     29000 SH       DEFINED 02          0        0    29000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 96
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D FURNITURE BRANDS INTERNATIONA	COMMON           360921100    9982    506996 SH       DEFINED 01     389796        0   117200
D FURNITURE BRANDS INTERNATIONA	COMMON           360921100      14       700 SH       OTHER   01        700        0        0
D FURNITURE BRANDS INTERNATIONA	COMMON           360921100   10661    541500 SH       DEFINED 02     365500        0   176000
D FURNITURE BRANDS INTERNATIONA	COMMON           360921100      30      1500 SH       DEFINED 05          0        0     1500
D FURON CO.                    	COMMON           361106107     332     13300 SH       DEFINED 02        900        0    12400
D G & K SERVICES, INC.         	COMMON           361268105     522     12900 SH       DEFINED 02          0        0    12900
D GATX CORP.                   	COMMON           361448103    1246     40100 SH       DEFINED 01      40100        0        0
D GATX CORP.                   	COMMON           361448103     280      9000 SH       OTHER   01          0     9000        0
D GATX CORP.                   	COMMON           361448103     214      6900 SH       DEFINED 02       1800        0     5100
D GBC BANCORP (CA)             	COMMON           361475106    1877     96900 SH       DEFINED 01      96900        0        0
D GBC BANCORP (CA)             	COMMON           361475106    1436     74100 SH       DEFINED 02      19900        0    54200
D GP STRATEGIES CORP           	COMMON           36225V104    2250    200000 SH       DEFINED 01          0        0   200000
D GPU, INC.                    	COMMON           36225X100    8973    275025 SH       DEFINED 01     212925        0    62100
D GPU, INC.                    	COMMON           36225X100    7452    228410 SH       DEFINED 02     102510        0   125900
D GPU, INC.                    	COMMON           36225X100      46      1400 SH       DEFINED 17       1400        0        0
D GTE CORP.                    	COMMON           362320103  352424   4584374 SH       DEFINED 01    2988044        0  1596330
D GTE CORP.                    	COMMON           362320103   22494    292603 SH       OTHER   01     122651   169952        0
D GTE CORP.                    	COMMON           362320103  854954  11121356 SH       DEFINED 02    8481497        0  2639858
D GTE CORP.                    	COMMON           362320103    4997     65000 SH       OTHER   0304    65000        0        0
D GTE CORP.                    	COMMON           362320103    7480     97300 SH       DEFINED 05      45270        0    52030
D GTE CORP.                    	COMMON           362320103     784     10200 SH       OTHER   05       5300     4900        0
D GTE CORP.                    	COMMON           362320103    2416     31425 SH       OTHER   09      31425        0        0
D GTE CORP.                    	COMMON           362320103    6586     85669 SH       DEFINED 16      85669        0        0
D GTE CORP.                    	COMMON           362320103  148535   1929790 SH       DEFINED 17    1929790        0        0
D GTE CORP.                    	COMMON           362320103   18944    246430 SH       DEFINED 18     246430        0        0
D GT INTERACTIVE SOFTWARE CORP.	COMMON           36236E109      63     21800 SH       DEFINED 02          0        0    21800

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 97
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GABELLI ASSET MGMT INC       	COMMON           36239Y102    5873    380450 SH       DEFINED 01     305800        0    74650
D GABELLI ASSET MGMT INC       	COMMON           36239Y102    3850    249400 SH       DEFINED 02     196600        0    52800
D GABELLI ASSET MGMT INC       	COMMON           36239Y102      37      2400 SH       DEFINED 05          0        0     2400
D GABLES RESIDENTIAL TRUST S/B/	COMMON           362418105    4140    172500 SH       DEFINED 01     172500        0        0
D GABLES RESIDENTIAL TRUST S/B/	COMMON           362418105    8215    342300 SH       DEFINED 02     315000        0    27300
D GADZOOX NETWORKS INC         	COMMON           362555104     312      5800 SH       DEFINED 01       5800        0        0
D GADZOOX NETWORKS INC         	COMMON           362555104     722     13400 SH       DEFINED 02       9900        0     3500
D GALILEO INTERNATIONAL, INC.  	COMMON           363547100     121      3000 SH       DEFINED 01       3000        0        0
D GALILEO INTERNATIONAL, INC.  	COMMON           363547100     857     21300 SH       DEFINED 02          0        0    21300
D GALLAGHER (ARTHUR J.) & CO.  	COMMON           363576109     469      8800 SH       DEFINED 02          0        0     8800
D GALLAHER GRO                 	COMMON           363595109     344     12500 SH       DEFINED 17      12500
D GANNETT CO                   	COMMON           364730101       6        83 SH       DEFINED 16         83        0        0
D GANNETT, INC.                	COMMON           364730101   83949   1213350 SH       DEFINED 01     817560        0   395790
D GANNETT, INC.                	COMMON           364730101   10705    154724 SH       OTHER   01      50240   104484        0
D GANNETT, INC.                	COMMON           364730101  124889   1805062 SH       DEFINED 02    1161930        0   643132
D GANNETT, INC.                	COMMON           364730101     512      7400 SH       DEFINED 05       7100        0      300
D GANNETT, INC.                	COMMON           364730101     208      3000 SH       DEFINED 17       3000        0        0
D GAP, INC.                    	COMMON           364760108  125561   3923774 SH       DEFINED 01    2592027        0  1331747
D GAP, INC.                    	COMMON           364760108    6737    210525 SH       OTHER   01     114125    96400        0
D GAP, INC.                    	COMMON           364760108  156340   4885631 SH       DEFINED 02    3003856        0  1881775
D GAP, INC.                    	COMMON           364760108      55      1725 SH       DEFINED 05       1725        0        0
D GAP, INC.                    	COMMON           364760108    7197    224900 SH       DEFINED 06     224900        0        0
D GAP, INC.                    	COMMON           364760108    1507     47100 SH       OTHER   09      47100        0        0
D GAP, INC.                    	COMMON           364760108       8       239 SH       DEFINED 16        239        0        0
D GAP, INC.                    	COMMON           364760108     301      9400 SH       DEFINED 17       9400        0        0
D GARDNER DENVER MACHINERY, INC	COMMON           365558105     272     18000 SH       DEFINED 01      18000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 98
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GARDNER DENVER MACHINERY, INC	COMMON           365558105     244     16100 SH       DEFINED 02      11600        0     4500
D GARTNER GROUP INC NEW        	COMMON           366651206      68      4092 SH       DEFINED 01       1893        0     2199
D GARTNER GROUP INC NEW        	COMMON           366651206     335     20086 SH       OTHER   01        748    19338        0
D GARTNER GROUP INC NEW        	COMMON           366651206       6       361 SH       DEFINED 02          0        0      361
D GARTNER GROUP INC NEW        	COMMON           366651206       9       520 SH       OTHER   05          0      520        0
D GARTNER GROUP INC NEW        	COMMON           366651206      43      2604 SH       OTHER   101112      0     2604        0
D GASONICS INTERNATIONAL CORP. 	COMMON           367278108    7257    439800 SH       DEFINED 01     301400        0   138400
D GASONICS INTERNATIONAL CORP. 	COMMON           367278108     318     19300 SH       DEFINED 02      11700        0     7600
D GASONICS INTERNATIONAL CORP. 	COMMON           367278108      78      4700 SH       DEFINED 05          0        0     4700
D GATEWAY INC                  	COMMON           367626108   17985    408760 SH       DEFINED 01     307660        0   101100
D GATEWAY INC                  	COMMON           367626108   28723    652800 SH       DEFINED 02     398400        0   254400
D GATEWAY INC                  	COMMON           367626108      44      1001 SH       DEFINED 16       1001        0        0
D GATEWAY INC                  	COMMON           367626108     150      3400 SH       DEFINED 17       3400        0        0
D GAYLORD CONTAINER CORP. CLASS	COMMON           368145108    1417    198900 SH       DEFINED 01     198900        0        0
D GAYLORD CONTAINER CORP. CLASS	COMMON           368145108    1927    270500 SH       DEFINED 02     159700        0   110800
D GELTEX PHARMACEUTICALS, INC. 	COMMON           368538104      13      1200 SH       DEFINED 02          0        0     1200
D GELTEX PHARMACEUTICALS, INC. 	COMMON           368538104     938     84300 SH       DEFINED 17      84300        0        0
D GENCORP, INC.                	COMMON           368682100      51      2800 SH       DEFINED 01       2800        0        0
D GENCORP, INC.                	COMMON           368682100     566     30900 SH       DEFINED 02      12100        0    18800
D GENE LOGIC INC               	COMMON           368689105     177     28038 SH       OTHER   01          0    28038        0
D GENENTECH INC                	COMMON           368710406    1534     10485 SH       DEFINED 01       3565        0     6920
D GENENTECH INC                	COMMON           368710406      33       225 SH       OTHER   01          0      225        0
D GENENTECH INC                	COMMON           368710406     541      3700 SH       DEFINED 05       1775        0     1925
D GENENTECH INC                	COMMON           368710406    5033     34400 SH       DEFINED 16      34400        0        0
D GENER S A                    	COMMON           368731105     673     44100 SH       DEFINED 17      44100        0        0
D GENERAL CABLE CORP           	COMMON           369300108     110      9200 SH       DEFINED 01       9200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 99
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GENERAL CABLE CORP           	COMMON           369300108     800     66700 SH       DEFINED 02       3600        0    63100
D GENERAL CHEMICAL GROUP, INC. 	COMMON           369332101    3431    997950 SH       DEFINED 01     796450        0   201500
D GENERAL CHEMICAL GROUP, INC. 	COMMON           369332101    1879    546600 SH       DEFINED 02     437100        0   109500
D GENERAL CHEMICAL GROUP, INC. 	COMMON           369332101      24      6900 SH       DEFINED 05          0        0     6900
D GENERAL CIGAR HOLDINGS, INC. 	COMMON           36933P100     320     47400 SH       DEFINED 02          0        0    47400
D GENERAL COMMUNICATION, INC.  	COMMON           369385109     139     26700 SH       DEFINED 02       8300        0    18400
D GENERAL DATACOMM INDUSTRIES, 	COMMON           369487103      30     10600 SH       DEFINED 02          0        0    10600
D GENERAL DYNAMICS CORP.       	COMMON           369550108    1305     20900 SH       DEFINED 01       6100        0    14800
D GENERAL DYNAMICS CORP.       	COMMON           369550108     462      7400 SH       OTHER   01          0     7400        0
D GENERAL DYNAMICS CORP.       	COMMON           369550108    2079     33300 SH       DEFINED 02          0        0    33300
D GENERAL DYNAMICS CORP.       	COMMON           369550108     131      2100 SH       DEFINED 17       2100        0        0
D GENERAL ELECTRIC             	COMMON           369604103       0     71858 SH       DEFINED 16      71858        0        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103 1070007   9024793 SH       DEFINED 01    5171518        0  3853275
D GENERAL ELECTRIC COMPANY     	COMMON           369604103  266896   2251086 SH       OTHER   01     657061  1594025        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103 1221601  10303390 SH       DEFINED 02    6903190        0  3400200
D GENERAL ELECTRIC COMPANY     	COMMON           369604103    2371     20000 SH       OTHER   0304    20000        0        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103   18692    157658 SH       DEFINED 05      97920        0    59738
D GENERAL ELECTRIC COMPANY     	COMMON           369604103    2241     18900 SH       OTHER   05       9700     9200        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103    3118     26300 SH       OTHER   09      26300        0        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103    2846     24000 SH       OTHER   1314        0    24000        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103    3592     30300 SH       DEFINED 17      30300        0        0
D GENERAL ELECTRIC COMPANY     	COMMON           369604103     593      5000 SH       DEFINED 18       5000        0        0
D GENERAL INSTR CORP DEL       	COMMON           370120107     130      2700 SH       DEFINED 01          0        0     2700
D GENERAL INSTR CORP DEL       	COMMON           370120107    6720    140000 SH       DEFINED 16     140000        0        0
D GENERAL INSTR CORP DEL       	COMMON           370120107      91      1900 SH       DEFINED 17       1900        0        0
D GENERAL MAGIC, INC.          	COMMON           370253106      58     30600 SH       DEFINED 02          0        0    30600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 100
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GENERAL MILLS, INC.          	COMMON           370334104    6972     85943 SH       DEFINED 01      69840        0    16103
D GENERAL MILLS, INC.          	COMMON           370334104    4998     61607 SH       OTHER   01       4500    57107        0
D GENERAL MILLS, INC.          	COMMON           370334104    1353     16672 SH       DEFINED 02       8472        0     8200
D GENERAL MILLS, INC.          	COMMON           370334104    3002     37000 SH       OTHER   0304    37000        0        0
D GENERAL MILLS, INC.          	COMMON           370334104     251      3100 SH       DEFINED 05       1800        0     1300
D GENERAL MILLS, INC.          	COMMON           370334104     422      5200 SH       OTHER   05          0     5200        0
D GENERAL MILLS, INC.          	COMMON           370334104     138      1700 SH       DEFINED 17       1700        0        0
D GENERAL MOTORS CORP.         	COMMON           370442105   17136    272275 SH       DEFINED 01     169568        0   102707
D GENERAL MOTORS CORP.         	COMMON           370442105    6440    102329 SH       OTHER   01      21670    80659        0
D GENERAL MOTORS CORP.         	COMMON           370442105   39965    634994 SH       DEFINED 02     342994        0   292000
D GENERAL MOTORS CORP.         	COMMON           370442105    1803     28650 SH       DEFINED 05      20400        0     8250
D GENERAL MOTORS CORP.         	COMMON           370442105     132      2100 SH       OTHER   05       1000     1100        0
D GENERAL MOTORS CORP.         	COMMON           370442105    1328     21100 SH       DEFINED 17      21100        0        0
D GENERAL MOTORS CORPORATION CL	COMMON           370442832     332      5800 SH       DEFINED 01        200        0     5600
D GENERAL MOTORS CORPORATION CL	COMMON           370442832       4        78 SH       OTHER   01         78        0        0
D GENERAL MOTORS CORPORATION CL	COMMON           370442832      34       600 SH       DEFINED 02        600        0        0
D GENERAL MOTORS CORPORATION CL	COMMON           370442832      11       200 SH       DEFINED 05        200        0        0
D GENERAL SEMICONDUCTOR, INC.  	COMMON           370787103     985     95500 SH       DEFINED 01      95500        0        0
D GENERAL SEMICONDUCTOR, INC.  	COMMON           370787103     388     37600 SH       DEFINED 02      14400        0    23200
D GENESCO, INC.                	COMMON           371532102     916     73300 SH       DEFINED 01      73300        0        0
D GENESCO, INC.                	COMMON           371532102     340     27200 SH       DEFINED 02      27200        0        0
D GENESCO INC 5.5% 04/15/05    	BOND             371532AK8    4148   7000000 PRN      DEFINED 02
D GENESEE & WYOMING, INC. CLASS	COMMON           371559105     321     28200 SH       DEFINED 01      28200        0        0
D GENESEE & WYOMING, INC. CLASS	COMMON           371559105      91      8000 SH       DEFINED 02       8000        0        0
D GENTEX CORP.                 	COMMON           371901109      17       800 SH       DEFINED 01        800        0        0
D GENTEX CORP.                 	COMMON           371901109     661     32000 SH       DEFINED 02          0        0    32000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 101
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GENESYS TELECOMMUNICATION LA 	COMMON           371931106    1663     36400 SH       DEFINED 01      36400        0        0
D GENESYS TELECOMMUNICATION LA 	COMMON           371931106     772     16900 SH       DEFINED 02       6000        0    10900
D GENRAD, INC.                 	COMMON           372447102      44      2300 SH       DEFINED 01       2300        0        0
D GENRAD, INC.                 	COMMON           372447102     348     18200 SH       DEFINED 02       1300        0    16900
D GENTEK INC                   	COMMON           37245X104   12623   1109750 SH       DEFINED 01     881150        0   228600
D GENTEK INC                   	COMMON           37245X104    6823    599800 SH       DEFINED 02     478500        0   121300
D GENTEK INC                   	COMMON           37245X104      91      8000 SH       DEFINED 05          0        0     8000
D GENUINE PARTS CO.            	COMMON           372460105   27198   1023895 SH       DEFINED 01     659870        0   364025
D GENUINE PARTS CO.            	COMMON           372460105     670     25228 SH       OTHER   01      14986    10242        0
D GENUINE PARTS CO.            	COMMON           372460105   42899   1615006 SH       DEFINED 02    1055306        0   559700
D GENUINE PARTS CO.            	COMMON           372460105      11       400 SH       DEFINED 05        400        0        0
D GENUINE PARTS CO.            	COMMON           372460105      53      2000 SH       DEFINED 17       2000        0        0
D GEON COMPANY                 	COMMON           37246W105   18267    709400 SH       DEFINED 01     610600        0    98800
D GEON COMPANY                 	COMMON           37246W105   18028    700100 SH       DEFINED 02     475800        0   224300
D GEON COMPANY                 	COMMON           37246W105      88      3400 SH       DEFINED 05          0        0     3400
D GENZYME CORP                 	COMMON           372917104     158      3500 SH       DEFINED 17       3500
D GENZYME CORP.                	COMMON           372917104   73437   1629652 SH       DEFINED 01    1095180        0   534472
D GENZYME CORP.                	COMMON           372917104    1647     36556 SH       OTHER   01      17250    19306        0
D GENZYME CORP.                	COMMON           372917104  179233   3977382 SH       DEFINED 02    3163382        0   814000
D GENZYME CORP.                	COMMON           372917104      32       700 SH       DEFINED 05        700        0        0
D GENZYME CORP.                	COMMON           372917104     726     16100 SH       OTHER   09      16100        0        0
D GENZYME CORP.                	COMMON           372917104      24       532 SH       DEFINED 16        532        0        0
D GENZYME SURGICAL PRODUCTS    	COMMON           372917609     665    118261 SH       DEFINED 01     101007        0    17254
D GENZYME SURGICAL PRODUCTS    	COMMON           372917609       8      1415 SH       OTHER   01        375     1040        0
D GENZYME SURGICAL PRODUCTS    	COMMON           372917609     831    147711 SH       DEFINED 02     138708        0     9003
D GENZYME SURGICAL PRODUCTS    	COMMON           372917609       3       605 SH       DEFINED 17        605        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 102
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GENZYME CORP    5.25%        	BOND             372917AF1    3247   3000000 PRN      DEFINED 01
D GENZYME CORP    5.25%        	BOND             372917AF1    2814   2600000 PRN      DEFINED 02
D GEORGIA GULF CORP.           	COMMON           373200203   18417   1044950 SH       DEFINED 01     855100        0   189850
D GEORGIA GULF CORP.           	COMMON           373200203   13400    760300 SH       DEFINED 02     590100        0   170200
D GEORGIA GULF CORP.           	COMMON           373200203     116      6600 SH       DEFINED 05          0        0     6600
D GEORGIA PACIFIC CORP.        	COMMON           373298108    6777    167600 SH       DEFINED 01      73800        0    93800
D GEORGIA PACIFIC CORP.        	COMMON           373298108     245      6050 SH       OTHER   01       2000     4050        0
D GEORGIA PACIFIC CORP.        	COMMON           373298108   17097    422794 SH       DEFINED 02     204194        0   218600
D GEORGIA PACIFIC CORP.        	COMMON           373298108      12       300 SH       DEFINED 05        300        0        0
D GEORGIA PACIFIC CORP.        	COMMON           373298108      77      1900 SH       DEFINED 17       1900        0        0
D GEORGIA-PACIFIC              	COMMON           373298108       0     15400 SH       DEFINED 16      15400        0        0
D GEORGIA PACIFIC CORPORATION  	COMMON           373298702    3271    143000 SH       DEFINED 01     142000        0     1000
D GEORGIA PACIFIC CORPORATION  	COMMON           373298702     528     23100 SH       DEFINED 02       7100        0    16000
D GERBER SCIENTIFIC, INC.      	COMMON           373730100      90      4000 SH       DEFINED 01       3000        0     1000
D GERBER SCIENTIFIC, INC.      	COMMON           373730100     275     12300 SH       DEFINED 02       4000        0     8300
D GETTY PETE MARKETING INC     	COMMON           374292100      40     14600 SH       DEFINED 02          0        0    14600
D GETTY RLTY CORP NEW          	COMMON           374297109     370     27400 SH       DEFINED 02          0        0    27400
D GIANT INDUSTRIES, INC.       	COMMON           374508109     221     19000 SH       DEFINED 02          0        0    19000
D GIBSON GREETINGS, INC.       	COMMON           374827103      77     14400 SH       DEFINED 02          0        0    14400
D GILEAD SCIENCES, INC.        	COMMON           375558103      19       300 SH       DEFINED 01        300        0        0
D GILEAD SCIENCES, INC.        	COMMON           375558103    1181     18399 SH       DEFINED 02        700        0    17699
D GILEAD SCIENCES, INC.        	COMMON           375558103      64      1001 SH       DEFINED 16       1001        0        0
D GILLETTE CO.                 	COMMON           375766102  119975   3535129 SH       DEFINED 01    2221856        0  1313273
D GILLETTE CO.                 	COMMON           375766102   28913    851935 SH       OTHER   01      41755   810180        0
D GILLETTE CO.                 	COMMON           375766102  244836   7214223 SH       DEFINED 02    5208023        0  2006200
D GILLETTE CO.                 	COMMON           375766102    2634     77600 SH       DEFINED 05      26700        0    50900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 103
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GILLETTE CO.                 	COMMON           375766102     272      8000 SH       OTHER   05       8000        0        0
D GILLETTE CO.                 	COMMON           375766102     842     24800 SH       OTHER   09      24800        0        0
D GILLETTE CO.                 	COMMON           375766102    2172     64000 SH       OTHER   101112      0    64000        0
D GILLETTE CO.                 	COMMON           375766102    2216     65300 SH       DEFINED 16      65300        0        0
D GILLETTE CO.                 	COMMON           375766102    4918    144900 SH       DEFINED 17     144900        0        0
D GLATFELTER (P. H.) CO.       	COMMON           377316104     173     10500 SH       DEFINED 01      10500        0        0
D GLATFELTER (P. H.) CO.       	COMMON           377316104      64      3900 SH       DEFINED 02       3900        0        0
D GLAXO WELLCOME PLC SPONSRD. A	COMMON           37733W105     686     13200 SH       DEFINED 01          0        0    13200
D GLAZO ADRS                   	COMMON           37733W105    1242     23900 SH       DEFINED 17      23900        0        0
D GLENAYRE TECHNOLOGIES, INC.  	COMMON           377899109      78     26150 SH       DEFINED 02          0        0    26150
D GLOBAL INDUSTRIAL TECHNOLOGIE	COMMON           379335102     381     31100 SH       DEFINED 02      21000        0    10100
D GLOBAL INDUSTRIES LTD.       	COMMON           379336100     518     63700 SH       DEFINED 01      63700        0        0
D GLOBAL INDUSTRIES LTD.       	COMMON           379336100      83     10200 SH       DEFINED 02      10200        0        0
D GLOBAL MARIN                 	COMMON           379352404       9       555 SH       DEFINED 16        555        0        0
D GLOBAL MARINE, INC.          	COMMON           379352404   29920   1820150 SH       DEFINED 01    1295650        0   524500
D GLOBAL MARINE, INC.          	COMMON           379352404      23      1400 SH       OTHER   01       1400        0        0
D GLOBAL MARINE, INC.          	COMMON           379352404   59978   3648740 SH       DEFINED 02    2556440        0  1092300
D GLOBAL MARINE, INC.          	COMMON           379352404      28      1700 SH       DEFINED 05       1700        0        0
D GLOBAL MARINE, INC.          	COMMON           379352404    1424     86600 SH       DEFINED 17      86600        0        0
D GLOBAL TELESYSTEMS GROUP, INC	COMMON           37936U104   12628    640389 SH       DEFINED 01     640389        0        0
D GLOBAL TELESYSTEMS GROUP, INC	COMMON           37936U104     205     10400 SH       DEFINED 02          0        0    10400
D GLOBIX CORP                  	COMMON           37957F101    1332     28500 SH       DEFINED 01      28500        0        0
D GLOBIX CORP                  	COMMON           37957F101    3114     66600 SH       DEFINED 02      49700        0    16900
D GOLD BANC CORP INC           	COMMON           379907108     861     87200 SH       DEFINED 01      87200        0        0
D GOLD BANC CORP INC           	COMMON           379907108     720     72900 SH       DEFINED 02      47000        0    25900
D GOLDEN STATE BANCORP INC.    	COMMON           381197102    3365    187600 SH       DEFINED 01     187600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 104
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GOLDEN STATE BANCORP INC.    	COMMON           381197102     702     39140 SH       DEFINED 02       9500        0    29640
D GOLDEN STATE BANCORP         	WARRANT          381197136      78     65500 PRN      DEFINED 01
D GOLDEN STATE BANCORP         	WARRANT          381197136      30     25568 PRN      DEFINED 02
D GOLDEN WEST FINANCIAL CORP.  	COMMON           381317106   12073    122800 SH       DEFINED 01      91000        0    31800
D GOLDEN WEST FINANCIAL CORP.  	COMMON           381317106      39       400 SH       OTHER   01        400        0        0
D GOLDEN WEST FINANCIAL CORP.  	COMMON           381317106   19632    199688 SH       DEFINED 02     131188        0    68500
D GOLDEN WEST FINANCIAL CORP.  	COMMON           381317106     801      8145 SH       DEFINED 06       8145        0        0
D GOLDEN WEST FINANCIAL CORP.  	COMMON           381317106      59       600 SH       DEFINED 17        600        0        0
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104   78646   1289219 SH       DEFINED 01     887295        0   401924
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104    1468     24059 SH       OTHER   01       8900    15159        0
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104  161928   2654550 SH       DEFINED 02    1945450        0   709100
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104    2748     45052 SH       DEFINED 05      17900        0    27152
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104     159      2600 SH       OTHER   05       2600        0        0
D GOLDMAN SACHS GROUP INC      	COMMON           38141G104     817     13400 SH       OTHER   09      13400        0        0
D B F GOODRICH                 	COMMON           382388106       4       140 SH       DEFINED 16        140        0        0
D GOODRICH (B. F.) CO.         	COMMON           382388106   34859   1202032 SH       DEFINED 01     906112        0   295920
D GOODRICH (B. F.) CO.         	COMMON           382388106      19       672 SH       OTHER   01        672        0        0
D GOODRICH (B. F.) CO.         	COMMON           382388106   78180   2695871 SH       DEFINED 02    2140934        0   554937
D GOODRICH (B. F.) CO.         	COMMON           382388106      23       800 SH       DEFINED 05        800        0        0
D GOODRICH (B. F.) CO.         	COMMON           382388106    7453    257000 SH       DEFINED 06     257000        0        0
D GOODRICH (B. F.) CO.         	COMMON           382388106      35      1200 SH       DEFINED 17       1200        0        0
D GOODYEAR TIRE & RUBBER CO.   	COMMON           382550101   41671    865900 SH       DEFINED 01     629200        0   236700
D GOODYEAR TIRE & RUBBER CO.   	COMMON           382550101     327      6800 SH       OTHER   01       1600     5200        0
D GOODYEAR TIRE & RUBBER CO.   	COMMON           382550101   86171   1790562 SH       DEFINED 02    1131562        0   659000
D GOODYEAR TIRE & RUBBER CO.   	COMMON           382550101      14       300 SH       DEFINED 05        300        0        0
D GOODYEAR TIRE & RUBBER CO.   	COMMON           382550101      82      1700 SH       DEFINED 17       1700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 105
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GOODY'S FAMILY CLOTHING, INC.	COMMON           382588101     154     19100 SH       DEFINED 01      19100        0        0
D GOODY'S FAMILY CLOTHING, INC.	COMMON           382588101     154     19100 SH       DEFINED 02          0        0    19100
D GOTTSCHALKS, INC.            	COMMON           383485109     378     42000 SH       OTHER   01          0    42000        0
D GO2NET INC                   	COMMON           383486107    4231     65350 SH       DEFINED 01      53700        0    11650
D GO2NET INC                   	COMMON           383486107     550      8500 SH       DEFINED 02       5600        0     2900
D GO2NET INC                   	COMMON           383486107      26       400 SH       DEFINED 05          0        0      400
D GRACE W R & CO               	COMMON           38388F108    4048    247200 SH       DEFINED 01     237200        0    10000
D GRACE W R & CO               	COMMON           38388F108      33      2000 SH       OTHER   01          0     2000        0
D GRACE W R & CO               	COMMON           38388F108     704     43000 SH       DEFINED 02      42200        0      800
D GRACE W R & CO               	COMMON           38388F108      13       800 SH       DEFINED 17        800        0        0
D GRACO, INC.                  	COMMON           384109104     839     25562 SH       DEFINED 02       4300        0    21262
D GRAINGER (W. W.), INC.       	COMMON           384802104   42483    883899 SH       DEFINED 01     447624        0   436275
D GRAINGER (W. W.), INC.       	COMMON           384802104    5747    119573 SH       OTHER   01      56850    62723        0
D GRAINGER (W. W.), INC.       	COMMON           384802104   40609    844912 SH       DEFINED 02     559584        0   285328
D GRAINGER (W. W.), INC.       	COMMON           384802104    2403     50000 SH       DEFINED 05      21200        0    28800
D GRAINGER (W. W.), INC.       	COMMON           384802104      48      1000 SH       DEFINED 17       1000        0        0
D GRANITE CONSTRUCTION, INC.   	COMMON           387328107     569     21825 SH       DEFINED 02          0        0    21825
D GREAT LAKES CHEMICAL CORP.   	COMMON           390568103     133      3500 SH       DEFINED 01       3000        0      500
D GREAT LAKES CHEMICAL CORP.   	COMMON           390568103     339      8900 SH       OTHER   01          0     8900        0
D GREAT LAKES CHEMICAL CORP.   	COMMON           390568103      23       600 SH       DEFINED 17        600        0        0
D GREAT PLAINS SOFTWARE, INC.  	COMMON           39119E105     551     10700 SH       DEFINED 01      10700        0        0
D GREAT PLAINS SOFTWARE, INC.  	COMMON           39119E105      41       800 SH       DEFINED 02        800        0        0
D GREENBRIER COS INC           	COMMON           393657101      53      4800 SH       DEFINED 02          0        0     4800
D GREENBRIER COS INC           	COMMON           393657101    5522    499100 SH       DEFINED 17     499100        0        0
D GREENPOINT FINANCIAL CORP.   	COMMON           395384100   15838    596242 SH       DEFINED 01     444742        0   151500
D GREENPOINT FINANCIAL CORP.   	COMMON           395384100      19       700 SH       OTHER   01        700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 106
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D GREENPOINT FINANCIAL CORP.   	COMMON           395384100   57921   2180530 SH       DEFINED 02    1530278        0   650252
D GREENPOINT FINANCIAL CORP.   	COMMON           395384100      32      1200 SH       DEFINED 05       1200        0        0
D GREY ADVERTISING, INC.       	COMMON           397838103     368      1000 SH       DEFINED 02          0        0     1000
D GREY WOLF INC                	COMMON           397888108      32     10600 SH       DEFINED 02          0        0    10600
D CGI GROUP, INC.              	COMMON           39945C109     628     32000 SH       DEFINED 01          0        0    32000
D GRUBB & ELLIS CO             	COMMON           400095204      76     13300 SH       DEFINED 02          0        0    13300
D GRUPO TELEVISA SA DE CV ADR  	COMMON           40049J206     499     12500 SH       OTHER   01          0    12500        0
D GRUPO TELEVISA SA DE CV ADR  	COMMON           40049J206      84      2100 SH       DEFINED 16       2100        0        0
D GRUPO TELEVISA SA DE CV ADR  	COMMON           40049J206    1680     42067 SH       DEFINED 17      42067        0        0
D GRUPO TELEVISA SA DE CV ADR  	COMMON           40049J206      48      1200 SH       DEFINED 18       1200        0        0
D GTECH HOLDINGS CORP.         	COMMON           400518106     740     34500 SH       DEFINED 01      34500        0        0
D GTECH HOLDINGS CORP.         	COMMON           400518106     362     16900 SH       DEFINED 02       7000        0     9900
D GUCCI GROUP NV  NY REGISTERED	COMMON           401566104     217      2600 SH       DEFINED 17       2600        0        0
D GUIDANT CORP.                	COMMON           401698105    1614     30100 SH       DEFINED 01      20700        0     9400
D GUIDANT CORP.                	COMMON           401698105   14843    276800 SH       DEFINED 02     273600        0     3200
D GUIDANT CORP.                	COMMON           401698105     113      2100 SH       DEFINED 05        100        0     2000
D GUIDANT CORP.                	COMMON           401698105     177      3300 SH       DEFINED 17       3300        0        0
D GUITAR CTR MGMT INC          	COMMON           402040109     397     42100 SH       DEFINED 01      42100        0        0
D GUITAR CTR MGMT INC          	COMMON           402040109      69      7300 SH       DEFINED 02       7300        0        0
D GULF CANADA RESOURCES LTD. - 	COMMON           40218L305    4062    970000 SH       DEFINED 01     970000        0        0
D GULF CANADA RESOURCES LTD. - 	COMMON           40218L305      21      5000 SH       DEFINED 16       5000        0        0
D HMT TECHNOLOGY CORP.         	COMMON           403917107       4      1000 SH       DEFINED 01       1000        0        0
D HMT TECHNOLOGY CORP.         	COMMON           403917107      47     13400 SH       DEFINED 02          0        0    13400
D HMT TECHNOLOGY CORP 5.75% 01/	BOND             403917AB3    1305   2000000 PRN      DEFINED 02
D HMT TECHNOLOGY CORP 5.75% 01/	BOND             403917AD9    3660   6000000 PRN      DEFINED 02
D HCC INSURANCE HOLDINGS, INC. 	COMMON           404132102    2258    134300 SH       DEFINED 01     134300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 107
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HCC INSURANCE HOLDINGS, INC. 	COMMON           404132102    5521    328400 SH       DEFINED 02     247000        0    81400
D HCR MANOR CARE INC           	COMMON           404134108   14932    868735 SH       DEFINED 01     521975        0   346760
D HCR MANOR CARE INC           	COMMON           404134108     223     12950 SH       OTHER   01      10400     2550        0
D HCR MANOR CARE INC           	COMMON           404134108   36396   2117518 SH       DEFINED 02    1539218        0   578300
D HCR MANOR CARE INC           	COMMON           404134108      14       800 SH       DEFINED 05        800        0        0
D HCR MANOR CARE INC           	COMMON           404134108     413     24000 SH       DEFINED 16      24000        0        0
D HCR MANOR CARE INC           	COMMON           404134108      21      1200 SH       DEFINED 17       1200        0        0
D HNC SOFTWARE, INC.           	COMMON           40425P107       1        35 SH       DEFINED 01         0         0       35
D HNC SOFTWARE, INC.           	COMMON           40425P107     214      5400 SH       DEFINED 02        400        0     5000
D HRPT PROPERTIES TRUST        	COMMON           40426W101      87      7700 SH       DEFINED 01       7700        0        0
D HRPT PROPERTIES TRUST        	COMMON           40426W101     212     18800 SH       DEFINED 02         0         0    18800
D HS RESOURCES, INC.           	COMMON           404297103     233     14200 SH       DEFINED 02      14200        0        0
D HADCO CORP.                  	COMMON           404681108     964     22300 SH       DEFINED 01      22300        0        0
D HADCO CORP.                  	COMMON           404681108     610     14100 SH       DEFINED 02       5100        0     9000
D HALLIBURTON COMPANY          	COMMON           406216101    2750     67083 SH       DEFINED 01      19025        0    48058
D HALLIBURTON COMPANY          	COMMON           406216101    2058     50188 SH       OTHER   01       2400    47788        0
D HALLIBURTON COMPANY          	COMMON           406216101      38       918 SH       DEFINED 02         0         0      918
D HALLIBURTON COMPANY          	COMMON           406216101     605     14750 SH       DEFINED 05      11050        0     3700
D HALLIBURTON COMPANY          	COMMON           406216101      33       800 SH       OTHER   05         0       800        0
D HALLIBURTON COMPANY          	COMMON           406216101    1767     43100 SH       DEFINED 17      43100        0        0
D HALLMARK FINL SVCS INC    EC 	COMMON           40624Q104     188    500000 SH       DEFINED 01          0        0   500000
D HALTER MARINE GROUP INC 4.50%	BOND             40642YAC9    1600   2500000 PRN      DEFINED 02
D HAMBRECHT & QUIST GROUP      	COMMON           406545103     185      3800 SH       DEFINED 02       3800        0        0
D HAMBRECHT & QUIST GROUP      	COMMON           406545103     488     10000 SH       DEFINED 16      10000        0        0
D HAMILTON BANCORP, INC.       	COMMON           407013101    5321    250400 SH       DEFINED 01     214700        0    35700
D HAMILTON BANCORP, INC.       	COMMON           407013101    5436    255800 SH       DEFINED 02     196400        0    59400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 108
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HAMILTON BANCORP, INC.       	COMMON           407013101      23      1100 SH       DEFINED 05          0        0     1100
D HANDLEMAN CO.                	COMMON           410252100      34      2600 SH       DEFINED 01       2600        0        0
D HANDLEMAN CO.                	COMMON           410252100     195     14700 SH       DEFINED 02      14700        0        0
D HANNA (M. A.) CO.            	COMMON           410522106     210     18500 SH       DEFINED 02      18500        0        0
D HANNAFORD BROS. CO.          	COMMON           410550107    2740     38900 SH       DEFINED 01      25200        0    13700
D HANNAFORD BROS. CO.          	COMMON           410550107    3868     54910 SH       DEFINED 02      40410        0    14500
D HANNAFORD BROS. CO.          	COMMON           410550107       7       100 SH       DEFINED 05        100        0        0
D HANOVER COMPRESSOR COMPANY   	COMMON           410768105     229      7200 SH       OTHER   01          0     7200        0
D HARBINGER CORP.              	COMMON           41145C103    3375    200000 SH       DEFINED 01          0        0   200000
D HARBINGER CORP.              	COMMON           41145C103      19      1100 SH       DEFINED 02       1100        0        0
D HARBINGER CORP.              	COMMON           41145C103       3       189 SH       DEFINED 16        189        0        0
D HARCOURT GENERAL, INC.       	COMMON           41163G101      42      1000 SH       DEFINED 01          0        0     1000
D HARCOURT GENERAL, INC.       	COMMON           41163G101    2081     50000 SH       OTHER   01          0    50000        0
D HARCOURT GENERAL, INC.       	COMMON           41163G101      33       800 SH       DEFINED 17        800        0        0
D HARKEN ENERGY CORP.          	COMMON           412552101       2      1500 SH       DEFINED 01       1500        0        0
D HARKEN ENERGY CORP.          	COMMON           412552101      36     31700 SH       DEFINED 02          0        0    31700
D HARLAND (JOHN H.) CO.        	COMMON           412693103     338     17400 SH       DEFINED 01       6600        0    10800
D HARLAND (JOHN H.) CO.        	COMMON           412693103      17       900 SH       DEFINED 02        900        0        0
D HARLEY DAVIDSON              	COMMON           412822108       2        41 SH       DEFINED 16         41        0        0
D HARLEY DAVIDSON, INC.        	COMMON           412822108    1161     23200 SH       DEFINED 01      20000        0     3200
D HARLEY DAVIDSON, INC.        	COMMON           412822108     300      6000 SH       DEFINED 02          0        0     6000
D HARMONIC LIGHTWAVES, INC.    	COMMON           413160102     968      7400 SH       DEFINED 01       7400        0        0
D HARMONIC LIGHTWAVES, INC.    	COMMON           413160102     144      1100 SH       DEFINED 02       1100        0        0
D HARRAH'S ENTERTAINMENT, INC. 	COMMON           413619107    4856    175000 SH       DEFINED 01     175000        0        0
D HARRAH'S ENTERTAINMENT, INC. 	COMMON           413619107     996     35900 SH       DEFINED 02       7900        0    28000
D HARRAH'S ENTERTAINMENT, INC. 	COMMON           413619107      39      1400 SH       DEFINED 17       1400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 109
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HARRIS CORP.                 	COMMON           413875105   31793   1150893 SH       DEFINED 01     675173        0   475720
D HARRIS CORP.                 	COMMON           413875105    1407     50950 SH       OTHER   01      30600    20350        0
D HARRIS CORP.                 	COMMON           413875105   84965   3075666 SH       DEFINED 02    2465666        0   610000
D HARRIS CORP.                 	COMMON           413875105    2072     75000 SH       OTHER   0304    75000        0        0
D HARRIS CORP.                 	COMMON           413875105      97      3500 SH       DEFINED 05        500        0     3000
D HARRIS CORP.                 	COMMON           413875105       6       200 SH       OTHER   05          0      200        0
D HARRIS CORP.                 	COMMON           413875105      25       900 SH       DEFINED 17        900        0        0
D HARRY'S FARMERS MARKET, INC. 	COMMON           415863109     113    100000 SH       DEFINED 01          0        0   100000
D HARSCO CORP.                 	COMMON           415864107     334     12100 SH       DEFINED 01      12100        0        0
D HARSCO CORP.                 	COMMON           415864107      50      1800 SH       DEFINED 02       1800        0        0
D HARTE-HANKS COMMUNICATIONS, I	COMMON           416196103    1285     51000 SH       DEFINED 01      51000        0        0
D HARTE-HANKS COMMUNICATIONS, I	COMMON           416196103    1209     48000 SH       OTHER   01      15000    33000        0
D HARTE-HANKS COMMUNICATIONS, I	COMMON           416196103    1388     55100 SH       DEFINED 02       2500        0    52600
D HARTE-HANKS COMMUNICATIONS, I	COMMON           416196103     252     10000 SH       DEFINED 05      10000        0        0
D HARTFORD FINANCIAL SVCS GROUP	COMMON           416515104    5153    126060 SH       DEFINED 01      52778        0    73282
D HARTFORD FINANCIAL SVCS GROUP	COMMON           416515104    1407     34422 SH       OTHER   01      28400     6022        0
D HARTFORD FINANCIAL SVCS GROUP	COMMON           416515104    6311    154400 SH       DEFINED 02      49100        0   105300
D HARTFORD FINANCIAL SVCS GROUP	COMMON           416515104      46      1134 SH       DEFINED 05       1134        0        0
D HARTFORD FINANCIAL SVCS GROUP	COMMON           416515104     858     21000 SH       DEFINED 17      21000        0        0
D HASBRO, INC.                 	COMMON           418056107    4052    188450 SH       DEFINED 01     179450        0     9000
D HASBRO, INC.                 	COMMON           418056107    1092     50808 SH       DEFINED 02      21358        0    29450
D HASBRO, INC.                 	COMMON           418056107      45      2100 SH       DEFINED 17       2100        0        0
D HAVERTY FURNITURE, INC.      	COMMON           419596101     171     11800 SH       DEFINED 02        700        0    11100
D HAWAIIAN AIRLS INC NEW       	COMMON           419849104      83     36000 SH       DEFINED 16      36000        0        0
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101   19409   3168800 SH       DEFINED 01    2240600        0   928200
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101      52      8568 SH       OTHER   01       6468     2100        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 110
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101   47739   7794123 SH       DEFINED 02    5944837        0  1849286
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101       8      1300 SH       DEFINED 05       1300        0        0
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101     306     50000 SH       DEFINED 16      50000        0        0
D HEALTHSOUTH REHABILITATION CO	COMMON           421924101      28      4500 SH       DEFINED 17       4500        0        0
D HEALTHSOUTH CORPORATION 3.25%	BOND             421924AF8    3010   4000000 PRN      DEFINED 01
D HEALTHSOUTH CORPORATION 3.25%	BOND             421924AF8    5268   7000000 PRN      DEFINED 02
D HEALTHSOUTH CORPORATION 3.25%	BOND             421924AF8    1505   2000000 PRN      DEFINED 16
D HEALTH MANAGEMENT ASSOCIATES,	COMMON           421933102   15621   2015584 SH       DEFINED 01    1084868        0   930716
D HEALTH MANAGEMENT ASSOCIATES,	COMMON           421933102     309     39844 SH       OTHER   01      15818    24026        0
D HEALTH MANAGEMENT ASSOCIATES,	COMMON           421933102   31594   4076653 SH       DEFINED 02    2969210        0  1107443
D HEALTH MANAGEMENT ASSOCIATES,	COMMON           421933102      24      3150 SH       DEFINED 05       3150        0        0
D HEALTHCARE REALTY TRUST, INC.	COMMON           421946104     516     27500 SH       DEFINED 02      27400        0      100
D HEALTHPLAN SERVICES CORP.    	COMMON           421959107      76     10022 SH       DEFINED 02          0        0    10022
D HECLA MINING COMPANY         	COMMON           422704106     153     52100 SH       DEFINED 02          0        0    52100
D HEINZ (H.J.) CO.             	COMMON           423074103   39039    907888 SH       DEFINED 01     626699        0   281189
D HEINZ (H.J.) CO.             	COMMON           423074103    3180     73950 SH       OTHER   01       6400    67550        0
D HEINZ (H.J.) CO.             	COMMON           423074103   86234   2005440 SH       DEFINED 02    1314040        0   691400
D HEINZ (H.J.) CO.             	COMMON           423074103     462     10750 SH       DEFINED 05       2500        0     8250
D HEINZ (H.J.) CO              	COMMON           423074103     215      5000 SH       OTHER   05          0     5000        0
D HEINZ (H.J.) CO.             	COMMON           423074103    1263     29382 SH       DEFINED 06      29382        0        0
D HEINZ (H.J.) CO.             	COMMON           423074103    5263    122400 SH       DEFINED 17     122400        0        0
D HELIX TECHNOLOGY CORP.       	COMMON           423319102       7       200 SH       DEFINED 01        200        0        0
D HELIX TECHNOLOGY CORP.       	COMMON           423319102     422     12700 SH       DEFINED 02          0        0    12700
D HELLENIC TELECOMMUNCIATION OR	COMMON           423325307    3837    343000 SH       DEFINED 16     343000        0        0
D HELLER FINANCIAL INC         	COMMON           423328103   10743    477450 SH       DEFINED 01     399700        0    77750
D HELLER FINANCIAL INC         	COMMON           423328103    8512    378300 SH       DEFINED 02     284100        0    94200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 111
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HELLER FINANCIAL INC         	COMMON           423328103      65      2900 SH       DEFINED 05          0        0     2900
D HELMERICH & PAYNE, INC.      	COMMON           423452101    1369     54100 SH       DEFINED 01      54100        0        0
D HELMERICH & PAYNE, INC.      	COMMON           423452101    2845    112400 SH       DEFINED 02      20200        0    92200
D HELMERICH & PAYNE, INC.      	COMMON           423452101      13       500 SH       DEFINED 17        500        0        0
D HERBALIFE INTERNATIONAL, INC.	COMMON           426908208       5       300 SH       DEFINED 01        300        0        0
D HERBALIFE INTERNATIONAL, INC.	COMMON           426908208     637     41800 SH       DEFINED 02          0        0    41800
D HERCULES, INC.               	COMMON           427056106     447     15600 SH       DEFINED 01      15600        0        0
D HERCULES, INC.               	COMMON           427056106     109      3800 SH       OTHER   01          0     3800        0
D HERCULES, INC.               	COMMON           427056106      69      2400 SH       DEFINED 02        700        0     1700
D HERCULES, INC.               	COMMON           427056106      31      1100 SH       DEFINED 17       1100        0        0
D HERSHEY FOODS CORP.          	COMMON           427866108   11865    243700 SH       DEFINED 01     161800        0    81900
D HERSHEY FOODS CORP.          	COMMON           427866108      97      2000 SH       OTHER   01          0     2000        0
D HERSHEY FOODS CORP.          	COMMON           427866108   23390    480414 SH       DEFINED 02     245314        0   235100
D HERSHEY FOODS CORP.          	COMMON           427866108     545     11200 SH       DEFINED 05       5200        0     6000
D HERSHEY FOODS CORP.          	COMMON           427866108      73      1500 SH       DEFINED 17       1500        0        0
D HERTZ CORPORATION CL A       	COMMON           428040109    6098    138600 SH       OTHER   01       2000   136600        0
D HERTZ CORPORATION CL A       	COMMON           428040109     532     12100 SH       DEFINED 02          0        0    12100
D HESKA CORP                   	COMMON           42805E108     225    100000 SH       DEFINED 01          0        0   100000
D HEWLETT-PACKARD              	COMMON           428236103       0     92384 SH       DEFINED 16      92384        0        0
D HEWLETT-PACKARD CO.          	COMMON           428236103   95919   1056958 SH       DEFINED 01     530158        0   526800
D HEWLETT-PACKARD CO.          	COMMON           428236103   11412    125755 SH       OTHER   01      25269   100486        0
D HEWLETT-PACKARD CO.          	COMMON           428236103   83749    922850 SH       DEFINED 02     591450        0   331400
D HEWLETT-PACKARD CO.          	COMMON           428236103    2535     27939 SH       DEFINED 05      14929        0    13010
D HEWLETT-PACKARD CO.          	COMMON           428236103     381      4200 SH       OTHER   05       2000     2200        0
D HEWLETT-PACKARD CO.          	COMMON           428236103   14620    161100 SH       DEFINED 17     161100        0        0
D HEWLETT-PACKARD CO  BOND     	BOND             428236AA1    4283   8100000 PRN      DEFINED 17

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 112
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HI / FN INC                  	COMMON           428358105    9834     89200 SH       DEFINED 01      65200        0    24000
D HI / FN INC                  	COMMON           428358105    2646     24000 SH       DEFINED 02      18100        0     5900
D HI / FN INC                  	COMMON           428358105      99       900 SH       DEFINED 05          0        0      900
D HIBBETT SPORTING GOODS INC   	COMMON           428565105    3425    209150 SH       DEFINED 01     148150        0    61000
D HIBBETT SPORTING GOODS INC   	COMMON           428565105     157      9600 SH       DEFINED 02       5700        0     3900
D HIBBETT SPORTING GOODS INC   	COMMON           428565105      33      2000 SH       DEFINED 05          0        0     2000
D HIBERNIA CORP. CLASS A       	COMMON           428656102   19758   1699600 SH       DEFINED 01    1244600        0   455000
D HIBERNIA CORP. CLASS A       	COMMON           428656102      12      1000 SH       OTHER   01       1000        0        0
D HIBERNIA CORP. CLASS A       	COMMON           428656102   38553   3316386 SH       DEFINED 02    2409186        0   907200
D HIBERNIA CORP. CLASS A       	COMMON           428656102      36      3100 SH       DEFINED 05       3100        0        0
D HILB, ROGAL & HAMILTON CO.   	COMMON           431294107      28      1100 SH       DEFINED 01       1100        0        0
D HILB, ROGAL & HAMILTON CO.   	COMMON           431294107     564     22500 SH       DEFINED 02        800        0    21700
D HILLENBRAND INDUSTRIES, INC. 	COMMON           431573104     211      8000 SH       DEFINED 02          0        0     8000
D HILTON HOTELS CORP.          	COMMON           432848109   14573   1475700 SH       DEFINED 01    1242100        0   233600
D HILTON HOTELS CORP.          	COMMON           432848109      38      3800 SH       OTHER   01       3800        0        0
D HILTON HOTELS CORP.          	COMMON           432848109   38634   3912256 SH       DEFINED 02    3008156        0   904100
D HILTON HOTELS CORP.          	COMMON           432848109      28      2800 SH       DEFINED 17       2800        0        0
D HILTON HOTELS CORP. 5% CSD 6/	BOND             432848AL3    1535   1836000 PRN      DEFINED 16
D HISPANIC BROADCASTING CORP   	COMMON           43357B104      30       400 SH       DEFINED 01        400        0        0
D HISPANIC BROADCASTING CORP   	COMMON           43357B104    1218     16000 SH       DEFINED 02          0        0    16000
D HOECHST                      	COMMON           434390308     974     23000 SH       DEFINED 17      23000        0        0
D HOLLINGER INTERNATIONAL, INC.	COMMON           435569108     698     58800 SH       DEFINED 01      58800        0        0
D HOLLINGER INTERNATIONAL, INC.	COMMON           435569108      89      7500 SH       OTHER   01          0     7500        0
D HOLLINGER INTERNATIONAL, INC.	COMMON           435569108     334     28100 SH       DEFINED 02       3200        0    24900
D HOLLYWOOD ENTERTAINMENT CORP.	COMMON           436141105     297     19800 SH       DEFINED 01      19800        0        0
D HOLLYWOOD ENTERTAINMENT CORP.	COMMON           436141105      56      3700 SH       DEFINED 02       3700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 113
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HOLLYWOOD PARK, INC.         	COMMON           436255103     241     15700 SH       DEFINED 02       5700        0    10000
D HOME DEPOT                   	COMMON           437076102      29       428 SH       DEFINED 16        428        0        0
D HOME DEPOT, INC.             	COMMON           437076102  217834   3174260 SH       DEFINED 01    1501676        0  1672584
D HOME DEPOT, INC.             	COMMON           437076102   16096    234557 SH       OTHER   01      99030   135527        0
D HOME DEPOT, INC.             	COMMON           437076102  206838   3014026 SH       DEFINED 02    2017526        0   996500
D HOME DEPOT, INC.             	COMMON           437076102    6818     99358 SH       DEFINED 05      46798        0    52560
D HOME DEPOT, INC.             	COMMON           437076102     968     14100 SH       OTHER   05      14100        0        0
D HOME DEPOT, INC.             	COMMON           437076102    1160     16900 SH       OTHER   09      16900        0        0
D HOME DEPOT, INC.             	COMMON           437076102    1105     16100 SH       DEFINED 17      16100        0        0
D HOMEBASE, INC.               	COMMON           43738E108     541    137400 SH       DEFINED 01     137400        0        0
D HOMEBASE, INC.               	COMMON           43738E108      94     23900 SH       DEFINED 02      23900        0        0
D HOMESTAKE MINING CO.         	COMMON           437614100     151     16400 SH       DEFINED 01      15900        0      500
D HOMESTAKE MINING CO.         	COMMON           437614100      30      3300 SH       OTHER   01          0     3300        0
D HOMESTAKE MINING CO.         	COMMON           437614100     422     45900 SH       DEFINED 02      45900        0        0
D HOMESTAKE MINING CO.         	COMMON           437614100      26      2800 SH       DEFINED 17       2800        0        0
D HONEYWELL, INC.              	COMMON           438506107    1091      9800 SH       DEFINED 01       8300        0     1500
D HONEYWELL, INC.              	COMMON           438506107     178      1600 SH       OTHER   01       1600        0        0
D HONEYWELL, INC.              	COMMON           438506107     991      8900 SH       DEFINED 02          0        0     8900
D HONEYWELL, INC.              	COMMON           438506107     334      3000 SH       DEFINED 16       3000        0        0
D HONEYWELL, INC.              	COMMON           438506107     156      1400 SH       DEFINED 17       1400        0        0
D HOOVERS INC                  	COMMON           439321100      21      1900 SH       DEFINED 01          0        0     1900
D HOOVERS INC                  	COMMON           439321100     757     68796 SH       DEFINED 16      68796        0        0
D HORIZON HEALTH CORPORATION   	COMMON           44041Y104    1469    250000 SH       DEFINED 01          0        0   250000
D HORMEL (GEORGE A.) & CO.     	COMMON           440452100     723     17500 SH       DEFINED 01      17500        0        0
D HORMEL (GEORGE A.) & CO.     	COMMON           440452100     149      3600 SH       DEFINED 02        900        0     2700
D HOST MARRIOTT CORP NEW       	COMMON           44107P104    6008    632374 SH       DEFINED 01     632374        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 114
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HOST MARRIOTT CORP NEW       	COMMON           44107P104     173     18258 SH       OTHER   01          0    18258        0
D HOST MARRIOTT CORP NEW       	COMMON           44107P104   13943   1467700 SH       DEFINED 02     979500        0   488200
D HOUGHTON MIFFLIN CO.         	COMMON           441560109     211      5200 SH       DEFINED 02          0        0     5200
D HOUSEHOLD INTERNATIONAL, INC.	COMMON           441815107   44360   1105550 SH       DEFINED 01     816164        0   289386
D HOUSEHOLD INTERNATIONAL, INC.	COMMON           441815107     504     12568 SH       OTHER   01       2800     9768        0
D HOUSEHOLD INTERNATIONAL, INC.	COMMON           441815107   89037   2219003 SH       DEFINED 02    1465903        0   753100
D HOUSEHOLD INTERNATIONAL, INC.	COMMON           441815107     606     15113 SH       DEFINED 05        413        0    14700
D HOUSEHOLD INTERNATIONAL, INC.	COMMON           441815107     209      5200 SH       DEFINED 17       5200        0        0
D HOUSTON EXPL CO              	COMMON           442120101     202      9300 SH       DEFINED 02       9300        0        0
D HOVNANIAN ENTERPRISES, INC.CL	COMMON           442487203     184     23800 SH       DEFINED 02          0        0    23800
D HOWMET INTERNATIONAL         	COMMON           443208103    1123     80200 SH       DEFINED 01      80200        0        0
D HOWMET INTERNATIONAL         	COMMON           443208103     179     12800 SH       DEFINED 02       3500        0     9300
D HUANENG POWER INTL PLC 1.75% 	PREF-CONV        443304AA8  689983   9517000 PRN      DEFINED 17
D HUBBELL, INC. CLASS B        	COMMON           443510201    9268    290760 SH       DEFINED 01     244630        0    46130
D HUBBELL, INC. CLASS B        	COMMON           443510201      13       400 SH       OTHER   01        400        0        0
D HUBBELL, INC. CLASS B        	COMMON           443510201   13373    419540 SH       DEFINED 02     285840        0   133700
D HUDSON CITY BANCORP          	COMMON           443683107     935     68000 SH       OTHER   01          0    68000        0
D HUDSON UNITED BANCORP        	COMMON           444165104    6434    208803 SH       DEFINED 01     207237        0     1566
D HUDSON UNITED BANCORP        	COMMON           444165104    3577    116101 SH       DEFINED 02      47000        0    69101
D HUGHES SUPPLY, INC.          	COMMON           444482103     773     35550 SH       DEFINED 02       5600        0    29950
D HUMANA, INC.                 	COMMON           444859102   10942   1591600 SH       DEFINED 01    1125500        0   466100
D HUMANA, INC.                 	COMMON           444859102      16      2300 SH       OTHER   01       2300        0        0
D HUMANA, INC.                 	COMMON           444859102   34185   4972372 SH       DEFINED 02    4132372        0   840000
D HUMANA, INC.                 	COMMON           444859102       5       700 SH       DEFINED 05        700        0        0
D HUMANA, INC.                 	COMMON           444859102      12      1800 SH       DEFINED 17       1800        0        0
D HUMAN GENOME SCIENCES, INC.  	COMMON           444903108   43402    588500 SH       DEFINED 01     478100        0   110400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 115
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D HUMAN GENOME SCIENCES, INC.  	COMMON           444903108     280      3800 SH       OTHER   01       2500     1300        0
D HUMAN GENOME SCIENCES, INC.  	COMMON           444903108   46662    632700 SH       DEFINED 02     519600        0   113100
D HUMAN GENOME SCIENCES, INC.  	COMMON           444903108     266      3600 SH       DEFINED 05          0        0     3600
D HUMAN GENOME SCIENCES        	BOND             444903AA6    9000   9000000 PRN      DEFINED 02
D HUNTCO, INC.                 	COMMON           445661101      42     15400 SH       DEFINED 02          0        0    15400
D HUNTINGTON BANCSHARES, INC.  	COMMON           446150104   13757    517900 SH       DEFINED 01     399800        0   118100
D HUNTINGTON BANCSHARES, INC.  	COMMON           446150104      35      1300 SH       OTHER   01       1300        0        0
D HUNTINGTON BANCSHARES, INC.  	COMMON           446150104   21446    807349 SH       DEFINED 02     498450        0   308899
D HUNTINGTON BANCSHARES, INC.  	COMMON           446150104      66      2500 SH       DEFINED 17       2500        0        0
D HUSSMAN INTERNATIONAL, INC.  	COMMON           448110106     383     22500 SH       DEFINED 01      22500        0        0
D HUSSMAN INTERNATIONAL, INC.  	COMMON           448110106      49      2900 SH       DEFINED 02       2900        0        0
D HUTCHINSON TECHNOLOGY, INC.  	COMMON           448407106    1709     63300 SH       DEFINED 01      63300        0        0
D HUTCHINSON TECHNOLOGY, INC.  	COMMON           448407106    2992    110800 SH       DEFINED 02      19100        0    91700
D HVIDE MARINE INC CLASS A     	COMMON           448515106       9     15200 SH       DEFINED 02          0        0    15200
D ICN PHARMACEUTICALS, INC.    	COMMON           448924100     718     41800 SH       DEFINED 01      40800        0     1000
D ICN PHARMACEUTICALS, INC.    	COMMON           448924100     318     18497 SH       DEFINED 02       1800        0    16697
D IDT CORP.                    	COMMON           448947101     362     17300 SH       DEFINED 02          0        0    17300
D HYPERCOM CORPORATION         	COMMON           44913M105     113     14100 SH       DEFINED 02          0        0    14100
D HYPERION SOLUTIONS CORP      	COMMON           44914M104     251     11400 SH       DEFINED 01      11400        0        0
D HYPERION SOLUTIONS CORP      	COMMON           44914M104     205      9310 SH       DEFINED 02       3800        0     5510
D HYPERION SOLUTIONS CORP      	COMMON           44914M104     110      5000 SH       OTHER   101112      0     5000        0
D IBP, INC.                    	COMMON           449223106    4459    180600 SH       DEFINED 01     180600        0        0
D IBP, INC.                    	COMMON           449223106     800     32400 SH       DEFINED 02       9100        0    23300
D IBP, INC.                    	COMMON           449223106       7       295 SH       DEFINED 16        295        0        0
D ICG COMMUNICATIONS, INC.     	COMMON           449246107    1286     82630 SH       DEFINED 01      82630        0        0
D ICG COMMUNICATIONS, INC.     	COMMON           449246107     364     23400 SH       DEFINED 02       8200        0    15200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 116
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ICG COMMUNICATIONS, INC.     	COMMON           449246107      11       700 SH       DEFINED 16        700        0        0
D ICOS CORP.                   	COMMON           449295104     471     15975 SH       DEFINED 01      14600        0     1375
D ICOS CORP.                   	COMMON           449295104     726     24600 SH       DEFINED 02        500        0    24100
D ICOS CORP.                   	COMMON           449295104      39      1336 SH       DEFINED 16       1336        0        0
D IDEC PHARMACEUTICALS CORP.   	COMMON           449370105   11311    120295 SH       DEFINED 01      97595        0    22700
D IDEC PHARMACEUTICALS CORP.   	COMMON           449370105   14793    157320 SH       DEFINED 02     123020        0    34300
D IDEC PHARMACEUTICALS CORP.   	COMMON           449370105     314      3336 SH       DEFINED 05       2736        0      600
D IDX SYSTEMS CORP.            	COMMON           449491109     741     40900 SH       DEFINED 01      40900        0        0
D IDX SYSTEMS CORP.            	COMMON           449491109    2663    146900 SH       DEFINED 02     118100        0    28800
D IMC GLOBAL INC               	COMMON           449669100    7529    517008 SH       DEFINED 01     401708        0   115300
D IMC GLOBAL INC               	COMMON           449669100     470     32288 SH       OTHER   01       1200    31088        0
D IMC GLOBAL INC               	COMMON           449669100   13179    904970 SH       DEFINED 02     579870        0   325100
D IMC GLOBAL INC               	COMMON           449669118       0         3 SH       DEFINED 01          3        0        0
D IMC GLOBAL INC               	COMMON           449669118       1      6810 SH       OTHER   01        630     6180        0
D IMC GLOBAL INC               	COMMON           449669118       0      1966 SH       DEFINED 02          0        0     1966
D IMC GLOBAL INC               	COMMON           449669118      14     80933 SH       DEFINED 17      80933        0        0
D IMCO RECYCLING, INC.         	COMMON           449681105     354     23600 SH       DEFINED 02      10000        0    13600
D IMS HEALTH INCORPORATED      	COMMON           449934108     763     33454 SH       DEFINED 01      16554        0    16900
D IMS HEALTH INCORPORATED      	COMMON           449934108    3856    169044 SH       OTHER   01      13764   155280        0
D IMS HEALTH INCORPORATED      	COMMON           449934108      91      4000 SH       OTHER   05          0     4000        0
D IMS HEALTH INCORPORATED      	COMMON           449934108     456     20000 SH       OTHER   101112      0    20000        0
D IMS HEALTH INCORPORATED      	COMMON           449934108      80      3500 SH       DEFINED 17       3500        0        0
D IRT PROPERTY CO.             	COMMON           450058102    1328    147500 SH       DEFINED 01     147500        0        0
D IRT PROPERTY CO.             	COMMON           450058102    3517    390800 SH       DEFINED 02     360000        0    30800
D I-STAT CORP.                 	COMMON           450312103     595     55000 SH       DEFINED 01      55000        0        0
D I-STAT CORP.                 	COMMON           450312103    1338    123700 SH       DEFINED 02      92100        0    31600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 117
VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ITC DELTACOM, INC.           	COMMON           45031T104    3567    129700 SH       DEFINED 01     129700        0        0
D ITC DELTACOM, INC.           	COMMON           45031T104    6553    238300 SH       DEFINED 02     180600        0    57700
D ITEQ INC                     	COMMON           450430103     413    200000 SH       DEFINED 01          0        0   200000
D ITEQ INC                     	COMMON           450430103      10      5000 SH       DEFINED 02          0        0     5000
D IXC COMMUNICATIONS INC       	COMMON           450713102     189      4800 SH       DEFINED 02          0        0     4800
D IXC COMMUNICATIONS INC       	COMMON           450713102     536     13600 SH       DEFINED 16      13600        0        0
D IXC COMMUNICATIONS INC       	COMMON           450713102    1073     27200 SH       DEFINED 17      27200        0        0
D ITT INDUSTRIES, INC.         	COMMON           450911102    20721   651341 SH       DEFINED 01     441180        0   210161
D ITT INDUSTRIES, INC.         	COMMON           450911102      27       861 SH       OTHER   01        800       61        0
D ITT INDUSTRIES, INC.         	COMMON           450911102   54627   1717139 SH       DEFINED 02    1136832        0   580307
D ITT INDUSTRIES, INC.         	COMMON           450911102      29       900 SH       DEFINED 05        900        0        0
D ITT INDUSTRIES, INC.         	COMMON           450911102      32      1000 SH       DEFINED 17       1000        0        0
D IDEX CORP.                   	COMMON           45167R104    3307    116800 SH       DEFINED 01     110100        0     6700
D IDEX CORP.                   	COMMON           45167R104    5438    192075 SH       DEFINED 02     144500        0    47575
D IDEXX LABORATORIES, INC.     	COMMON           45168D104   12213    709250 SH       DEFINED 01     554250        0   155000
D IDEXX LABORATORIES, INC.     	COMMON           45168D104    4945    287200 SH       DEFINED 02     215400        0    71800
D IDEXX LABORATORIES, INC.     	COMMON           45168D104     100      5800 SH       DEFINED 05          0        0     5800
D IKON OFFICE SOLUTIONS        	COMMON           451713101     938     87800 SH       DEFINED 01      87800        0        0
D IKON OFFICE SOLUTIONS        	COMMON           451713101     837     78300 SH       DEFINED 02      67500        0    10800
D IKON OFFICE SOLUTIONS        	COMMON           451713101      17      1600 SH       DEFINED 17       1600        0        0
D ILEX ONCOLOGY INC            	COMMON           451923106     792     64650 SH       DEFINED 17      64650        0        0
D ILLINOIS TOO                 	COMMON           452308109       6        74 SH       DEFINED 16         74        0        0
D ILLINOIS TOOL WORKS, INC.    	COMMON           452308109     809     10850 SH       DEFINED 01       8950        0     1900
D ILLINOIS TOOL WORKS, INC.    	COMMON           452308109     455      6100 SH       OTHER   01          0     6100        0
D ILLINOIS TOOL WORKS, INC.    	COMMON           452308109       0         6 SH       DEFINED 02          6        0        0
D ILLINOIS TOOL WORKS, INC.    	COMMON           452308109     261      3500 SH       DEFINED 17       3500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 118
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ILLINOVA COR                 	COMMON           452317100       0     10300 SH       DEFINED 16      10300        0        0
D ILLINOVA CORP.               	COMMON           452317100      79      2800 SH       DEFINED 01        800        0     2000
D ILLINOVA CORP.               	COMMON           452317100     693     24708 SH       DEFINED 02          8        0    24700
D IMALL INC                    	COMMON           45244X306    3738    200000 SH       DEFINED 01          0        0   200000
D IMATION CORP.                	COMMON           45245A107    1046     33756 SH       DEFINED 01      33200        0      556
D IMATION CORP.                	COMMON           45245A107      14       437 SH       OTHER   01          0      437        0
D IMATION CORP.                	COMMON           45245A107     760     24500 SH       DEFINED 02      20300        0     4200
D IMCLONE SYSTEMS, INC.        	COMMON           45245W109     289      8700 SH       DEFINED 02       1000        0     7700
D IMMUNEX CORP.                	COMMON           452528102     117      2700 SH       DEFINED 01        100        0     2600
D IMMUNEX CORP.                	COMMON           452528102    1098     25316 SH       DEFINED 02      21616        0     3700
D IMMUNEX CORP.                	COMMON           452528102     578     13319 SH       DEFINED 16      13319        0        0
D IMMUNEX CORP.                	COMMON           452528102     182      4200 SH       DEFINED 17       4200        0        0
D IMPERIAL BANCORP             	COMMON           452556103     571     26851 SH       DEFINED 02       4800        0    22051
D ICI ADR                      	COMMON           452704505     706     16000 SH       DEFINED 17      16000        0        0
D IMPERIAL CREDIT COMM MTG INV 	COMMON           45272T102    4428    402500 SH       DEFINED 01     402500        0        0
D IMPERIAL CREDIT COMM MTG INV 	COMMON           45272T102     150     13600 SH       DEFINED 02      13600        0        0
D IN FOCUS SYSTEMS, INC.       	COMMON           452919103    5522    329650 SH       DEFINED 01     232150        0    97500
D IN FOCUS SYSTEMS, INC.       	COMMON           452919103     281     16800 SH       DEFINED 02      10800        0     6000
D IN FOCUS SYSTEMS, INC.       	COMMON           452919103      60      3600 SH       DEFINED 05          0        0     3600
D INACOM CORP.                 	COMMON           45323G109     292     31800 SH       DEFINED 01      31800        0        0
D INACOM CORP.                 	COMMON           45323G109      56      6100 SH       DEFINED 02       5800        0      300
D INCYTE PHARMACEUTICALS, INC. 	COMMON           45337C102    5319    230000 SH       DEFINED 01     179300        0    50700
D INCYTE PHARMACEUTICALS, INC. 	COMMON           45337C102    3073    132900 SH       DEFINED 02     126000        0     6900
D INCYTE PHARMACEUTICALS, INC. 	COMMON           45337C102      42      1800 SH       DEFINED 05          0        0     1800
D INDEPENDENT BANK CORP. - MICH	COMMON           453838104    2199    143600 SH       DEFINED 01     101400        0    42200
D INDEPENDENT BANK CORP. - MICH	COMMON           453838104     100      6500 SH       DEFINED 02       4200        0     2300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 119
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INDEPENDENT BANK CORP. - MICH	COMMON           453838104      25      1600 SH       DEFINED 05          0        0     1600
D INDIANA ENERGY, INC.         	COMMON           454707100    1439     71700 SH       DEFINED 01      71700        0        0
D INDIANA ENERGY, INC.         	COMMON           454707100     706     35201 SH       DEFINED 02      25201        0    10000
D INDUSTRI-MATEMATIK INTL CORP 	COMMON           455792101       2       800 SH       DEFINED 01        800        0        0
D INDUSTRI-MATEMATIK INTL CORP 	COMMON           455792101      25     10400 SH       DEFINED 02          0        0    10400
D INMC MORTGAGE HOLDINGS, INC. 	COMMON           456607100     305     20300 SH       DEFINED 02       5200        0    15100
D INMC MORTGAGE HOLDINGS, INC. 	COMMON           456607100    8034    535600 SH       DEFINED 17     535600        0        0
D INFERENCE CORP. CLASS A      	COMMON           45662K109       0       144 SH       DEFINED 16        144        0        0
D INFERENCE CORP. CLASS A      	COMMON           45662K109    2186    813106 SH       DEFINED 19     813106        0        0
D INFINITY BROADCASTING CP NEW 	COMMON           45662S102     193      6600 SH       DEFINED 01       6600        0        0
D INFINITY BROADCASTING CP NEW 	COMMON           45662S102     803     27400 SH       DEFINED 02          0        0    27400
D INFOCURE CORP                	COMMON           45665A108     695     36800 SH       DEFINED 01      36800        0        0
D INFOCURE CORP                	COMMON           45665A108     153      8100 SH       DEFINED 02       8100        0        0
D INFORMATICA CORP             	COMMON           45666Q102     477      9400 SH       DEFINED 01       9400        0        0
D INFORMATICA CORP             	COMMON           45666Q102    1106     21800 SH       DEFINED 02      16300        0     5500
D INFORMATION ARCHITECTS CORP  	COMMON           45669R107      52     26000 SH       DEFINED 02          0        0    26000
D INFORMIX CORP.               	COMMON           456779107    2778    350000 SH       DEFINED 01     350000        0        0
D INFORMIX CORP.               	COMMON           456779107    3888    489800 SH       DEFINED 02     323400        0   166400
D INFOSEEK CORP                	COMMON           45678M107      18       570 SH       DEFINED 01        300        0      270
D INFOSEEK CORP                	COMMON           45678M107      34      1100 SH       DEFINED 02          0        0     1100
D INFOSEEK CORP                	COMMON           45678M107     370     11975 SH       DEFINED 17      11975        0        0
D INFOUSA INC CLASS B          	COMMON           456818103     173     25100 SH       DEFINED 02       3800        0    21300
D ING GROEP N.V.               	COMMON           456837103    1289     23544 SH       DEFINED 01        247        0    23297
D ING GROEP N.V.               	COMMON           456837103    6013    109825 SH       OTHER   01          0   109825        0
D ING GROEP N.V.               	COMMON           456837103     740     13520 SH       DEFINED 02          0        0    13520
D INGERSOLL-RA                 	COMMON           456866102       2        45 SH       DEFINED 16         45        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 120
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INGERSOLL-RAND CO.           	COMMON           456866102    7363    134020 SH       DEFINED 01      77120        0    56900
D INGERSOLL-RAND CO.           	COMMON           456866102    8060    146710 SH       DEFINED 02      62910        0    83800
D INGERSOLL-RAND CO.           	COMMON           456866102     206      3750 SH       DEFINED 05          0        0     3750
D INGERSOLL-RAND CO.           	COMMON           456866102      55      1000 SH       OTHER   05          0     1000        0
D INGERSOLL-RAND CO.           	COMMON           456866102    1357     24700 SH       DEFINED 06      24700        0        0
D INGERSOLL-RAND CO.           	COMMON           456866102      99      1800 SH       DEFINED 17       1800        0        0
D INGLES MARKETS, INC.         	COMMON           457030104     717     54400 SH       DEFINED 01      49900        0     4500
D INGLES MARKETS, INC.         	COMMON           457030104     489     37100 SH       DEFINED 02      24000        0    13100
D INKTOMI CORPORATION          	COMMON           457277101     576      4800 SH       DEFINED 02          0        0     4800
D INNOVEX, INC.                	COMMON           457647105      51      5700 SH       DEFINED 01       5700        0        0
D INNOVEX, INC.                	COMMON           457647105     195     21700 SH       DEFINED 02       1900        0    19800
D INPUT/OUTPUT, INC.           	COMMON           457652105    4139    624800 SH       DEFINED 01     570000        0    54800
D INPUT/OUTPUT, INC.           	COMMON           457652105   17061   2575300 SH       DEFINED 02    1631000        0   944300
D INPUT/OUTPUT, INC.           	COMMON           457652105     232     35000 SH       OTHER   0304    35000        0        0
D INSIGHT ENTERPRISES, INC.    	COMMON           45765U103     348     10700 SH       DEFINED 01      10700        0        0
D INSIGHT ENTERPRISES, INC.    	COMMON           45765U103      98      3000 SH       DEFINED 02       3000        0        0
D INSITUFORM TECHNOLOGIES, INC.	COMMON           457667103     283     11300 SH       DEFINED 01      11300        0        0
D INSITUFORM TECHNOLOGIES, INC.	COMMON           457667103      15       600 SH       DEFINED 02        600        0        0
D INSIGNIA/ESG HOLDINGS, INCORP	COMMON           45767A105     184     20999 SH       DEFINED 02          0        0    20999
D INSIGHT COMMUNICATIONS INC   	COMMON           45768V108    9449    330100 SH       DEFINED 01     258875        0    71225
D INSIGHT COMMUNICATIONS INC   	COMMON           45768V108    6346    221700 SH       DEFINED 02     165650        0    56050
D INSIGHT COMMUNICATIONS INC   	COMMON           45768V108      77      2675 SH       DEFINED 05          0        0     2675
D INNKEEPERS USA TR            	COMMON           4576J0104    1064    128000 SH       DEFINED 01     128000        0        0
D INNKEEPERS USA TR            	COMMON           4576J0104     409     49200 SH       DEFINED 02      49200        0        0
D INSPIRE INSURANCE SOLUTIONS, 	COMMON           457732105     296     43000 SH       DEFINED 01      43000        0        0
D INSPIRE INSURANCE SOLUTIONS, 	COMMON           457732105      52      7500 SH       DEFINED 02       7500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 121
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INSPIRE INSURANCE SOLUTIONS, 	COMMON           457732105       6       830 SH       DEFINED 16        830        0        0
D INSURANCE MGMT SOLUTIONS GRO 	COMMON           458045101     450    150000 SH       DEFINED 01          0        0   150000
D INTEGRATED DEVICE TECHNOLOGY,	COMMON           458118106   13215    714350 SH       DEFINED 01     564250        0   150100
D INTEGRATED DEVICE TECHNOLOGY,	COMMON           458118106    2174    117500 SH       DEFINED 02      92400        0    25100
D INTEGRATED DEVICE TECHNOLOGY,	COMMON           458118106     104      5600 SH       DEFINED 05          0        0     5600
D INTEGRATED ELECTRICAL SERVICE	COMMON           45811E103     231     14600 SH       DEFINED 01      14600        0        0
D INTEGRATED ELECTRICAL SERVICE	COMMON           45811E103      41      2600 SH       DEFINED 02       2600        0        0
D INTEGRA INC                  	COMMON           45811M105     162    108127 SH       DEFINED 01          0        0   108127
D INTEGRATED SYSTEMS, INC.     	COMMON           45812M104     580     56900 SH       DEFINED 01      56900        0        0
D INTEGRATED SYSTEMS, INC.     	COMMON           45812M104      98      9600 SH       DEFINED 02       9600        0        0
D INTEGRATED SYSTEMS, INC.     	COMMON           45812M104     122     12000 SH       OTHER   101112      0    12000        0
D INTEGRATED SURGICAL SYS INC  	COMMON           45812Y108     134     50000 SH       DEFINED 02          0        0    50000
D INTEGRATED SURGICAL SYS INC  	WARRANT          45812Y116      67     50000 PRN      DEFINED 02
D INTEL CORP                   	COMMON           458140100       0     11126 SH       DEFINED 16      11126        0        0
D INTEL CORP.                  	COMMON           458140100  881003  11855295 SH       DEFINED 01    6742526        0  5112769
D INTEL CORP.                  	COMMON           458140100   38743    521355 SH       OTHER   01     127390  393965         0
D INTEL CORP.                  	COMMON           458140100 1565473  21065941 SH       DEFINED 02   14722525        0  6343416
D INTEL CORP.                  	COMMON           458140100    3567     48000 SH       OTHER   0304    48000        0        0
D INTEL CORP.                  	COMMON           458140100   13011    175080 SH       DEFINED 05      76600        0    98480
D INTEL CORP.                  	COMMON           458140100     535      7200 SH       OTHER   05       6000     1200        0
D INTEL CORP.                  	COMMON           458140100    3783     50900 SH       OTHER   09      50900        0        0
D INTEL CORP.                  	COMMON           458140100    4169     56100 SH       DEFINED 17      56100        0        0
D INTELIDATA TECHNOLOGIES CORP 	COMMON           45814T107     406    200000 SH       DEFINED 01          0        0   200000
D INTELLIGENT POLYMERS LIMITED 	UNIT             45815V200   12928    262500 PRN      DEFINED 01
D INTELLIGENT SYSTEMS CORPORATI	COMMON           45816D100      36     15000 SH       DEFINED 01          0        0    15000
D INTELLIGENT LIFE CORP        	COMMON           45816V100     163     31000 SH       DEFINED 01      31000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 122
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INTELLIGENT LIFE CORP        	COMMON           45816V100     369     70200 SH       DEFINED 02      52200        0    18000
D INTERACTIVE PICTURES CORP    	COMMON           45839N101   13076    584390 SH       DEFINED 01          0        0   584390
D INTERACTIVE PICTURES CORP    	COMMON           45839N101    8926    415153 SH       DEFINED 16     415153        0        0
D INTERFACE, INC. CLASS A      	COMMON           458665106     133     26000 SH       DEFINED 02          0        0    26000
D INTERIM SERVICES, INC.       	COMMON           45868P100    1207     73700 SH       DEFINED 01      73700        0        0
D INTERIM SERVICES, INC.       	COMMON           45868P100     450     27500 SH       DEFINED 02      22500        0     5000
D INTERMEDIA COMMUNICATIONS,INC	COMMON           458801107      44      2000 SH       DEFINED 01       2000        0        0
D INTERMEDIA COMMUNICATIONS,INC	COMMON           458801107     873     40137 SH       DEFINED 02      22137        0    18000
D INTERMEDIA COMMUNICATIONS,INC	COMMON           458801107       1        26 SH       DEFINED 16         26        0        0
D INTERMEDIA COMMUNICATIONS,INC	COMMON           458801107     442     20300 SH       DEFINED 17      20300        0        0
D INTERMET CORP.               	COMMON           45881K104    1341    158300 SH       DEFINED 01     158300        0        0
D INTERMET CORP.               	COMMON           45881K104     484     57100 SH       DEFINED 02      37300        0    19800
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101 1028438   8499484 SH       DEFINED 01    5480823        0  3018661
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101  215556   1781454 SH       OTHER   01     202060  1579394        0
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101 1486309  12283548 SH       DEFINED 02    8562549        0  3720998
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101   11247     92954 SH       DEFINED 05      61904        0    31050
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101    1105      9136 SH       OTHER   05          0     9136        0
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101    4858     40150 SH       OTHER   09      40150        0        0
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101    4707     38900 SH       DEFINED 16      38900        0        0
D INTERNATIONAL BUSINESS MACHIN	COMMON           459200101    6556     54180 SH       DEFINED 17      54180        0        0
D INT'L FLAVORS & FRAGRANCES, I	COMMON           459506101    5731    166124 SH       DEFINED 01     166124        0        0
D INT'L FLAVORS & FRAGRANCES, I	COMMON           459506101     189      5484 SH       OTHER   01       4284     1200        0
D INT'L FLAVORS & FRAGRANCES, I	COMMON           459506101     518     15000 SH       OTHER   101112      0    15000        0
D INT'L FLAVORS & FRAGRANCES, I	COMMON           459506101  187775   5442762 SH       OTHER   1314        0  5442762        0
D INT'L FLAVORS & FRAGRANCES, I	COMMON           459506101      41      1200 SH       DEFINED 17       1200        0        0
D INTERNATIONAL HOME FOODS, INC	COMMON           459655106    2104    120200 SH       DEFINED 01     120200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 123
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INTERNATIONAL HOME FOODS, INC	COMMON           459655106     366     20900 SH       DEFINED 02      20900        0        0
D INTERNATIONAL INTEGRATION INC	COMMON           459698106       7       200 SH       DEFINED 02        200        0        0
D INTERNATIONAL INTEGRATION INC	COMMON           459698106     603     18400 SH       DEFINED 16      18400        0        0
D INTERNATIONAL GAME TECHNOLOGY	COMMON           459902102   28578   1587654 SH       DEFINED 01    1239065        0   348589
D INTERNATIONAL GAME TECHNOLOGY	COMMON           459902102     506     28110 SH       OTHER   01       5140    22970        0
D INTERNATIONAL GAME TECHNOLOGY	COMMON           459902102  119782   6654550 SH       DEFINED 02    5552650        0  1101900
D INTERNATIONAL GAME TECHNOLOGY	COMMON           459902102     643     35700 SH       OTHER   09      35700        0        0
D INTERNATIONAL NETWORK SVCS   	COMMON           460053101    2458     45200 SH       DEFINED 01      45200        0        0
D INTERNATIONAL NETWORK SVCS   	COMMON           460053101      32       589 SH       OTHER   01        589        0        0
D INTERNATIONAL NETWORK SVCS   	COMMON           460053101     617     11350 SH       DEFINED 02       1700        0     9650
D INTERNATIONAL NETWORK SVCS   	COMMON           460053101     218      4000 SH       DEFINED 05       4000        0        0
D INTERNATIONAL NETWORK SVCS   	COMMON           460053101     119      2181 SH       DEFINED 16       2181        0        0
D INTERNATIONAL PAPER CO.      	COMMON           460146103   62473   1299821 SH       DEFINED 01     975675        0   324146
D INTERNATIONAL PAPER CO.      	COMMON           460146103    7008    145818 SH       OTHER   01      39100   106718        0
D INTERNATIONAL PAPER CO.      	COMMON           460146103  121019   2517917 SH       DEFINED 02    1733716        0   784200
D INTERNATIONAL PAPER CO.      	COMMON           460146103     733     15250 SH       DEFINED 05       8450        0     6800
D INTERNATIONAL PAPER CO.      	COMMON           460146103      96      2000 SH       OTHER   05       2000        0        0
D INTERNATIONAL PAPER CO.      	COMMON           460146103     216      4500 SH       DEFINED 17       4500        0        0
D INTERNATIONAL RECTIFIER CORP.	COMMON           460254105     451     29600 SH       DEFINED 01      29600        0        0
D INTERNATIONAL RECTIFIER CORP.	COMMON           460254105     154     10100 SH       DEFINED 02       5500        0     4600
D INTERNATIONAL RECTIFIER CORP.	COMMON           460254105     153     10000 SH       DEFINED 16      10000        0        0
D INTERNATIONAL SPEEDWAY CORP  	COMMON           460335201     357      6800 SH       DEFINED 02          0        0     6800
D INTERNATIONAL TELECOMMUN DAT 	COMMON           46047F104      27      3200 SH       DEFINED 02          0        0     3200
D INTERNATIONAL TELECOMMUN DAT 	COMMON           46047F104     409     48500 SH       DEFINED 16      48500        0        0
D INTERNET CAP GROUP INC       	COMMON           46059C106    5974     67982 SH       DEFINED 01      48490        0    19492
D INTERNET CAP GROUP INC       	COMMON           46059C106     373      4250 SH       DEFINED 02       2840        0     1410

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 124
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INTERNET CAP GROUP INC       	COMMON           46059C106      67       760 SH       DEFINED 05          0        0      760
D INTERPUBLIC GROUP COMPANY,INC	COMMON           460690100    3985     96890 SH       DEFINED 01      86890        0    10000
D INTERPUBLIC GROUP COMPANY,INC	COMMON           460690100    1456     35400 SH       OTHER   01          0    35400        0
D INTERPUBLIC GROUP COMPANY,INC	COMMON           460690100     191      4650 SH       DEFINED 05          0        0     4650
D INTERPUBLIC GROUP COMPANY,INC	COMMON           460690100     123      3000 SH       DEFINED 17       3000        0        0
D INTERPUBLIC GRP              	COMMON           460690100       3        82 SH       DEFINED 16         82        0        0
D INTERPUBLIC GRP              	PREF-CONV        460690AG5       0    500000 PRN      DEFINED 16
D INTERSTATE BAKERIES CORP.    	COMMON           46072H108    3905    169800 SH       DEFINED 01     169800        0        0
D INTERSTATE BAKERIES CORP.    	COMMON           46072H108    2475    107600 SH       DEFINED 02       7600        0   100000
D INTERWEST BANCORP INC        	COMMON           460931108    1094     52700 SH       DEFINED 01      52700        0        0
D INTERWEST BANCORP INC        	COMMON           460931108     212     10200 SH       DEFINED 02      10200        0        0
D INTERTAN, INC.               	COMMON           461120107    2681    136600 SH       DEFINED 01      96600        0    40000
D INTERTAN, INC.               	COMMON           461120107     106      5400 SH       DEFINED 02       3300        0     2100
D INTERTAN, INC.               	COMMON           461120107      29      1500 SH       DEFINED 05          0        0     1500
D INTERVOICE, INC.             	COMMON           461142101     167     15100 SH       DEFINED 02        700        0    14400
D INTEVAC, INC.                	COMMON           461148108    1998    443950 SH       DEFINED 01     312250        0   131700
D INTEVAC, INC.                	COMMON           461148108      81     18100 SH       DEFINED 02      11100        0     7000
D INTEVAC, INC.                	COMMON           461148108      22      4800 SH       DEFINED 05          0        0     4800
D INTERVU INC                  	COMMON           46114R106     976     26300 SH       DEFINED 01      26300        0        0
D INTERVU INC                  	COMMON           46114R106    2231     60100 SH       DEFINED 02      44700        0    15400
D INTIMATE BRANDS, INC. CL. A  	COMMON           461156101    2932     75299 SH       DEFINED 02          0        0    75299
D INTIMATE BRANDS, INC. CL. A  	COMMON           461156101       2        49 SH       DEFINED 16         49        0        0
D INTUIT, INC.                 	COMMON           461202103    1578     18000 SH       DEFINED 01      18000        0        0
D INTUIT, INC.                 	COMMON           461202103     526      6000 SH       OTHER   101112      0     6000        0
D INTUIT, INC.                 	COMMON           461202103     666      7596 SH       DEFINED 16       7596        0        0
D INVACARE CORP.               	COMMON           461203101     291     14900 SH       DEFINED 02       3500        0    11400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 125
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D INVESTMENT TECHNOLOGY GRP NE 	COMMON           46145F105      35      1500 SH       DEFINED 01          0        0     1500
D INVESTMENT TECHNOLOGY GRP NE 	COMMON           46145F105     248     10800 SH       DEFINED 02          0        0    10800
D INVESTORS FINANCIAL SERVICES 	COMMON           461915100    1028     29900 SH       DEFINED 01      29900        0        0
D INVESTORS FINANCIAL SERVICES 	COMMON           461915100     387     11270 SH       DEFINED 02       6200        0     5070
D IONICS, INC.                 	COMMON           462218108     201      6200 SH       DEFINED 02       5100        0     1100
D IPALCO ENTERPRISES, INC.     	COMMON           462613100     257     13200 SH       DEFINED 02          0        0    13200
D IRON MOUNTIAN, INC.          	COMMON           46284P104     340     10050 SH       DEFINED 02          0        0    10050
D IRWIN FINANCIAL CORP.        	COMMON           464119106     331     16500 SH       DEFINED 01      16500        0        0
D IRWIN FINANCIAL CORP.        	COMMON           464119106      68      3400 SH       DEFINED 02       3400        0        0
D ISAACS I C & CO INC          	COMMON           464192103     275    200000 SH       DEFINED 01          0        0   200000
D ISIS PHARMACEUTICALS, INC.   	COMMON           464330109     159     14200 SH       DEFINED 02          0        0    14200
D I2 TECHNOLOGIES, INC.        	COMMON           465754109     446     11500 SH       DEFINED 01      11500        0        0
D I2 TECHNOLOGIES, INC.        	COMMON           465754109    8310    214100 SH       DEFINED 02     214100        0        0
D IVAX CORP.                   	COMMON           465823102    4208    255000 SH       DEFINED 01      55000        0   200000
D IVAX CORP.                   	COMMON           465823102       2       150 SH       OTHER   01          0      150        0
D IVAX CORP.                   	COMMON           465823102     501     30389 SH       DEFINED 02       2600        0    27789
D IVEX PACKAGING CORPORATION   	COMMON           465855104    4708    470800 SH       DEFINED 01     382100        0    88700
D IVEX PACKAGING CORPORATION   	COMMON           465855104    3061    306100 SH       DEFINED 02     242700        0    63400
D IVEX PACKAGING CORPORATION   	COMMON           465855104      34      3400 SH       DEFINED 05          0        0     3400
D JDS UNIPHASE CORP            	COMMON           46612J101     114      1000 SH       DEFINED 01       1000        0        0
D JDS UNIPHASE CORP            	COMMON           46612J101     524      4600 SH       DEFINED 02          0        0     4600
D JLG INDUSTRIES, INC.         	COMMON           466210101     445     29300 SH       DEFINED 02        300        0    29000
D JABIL CIRCUIT, INC.          	COMMON           466313103    1327     26800 SH       DEFINED 01      26800        0        0
D JABIL CIRCUIT, INC.          	COMMON           466313103     198      4000 SH       DEFINED 02       1100        0     2900
D JABIL CIRCUIT, INC.          	COMMON           466313103       3        56 SH       DEFINED 16         56        0        0
D JAKKS PAC INC                	COMMON           47012E106    2606     69500 SH       DEFINED 01      69500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 126
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D JAKKS PAC INC                	COMMON           47012E106    3604     96100 SH       DEFINED 02      75200        0    20900
D JEFFBANKS INC                	COMMON           472317106     231      8000 SH       DEFINED 01       8000        0        0
D JEFFBANKS INC                	COMMON           472317106      75      2600 SH       DEFINED 02       2600        0        0
D JEFFERIES GROUP INC NEW      	COMMON           472319102     225     10800 SH       DEFINED 02          0        0    10800
D JEFFERSON PILOT CORP.        	COMMON           475070108      44       700 SH       DEFINED 01          0        0      700
D JEFFERSON PILOT CORP.        	COMMON           475070108    1592     25200 SH       OTHER   101112      0    25200        0
D JEFFERSON PILOT CORP.        	COMMON           475070108     992     15700 SH       DEFINED 17      15700        0        0
D JOHNS MANVILLE CORP.         	COMMON           478129109   18449   1405625 SH       DEFINED 01    1350500        0    55125
D JOHNS MANVILLE CORP.         	COMMON           478129109    1441    109800 SH       DEFINED 02       5100        0   104700
D JOHNSON & JOHNSON            	COMMON           478160104  199927   2176071 SH       DEFINED 01    1086851        0  1089220
D JOHNSON & JOHNSON            	COMMON           478160104   91179    992427 SH       OTHER   01     321353   671074        0
D JOHNSON & JOHNSON            	COMMON           478160104  154853   1685478 SH       DEFINED 02    1040286        0   645192
D JOHNSON & JOHNSON            	COMMON           478160104    6491     70650 SH       DEFINED 05      24688        0    45962
D JOHNSON & JOHNSON            	COMMON           478160104    1638     17832 SH       OTHER   05       6000    11832        0
D JOHNSON & JOHNSON            	COMMON           478160104    2205     24000 SH       OTHER   1314        0    24000        0
D JOHNSON & JOHNSON            	COMMON           478160104     256      2783 SH       DEFINED 16       2783        0        0
D JOHNSON & JOHNSON            	COMMON           478160104    2086     22700 SH       DEFINED 17      22700        0        0
D JOHNSON CONT                 	COMMON           478366107       2        26 SH       DEFINED 16         26        0        0
D JOHNSON CONTROLS, INC.       	COMMON           478366107   32463    489535 SH       DEFINED 01     284920        0   204615
D JOHNSON CONTROLS, INC.       	COMMON           478366107    7497    113050 SH       OTHER   01      38825    74225        0
D JOHNSON CONTROLS, INC.       	COMMON           478366107   15882    239500 SH       DEFINED 02     236800        0     2700
D JOHNSON CONTROLS, INC.       	COMMON           478366107    1625     24500 SH       OTHER   0304    24500        0        0
D JOHNSON CONTROLS, INC.       	COMMON           478366107    1850     27900 SH       DEFINED 05      10200        0    17700
D JOHNSON CONTROLS, INC.       	COMMON           478366107    1704     25700 SH       OTHER   09      25700        0        0
D JOHNSON CONTROLS, INC.       	COMMON           478366107      60       900 SH       DEFINED 17        900        0        0
D JONES APPAREL GROUP, INC.    	COMMON           480074103   33850   1177400 SH       DEFINED 01     785400        0   392000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 127
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D JONES APPAREL GROUP, INC.    	COMMON           480074103      35      1200 SH       OTHER   01       1200        0        0
D JONES APPAREL GROUP, INC.    	COMMON           480074103  115100   4003470 SH       DEFINED 02    3054270        0   949200
D JONES APPAREL GROUP, INC.    	COMMON           480074103      37      1300 SH       DEFINED 05       1300        0        0
D JONES APPAREL GROUP, INC.    	COMMON           480074103       1        41 SH       DEFINED 16         41        0        0
D JONES INTERCABLE, INC. CLASS 	COMMON           480206200    9264    171350 SH       DEFINED 01     147400        0    23950
D JONES INTERCABLE, INC. CLASS 	COMMON           480206200    7950    147043 SH       DEFINED 02     106600        0    40443
D JONES INTERCABLE, INC. CLASS 	COMMON           480206200      49       900 SH       DEFINED 05          0        0      900
D JONES LANG LASALLE INC       	COMMON           48020Q107     181     11200 SH       DEFINED 02          0        0    11200
D JONES MEDICAL INDUSTRIES,INC.	COMMON           480236108     659     20000 SH       DEFINED 01      20000        0        0
D JONES MEDICAL INDUSTRIES,INC.	COMMON           480236108     237      7200 SH       DEFINED 02       4700        0     2500
D JOURNAL REGISTER CO          	COMMON           481138105     121      8800 SH       DEFINED 01       8800        0        0
D JOURNAL REGISTER CO          	COMMON           481138105     133      9700 SH       DEFINED 02       7500        0     2200
D JUNIPER NETWORKS             	COMMON           48203R104    2731     15000 SH       DEFINED 01      15000        0        0
D JUNIPER NETWORKS             	COMMON           48203R104    6627     36400 SH       DEFINED 02      27800        0     8600
D JUST FOR FEET, INC.          	COMMON           48213P106     207    100400 SH       DEFINED 01        400        0   100000
D KBK CAPITAL CORP             	COMMON           482412103     726    135000 SH       DEFINED 01          0        0   135000
D KCS ENERGY, INC.             	COMMON           482434206      64     63700 SH       DEFINED 02          0        0    63700
D KLA INSTRUMENTS CORP.        	COMMON           482480100     897     13800 SH       DEFINED 02          0        0    13800
D KLA INSTRUMENTS CORP.        	COMMON           482480100       2        30 SH       DEFINED 16         30        0        0
D KLA INSTRUMENTS CORP.        	COMMON           482480100      65      1000 SH       DEFINED 17       1000        0        0
D K MART CORP.                 	COMMON           482584109   17061   1459704 SH       DEFINED 01    1007600        0   452104
D K MART CORP.                 	COMMON           482584109      35      3000 SH       OTHER   01       3000        0        0
D K MART CORP.                 	COMMON           482584109   36754   3144567 SH       DEFINED 02    1832161        0  1312406
D K MART CORP.                 	COMMON           482584109    3935    336700 SH       DEFINED 17     336700        0        0
D K N ENERGY, INC.             	COMMON           482620101   11149    496900 SH       DEFINED 01     458400        0    38500
D K N ENERGY, INC.             	COMMON           482620101   21359    951892 SH       DEFINED 02     655292        0   296600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 128
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D K N ENERGY, INC.             	COMMON           482620101   28963   1290800 SH       DEFINED 17    1290800        0        0
D K N ENERGY, INC.             	COMMON           482620101   10680    476000 SH       DEFINED 18     476000        0        0
D K SWISS, INC. CLASS A        	COMMON           482686102   14169    448900 SH       DEFINED 01     343300        0   105600
D K SWISS, INC. CLASS A        	COMMON           482686102    4993    158200 SH       DEFINED 02     118900        0    39300
D K SWISS, INC. CLASS A        	COMMON           482686102     120      3800 SH       DEFINED 05          0        0     3800
D KAMAN CORP. CL. A NON-VTG.   	COMMON           483548103     136     10700 SH       DEFINED 02
D KAUFMAN & BROAD HOME CORP.   	COMMON           486168107     561     27200 SH       DEFINED 01      27200        0        0
D KAUFMAN & BROAD HOME CORP.   	COMMON           486168107    1351     65500 SH       DEFINED 02      14900        0    50600
D KAUFMAN & BROAD HOME CORP.   	COMMON           486168107      10       500 SH       DEFINED 17        500        0        0
D KAYDON CORP.                 	COMMON           486587108     226      9100 SH       DEFINED 02       7700        0     1400
D KEANE INC                    	COMMON           486665102      34      1500 SH       DEFINED 17       1500        0        0
D KEANE, INC.                  	COMMON           486665102     780     34200 SH       DEFINED 01      34200        0        0
D KEANE, INC.                  	COMMON           486665102     979     42900 SH       DEFINED 02       1300        0    41600
D KEEBLER FOODS CO             	COMMON           487256109    9621    322050 SH       DEFINED 01     262100        0    59950
D KEEBLER FOODS CO             	COMMON           487256109    9264    310100 SH       DEFINED 02     235000        0    75100
D KEEBLER FOODS CO             	COMMON           487256109      60      2000 SH       DEFINED 05          0        0     2000
D KELLOGG CO.                  	COMMON           487836108    1859     49650 SH       DEFINED 01      12800        0    36850
D KELLOGG CO.                  	COMMON           487836108    1463     39086 SH       OTHER   01       7628    31458        0
D KELLOGG CO.                  	COMMON           487836108     286      7652 SH       DEFINED 02       7652        0        0
D KELLOGG CO.                  	COMMON           487836108      30       800 SH       DEFINED 05          0        0      800
D KELLOGG CO.                  	COMMON           487836108     135      3600 SH       OTHER   05          0     3600        0
D KELLOGG CO.                  	COMMON           487836108     235      6288 SH       DEFINED 17       6288        0        0
D KELLWOOD CO.                 	COMMON           488044108     224     10200 SH       DEFINED 02       4200        0     6000
D KEMET CORP.                  	COMMON           488360108     512     16000 SH       DEFINED 02      16000        0        0
D KEMET CORP.                  	COMMON           488360108       9       295 SH       DEFINED 16        295        0        0
D KENAN TRANSPORT COMPANY      	COMMON           488539107   25308    811460 SH       DEFINED 01       1200        0   810260

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 129
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D KENAN TRANSPORT COMPANY      	COMMON           488539107    9356    300000 SH       OTHER   15     300000        0        0
D KENNAMETAL, INC.             	COMMON           489170100    5551    214550 SH       DEFINED 01     167100        0    47450
D KENNAMETAL, INC.             	COMMON           489170100    2544     98300 SH       DEFINED 02      58100        0    40200
D KENNAMETAL, INC.             	COMMON           489170100      44      1700 SH       DEFINED 05          0        0     1700
D KENSEY NASH CORP.            	COMMON           490057106    3336    213500 SH       DEFINED 01     213500        0        0
D KENSEY NASH CORP.            	COMMON           490057106    2666    170600 SH       DEFINED 02     111100        0    59500
D KENT ELECTRONICS CORP.       	COMMON           490553104     194     10500 SH       DEFINED 02        900        0     9600
D KEYCORP                      	COMMON           493267108   91765   3554979 SH       DEFINED 01    2414219        0  1140760
D KEYCORP                      	COMMON           493267108    1775     68775 SH       OTHER   01      11510    57265        0
D KEYCORP                      	COMMON           493267108  267816  10375252 SH       DEFINED 02    7823651        0  2551600
D KEYCORP                      	COMMON           493267108    2968    115000 SH       OTHER   0304   115000        0        0
D KEYCORP                      	COMMON           493267108     129      5000 SH       DEFINED 05       2000        0     3000
D KEYCORP                      	COMMON           493267108    1355     52500 SH       DEFINED 06      52500        0        0
D KEYCORP                      	COMMON           493267108    1345     52100 SH       OTHER   09      52100        0        0
D KEYCORP                      	COMMON           493267108     126      4900 SH       DEFINED 17       4900        0        0
D KEYSTONE AUTOMOTIVE INDUSTRIE	COMMON           49338N109     174     15900 SH       DEFINED 02          0        0    15900
D KILROY RLTY CORP             	COMMON           49427F108     581     27494 SH       DEFINED 17      27494        0        0
D KIMBERLY-CLARK CORP.         	COMMON           494368103   96707   1833300 SH       DEFINED 01    1319574        0   513726
D KIMBERLY-CLARK CORP.         	COMMON           494368103   15277    289620 SH       OTHER   01      31240   258380        0
D KIMBERLY-CLARK CORP.         	COMMON           494368103  244943   4643466 SH       DEFINED 02    3333166        0  1310300
D KIMBERLY-CLARK CORP.         	COMMON           494368103    1055     20000 SH       OTHER   0304    20000        0        0
D KIMBERLY-CLARK CORP.         	COMMON           494368103    1454     27560 SH       DEFINED 05       9300        0    18260
D KIMBERLY-CLARK CORP.         	COMMON           494368103     408      7744 SH       OTHER   05          0     7744        0
D KIMBERLY-CLARK CORP.         	COMMON           494368103     306      5800 SH       DEFINED 17       5800        0        0
D KIMCO REALTY CORP.           	COMMON           49446R109    1448     40500 SH       DEFINED 01      40500        0        0
D KIMCO REALTY CORP.           	COMMON           49446R109    1759     49200 SH       DEFINED 02      39100        0    10100

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 130
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D KING PHARMACEUTICALS INC     	COMMON           495582108    1288     36800 SH       DEFINED 02       1900        0    34900
D KING WORLD                   	COMMON           495667107       0    409500 SH       DEFINED 16     409500        0        0
D KING WORLD PRODUCTIONS, INC. 	COMMON           495667107    1013     27000 SH       DEFINED 01          0        0    27000
D KING WORLD PRODUCTIONS, INC. 	COMMON           495667107     191      5100 SH       DEFINED 02        200        0     4900
D KING WORLD PRODUCTIONS, INC. 	COMMON           495667107      30       800 SH       DEFINED 17        800        0        0
D KITTY HAWK INC               	COMMON           498326107     102     10100 SH       DEFINED 02          0        0    10100
D K MART FINANCING 7.75% CV.PFD	PREF-CONV        498778208    4782    100400 PRN      DEFINED 01
D K MART FINANCING 7.75% CV.PFD	PREF-CONV        498778208    2138     44900 PRN      DEFINED 02
D KNOLL, INC.                  	COMMON           498904101    7407    275613 SH       DEFINED 01     275613        0        0
D KNOLL, INC.                  	COMMON           498904101      38      1400 SH       DEFINED 02       1400        0        0
D KNIGHT RIDDE                 	COMMON           499040103       2        32 SH       DEFINED 16         32        0        0
D KNIGHT RIDDER, INC.          	COMMON           499040103   24415    443900 SH       DEFINED 01     301400        0   142500
D KNIGHT RIDDER, INC.          	COMMON           499040103    6127    111400 SH       OTHER   01       1200   110200        0
D KNIGHT RIDDER, INC.          	COMMON           499040103   37193    676244 SH       DEFINED 02     425844        0   250400
D KNIGHT RIDDER, INC.          	COMMON           499040103      50       900 SH       DEFINED 17        900        0        0
D KNIGHT/TRIMARK GROUP INC     	COMMON           499067106     587     19800 SH       DEFINED 02          0        0    19800
D KNIGHT/TRIMARK GROUP INC     	COMMON           499067106       2        56 SH       DEFINED 16         56        0        0
D KOHL'S CORP.                 	COMMON           500255104     610      9220 SH       DEFINED 01       2120        0     7100
D KOHL'S CORP.                 	COMMON           500255104     337      5100 SH       DEFINED 02       3700        0     1400
D KOHL'S CORP.                 	COMMON           500255104      99      1500 SH       DEFINED 05          0        0     1500
D KOHL'S CORP.                 	COMMON           500255104     400      6050 SH       DEFINED 16       6050        0        0
D KOHL'S CORP.                 	COMMON           500255104     119      1800 SH       DEFINED 17       1800        0        0
D KONINKLIJKE PHILIPS ELECTRS  	COMMON           500472204     516      5106 SH       DEFINED 01          0        0     5106
D PHILIPS NV                   	COMMON           500472204   10611    105000 SH       DEFINED 17     105000        0        0
D KOPIN CORP.                  	COMMON           500600101    2134     76900 SH       DEFINED 01      76900        0        0
D KOPIN CORP.                  	COMMON           500600101      28      1000 SH       OTHER   01          0     1000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 131
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D KOPIN CORP.                  	COMMON           500600101    5062    182400 SH       DEFINED 02     135700        0    46700
D KOREA TELECOM                	COMMON           50063P103   11303    305477 SH       DEFINED 01     305477        0        0
D KROGER CO                    	COMMON           501044101       0     50800 SH       DEFINED 16      50800        0        0
D KROGER COMPANY               	COMMON           501044101   40947   1855905 SH       DEFINED 01    1313435        0   542470
D KROGER COMPANY               	COMMON           501044101     605     27400 SH       OTHER   01       6000    21400        0
D KROGER COMPANY               	COMMON           501044101  111106   5035831 SH       DEFINED 02    3492230        0  1543600
D KROGER COMPANY               	COMMON           501044101      99      4500 SH       DEFINED 05        500        0     4000
D KROGER COMPANY               	COMMON           501044101     199      9000 SH       DEFINED 17       9000        0        0
D KROLL-O'GARA COMPANY         	COMMON           501050108    1669    100000 SH       DEFINED 01          0        0   100000
D KROLL-O'GARA COMPANY         	COMMON           501050108     167     10000 SH       DEFINED 02       7700        0     2300
D KULICKE & SOFFA INDUSTRIES,IN	COMMON           501242101     304     12500 SH       DEFINED 02       1300        0    11200
D LASMO PLC 10% PFD. SER A     	PREFERRED        501730303   20037    813700 PRN      DEFINED 01
D LASMO PLC 10% PFD. SER A     	PREFERRED        501730303   11784    478525 PRN      DEFINED 02
D LCA-VISION INC               	COMMON           501803209     526     99000 SH       DEFINED 01      99000        0        0
D LCA-VISION INC               	COMMON           501803209     148     27889 SH       DEFINED 02      18400        0     9489
D LCC INTERNATIONAL, INC.      	COMMON           501810105     187     30800 SH       DEFINED 02          0        0    30800
D LG&E ENERGY CORP.            	COMMON           501917108     301     14158 SH       OTHER   01      10484     3674        0
D LTV CORP.                    	COMMON           501921100     440     81000 SH       DEFINED 01      81000        0        0
D LTV CORP.                    	COMMON           501921100     258     47400 SH       DEFINED 02      47400        0        0
D LHS GROUP INC                	COMMON           501938104     341     11600 SH       DEFINED 01      11600        0        0
D LHS GROUP INC                	COMMON           501938104      56      1900 SH       DEFINED 02        300        0     1600
D LNR PPTY CORP                	COMMON           501940100     204     10000 SH       DEFINED 01      10000        0        0
D LNR PPTY CORP                	COMMON           501940100     383     18800 SH       DEFINED 02       5600        0    13200
D LSI LOGIC CORP.              	COMMON           502161102     135      2500 SH       DEFINED 01       1000        0     1500
D LSI LOGIC CORP.              	COMMON           502161102      83      1600 SH       DEFINED 17       1600        0        0
D LSI INDUSTRIES, INC.         	COMMON           50216C108     396     17325 SH       DEFINED 02          0        0    17325

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 132
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LTX CORP.                    	COMMON           502392103     205     15000 SH       DEFINED 02       2100        0    12900
D L-3 COMMUNICATIONS HOLDINGS I	COMMON           502424104   16542    438200 SH       DEFINED 01     342100        0    96100
D L-3 COMMUNICATIONS HOLDINGS I	COMMON           502424104   10283    272400 SH       DEFINED 02     205200        0    67200
D L-3 COMMUNICATIONS HOLDINGS I	COMMON           502424104     143      3800 SH       DEFINED 05          0        0     3800
D LA-Z-BOY CHAIR CO.           	COMMON           505336107    1016     53300 SH       DEFINED 01      53300        0        0
D LA-Z-BOY CHAIR CO.           	COMMON           505336107     398     20900 SH       DEFINED 02      20900        0        0
D LABOR READY, INC.            	COMMON           505401208      71      7100 SH       DEFINED 01       7100        0        0
D LABOR READY, INC.            	COMMON           505401208      43      4300 SH       DEFINED 02       2300        0     2000
D LABORATORY CORP. OF AMERICA H	COMMON           50540R102     172     62700 SH       DEFINED 02       1800        0    60900
D LADISH INC                   	COMMON           505754200     650    100000 SH       DEFINED 01          0        0   100000
D LADISH INC                   	COMMON           505754200      91     14000 SH       DEFINED 02          0        0    14000
D LAM RESEARCH CORP.           	COMMON           512807108   21573    353650 SH       DEFINED 01     275350        0    78300
D LAM RESEARCH CORP.           	COMMON           512807108    9513    155950 SH       DEFINED 02     113000        0    42950
D LAM RESEARCH CORP.           	COMMON           512807108     177      2900 SH       DEFINED 05          0        0     2900
D LAM RESEARCH CORP.           	COMMON           512807108      31       505 SH       DEFINED 16        505        0        0
D LAMAR ADVERTISING CO         	COMMON           512815101     290      5850 SH       DEFINED 02          0        0     5850
D LANCASTER COLONY CORP.       	COMMON           513847103     666     20799 SH       DEFINED 02          0        0    20799
D LANDAMERICA FINANCIAL GROUP I	COMMON           514936103     207     10500 SH       DEFINED 01      10500        0        0
D LANDAMERICA FINANCIAL GROUP I	COMMON           514936103     699     35400 SH       DEFINED 02       1300        0    34100
D LANDRY'S SEAFOOD RESTAURANTS,	COMMON           51508L103     658     82200 SH       DEFINED 01      82200        0        0
D LANDRY'S SEAFOOD RESTAURANTS,	COMMON           51508L103     115     14400 SH       DEFINED 02      13800        0      600
D LASALLE HOTEL PROPERITIES    	COMMON           517942108    1193     92200 SH       DEFINED 01      92200        0        0
D LASALLE HOTEL PROPERITIES    	COMMON           517942108     869     67200 SH       DEFINED 02      20600        0    46600
D LASER TECHNOLOGY, INC.       	COMMON           518074208     225    200000 SH       DEFINED 01          0        0   200000
D LASER VISION CTRS INC        	COMMON           51807H100    1511    107700 SH       DEFINED 01      76100        0    31600
D LASER VISION CTRS INC        	COMMON           51807H100      60      4300 SH       DEFINED 02       2600        0     1700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 133
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LASER VISION CTRS INC        	COMMON           51807H100      17      1200 SH       DEFINED 05          0        0     1200
D LATTICE SEMICONDUCTOR CORP.  	COMMON           518415104    1146     38600 SH       DEFINED 01      38600        0        0
D LATTICE SEMICONDUCTOR CORP.  	COMMON           518415104     781     26300 SH       DEFINED 02       6200        0    20100
D LATTICE SEMICONDUCTOR CORP.  	COMMON           518415104       8       267 SH       DEFINED 16        267        0        0
D LAUDER (ESTEE) COMPANIES, INC	COMMON           518439104   12215    312698 SH       DEFINED 01     311698        0     1000
D LAUDER (ESTEE) COMPANIES, INC	COMMON           518439104     234      6000 SH       OTHER   01       6000        0        0
D LAUDER (ESTEE) COMPANIES, INC	COMMON           518439104     164      4200 SH       DEFINED 05       2000        0     2200
D LAUDER (ESTEE) COMPANIES, INC	COMMON           518439104       1        37 SH       DEFINED 16         37        0        0
D LEAR CORP.                   	COMMON           521865105   34197    971825 SH       DEFINED 01     622400        0   349425
D LEAR CORP.                   	COMMON           521865105     283      8050 SH       OTHER   01       6100     1950        0
D LEAR CORP.                   	COMMON           521865105  165872   4713876 SH       DEFINED 02    3756476        0   957400
D LEAR CORP.                   	COMMON           521865105    2720     77300 SH       DEFINED 05      26500        0    50800
D LEAR CORP.                   	COMMON           521865105      28       800 SH       OTHER   05          0      800        0
D LEAR CORP.                   	COMMON           521865105       1        19 SH       DEFINED 16         19        0        0
D LEE ENTERPRISES, INC.        	COMMON           523768109     520     19000 SH       OTHER   01          0    19000        0
D LEGATO SYSTEMS, INC.         	COMMON           524651106    4172     95700 SH       DEFINED 01      95700        0        0
D LEGATO SYSTEMS, INC.         	COMMON           524651106    2215     50800 SH       DEFINED 02       4000        0    46800
D LEGATO SYSTEMS, INC.         	COMMON           524651106       1        28 SH       DEFINED 16         28        0        0
D LEGGETT & PLATT, INC.        	COMMON           524660107   28721   1458825 SH       DEFINED 01     975875        0   482950
D LEGGETT & PLATT, INC.        	COMMON           524660107      51      2600 SH       OTHER   01       2600        0        0
D LEGGETT & PLATT, INC.        	COMMON           524660107   60764   3086356 SH       DEFINED 02    2144256        0   942100
D LEGGETT & PLATT, INC.        	COMMON           524660107      26      1300 SH       DEFINED 05       1300        0        0
D LEGG MASON, INC.             	COMMON           524901105     169      4400 SH       DEFINED 01       4400        0        0
D LEGG MASON, INC.             	COMMON           524901105     759     19800 SH       DEFINED 02        200        0    19600
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100    4819     82550 SH       DEFINED 01      79200        0     3350
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100      36       620 SH       OTHER   01          0      620        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 134
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100      35       608 SH       DEFINED 02          8        0      600
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100      12       200 SH       OTHER   05          0      200        0
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100    1751     30000 SH       DEFINED 16      30000        0        0
D LEHMAN BROTHERS HOLDINGS,INC.	COMMON           524908100      76      1300 SH       DEFINED 17       1300        0        0
D LENNAR CORP.                 	COMMON           526057104    2574    161493 SH       DEFINED 01     161493        0        0
D LENNAR CORP.                 	COMMON           526057104    1071     67200 SH       DEFINED 02      39400        0    27800
D LENNAR CORPORATION           	BOND             526057AA2       0   6000000 PRN      DEFINED 16
D LEUCADIA NATIONAL CORP.      	COMMON           527288104      17       800 SH       DEFINED 01        800        0        0
D LEUCADIA NATIONAL CORP.      	COMMON           527288104     185      8800 SH       DEFINED 02          0        0     8800
D LEUCADIA NATIONAL CORP.      	COMMON           527288104      42      2000 SH       DEFINED 05       2000        0        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100   73956   1411125 SH       DEFINED 01     877435        0   533690
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100    1257     24075 SH       OTHER   01       9700    14375        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100  202903   3885615 SH       DEFINED 02    2988314        0   897300
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100      21       400 SH       DEFINED 05        400        0        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100     157      3000 SH       DEFINED 06       3000        0        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100     710     13600 SH       OTHER   09      13600        0        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100     313      6000 SH       OTHER   101112      0     6000        0
D LEVEL 3 COMMUNICATIONS INC   	COMMON           52729N100    1571     30089 SH       DEFINED 16      30089        0        0
D LIBBEY, INC.                 	COMMON           529898108     302     10200 SH       DEFINED 02       7200        0     3000
D LIBERTY ALL-STAR GROWTH FD I 	COMMON           529900102     560     55973 SH       OTHER   01
D LIBERATE TECHNOLOGIES        	COMMON           530129105   12117    287650 SH       DEFINED 01     209125        0    78525
D LIBERATE TECHNOLOGIES        	COMMON           530129105    2203     52300 SH       DEFINED 02      37575        0    14725
D LIBERATE TECHNOLOGIES        	COMMON           530129105     124      2950 SH       DEFINED 05          0        0     2950
D LIBERTY CORP.                	COMMON           530370105     204      4400 SH       DEFINED 02          0        0     4400
D LIBERTY FINANCIAL COMPANIES,I	COMMON           530512102     309     14100 SH       DEFINED 01      14100        0        0
D LIBERTY FINANCIAL COMPANIES,I	COMMON           530512102     141      6419 SH       DEFINED 02       1400        0     5019

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 135
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LIBERTY PROPERTY TRUST S/B/I 	COMMON           531172104    1541     67900 SH       DEFINED 01      67900        0        0
D LIBERTY PROPERTY TRUST S/B/I 	COMMON           531172104    4247    187200 SH       DEFINED 02     172200        0    15000
D LIFE USA HOLDING, INC.       	COMMON           531918209      45      2200 SH       DEFINED 01       2200        0        0
D LIFE USA HOLDING, INC.       	COMMON           531918209     161      7800 SH       DEFINED 02       7800        0        0
D LIFECELL CORPORATION         	COMMON           531927101     496     86250 SH       DEFINED 17      86250        0        0
D LIFELINE SYSTEMS, INC.       	COMMON           532192101    1211     83900 SH       DEFINED 01      83900        0        0
D LIFELINE SYSTEMS, INC.       	COMMON           532192101     396     27400 SH       DEFINED 02      27400        0        0
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109      11      1316 SH       DEFINED 01        814        0      502
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109       1       159 SH       DEFINED 02          7        0      152
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109     455     52417 SH       DEFINED 16      52417        0        0
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109      59      6736 SH       DEFINED 17       6736        0        0
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109     406     46184 SH       DEFINED 18      46184        0        0
D LIFEPOINT HOSPITALS INC      	COMMON           53219L109    9733   1107402 SH       DEFINED 19      82256        0        0
D LIGAND PHARMACEUTICALS, INC.C	COMMON           53220K207    9314   1221539 SH       DEFINED 01     995450        0   226089
D LIGAND PHARMACEUTICALS, INC.C	COMMON           53220K207   10648   1396500 SH       DEFINED 02    1216900        0   179600
D LIGAND PHARMACEUTICALS, INC.C	COMMON           53220K207      65      8500 SH       DEFINED 05          0        0     8500
D LILLY (ELI) & CO.            	COMMON           532457108  291639   4543518 SH       DEFINED 01    3122563        0  1420955
D LILLY (ELI) & CO.            	COMMON           532457108   77558   1208288 SH       OTHER   01    1104399   103889        0
D LILLY (ELI) & CO.            	COMMON           532457108  700779  10917607 SH       DEFINED 02    7677357        0  3240250
D LILLY (ELI) & CO.            	COMMON           532457108    2875     44784 SH       DEFINED 05      28104        0    16680
D LILLY (ELI) & CO.            	COMMON           532457108      32       500 SH       OTHER   05          0      500        0
D LILLY (ELI) & CO.            	COMMON           532457108    1720     26800 SH       OTHER   09      26800        0        0
D LILLY (ELI) & CO.            	COMMON           532457108    1656     25800 SH       DEFINED 16      25800        0        0
D LILLY (ELI) & CO.            	COMMON           532457108     696     10850 SH       DEFINED 17      10850        0        0
D LILLY (ELI) & CO.            	COMMON           532457108    6419    100000 SH       DEFINED 18     100000        0        0
D LIMITED, INC.                	COMMON           532716107   69466   1816100 SH       DEFINED 01    1814100        0     2000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 136
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LIMITED, INC.                	COMMON           532716107     383     10000 SH       DEFINED 02      10000        0        0
D LIMITED, INC.                	COMMON           532716107       4        94 SH       DEFINED 16         94        0        0
D LIMITED, INC.                	COMMON           532716107      92      2400 SH       DEFINED 17       2400        0        0
D LINCARE HOLDINGS, INC.       	COMMON           532791100    2140     80300 SH       DEFINED 01      80300        0        0
D LINCARE HOLDINGS, INC.       	COMMON           532791100     765     28700 SH       DEFINED 02       4100        0    24600
D LINCARE HOLDINGS, INC.       	COMMON           532791100      36      1359 SH       DEFINED 16       1359        0        0
D LINCOLN ELECTRIC HOLDINGS    	COMMON           533900106     328     15700 SH       DEFINED 01      15700        0        0
D LINCOLN ELECTRIC HOLDINGS    	COMMON           533900106     681     32600 SH       DEFINED 02      12000        0    20600
D LINCOLN ELECTRIC HOLDINGS    	COMMON           533900106      43      2038 SH       DEFINED 16       2038        0        0
D LINCOLN NATIONAL CORP.       	COMMON           534187109    8944    238100 SH       DEFINED 01     152900        0    85200
D LINCOLN NATIONAL CORP.       	COMMON           534187109   10947    291432 SH       DEFINED 02     176532        0   114900
D LINCOLN NATIONAL CORP.       	COMMON           534187109     721     19200 SH       DEFINED 17      19200        0        0
D LINEAR TECHN                 	COMMON           535678106       3        46 SH       DEFINED 16         46        0        0
D LINEAR TECHNOLOGY CORP.      	COMMON           535678106     118      2000 SH       DEFINED 01       2000        0        0
D LINEAR TECHNOLOGY CORP.      	COMMON           535678106    3174     54000 SH       DEFINED 06      54000        0        0
D LINENS N THINGS INC          	COMMON           535679104   11681    346100 SH       DEFINED 01     245100        0   101000
D LINENS N THINGS INC          	COMMON           535679104     419     12400 SH       DEFINED 02       7100        0     5300
D LINENS N THINGS INC          	COMMON           535679104     125      3700 SH       DEFINED 05          0        0     3700
D LIONBRIDGE TECHNOLOGIES INC  	COMMON           536252109     543     34900 SH       DEFINED 01      34900        0        0
D LIONBRIDGE TECHNOLOGIES INC  	COMMON           536252109    1376     88400 SH       DEFINED 02      68000        0    20400
D LIPOSOME CO., INC.           	COMMON           536310105     118     15500 SH       DEFINED 01      15500        0        0
D LIPOSOME CO., INC.           	COMMON           536310105      49      6400 SH       DEFINED 02       4600        0     1800
D LIQUI-BOX CORP.              	COMMON           536314107     216      4000 SH       DEFINED 02          0        0     4000
D LIQUID AUDIO INC             	COMMON           53631T102    1517     41000 SH       DEFINED 01      41000        0        0
D LIQUID AUDIO INC             	COMMON           53631T102    3548     95900 SH       DEFINED 02      71300        0    24600
D LITHIA MOTORS,INC. A         	COMMON           536797103    3893    169700 SH       DEFINED 01     169700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 137
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LITHIA MOTORS,INC. A         	COMMON           536797103    5916    257900 SH       DEFINED 02     206900        0    51000
D LITTON INDUSTRIES, INC.      	COMMON           538021106    1818     33200 SH       DEFINED 01      33200        0        0
D LITTON INDUSTRIES, INC.      	COMMON           538021106     296      5400 SH       DEFINED 02       1400        0     4000
D LIZ CLAIBORNE, INC.          	COMMON           539320101    4760    153557 SH       DEFINED 01     153557        0        0
D LIZ CLAIBORNE, INC.          	COMMON           539320101      22       700 SH       DEFINED 17        700        0        0
D LO-JACK CORP.                	COMMON           539451104     105     12700 SH       DEFINED 02          0        0    12700
D LOCAL FINL CORP              	COMMON           539553107     127     13700 SH       DEFINED 02      13700        0        0
D LOCKHEED MARTIN CORP.        	COMMON           539830109   70091   2144235 SH       DEFINED 01    1556725        0   587510
D LOCKHEED MARTIN CORP.        	COMMON           539830109     422     12900 SH       OTHER   01       4200     8700        0
D LOCKHEED MARTIN CORP.        	COMMON           539830109  196611   6014776 SH       DEFINED 02    4412576        0  1602200
D LOCKHEED MARTIN CORP.        	COMMON           539830109     654     20000 SH       OTHER   0304    20000        0        0
D LOCKHEED MARTIN CORP.        	COMMON           539830109      52      1600 SH       DEFINED 05       1600        0        0
D LOCKHEED MARTIN CORP.        	COMMON           539830109     141      4300 SH       DEFINED 17       4300        0        0
D LODGIAN INC                  	COMMON           54021P106     220     58600 SH       DEFINED 02      45600        0    13000
D LOEWS CORP.                  	COMMON           540424108    3313     47200 SH       DEFINED 01      46000        0     1200
D LOEWS CORP.                  	COMMON           540424108    2674     38100 SH       DEFINED 02          0        0    38100
D LOEWS CORP.                  	COMMON           540424108     105      1500 SH       DEFINED 05          0        0     1500
D LOEWS CORP.                  	COMMON           540424108      84      1200 SH       DEFINED 17       1200        0        0
D LONE STAR INDUSTRIES, INC.   	COMMON           542290408     304      6100 SH       DEFINED 02       6100        0        0
D LONE STAR STEAKHOUSE & SALOON	COMMON           542307103     363     47200 SH       DEFINED 01      47200        0        0
D LONE STAR STEAKHOUSE & SALOON	COMMON           542307103     407     53000 SH       DEFINED 02      46300        0     6700
D LONE STAR TECHNOLOGIES, INC. 	COMMON           542312103     260     13000 SH       DEFINED 02          0        0    13000
D LONG BEACH FINANCIAL CORP.   	COMMON           542446109    2370    149300 SH       DEFINED 02          0        0   149300
D LOOKSMART LTD                	COMMON           543442107    1660     69700 SH       DEFINED 01      69700        0        0
D LOOKSMART LTD                	COMMON           543442107    3896    163600 SH       DEFINED 02     123100        0    40500
D LOUIS DREYFUS NATURAL GAS COR	COMMON           546011107    1008     47000 SH       DEFINED 01      47000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 138
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LOUIS DREYFUS NATURAL GAS COR	COMMON           546011107     101      4700 SH       DEFINED 02       4700        0        0
D LOUISIANA PACIFIC CORP.      	COMMON           546347105     272     17400 SH       DEFINED 01        500        0    16900
D LOUISIANA PACIFIC CORP.      	COMMON           546347105    1576    100858 SH       DEFINED 02      55058        0    45800
D LOUISIANA PACIFIC CORP.      	COMMON           546347105     719     46000 SH       DEFINED 06      46000        0        0
D LOUISIANA PACIFIC CORP.      	COMMON           546347105      19      1200 SH       DEFINED 17       1200        0        0
D LOWE'S COMPANIES, INC.       	COMMON           548661107   11557    237070 SH       DEFINED 01     157485        0    79585
D LOWE'S COMPANIES, INC.       	COMMON           548661107     502     10300 SH       OTHER   01       4500     5800        0
D LOWE'S COMPANIES, INC.       	COMMON           548661107    6762    138700 SH       DEFINED 02      51100        0    87600
D LOWE'S COMPANIES, INC.       	COMMON           548661107     195      4000 SH       DEFINED 17       4000        0        0
D LOWES COMPANY                	COMMON           548661107       7       141 SH       DEFINED 16        141        0        0
D LUBRIZOL CORP.               	COMMON           549271104      26      1000 SH       DEFINED 01          0        0     1000
D LUBRIZOL CORP.               	COMMON           549271104      13       500 SH       DEFINED 05        500        0        0
D LUBRIZOL CORP.               	COMMON           549271104     514     20000 SH       OTHER   101112      0    20000        0
D LUCENT TECH                  	COMMON           549463107       0      5400 SH       DEFINED 16       5400        0        0
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107  529582   8163113 SH       DEFINED 01    5414630        0  2748483
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107   18662    287656 SH       OTHER   01     101618   186038        0
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107  992826  15303679 SH       DEFINED 02   10621886        0  4681792
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107   10575    163003 SH       DEFINED 05      59708        0   103295
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107     786     12116 SH       OTHER   05       7124     4992        0
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107    1972     30400 SH       OTHER   09      30400        0        0
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107    1682     25920 SH       OTHER   101112      0    25920        0
D LUCENT TECHNOLOGIES, INC.    	COMMON           549463107    7183    110718 SH       DEFINED 17     110718        0        0
D LYCOS, INC.                  	COMMON           550818108   11313    225696 SH       DEFINED 01      27500        0   198196
D LYCOS, INC.                  	COMMON           550818108    2165     43200 SH       DEFINED 02       1400        0    41800
D LYCOS, INC.                  	COMMON           550818108      32       632 SH       DEFINED 16        632        0        0
D LYCOS, INC.                  	COMMON           550818108    1271     25354 SH       DEFINED 17      25354        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 139
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D LYONDELL PETROCHEMICAL CO.   	COMMON           552078107   37311   2789600 SH       DEFINED 01    1977300        0   812300
D LYONDELL PETROCHEMICAL CO.   	COMMON           552078107      33      2500 SH       OTHER   01       2500        0        0
D LYONDELL PETROCHEMICAL CO.   	COMMON           552078107   64060   4789520 SH       DEFINED 02    3257520        0  1532000
D LYONDELL PETROCHEMICAL CO.   	COMMON           552078107      59      4400 SH       DEFINED 05       4400        0        0
D LYONDELL PETROCHEMICAL CO.   	COMMON           552078107   26845   2000000 SH       DEFINED 19    2000000        0        0
D M & F WORLDWIDE CORP.        	COMMON           552541104     120     15000 SH       DEFINED 02          0        0    15000
D M & T BANK CORPORATION       	COMMON           55261F104    7115     15500 SH       DEFINED 01      11900        0     3600
D M & T BANK CORPORATION       	COMMON           55261F104   13141     28630 SH       DEFINED 02      14530        0    14100
D MBIA, INC.                   	COMMON           55262C100   56008   1201249 SH       DEFINED 01     835230        0   366019
D MBIA, INC.                   	COMMON           55262C100    2938     63011 SH       OTHER   01      33790    29221        0
D MBIA, INC.                   	COMMON           55262C100  132529   2842451 SH       DEFINED 02    1988101        0   854350
D MBIA, INC.                   	COMMON           55262C100    2798     60000 SH       OTHER   0304    60000        0        0
D MBIA, INC.                   	COMMON           55262C100    1937     41550 SH       DEFINED 05      13350        0    28200
D MBIA, INC.                   	COMMON           55262C100      51      1100 SH       DEFINED 17       1100        0        0
D MBNA CORP                    	COMMON           55262L100     150      6559 SH       DEFINED 16       6559        0        0
D MBNA CORP.                   	COMMON           55262L100     554     24305 SH       DEFINED 01       7750        0    16555
D MBNA CORP.                   	COMMON           55262L100     406     17775 SH       DEFINED 05      14625        0     3150
D MBNA CORP.                   	COMMON           55262L100     433     19000 SH       DEFINED 06      19000        0        0
D MBNA CORP.                   	COMMON           55262L100     198      8700 SH       DEFINED 17       8700        0        0
D MBL INT'L FIN. BER. 3% CSD 11	BOND             55262XAA2    4756   5800000 PRN      DEFINED 01
D MBL INT'L FIN. BER. 3% CSD 11	BOND             55262XAA2    4100   5000000 PRN      DEFINED 17
D M. D. C. HOLDINGS, INC.      	COMMON           552676108      84      5200 SH       DEFINED 01       5200        0        0
D M. D. C. HOLDINGS, INC.      	COMMON           552676108     478     29500 SH       DEFINED 02      21100        0     8400
D MCN CORP.                    	COMMON           55267J100    1378     80200 SH       DEFINED 01      80200        0        0
D MCN CORP.                    	COMMON           55267J100       6       368 SH       OTHER   01          0      368        0
D MCN CORP.                    	COMMON           55267J100     265     15400 SH       DEFINED 02       3700        0    11700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 140
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MCI WORLDCOM INC             	COMMON           55268B106  737891  10266305 SH       DEFINED 01    5595266        0  4671039
D MCI WORLDCOM INC             	COMMON           55268B106   42890    596726 SH       OTHER   01     255396   341330        0
D MCI WORLDCOM INC             	COMMON           55268B106 1226019  17057660 SH       DEFINED 02   12044803        0  5012857
D MCI WORLDCOM INC             	COMMON           55268B106    3953     55000 SH       OTHER   0304    55000        0        0
D MCI WORLDCOM INC             	COMMON           55268B106   12774    177722 SH       DEFINED 05      78725        0    98997
D MCI WORLDCOM INC             	COMMON           55268B106     180      2500 SH       OTHER   05       1700      800        0
D MCI WORLDCOM INC             	COMMON           55268B106    4708     65500 SH       OTHER   09      65500        0        0
D MCI WORLDCOM INC             	COMMON           55268B106  446940   6218300 SH       DEFINED 17    6218300        0        0
D MFS MULTIMARKET INCOME TRUST 	COMMON           552737108     180     30000 SH       DEFINED 01
D MGC COMMUNICATIONS INC       	COMMON           552763302    2793    134600 SH       DEFINED 01      94950        0    39650
D MGC COMMUNICATIONS INC       	COMMON           552763302     312     15025 SH       DEFINED 02       3550        0    11475
D MGC COMMUNICATIONS INC       	COMMON           552763302      31      1500 SH       DEFINED 05          0        0     1500
D MGM GRAND, INC.              	COMMON           552953101    5762    112713 SH       DEFINED 01      88380        0    24333
D MGM GRAND, INC.              	COMMON           552953101    4878     95417 SH       DEFINED 02      67260        0    28157
D MGM GRAND, INC.              	COMMON           552953101      47       923 SH       DEFINED 05          0        0      923
D MGM GRAND, INC.              	COMMON           552953101       1        21 SH       DEFINED 16         21        0        0
D MKS INSTRUMENT INC           	COMMON           55306N104   14149    635900 SH       DEFINED 01     489550        0   146350
D MKS INSTRUMENT INC           	COMMON           55306N104    7354    330500 SH       DEFINED 02     245100        0    85400
D MKS INSTRUMENT INC           	COMMON           55306N104     122      5500 SH       DEFINED 05          0        0     5500
D MMI COMPANIES, INC.          	COMMON           553087107    2055    187913 SH       DEFINED 19     187913        0        0
D MMC NETWORKS INC             	COMMON           55308N102     752     24100 SH       DEFINED 01      24100        0        0
D MMC NETWORKS INC             	COMMON           55308N102     140      4500 SH       DEFINED 02       4500        0        0
D MSC INDUSTRIAL DIRECT CO.,INC	COMMON           553530106    3088    343100 SH       DEFINED 01     243100        0   100000
D MSC INDUSTRIAL DIRECT CO.,INC	COMMON           553530106     124     13800 SH       DEFINED 02       8500        0     5300
D MSC INDUSTRIAL DIRECT CO.,INC	COMMON           553530106      33      3700 SH       DEFINED 05          0        0     3700
D MTI TECHNOLOGY CORP          	COMMON           553903105     579     25100 SH       DEFINED 01      25100        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 141
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MTI TECHNOLOGY CORP          	COMMON           553903105     673     29200 SH       DEFINED 02       6200        0    23000
D MACDERMID, INC.              	COMMON           554273102      95      2800 SH       DEFINED 01       2800        0        0
D MACDERMID, INC.              	COMMON           554273102    1022     30000 SH       OTHER   01          0    30000        0
D MACDERMID, INC.              	COMMON           554273102     644     18900 SH       DEFINED 02          0        0    18900
D MACERICH CO.                 	COMMON           554382101    7199    311300 SH       DEFINED 01     311300        0        0
D MACERICH CO.                 	COMMON           554382101   14717    636400 SH       DEFINED 02     560300        0    76100
D MACK CALI RLTY CORP          	COMMON           554489104    3062    114200 SH       DEFINED 01     114200        0        0
D MACK CALI RLTY CORP          	COMMON           554489104    7497    279600 SH       DEFINED 02     253700        0    25900
D MACMILLAN BLOEDEL LTD.       	COMMON           554783209    1718    109500 SH       DEFINED 17     109500        0        0
D MACROCHEM CORPORATION        	COMMON           555903103     148     24700 SH       DEFINED 02          0        0    24700
D MACROMEDIA, INC.             	COMMON           556100105    2931     71700 SH       DEFINED 01      71700        0        0
D MACROMEDIA, INC.             	COMMON           556100105     646     15800 SH       DEFINED 02       3100        0    12700
D STEVEN MADDEN, LTD.          	COMMON           556269108    7712    596050 SH       DEFINED 01     430750        0   165300
D STEVEN MADDEN, LTD.          	COMMON           556269108     334     25800 SH       DEFINED 02      16700        0     9100
D STEVEN MADDEN, LTD.          	COMMON           556269108      84      6500 SH       DEFINED 05          0        0     6500
D BSB BANCORP, INC.            	COMMON           055652101    1783     74312 SH       DEFINED 02       3600        0    70712
D MADISON GAS & ELECTRIC CO.   	COMMON           557497104     345     17375 SH       DEFINED 02          0        0    17375
D MAGNA INTL CO                	COMMON           559222401       0      5800 SH       DEFINED 16       5800        0        0
D MAKER COMMUNICATIONS INC     	COMMON           560875106     548     23300 SH       DEFINED 01      23300        0        0
D MAKER COMMUNICATIONS INC     	COMMON           560875106    1300     55300 SH       DEFINED 02      41800        0    13500
D MALLINCKRODT INC NEW         	COMMON           561232109    2433     80600 SH       DEFINED 01      80600        0        0
D MALLINCKRODT INC NEW         	COMMON           561232109     395     13100 SH       DEFINED 02       3400        0     9700
D MALLINCKRODT INC NEW         	COMMON           561232109     181      6000 SH       DEFINED 05          0        0     6000
D MALLINCKRODT INC NEW         	COMMON           561232109      24       800 SH       DEFINED 17        800        0        0
D MANDALAY RESORT GROUP         	COMMON           562567107    3966    200800 SH       DEFINED 01     176300        0    24500
D MANDALAY RESORT GROUP         	COMMON           562567107    6128    310300 SH       DEFINED 02     222600        0    87700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 142
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MANITOWOC, INC.              	COMMON           563571108    3245     95100 SH       DEFINED 01      95100        0        0
D MANITOWOC, INC.              	COMMON           563571108    3885    113837 SH       DEFINED 02      80900        0    32937
D MANPOWER, INC.               	COMMON           56418H100     513     17600 SH       DEFINED 01      17600        0        0
D MANPOWER, INC.               	COMMON           56418H100      84      2900 SH       DEFINED 02        800        0     2100
D MANPOWER, INC.               	COMMON           56418H100       0        16 SH       DEFINED 16         16        0        0
D MANSUR INDUSTRIES, INC.      	COMMON           564491108     206     31700 SH       DEFINED 01      31700        0        0
D MANUFACTURED HOME COMMUNITIES	COMMON           564682102    4320    184800 SH       DEFINED 01     184800        0        0
D MANUFACTURED HOME COMMUNITIES	COMMON           564682102    7136    305300 SH       DEFINED 02     241300        0    64000
D MAPICS, INC.                 	COMMON           564910107    2355    271100 SH       DEFINED 01     191100        0    80000
D MAPICS, INC.                 	COMMON           564910107     113     13000 SH       DEFINED 02       8700        0     4300
D MAPICS, INC.                 	COMMON           564910107      26      3000 SH       DEFINED 05          0        0     3000
D MARCUS CORP.                 	COMMON           566330106     250     20687 SH       DEFINED 02      16300        0     4387
D MARK IV INDUSTRIES, INC.     	COMMON           570387100    1643     83200 SH       DEFINED 01      80200        0     3000
D MARK IV INDUSTRIES, INC.     	COMMON           570387100    1215     61500 SH       DEFINED 02      42700        0    18800
D MARKEL CORP.                 	COMMON           570535104     310      1700 SH       DEFINED 02          0        0     1700
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102  148867   2173242 SH       DEFINED 01    1430645        0   742597
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102   13032    190255 SH       OTHER   01      45860   144395        0
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102  323200   4718248 SH       DEFINED 02    3597321        0  1120927
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102    3185     46500 SH       OTHER   0304    46500        0        0
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102     408      5951 SH       DEFINED 05       4051        0     1900
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102    2061     30087 SH       OTHER   09      30087        0        0
D MARSH & MCLENNAN COMPANIES,IN	COMMON           571748102     199      2900 SH       DEFINED 17       2900        0        0
D MARSHALL & ILSLEY CORP.      	COMMON           571834100    5438     95300 SH       DEFINED 01      62300        0    33000
D MARSHALL & ILSLEY CORP.      	COMMON           571834100    6137    107543 SH       DEFINED 02      32502        0    75041
D MARRIOTT INTERNATIONAL INC   	COMMON           571903202     941     28800 SH       DEFINED 02          0        0    28800
D MARRIOTT INTERNATIONAL INC   	COMMON           571903202      88      2700 SH       DEFINED 17       2700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 143
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MARSHALL INDUSTRIES          	COMMON           572393106     715     19600 SH       DEFINED 02       5500        0    14100
D MARVEL ENTERPRISES INC       	COMMON           57383M108     187     34300 SH       DEFINED 02          0        0    34300
D MASCO CORP                   	COMMON           574599106      14       436 SH       DEFINED 16        436        0        0
D MASCO CORP.                  	COMMON           574599106    1572     50701 SH       DEFINED 01       5600        0    45101
D MASCO CORP.                  	COMMON           574599106     477     15400 SH       OTHER   01          0    15400        0
D MASCO CORP.                  	COMMON           574599106      81      2600 SH       DEFINED 05          0        0     2600
D MASCO CORP.                  	COMMON           574599106     115      3700 SH       DEFINED 17       3700        0        0
D MASCOTECH, INC.              	COMMON           574670105       4       240 SH       DEFINED 01        240        0        0
D MASCOTECH, INC.              	COMMON           574670105     191     11500 SH       DEFINED 02          0        0    11500
D MASCOTECH, INC 4.5% CSD DUE  	BOND             574670AB1    2415   3000000 PRN      DEFINED 02
D MASTEC INC                   	COMMON           576323109     180      6100 SH       DEFINED 01       6100        0        0
D MASTEC INC                   	COMMON           576323109    1107     37600 SH       DEFINED 02       1900        0    35700
D MATTEL, INC.                 	COMMON           577081102   88176   4640848 SH       DEFINED 01    2967724        0  1673124
D MATTEL, INC.                 	COMMON           577081102    2831    149001 SH       OTHER   01     101108    47893        0
D MATTEL, INC.                 	COMMON           577081102  268904  14152822 SH       DEFINED 02   11151647        0  3001174
D MATTEL, INC.                 	COMMON           577081102     855     45000 SH       OTHER   0304    45000        0        0
D MATTEL, INC.                 	COMMON           577081102      48      2500 SH       DEFINED 05       2500        0        0
D MATTEL, INC.                 	COMMON           577081102    1395     73400 SH       OTHER   09      73400        0        0
D MATTEL, INC.                 	COMMON           577081102      86      4500 SH       DEFINED 17       4500        0        0
D MATTHEWS INTL CORP           	COMMON           577128101     349     11600 SH       DEFINED 02          0        0    11600
D MAXIM INTEGR                 	COMMON           57772K101      52       820 SH       DEFINED 16        820        0        0
D MAXIM INTEGRATED PRODUCTS,INC	COMMON           57772K101    2297     36400 SH       DEFINED 02          0        0    36400
D MAXIM INTEGRATED PRODUCTS,INC	COMMON           57772K101     631     10000 SH       DEFINED 06      10000        0        0
D MAY DEPARTMENT STORES CO.    	COMMON           577778103   40799   1119692 SH       DEFINED 01     805592        0   314100
D MAY DEPARTMENT STORES CO.    	COMMON           577778103     934     25632 SH       OTHER   01       7302    18330        0
D MAY DEPARTMENT STORES CO.    	COMMON           577778103   77737   2133416 SH       DEFINED 02    1380770        0   752646

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 144
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MAY DEPARTMENT STORES CO.    	COMMON           577778103      58      1600 SH       DEFINED 05       1600        0        0
D MAY DEPARTMENT STORES CO.    	COMMON           577778103     131      3600 SH       DEFINED 17       3600        0        0
D MAVERICK TUBE CORP.          	COMMON           577914104     311     18700 SH       DEFINED 02          0        0    18700
D MCCORMICK & CO., INC. NON-VOT	COMMON           579780206     458     13840 SH       DEFINED 01
D MCDONALD'S CORP.             	COMMON           580135101   51119   1181945 SH       DEFINED 01     520270        0   661675
D MCDONALD'S CORP.             	COMMON           580135101   18312    423400 SH       OTHER   01      47200     376200        0
D MCDONALD'S CORP.             	COMMON           580135101   61354   1418579 SH       DEFINED 02     923779        0   494800
D MCDONALD'S CORP.             	COMMON           580135101    1682     38900 SH       DEFINED 05       8200        0    30700
D MCDONALD'S CORP.             	COMMON           580135101      16       380 SH       DEFINED 16        380        0        0
D MCDONALD'S CORP.             	COMMON           580135101  270713   6259266 SH       DEFINED 17    6259266        0        0
D MCGRAW-HILL                  	COMMON           580645109       3        56 SH       DEFINED 16         56        0        0
D MCGRAW-HILL, INC.            	COMMON           580645109    4212     87064 SH       DEFINED 01      69100        0    17964
D MCGRAW-HILL, INC.            	COMMON           580645109    2986     61728 SH       OTHER   01          0    61728        0
D MCGRAW-HILL, INC.            	COMMON           580645109    1592     32900 SH       DEFINED 02          0        0    32900
D MCGRAW-HILL, INC.            	COMMON           580645109     106      2200 SH       DEFINED 17       2200        0        0
D MCKESSON HBOC INC            	COMMON           58155Q103      12       400 SH       DEFINED 01        400        0        0
D MCKESSON HBOC INC            	COMMON           58155Q103     689     23774 SH       DEFINED 02          0        0    23774
D MCKESSON HBOC INC            	COMMON           58155Q103      87      3000 SH       DEFINED 17       3000        0        0
D MCLEOD INC                   	COMMON           582266102    1124     26400 SH       DEFINED 02          0        0    26400
D MEAD CORP.                   	COMMON           582834107     801     23300 SH       DEFINED 01      22050        0     1250
D MEAD CORP.                   	COMMON           582834107    2949     85784 SH       OTHER   01      12300    73484        0
D MEAD CORP.                   	COMMON           582834107       0         6 SH       DEFINED 02          6        0        0
D MEAD CORP.                   	COMMON           582834107     344     10000 SH       OTHER   0304    10000        0        0
D MEAD CORP.                   	COMMON           582834107    1403     40800 SH       DEFINED 05      10200        0    30600
D MEAD CORP.                   	COMMON           582834107    3207     93300 SH       DEFINED 06      93300        0        0
D MEAD CORP.                   	COMMON           582834107      38      1100 SH       DEFINED 17       1100        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 145
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MEADE INSTRUMENTS CORP       	COMMON           583062104     144      6000 SH       DEFINED 01       6000        0        0
D MEADE INSTRUMENTS CORP       	COMMON           583062104     760     31600 SH       DEFINED 02      28100        0     3500
D MEDIA GENERAL, INC. CLASS A  	COMMON           584404107     256      5000 SH       OTHER   01          0     5000        0
D MEDIA GENERAL, INC. CLASS A	 	COMMON           584404107    3075     60000 SH       OTHER   101112      0    60000        0
D MEDIAONE GROUP INC           	COMMON           58440J104  142166   2081069 SH       DEFINED 01    1338555        0   742514
D MEDIAONE GROUP INC           	COMMON           58440J104   13047    190986 SH       OTHER   01      70970   120016        0
D MEDIAONE GROUP INC           	COMMON           58440J104  223302   3268810 SH       DEFINED 02    1983110        0  1285700
D MEDIAONE GROUP INC           	COMMON           58440J104    2903     42500 SH       DEFINED 05      16200        0    26300
D MEDIAONE GROUP INC           	COMMON           58440J104     307      4500 SH       OTHER   05       4500        0        0
D MEDIAONE GROUP INC           	COMMON           58440J104    6831    100000 SH       DEFINED 16     100000        0        0
D MEDIAONE GROUP INC           	COMMON           58440J104    7248    106100 SH       DEFINED 17     106100        0        0
D MEDIAONE GROUP INC           	COMMON           58440J104    5123     75000 SH       DEFINED 18      75000        0        0
D MEDIAONE GROUP INC PFD CV SER	PREF-CONV        58440J203   12033     89136 PRN      OTHER   01
D MEDIA METRIX INC             	COMMON           58440X103    1279     18300 SH       DEFINED 01      18300        0        0
D MEDIA METRIX INC             	COMMON           58440X103    2914     41700 SH       DEFINED 02      31200        0    10500
D MEDICAL MANAGER CORP NEW     	COMMON           58461U103     299      6000 SH       DEFINED 01          0        0     6000
D MEDICAL MANAGER CORP NEW     	COMMON           58461U103     308      6200 SH       DEFINED 02          0        0     6200
D MEDICIS PHARMACEUTICAL CORP. 	COMMON           584690309     516     18100 SH       DEFINED 01      18100        0        0
D MEDICIS PHARMACEUTICAL CORP. 	COMMON           584690309     764     26800 SH       DEFINED 02       3100        0    23700
D MEDIMMUNE, INC.              	COMMON           584699102    5481     55000 SH       DEFINED 01      52300        0     2700
D MEDIMMUNE, INC.              	COMMON           584699102   13049    130944 SH       DEFINED 02      91344        0    39600
D MEDIMMUNE, INC.              	COMMON           584699102      71       712 SH       DEFINED 16        712        0        0
D MEDIMMUNE, INC.              	COMMON           584699102     429      4300 SH       DEFINED 17       4300        0        0
D MEDQUIST, INC.               	COMMON           584949101    9282    277600 SH       DEFINED 01     217800        0    59800
D MEDQUIST, INC.               	COMMON           584949101    4584    137100 SH       DEFINED 02     101400        0    35700
D MEDQUIST, INC.               	COMMON           584949101      74      2200 SH       DEFINED 05          0        0     2200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 146
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MEDITRUST COMPANIES          	COMMON           58501T306     529     62200 SH       DEFINED 01      62200        0        0
D MEDITRUST COMPANIES          	COMMON           58501T306    7751    911900 SH       DEFINED 02     811550        0   100350
D MEDTRONIC, INC.              	COMMON           585055106   62221   1749600 SH       DEFINED 01     969724        0   779876
D MEDTRONIC, INC.              	COMMON           585055106    9810    275836 SH       OTHER   01       2200   273636        0
D MEDTRONIC, INC.              	COMMON           585055106  171063   4810141 SH       DEFINED 02    3908528        0   901612
D MEDTRONIC, INC.              	COMMON           585055106     356     10000 SH       DEFINED 05       4400        0     5600
D MEDTRONIC, INC.              	COMMON           585055106      12       349 SH       DEFINED 16        349        0        0
D MEDTRONIC, INC.              	COMMON           585055106   59411   1670594 SH       DEFINED 17    1670594        0        0
D MEDTRONIC, INC.              	COMMON           585055106   17445    490534 SH       DEFINED 18     490534        0        0
D MELLON BANK CORP.            	COMMON           585509102   21904    651426 SH       DEFINED 01     331694        0   319732
D MELLON BANK CORP.            	COMMON           585509102    1420     42236 SH       OTHER   01       7756    34480        0
D MELLON BANK CORP.            	COMMON           585509102   26259    780940 SH       DEFINED 02     411440        0   369500
D MELLON BANK CORP.            	COMMON           585509102     417     12400 SH       DEFINED 05      12400        0        0
D MELLON BANK CORP.            	COMMON           585509102     192      5700 SH       DEFINED 17       5700        0        0
D MENLEY & JAMES, INC.         	COMMON           586817108      35     15000 SH       DEFINED 01          0        0    15000
D MENTOR CORP.                 	COMMON           587188103     527     18500 SH       DEFINED 02        300        0    18200
D MERCANTILE BANKSHARES CORP.  	COMMON           587405101    5141    166156 SH       DEFINED 01     123800        0    42356
D MERCANTILE BANKSHARES CORP.  	COMMON           587405101      82      2650 SH       OTHER   01        400     2250        0
D MERCANTILE BANKSHARES CORP.  	COMMON           587405101    8539    275996 SH       DEFINED 02     182196        0    93800
D MERCK & CO                   	COMMON           589331107       0      6822 SH       DEFINED 16       6822        0        0
D MERCK & CO., INC.            	COMMON           589331107  508241   7841647 SH       DEFINED 01    3266124        0  4575523
D MERCK & CO., INC.            	COMMON           589331107  161461   2491176 SH       OTHER   01     389778  2101398        0
D MERCK & CO., INC.            	COMMON           589331107  412287   6361185 SH       DEFINED 02    3919137        0  2442048
D MERCK & CO., INC.            	COMMON           589331107    9994    154192 SH       DEFINED 05      67026        0    87166
D MERCK & CO., INC.            	COMMON           589331107    1112     17158 SH       OTHER   05       5458    11700        0
D MERCK & CO., INC.            	COMMON           589331107    3370     52000 SH       OTHER   101112      0    52000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 147
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MERCK & CO., INC.            	COMMON           589331107    1718     26505 SH       DEFINED 17      26505        0        0
D MERCK & CO., INC.            	COMMON           589331107    7000    108000 SH       DEFINED 18     108000        0        0
D MERCURY COMPUTER SYS         	COMMON           589378108     915     26900 SH       OTHER   01          0    26900        0
D MERCURY COMPUTER SYS         	COMMON           589378108      31       900 SH       DEFINED 02        900        0        0
D MERCURY GENERAL CORP.        	COMMON           589400100    7751    281200 SH       DEFINED 01     232500        0    48700
D MERCURY GENERAL CORP.        	COMMON           589400100      17       600 SH       OTHER   01        600        0        0
D MERCURY GENERAL CORP.        	COMMON           589400100   32231   1169368 SH       DEFINED 02     820268        0   349100
D MERCURY INTERACTIVE CORPORATI	COMMON           589405109    2143     33200 SH       DEFINED 01      33200        0        0
D MERCURY INTERACTIVE CORPORATI	COMMON           589405109    1395     21600 SH       DEFINED 02       6800        0    14800
D MEREDITH CORP.               	COMMON           589433101    1184     32600 SH       DEFINED 01      32600        0        0
D MEREDITH CORP.               	COMMON           589433101     127      3500 SH       DEFINED 02        900        0     2600
D MEREDITH CORP.               	COMMON           589433101      22       600 SH       DEFINED 17        600        0        0
D MERIDIAN RESOURCE CORP       	COMMON           58977Q109      82     17280 SH       DEFINED 02          0        0    17280
D MERISEL, INC.                	COMMON           589849108      60     37200 SH       DEFINED 02          0        0    37200
D MERISTAR HOSPITALITY CORP    	COMMON           58984Y103    3115    202600 SH       DEFINED 01     202600        0        0
D MERISTAR HOSPITALITY CORP    	COMMON           58984Y103    4245    276111 SH       DEFINED 02     249885        0    26226
D MERIDIAN GOLD INC            	COMMON           589975101     114     16800 SH       DEFINED 02          0        0    16800
D MERITOR AUTOMOTIVE, INC.     	COMMON           59000G100    2174    104166 SH       DEFINED 01     104166        0        0
D MERITOR AUTOMOTIVE, INC.     	COMMON           59000G100     376     18000 SH       DEFINED 02       4900        0    13100
D MERRILL CORP.                	COMMON           590175105     718     36000 SH       DEFINED 01      36000        0        0
D MERRILL CORP.                	COMMON           590175105     327     16400 SH       DEFINED 02      15600        0      800
D MERRILL LYNCH                	COMMON           590188108       0     13800 SH       DEFINED 16      13800        0        0
D MERRILL LYNCH & CO., INC.    	COMMON           590188108   65036    965290 SH       DEFINED 01     713390        0   251900
D MERRILL LYNCH & CO., INC.    	COMMON           590188108     967     14350 SH       OTHER   01       4350    10000        0
D MERRILL LYNCH & CO., INC.    	COMMON           590188108  127005   1885040 SH       DEFINED 02    1307540        0   577500
D MERRILL LYNCH & CO., INC.    	COMMON           590188108      61       900 SH       DEFINED 05        900        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 148
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MERRILL LYNCH & CO., INC.    	COMMON           590188108     539      8000 SH       DEFINED 06       8000        0        0
D MERRILL LYNCH & CO., INC.    	COMMON           590188108   15510    230200 SH       DEFINED 17     230200        0        0
D MERRILL LYNCH & CO., INC.    	COMMON           590188108    5390     80000 SH       DEFINED 18      80000        0        0
D MESSAGEMEDIA INC             	COMMON           590787107     126     11700 SH       DEFINED 01      11700        0        0
D MESSAGEMEDIA INC             	COMMON           590787107      35      3300 SH       DEFINED 02       3300        0        0
D METALS USA INC               	COMMON           591324108     133     13100 SH       DEFINED 02       1400        0    11700
D METHODE ELECTRONICS, INC.    	COMMON           591520200     283     15000 SH       DEFINED 01      15000        0        0
D METHODE ELECTRONICS, INC.    	COMMON           591520200     602     31900 SH       DEFINED 02       2800        0    29100
D METRIS COMPANIES, INC        	COMMON           591598107     735     24900 SH       DEFINED 01      24900        0        0
D METRIS COMPANIES, INC        	COMMON           591598107    2985    101200 SH       DEFINED 02       6200        0    95000
D METRIKA SYSTEMS CORP         	COMMON           59159M106     575    100000 SH       DEFINED 01          0        0   100000
D METRO-GOLDWYN-MAYER INC.     	COMMON           591610100     532     30400 SH       DEFINED 02          0        0    30400
D METRO INFORMATION SERVICES I 	COMMON           59162P104     782     61000 SH       DEFINED 01      61000        0        0
D METRO INFORMATION SERVICES I 	COMMON           59162P104     155     12100 SH       DEFINED 02      12100        0        0
D METROCALL, INC.              	COMMON           591647102      34     26900 SH       DEFINED 02          0        0    26900
D METROCALL, INC.              	COMMON           591647102       0         5 SH       DEFINED 16          5        0        0
D METROMEDIA FIBER NETWORK INC 	COMMON           591689104     397     16215 SH       DEFINED 01      16215        0        0
D METROMEDIA FIBER NETWORK INC 	COMMON           591689104    1191     48620 SH       DEFINED 02       2720        0    45900
D METROMEDIA FIBER NETWORK INC 	COMMON           591689104      12       495 SH       DEFINED 16        495        0        0
D METROMEDIA INTERNATIONAL GROU	COMMON           591695101      29      7057 SH       DEFINED 02       4600        0     2457
D METTLER TOLEDO INTERNATIONAL 	COMMON           592688105    4393    148300 SH       DEFINED 01     148300        0        0
D METTLER TOLEDO INTERNATIONAL 	COMMON           592688105   11240    379400 SH       DEFINED 02     290300        0    89100
D MICHAEL FOODS, INC.          	COMMON           594079105      61      2324 SH       DEFINED 01          0        0     2324
D MICHAEL FOODS, INC.          	COMMON           594079105     662     25200 SH       DEFINED 02          0        0    25200
D MICHAELS STORES, INC.        	COMMON           594087108    1038     35200 SH       DEFINED 01      35200        0        0
D MICHAELS STORES, INC.        	COMMON           594087108     298     10100 SH       DEFINED 02       9200        0      900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 149
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MICROS SYSTEMS, INC.         	COMMON           594901100      45      1100 SH       DEFINED 01       1100        0        0
D MICROS SYSTEMS, INC.         	COMMON           594901100     186      4600 SH       DEFINED 02        800        0     3800
D MICROSOFT CO                 	COMMON           594918104     191      2110 SH       DEFINED 16       2110        0        0
D MICROSOFT CORP.              	COMMON           594918104 1227735  13556695 SH       DEFINED 01    8227050        0  5329645
D MICROSOFT CORP.              	COMMON           594918104  107208   1183790 SH       OTHER   01     301829   881961        0
D MICROSOFT CORP.              	COMMON           594918104 2261532  24971922 SH       DEFINED 02   17535971        0  7435950
D MICROSOFT CORP.              	COMMON           594918104   17786    196398 SH       DEFINED 05      71650        0   124748
D MICROSOFT CORP.              	COMMON           594918104    2237     24700 SH       OTHER   05      19500     5200        0
D MICROSOFT CORP.              	COMMON           594918104    6876     75925 SH       OTHER   09      75925        0        0
D MICROSOFT CORP.              	COMMON           594918104  214022   2363244 SH       DEFINED 17    2363244        0        0
D MICROSOFT CORP.              	COMMON           594918104    1811     20000 SH       DEFINED 18      20000        0        0
D MICROSOFT CORPORATION PFD A  	PREFERRED        594918203    4078     40500 PRN      DEFINED 01
D MICROSOFT CORPORATION PFD A  	PREFERRED        594918203     101      1000 PRN      OTHER   01
D MICROAGE, INC. - RESTRICTED  	COMMON           594928103      23     10650 SH       DEFINED 02          0        0    10650
D MICROSTRATEGY INC            	COMMON           594972101   32006    570900 SH       DEFINED 01     443700        0   127200
D MICROSTRATEGY INC            	COMMON           594972101   17581    313600 SH       DEFINED 02     234700        0    78900
D MICROSTRATEGY INC            	COMMON           594972101     258      4600 SH       DEFINED 05          0        0     4600
D MICROCHIP TECHNOLOGY, INC.   	COMMON           595017104    8657    168500 SH       DEFINED 01     137700        0    30800
D MICROCHIP TECHNOLOGY, INC.   	COMMON           595017104     963     18750 SH       DEFINED 02       5600        0    13150
D MICROCHIP TECHNOLOGY, INC.   	COMMON           595017104      62      1200 SH       DEFINED 05          0        0     1200
D MICROCHIP TECHNOLOGY, INC.   	COMMON           595017104       1        25 SH       DEFINED 16         25        0        0
D MICRO WAREHOUSE, INC.        	COMMON           59501B105     589     48800 SH       DEFINED 01      48800        0        0
D MICRO WAREHOUSE, INC.        	COMMON           59501B105     456     37795 SH       DEFINED 02      19500        0    18295
D MICRO WAREHOUSE, INC.        	COMMON           59501B105      79      6547 SH       DEFINED 16       6547        0        0
D MICROFINANCIAL INC           	COMMON           595072109    1197    110100 SH       DEFINED 01     110100        0        0
D MICROFINANCIAL INC           	COMMON           595072109    1506    138500 SH       DEFINED 02     102900        0    35600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 150
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MICROMUSE INC.               	COMMON           595094103     302      4700 SH       DEFINED 02          0        0     4700
D MICRON ELECTRONICS INC       	COMMON           595100108     318     30300 SH       DEFINED 01      30300        0        0
D MICRON ELECTRONICS INC       	COMMON           595100108      60      5700 SH       DEFINED 02       5500        0      200
D MICRON TECHNOLOGY            	COMMON           595112103       0    100000 SH       DEFINED 16     100000        0        0
D MICRON TECHNOLOGY, INC.      	COMMON           595112103    3511     52800 SH       DEFINED 01      52000        0      800
D MICRON TECHNOLOGY, INC.      	COMMON           595112103     595      8944 SH       DEFINED 02       8044        0      900
D MICRON TECHNOLOGY, INC.      	COMMON           595112103     180      2700 SH       DEFINED 17       2700        0        0
D MIDAMERICAN ENERGY HLDGS NEW 	COMMON           59562V107    5782    196000 SH       DEFINED 01     146000        0    50000
D MIDAMERICAN ENERGY HLDGS NEW 	COMMON           59562V107     850     28800 SH       DEFINED 02       5600        0    23200
D MIDLAND BAND PLC 8.875%      	PREFERRED        597433309   28079   1146082 PRN      DEFINED 06
D MIDWAY GAMES INC             	COMMON           598148104      38      2400 SH       DEFINED 01       2400        0        0
D MIDWAY GAMES INC             	COMMON           598148104     407     25818 SH       DEFINED 02      14800        0    11018
D MIKASA, INC.                 	COMMON           59862T109     246     20900 SH       DEFINED 02       7900        0    13000
D MIIX GROUP INC               	COMMON           59862V104     400     23600 SH       DEFINED 01      23600        0        0
D MIIX GROUP INC               	COMMON           59862V104     974     57500 SH       DEFINED 02      43800        0    13700
D MILACRON INC                 	COMMON           598709103    6814    383900 SH       DEFINED 01     315400        0    68500
D MILACRON INC                 	COMMON           598709103    1473     83000 SH       DEFINED 02      55800        0    27200
D MILACRON INC                 	COMMON           598709103      39      2200 SH       DEFINED 05          0        0     2200
D MILACRON INC                 	COMMON           598709103       7       400 SH       DEFINED 17        400        0        0
D MILLENNIUM PHARMACEUTICALS,IN	COMMON           599902103   18586    285900 SH       DEFINED 01     233000        0    52900
D MILLENNIUM PHARMACEUTICALS,IN	COMMON           599902103   12532    192800 SH       DEFINED 02     119100        0    73700
D MILLENNIUM PHARMACEUTICALS,IN	COMMON           599902103     124      1900 SH       DEFINED 05          0        0     1900
D MILLENNIUM PHARMACEUTICALS,IN	COMMON           599902103     306      4700 SH       DEFINED 17       4700        0        0
D MILLER (HERMAN), INC.        	COMMON           600544100    2353     98400 SH       DEFINED 01      75600        0    22800
D MILLER (HERMAN), INC.        	COMMON           600544100    3269    136760 SH       DEFINED 02      92860        0    43900
D MILLER (HERMAN), INC.        	COMMON           600544100       1        28 SH       DEFINED 16         28        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 151
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MILLIPORE CORP.              	COMMON           601073109       8       203 SH       DEFINED 01        203        0        0
D MILLIPORE CORP.              	COMMON           601073109      19       500 SH       DEFINED 17        500        0        0
D MILLS CORP.                  	COMMON           601148109    6375    357900 SH       DEFINED 01     357900        0        0
D MILLS CORP.                  	COMMON           601148109    7758    435500 SH       DEFINED 02     367100        0    68400
D MINDSPRING ENTERPRISES INC   	COMMON           602683104      11       400 SH       DEFINED 01        400        0        0
D MINDSPRING ENTERPRISES INC   	COMMON           602683104     393     14200 SH       DEFINED 02          0        0    14200
D MINDSPRING ENTERPRISES INC   	COMMON           602683104      28      1000 SH       DEFINED 16       1000        0        0
D MINE SAFETY APPLIANCES, CO.  	COMMON           602720104     144      2400 SH       OTHER   01          0     2400        0
D MINE SAFETY APPLIANCES, CO.  	COMMON           602720104      72      1200 SH       DEFINED 02       1200        0        0
D MINE SAFETY APPLIANCES, CO.  	COMMON           602720104      78      1300 SH       DEFINED 05       1300        0        0
D MINERALS TECHNOLOGIES, INC.  	COMMON           603158106    3414     70300 SH       DEFINED 01      69200        0     1100
D MINERALS TECHNOLOGIES, INC.  	COMMON           603158106    4881    100500 SH       DEFINED 02      80300        0    20200
D MINIMED, INC.                	COMMON           60365K108   41329    420650 SH       DEFINED 01     420650        0        0
D MINIMED, INC.                	COMMON           60365K108    3242     33000 SH       DEFINED 02      23100        0     9900
D MINNESOTA MINING             	COMMON           604059105       0      9950 SH       DEFINED 16       9950        0        0
D MINNESOTA MINING & MANUFACTUR	COMMON           604059105   30243    314828 SH       DEFINED 01     149606        0   165222
D MINNESOTA MINING & MANUFACTUR	COMMON           604059105   14151    147312 SH       OTHER   01      30944   116368        0
D MINNESOTA MINING & MANUFACTUR	COMMON           604059105    1030     10720 SH       DEFINED 05       4320        0     6400
D MINNESOTA MINING & MANUFACTUR	COMMON           604059105      58       600 SH       OTHER   05        600        0        0
D MINNESOTA MINING & MANUFACTUR	COMMON           604059105     423      4400 SH       DEFINED 17       4400        0        0
D MINNESOTA POWER & LIGHT CO.  	COMMON           604110106    1495     85100 SH       DEFINED 01      85100        0        0
D MINNESOTA POWER & LIGHT CO.  	COMMON           604110106     202     11500 SH       DEFINED 02       3200        0     8300
D MIPS TECHNOLOGIES INC        	COMMON           604567107    2128     66900 SH       DEFINED 01      44000        0    22900
D MIPS TECHNOLOGIES INC        	COMMON           604567107     188      5900 SH       DEFINED 02       4700        0     1200
D MIPS TECHNOLOGIES INC        	COMMON           604567107      25       800 SH       DEFINED 05          0        0      800
D MIRAGE RESORTS, INC.         	COMMON           60462E104   20936   1495400 SH       DEFINED 01    1336900        0   158500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 152
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MIRAGE RESORTS, INC.         	COMMON           60462E104      57      4100 SH       OTHER   01       4100        0        0
D MIRAGE RESORTS, INC.         	COMMON           60462E104   94147   6724762 SH       DEFINED 02    5287912        0  1436850
D MIRAGE RESORTS, INC.         	COMMON           60462E104      31      2200 SH       DEFINED 17       2200        0        0
D MISSION CRITICAL SOFTWARE IN 	COMMON           605047109    4214     94700 SH       DEFINED 01      67430        0    27270
D MISSION CRITICAL SOFTWARE IN 	COMMON           605047109     169      3800 SH       DEFINED 02       2400        0     1400
D MISSION CRITICAL SOFTWARE IN 	COMMON           605047109      45      1000 SH       DEFINED 05          0        0     1000
D MISSION WEST PPTYS INC       	COMMON           605203108     994    117800 SH       DEFINED 01     117800        0        0
D MISSION WEST PPTYS INC       	COMMON           605203108    2530    299800 SH       DEFINED 02     227900        0    71900
D MISSISSIPPI CHEMICAL CORP.   	COMMON           605288208     145     20700 SH       DEFINED 02       4600        0    16100
D MITCHELL ENERGY & DEV. CORP.C	COMMON           606592202     315     12900 SH       DEFINED 02          0        0    12900
D MOBIL CORP.                  	COMMON           607059102  692265   6871120 SH       DEFINED 01    3262574        0  3608546
D MOBIL CORP.                  	COMMON           607059102   40740    404366 SH       OTHER   01      55529   348837        0
D MOBIL CORP.                  	COMMON           607059102 1131420  11229973 SH       DEFINED 02    8191391        0  3038582
D MOBIL CORP.                  	COMMON           607059102    3023     30000 SH       OTHER   0304    30000        0        0
D MOBIL CORP.                  	COMMON           607059102    6640     65904 SH       DEFINED 05      34404        0    31500
D MOBIL CORP.                  	COMMON           607059102     834      8280 SH       OTHER   05       2000     6280        0
D MOBIL CORP.                  	COMMON           607059102    3687     36600 SH       OTHER   09      36600        0        0
D MOBIL CORP.                  	COMMON           607059102    6730     66800 SH       DEFINED 17      66800        0        0
D MODINE MANUFACTURING CO.     	COMMON           607828100    8519    365420 SH       DEFINED 01     241620        0   123800
D MODINE MANUFACTURING CO.     	COMMON           607828100   10155    435600 SH       DEFINED 02     305800        0   129800
D MODIS PROFESSIONAL SERVICES,I	COMMON           607830106    5407    408100 SH       DEFINED 01     208100        0   200000
D MODIS PROFESSIONAL SERVICES,I	COMMON           607830106    3576    269900 SH       DEFINED 02     209000        0    60900
D MOHAWK INDUSTRIES, INC.      	COMMON           608190104    1629     81700 SH       DEFINED 01      81700        0        0
D MOHAWK INDUSTRIES, INC.      	COMMON           608190104     407     20438 SH       DEFINED 02       3300        0    17138
D MOLEX, INC.                  	COMMON           608554101     333      9152 SH       OTHER   01          0     9152        0
D MOLEX, INC. CLASS A          	COMMON           608554200     691     21348 SH       DEFINED 01      21348        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 153
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MOLEX, INC. CLASS A          	COMMON           608554200     296      9152 SH       OTHER   01       9152        0        0
D MONACO COACH CORP.           	COMMON           60886R103     746     30625 SH       DEFINED 02      25000        0     5625
D MONDAVI (ROBERT) CORPORATION 	COMMON           609200100   10026    266900 SH       DEFINED 01     190600        0    76300
D MONDAVI (ROBERT) CORPORATION 	COMMON           609200100     421     11200 SH       DEFINED 02       7100        0     4100
D MONDAVI (ROBERT) CORPORATION 	COMMON           609200100     105      2800 SH       DEFINED 05          0        0     2800
D MONSANTO CO.                 	COMMON           611662107  206994   5800088 SH       DEFINED 01    3688440        0  2111648
D MONSANTO CO.                 	COMMON           611662107    5516    154553 SH       OTHER   01      75655    78898        0
D MONSANTO CO.                 	COMMON           611662107  655304  18362017 SH       DEFINED 02   14156662        0  4205354
D MONSANTO CO.                 	COMMON           611662107    1963     55000 SH       OTHER   0304    55000        0        0
D MONSANTO CO.                 	COMMON           611662107     864     24216 SH       DEFINED 05       9016        0    15200
D MONSANTO CO.                 	COMMON           611662107    2095     58700 SH       OTHER   09      58700        0        0
D MONSANTO CO.                 	COMMON           611662107     592     16600 SH       DEFINED 16      16600        0        0
D MONSANTO CO.                 	COMMON           611662107     246      6900 SH       DEFINED 17       6900        0        0
D MONSANTO CO                  	PREF-CONV        611662305   12600    350000 PRN      DEFINED 01
D MONSANTO CO                  	PREF-CONV        611662305   11923    331200 PRN      DEFINED 02
D MONTANA POWER CO.            	COMMON           612085100     256      8400 SH       OTHER   01          0     8400        0
D MONTANA POWER CO.            	COMMON           612085100     499     16400 SH       DEFINED 02          0        0    16400
D MONY GROUP INC               	COMMON           615337102     179      6192 SH       OTHER   01          0     6192        0
D MONY GROUP INC               	COMMON           615337102     416     14400 SH       DEFINED 02      14400        0        0
D MOOG, INC.                   	COMMON           615394202      55      1900 SH       DEFINED 01       1900        0        0
D MOOG, INC.                   	COMMON           615394202     156      5400 SH       DEFINED 02       1800        0     3600
D MORGAN (J. P.) & CO.         	COMMON           616880100   30898    270443 SH       DEFINED 01     108978        0   161465
D MORGAN (J. P.) & CO.         	COMMON           616880100   23796    208278 SH       OTHER   01      14000   194278        0
D MORGAN (J. P.) & CO.         	COMMON           616880100      11       100 SH       DEFINED 02        100        0        0
D MORGAN (J. P.) & CO.         	COMMON           616880100    3656     32000 SH       OTHER   0304    32000        0        0
D MORGAN (J. P.) & CO.         	COMMON           616880100    1261     11041 SH       DEFINED 05       5141        0     5900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 154
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MORGAN (J. P.) & CO.         	COMMON           616880100    1956     17116 SH       OTHER   05        600    16516        0
D MORGAN KEEGAN, INC.          	COMMON           617410105     259     15187 SH       DEFINED 02          0        0    15187
D MORGAN STANLEY               	COMMON           617446448       0      3320 SH       DEFINED 16       3320        0        0
D MORGAN STANLEY               	COMMON           617446448   27310    306200 SH       DEFINED 17     306200        0        0
D MORGN ST D WITTR DISCV       	COMMON           617446448   30342    340198 SH       DEFINED 01     195460        0   144738
D MORGN ST D WITTR DISCV       	COMMON           617446448    7564     84815 SH       OTHER   01      41780    43035        0
D MORGN ST D WITTR DISCV       	COMMON           617446448   14092    158004 SH       DEFINED 02      39634        0   118370
D MORGN ST D WITTR DISCV       	COMMON           617446448     630      7060 SH       DEFINED 05       5030        0     2030
D MORGN ST D WITTR DISCV       	COMMON           617446448     125      1400 SH       DEFINED 06       1400        0        0
D MORGAN STANLEY EMERGING MKTS.	COMMON           61744G107     227     20630 SH       DEFINED 01          0        0    20630
D MORGAN STANLEY D WITTER EMG  	COMMON           61744H105   13523   1931922 SH       DEFINED 01          0        0  1931922
D MORRISON KNUDSEN CORP.       	COMMON           61844A109     136     13200 SH       DEFINED 02      13200        0        0
D MORRISON MGMT SPECIALISTS IN 	COMMON           618459101      67      2959 SH       DEFINED 01        400        0     2559
D MORRISON MGMT SPECIALISTS IN 	COMMON           618459101     583     25900 SH       DEFINED 02      10300        0    15600
D MORTGAGE COM INC             	COMMON           61910V102     571     59300 SH       DEFINED 01      59300        0        0
D MORTGAGE COM INC             	COMMON           61910V102    1972    204900 SH       DEFINED 02     170400        0    34500
D MORTON'S RESTAURANT GROUP,INC	COMMON           619429103     207     11800 SH       DEFINED 02          0        0    11800
D MOTIVEPOWER INDS INC         	COMMON           61980K101     178     18400 SH       DEFINED 01      18400        0        0
D MOTIVEPOWER INDS INC         	COMMON           61980K101    2649    240800 SH       DEFINED 02       8600        0   232200
D MOTOROLA INC                 	COMMON           620076109       0      3086 SH       DEFINED 16       3086        0        0
D MOTOROLA, INC.               	COMMON           620076109  196165   2229146 SH       DEFINED 01    1122679        0  1106467
D MOTOROLA, INC.               	COMMON           620076109   26213    297872 SH       OTHER   01      85054   212818        0
D MOTOROLA, INC.               	COMMON           620076109  296645   3370964 SH       DEFINED 02    2458064        0   912900
D MOTOROLA, INC.               	COMMON           620076109    3925     44600 SH       DEFINED 05      20500        0    24100
D MOTOROLA, INC.               	COMMON           620076109    1021     11600 SH       OTHER   05       7600     4000        0
D MOTOROLA, INC.               	COMMON           620076109     827      9400 SH       OTHER   15       9400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 155
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D MOTOROLA, INC.               	COMMON           620076109     581      6600 SH       DEFINED 17       6600        0        0
D MOVADO GROUP, INC.           	COMMON           624580106    4600    200001 SH       DEFINED 01          1        0   200000
D MPATH INTERACTIVE INC        	COMMON           62473C101     156     13600 SH       DEFINED 01      13600        0        0
D MPATH INTERACTIVE INC        	COMMON           62473C101      28      2400 SH       DEFINED 02       2400        0        0
D MUELLER INDUSTRIES, INC.     	COMMON           624756102   15262    514075 SH       DEFINED 01     457200        0    56875
D MUELLER INDUSTRIES, INC.     	COMMON           624756102     148      5000 SH       OTHER   01          0     5000        0
D MUELLER INDUSTRIES, INC.     	COMMON           624756102   29275    986100 SH       DEFINED 02     606700        0   379400
D MUELLER INDUSTRIES, INC.     	COMMON           624756102      71      2400 SH       DEFINED 05          0        0     2400
D MULTEX COM INC               	COMMON           625367107    3239    254050 SH       DEFINED 01     181425        0    72625
D MULTEX COM INC               	COMMON           625367107     138     10800 SH       DEFINED 02       6400        0     4400
D MULTEX COM INC               	COMMON           625367107      36      2800 SH       DEFINED 05          0        0     2800
D MURPHY OIL CORP.             	COMMON           626717102    1335     24700 SH       DEFINED 01      24700        0        0
D MURPHY OIL CORP.             	COMMON           626717102     189      3500 SH       DEFINED 02        500        0     3000
D MURPHY OIL CORP.             	COMMON           626717102     205      3800 SH       DEFINED 16       3800        0        0
D MUSICLAND STORES CORP.       	COMMON           62758B109     334     37600 SH       DEFINED 01      37600        0        0
D MUSICLAND STORES CORP.       	COMMON           62758B109      87      9800 SH       DEFINED 02       9800        0        0
D MUTUAL RISK MANAGEMENT LTD.  	COMMON           628351108    1390    113500 SH       DEFINED 16     113500        0        0
D MYLAN LABORATORIES, INC.     	COMMON           628530107    1951    106200 SH       DEFINED 01     106200        0        0
D MYLAN LABORATORIES, INC.     	COMMON           628530107     371     20200 SH       DEFINED 02       5100        0    15100
D NS GROUP, INC.               	COMMON           628916108     134     12500 SH       DEFINED 02          0        0    12500
D NPC INTERNATIONAL, INC.      	COMMON           629360306     194     17200 SH       DEFINED 01      17200        0        0
D NPC INTERNATIONAL, INC.      	COMMON           629360306      41      3600 SH       OTHER   01          0     3600        0
D NPC INTERNATIONAL, INC.      	COMMON           629360306     914     81200 SH       DEFINED 02       6300        0    74900
D NPS PHARMACEUTICALS INC      	COMMON           62936P103     463     80500 SH       DEFINED 17      80500        0        0
D NTL INC                      	COMMON           629407107       0     16544 SH       DEFINED 16      16544        0        0
D NTL INCORPORATED             	COMMON           629407107      77       800 SH       DEFINED 01        600        0      200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 156
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NTL INCORPORATED             	COMMON           629407107    5484     57066 SH       DEFINED 02          0        0    57066
D NUI CORP.                    	COMMON           629430109     678     27400 SH       DEFINED 01      27400        0        0
D NUI CORP.                    	COMMON           629430109     431     17400 SH       DEFINED 02      13900        0     3500
D NVR, INC.                    	COMMON           62944T105     530     10500 SH       DEFINED 01      10500        0        0
D NVR, INC.                    	COMMON           62944T105    4651     92100 SH       DEFINED 02       2800        0    89300
D NABISCO HOLDINGS CORP. CL. A 	COMMON           629526104    3737    108125 SH       DEFINED 01      81000        0    27125
D NABISCO HOLDINGS CORP. CL. A 	COMMON           629526104      83      2400 SH       OTHER   01          0     2400        0
D NABISCO HOLDINGS CORP. CL. A 	COMMON           629526104    7395    213954 SH       DEFINED 02     141554        0    72400
D NABISCO GROUP HLDG CORP      	COMMON           62952P102      13       855 SH       OTHER   01        855        0        0
D NABISCO GROUP HLDG CORP      	COMMON           62952P102     848     56500 SH       DEFINED 17      56500        0        0
D NABORS INDUSTRIES, INC.      	COMMON           629568106     693     27700 SH       DEFINED 01      27600        0      100
D NABORS INDUSTRIES, INC.      	COMMON           629568106     363     14500 SH       OTHER   01          0    14500        0
D NABORS INDUSTRIES, INC.      	COMMON           629568106     398     15900 SH       DEFINED 02          0        0    15900
D NABORS INDUSTRIES, INC.      	COMMON           629568106       2        77 SH       DEFINED 16         77        0        0
D NACCO INDUSTRIES, INC. CLASS 	COMMON           629579103    2173     31100 SH       DEFINED 02       3400        0    27700
D NATIONAL AUSTRALIA BK LTD    	PREF-CONV        632525309    1944     71000 PRN      DEFINED 01
D NATIONAL AUSTRALIA BK LTD    	PREF-CONV        632525309    4928    180000 PRN      DEFINED 02
D NATIONAL BANCORP OF ALASKA,IN	COMMON           632587101     402     15700 SH       DEFINED 02       6500        0     9200
D NATIONAL CITY BANCSHARES, INC	COMMON           635313109     863     28300 SH       DEFINED 02          0        0    28300
D NATIONAL CITY CORP.          	COMMON           635405103   36094   1352426 SH       DEFINED 01    1040926        0   311500
D NATIONAL CITY CORP.          	COMMON           635405103     889     33300 SH       OTHER   01      24500     8800        0
D NATIONAL CITY CORP.          	COMMON           635405103   46545   1744030 SH       DEFINED 02    1043750        0   700280
D NATIONAL CITY CORP.          	COMMON           635405103     427     16000 SH       DEFINED 05      16000        0        0
D NATIONAL CITY CORP.          	COMMON           635405103     427     16000 SH       DEFINED 06      16000        0        0
D NATIONAL CITY CORP.          	COMMON           635405103     181      6800 SH       DEFINED 17       6800        0        0
D NATIONAL COMMERCE BANCORP    	COMMON           635449101   34903   1588730 SH       DEFINED 01    1352480        0   236250

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 157
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NATIONAL COMMERCE BANCORP    	COMMON           635449101      13       600 SH       OTHER   01        600        0        0
D NATIONAL COMMERCE BANCORP    	COMMON           635449101   30318   1380028 SH       DEFINED 02     843528        0   536500
D NATIONAL COMMERCE BANCORP    	COMMON           635449101     156      7100 SH       DEFINED 05          0        0     7100
D NATIONAL COMPUTER SYSTEMS,INC	COMMON           635519101    8606    224450 SH       DEFINED 01     165950        0    58500
D NATIONAL COMPUTER SYSTEMS,INC	COMMON           635519101     510     13300 SH       DEFINED 02      10000        0     3300
D NATIONAL COMPUTER SYSTEMS,INC	COMMON           635519101      81      2100 SH       DEFINED 05          0        0     2100
D NATIONAL DATA CORP.          	COMMON           635621105      88      3400 SH       DEFINED 01       3400        0        0
D NATIONAL DATA CORP.          	COMMON           635621105     458     17600 SH       DEFINED 02        100        0    17500
D NATIONAL FUEL GAS CO.        	COMMON           636180101      12       258 SH       DEFINED 01        108        0      150
D NATIONAL FUEL GAS CO.        	COMMON           636180101     104      2200 SH       OTHER   01          0     2200        0
D NATIONAL FUEL GAS CO.        	COMMON           636180101    2359     50000 SH       DEFINED 17      50000        0        0
D NATIONAL GOLF PROPERTIES, INC	COMMON           63623G109    5015    222900 SH       DEFINED 01     222900        0        0
D NATIONAL GOLF PROPERTIES, INC	COMMON           63623G109    6568    291900 SH       DEFINED 02     251600        0    40300
D NATIONAL INFO CONSORTIUM INC 	COMMON           636491102    6705    271575 SH       DEFINED 01     202425        0    69150
D NATIONAL INFO CONSORTIUM INC 	COMMON           636491102    2361     95625 SH       DEFINED 02      70150        0    25475
D NATIONAL INFO CONSORTIUM INC 	COMMON           636491102      63      2550 SH       DEFINED 05          0        0     2550
D NATIONAL-OILWELL INC         	COMMON           637071101    9891    601700 SH       DEFINED 01     506600        0    95100
D NATIONAL-OILWELL INC         	COMMON           637071101    1644    100000 SH       OTHER   01          0   100000        0
D NATIONAL-OILWELL INC         	COMMON           637071101    6149    374100 SH       DEFINED 02     290500        0    83600
D NATIONAL-OILWELL INC         	COMMON           637071101      64      3900 SH       DEFINED 05          0        0     3900
D NATIONAL R V HLDGS INC       	COMMON           637277104    2510    127100 SH       DEFINED 01     127100        0        0
D NATIONAL R V HLDGS INC       	COMMON           637277104    4781    242100 SH       DEFINED 02     182200        0    59900
D NATIONAL SEMICONDUCTOR CORP. 	COMMON           637640103   16403    536700 SH       DEFINED 01     417200        0   119500
D NATIONAL SEMICONDUCTOR CORP. 	COMMON           637640103   28196    922560 SH       DEFINED 02     660260        0   262300
D NATIONAL SEMICONDUCTOR CORP. 	COMMON           637640103      55      1800 SH       DEFINED 17       1800        0        0
D NATIONAL SEMICONDUCTOR  6.50%	BOND             637640AB9    3440   4000000 PRN      DEFINED 02

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 158
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NATIONAL SERVICE INDUSTRIES,I	COMMON           637657107     567     18000 SH       DEFINED 01      16700        0     1300
D NATIONAL SERVICE INDUSTRIES,I	COMMON           637657107    2073     65800 SH       DEFINED 02      58900        0     6900
D NATIONAL SERVICE INDUSTRIES,I	COMMON           637657107      13       400 SH       DEFINED 17        400        0        0
D NATIONAL WESTMINSTER BANK PLC	COMMON           638539403     337      2424 SH       DEFINED 02          0        0     2424
D NATIONAL WESTMINSTER BK PLC  	PREFERRED        638539700   26986   1112840 PRN      DEFINED 06
D NATIONAL WESTMINSTER PF 8.625	PREFERRED        638539882    5654    229000 PRN      DEFINED 06
D NATIONWIDE FINANCIAL SERVICES	COMMON           638612101      53      1500 SH       DEFINED 02       1500        0        0
D NATIONWIDE HEALTH PROPERTIES,	COMMON           638620104     301     18100 SH       DEFINED 02      10100        0     8000
D NATURE'S SUNSHINE PRODUCTS,IN	COMMON           639027101       6       600 SH       DEFINED 01        600        0        0
D NATURE'S SUNSHINE PRODUCTS,IN	COMMON           639027101    1816    191769 SH       DEFINED 02          0        0   191769
D NAUTICA ENTERPRISES, INC.    	COMMON           639089101     298     18450 SH       DEFINED 02          0        0    18450
D MAVISTAR INT                 	COMMON           63934E108      10       214 SH       DEFINED 16        214        0        0
D NAVISTAR INTERNATIONAL CORP. 	COMMON           63934E108    3925     84400 SH       DEFINED 01      84400        0        0
D NAVISTAR INTERNATIONAL CORP. 	COMMON           63934E108    1176     25300 SH       DEFINED 02       3900        0    21400
D NAVISTAR INTERNATIONAL CORP. 	COMMON           63934E108      33       700 SH       DEFINED 17        700        0        0
D NAVIGANT CONSULTING INC      	COMMON           63935N107   11898    256550 SH       DEFINED 01     216750        0    39800
D NAVIGANT CONSULTING INC      	COMMON           63935N107    8756    188800 SH       DEFINED 02     144100        0    44700
D NAVIGANT CONSULTING INC      	COMMON           63935N107      65      1400 SH       DEFINED 05          0        0     1400
D NEIMAN-MARCUS GROUP, INC.    	COMMON           640204103    2768    118400 SH       DEFINED 01     118400        0        0
D NEIMAN-MARCUS GROUP, INC.    	COMMON           640204103     484     20700 SH       DEFINED 02       5400        0    15300
D NEOMAGIC CORP                	COMMON           640497103     115     14900 SH       DEFINED 02       1700        0    13200
D NEOSE TECHNOLOGIES INC       	COMMON           640522108    1140     76000 SH       DEFINED 17      76000        0        0
D NETWORKS ASSOCIATES, INC.    	COMMON           640938106      46      2422 SH       OTHER   01       2422        0        0
D NETWORKS ASSOCIATES, INC.    	COMMON           640938106       0         6 SH       DEFINED 02          6        0        0
D NETWORKS ASSOCIATES, INC.    	COMMON           640938106     153      8000 SH       OTHER   101112      0     8000        0
D NETWORKS ASSOCIATES, INC.    	COMMON           640938106     959     50151 SH       DEFINED 16      50151        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 159
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NETWORK ASSOCIATES INC 0% 2/1	BOND             640938AB2    3010   8000000 PRN      DEFINED 16
D NETWORK ASSOCIATES INC 0% 2/1	BOND             640938AB2   28625  76080000 PRN      DEFINED 17
D NET PERCEPTIONS INC          	COMMON           64107U101    5533    323100 SH       DEFINED 01     248600        0    74500
D NET PERCEPTIONS INC          	COMMON           64107U101    2680    156500 SH       DEFINED 02     115400        0    41100
D NET PERCEPTIONS INC          	COMMON           64107U101      46      2700 SH       DEFINED 05          0        0     2700
D NET2PHONE                    	COMMON           64108N106    6066    116375 SH       DEFINED 01      90600        0    25775
D NET2PHONE                    	COMMON           64108N106    3744     71825 SH       DEFINED 02      53750        0    18075
D NET2PHONE                    	COMMON           64108N106      52      1000 SH       DEFINED 05          0        0     1000
D NET2PHONE                    	COMMON           64108N106      30       578 SH       DEFINED 16        578        0        0
D NETRO CORP                   	COMMON           64114R109     427     15600 SH       DEFINED 01      15600        0        0
D NETRO CORP                   	COMMON           64114R109    1054     38500 SH       DEFINED 02      29100        0     9400
D NETIQ CORP                   	COMMON           64115P102     421     14200 SH       DEFINED 01      10100        0     4100
D NETIQ CORP                   	COMMON           64115P102      15       500 SH       DEFINED 02        325        0      175
D NETIQ CORP                   	COMMON           64115P102       6       200 SH       DEFINED 05          0        0      200
D NETWORK APPLIANCE, INC.      	COMMON           64120L104    1834     25600 SH       DEFINED 01      25600        0        0
D NETWORK APPLIANCE, INC.      	COMMON           64120L104    1347     18800 SH       DEFINED 02       1100        0    17700
D NETWORK APPLIANCE, INC.      	COMMON           64120L104      11       148 SH       DEFINED 16        148        0        0
D NETWORK APPLIANCE, INC.      	COMMON           64120L104      57       800 SH       DEFINED 17        800        0        0
D NETWORK SOLUTIONS, INC. CL A 	COMMON           64121Q102     643      7000 SH       DEFINED 01       7000        0        0
D NETWORK SOLUTIONS, INC. CL A 	COMMON           64121Q102     533      5800 SH       DEFINED 02        300        0     5500
D NETWORK SOLUTIONS, INC. CL A 	COMMON           64121Q102     326      3550 SH       DEFINED 16       3550        0        0
D NEW ENGLAND                  	COMMON           644001109       0    100000 SH       DEFINED 16     100000        0        0
D NEW ENGLAND ELECTRIC SYSTEM  	COMMON           644001109    3878     74750 SH       DEFINED 01      56475        0    18275
D NEW ENGLAND ELECTRIC SYSTEM  	COMMON           644001109     591     11400 SH       OTHER   01          0    11400        0
D NEW ENGLAND ELECTRIC SYSTEM  	COMMON           644001109     389      7500 SH       DEFINED 02       2800        0     4700
D NEW ENGLAND ELECTRIC SYSTEM  	COMMON           644001109    2075     40000 SH       OTHER   0304    40000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 160
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NEW ERA OF NETWORKS INC      	COMMON           644312100    2717    125638 SH       DEFINED 01        800        0   124838
D NEW JERSEY RESOURCES CORP.   	COMMON           646025106    1460     36500 SH       DEFINED 02          0        0    36500
D NEW PLAN EXCEL REALTY TRUST  	COMMON           648053106     328     18400 SH       DEFINED 02      18400        0        0
D NEW YORK TIMES               	COMMON           650111107       2        42 SH       DEFINED 16         42        0        0
D NEW YORK TIMES CO. CLASS A   	COMMON           650111107   39913   1064344 SH       DEFINED 01     730700        0   333644
D NEW YORK TIMES CO. CLASS A   	COMMON           650111107      75      2000 SH       OTHER   01          0     2000        0
D NEW YORK TIMES CO. CLASS A   	COMMON           650111107   76739   2046366 SH       DEFINED 02    1430366        0   616000
D NEW YORK TIMES CO. CLASS A   	COMMON           650111107     113      3000 SH       DEFINED 05          0        0     3000
D NEW YORK TIMES CO. CLASS A   	COMMON           650111107      71      1900 SH       DEFINED 17       1900        0        0
D NEWCOURT CR GROUP INC        	COMMON           650905102   10344    791850 SH       DEFINED 01     542350        0   249500
D NEWCOURT CR GROUP INC        	COMMON           650905102     293     22400 SH       OTHER   01       3850    18550        0
D NEWCOURT CR GROUP INC        	COMMON           650905102   75445   5775500 SH       DEFINED 02    3884600        0  1890900
D NEWCOURT CR GROUP INC        	COMMON           650905102     664     50800 SH       OTHER   09      50800        0        0
D NEWELL COMPANY               	COMMON           651229106    4698    164400 SH       DEFINED 06     164400        0        0
D NEWELL RUBBERMAID INC        	COMMON           651229106    1368     47885 SH       DEFINED 01      43566        0     4319
D NEWELL RUBBERMAID INC        	COMMON           651229106     113      3940 SH       OTHER   01       2364     1576        0
D NEWELL RUBBERMAID INC        	COMMON           651229106     116      4064 SH       DEFINED 02          0        0     4064
D NEWELL RUBBERMAID INC        	COMMON           651229106      57      2000 SH       DEFINED 05       2000        0        0
D NEWELL RUBBERMAID INC        	COMMON           651229106       2        81 SH       DEFINED 16         81        0        0
D NEWELL RUBBERMAID INC        	COMMON           651229106      89      3100 SH       DEFINED 17       3100        0        0
D NEWFIELD EXPLORATION COMPANY 	COMMON           651290108    7138    216700 SH       DEFINED 01     216400        0      300
D NEWFIELD EXPLORATION COMPANY 	COMMON           651290108   12059    366100 SH       DEFINED 02     284500        0    81600
D NEWFIELD FINL TR I           	PREFERRED        651291205    1363     25000 PRN      DEFINED 16
D NEWPARK RESOURCES, INC.      	COMMON           651718504    2325    300000 SH       DEFINED 01          0        0   300000
D NEWPARK RESOURCES, INC.      	COMMON           651718504     164     21140 SH       DEFINED 02          0        0    21140
D NEWPORT NEWS SHIPBUILDING IN 	COMMON           652228107      10       300 SH       DEFINED 01        300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 161
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NEWPORT NEWS SHIPBUILDING IN 	COMMON           652228107      32      1000 SH       OTHER   01          0     1000        0
D NEWPORT NEWS SHIPBUILDING IN 	COMMON           652228107     233      7200 SH       DEFINED 02          0        0     7200
D NEWS CORP., LTD. A/D/R       	COMMON           652487703   27573    969573 SH       DEFINED 01     487610        0   481963
D NEWS CORP., LTD. A/D/R       	COMMON           652487703    2301     80910 SH       OTHER   01      29670    51240        0
D NEWS CORP., LTD. A/D/R       	COMMON           652487703   82194   2890300 SH       DEFINED 02    2499100        0   391200
D NEWS CORP., LTD. A/D/R       	COMMON           652487703    1590     55900 SH       OTHER   09      55900        0        0
D NEWS CORP LTD.               	COMMON           652487802     322     12055 SH       DEFINED 01        155        0    11900
D NEWS CORP LTD.               	COMMON           652487802     563     21083 SH       DEFINED 02          0        0    21083
D NEXTEL COMMUNICATION         	COMMON           65332V103       0      4956 SH       DEFINED 16       4956        0        0
D NEXTEL COMMUNICATIONS, INC.CL	COMMON           65332V103     262      3870 SH       DEFINED 01       2580        0     1290
D NEXTEL COMMUNICATIONS, INC.CL	COMMON           65332V103    4440     65474 SH       DEFINED 02          0        0    65474
D NEXTEL COMMUNICATIONS, INC.CL	COMMON           65332V103     217      3200 SH       DEFINED 17       3200        0        0
D NEXLINK COMMUNCATIONS        	COMMON           65333H707     783     15110 SH       DEFINED 19      15110        0        0
D NEXTLINK COMMUNICATIONS, INC.	COMMON           65333H707   32568    628200 SH       DEFINED 01     546500        0    81700
D NEXTLINK COMMUNICATIONS, INC.	COMMON           65333H707   15392    296900 SH       DEFINED 02     204100        0    92800
D NEXTLINK COMMUNICATIONS, INC.	COMMON           65333H707     156      3000 SH       DEFINED 05          0        0     3000
D NEXTLINK COMMUNICATIONS, INC.	COMMON           65333H707      75      1447 SH       DEFINED 16       1447        0        0
D NFRONT INC                   	COMMON           65334N109    2956    265700 SH       DEFINED 01     188075        0    77625
D NFRONT INC                   	COMMON           65334N109     105      9400 SH       DEFINED 02       5800        0     3600
D NFRONT INC                   	COMMON           65334N109      32      2900 SH       DEFINED 05          0        0     2900
D NIELSEN MEDIA RESEARCH INC   	COMMON           653929307   26206    704677 SH       DEFINED 01     536777        0   167900
D NIELSEN MEDIA RESEARCH INC   	COMMON           653929307     870     23401 SH       OTHER   01       2626    20775        0
D NIELSEN MEDIA RESEARCH INC   	COMMON           653929307    8271    222400 SH       DEFINED 02     155500        0    66900
D NIELSEN MEDIA RESEARCH INC   	COMMON           653929307     231      6200 SH       DEFINED 05          0        0     6200
D NIELSEN MEDIA RESEARCH INC   	COMMON           653929307      25       666 SH       OTHER   05          0      666        0
D NICOR, INC.                  	COMMON           654086107    1238     33300 SH       DEFINED 01      33300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 162
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NICOR, INC.                  	COMMON           654086107     249      6700 SH       DEFINED 02       2600        0     4100
D NICOR, INC.                  	COMMON           654086107      19       500 SH       DEFINED 17        500        0        0
D NIKE INC                     	COMMON           654106103      51       899 SH       DEFINED 16        899        0        0
D NIKE, INC. CLASS B           	COMMON           654106103     199      3500 SH       DEFINED 01       3500        0        0
D NIKE, INC. CLASS B           	COMMON           654106103    3981     70000 SH       DEFINED 02      70000        0        0
D NIKE, INC. CLASS B           	COMMON           654106103     176      3100 SH       DEFINED 17       3100        0        0
D NISOURCE INC                 	COMMON           65473P105    8007    361900 SH       DEFINED 01     256500        0   105400
D NISOURCE INC                 	COMMON           65473P105     918     41500 SH       OTHER   01      12200    29300        0
D NISOURCE INC                 	COMMON           65473P105   11552    522125 SH       DEFINED 02     313630        0   208495
D NISOURCE INC                 	COMMON           65473P105     387     17480 SH       DEFINED 05      14000        0     3480
D NOBLE AFFILIATES, INC.       	COMMON           654894104    2033     70100 SH       DEFINED 01      70100        0        0
D NOBLE AFFILIATES, INC.       	COMMON           654894104     363     12500 SH       DEFINED 02       3300        0     9200
D NOKIA ADR                    	COMMON           654902204  101615   1130330 SH       DEFINED 17    1130330        0        0
D NOKIA CORP. A/D/R            	COMMON           654902204     379      4216 SH       DEFINED 01       4216        0        0
D NOKIA CORP. A/D/R            	COMMON           654902204     899     10000 SH       OTHER   01          0    10000        0
D NOBLE DRILLING CORP.         	COMMON           655042109    1297     59300 SH       DEFINED 01      59300        0        0
D NOBLE DRILLING CORP.         	COMMON           655042109     759     34675 SH       DEFINED 02       2900        0    31775
D NOBLE DRILLING CORP.         	COMMON           655042109     693     31700 SH       DEFINED 17      31700        0        0
D NORDSTROM, INC.              	COMMON           655664100    8643    320100 SH       DEFINED 01     242700        0    77400
D NORDSTROM, INC.              	COMMON           655664100     524     19400 SH       OTHER   01        800    18600        0
D NORDSTROM, INC.              	COMMON           655664100   12778    473272 SH       DEFINED 02     296172        0   177100
D NORDSTROM, INC.              	COMMON           655664100      41      1500 SH       DEFINED 17       1500        0        0
D NORFOLK SOUTHERN CORP.       	COMMON           655844108   20676    843907 SH       DEFINED 01     645770        0   198137
D NORFOLK SOUTHERN CORP.       	COMMON           655844108    1224     49978 SH       OTHER   01      13700    36278        0
D NORFOLK SOUTHERN CORP.       	COMMON           655844108   21696    885540 SH       DEFINED 02     494940        0   390600
D NORFOLK SOUTHERN CORP.       	COMMON           655844108      59      2400 SH       DEFINED 05       2400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 163
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NORFOLK SOUTHERN CORP.       	COMMON           655844108     100      4100 SH       DEFINED 17       4100        0        0
D NORSK HYDRO A S              	COMMON           656531605     470     10940 SH       DEFINED 01        190        0    10750
D NORTEK, INC.                 	COMMON           656559101     642     18800 SH       DEFINED 02       9700        0     9100
D NORTEL INVERSORA S A ADR PD B	PREFERRED        656567401   45267   2785660 PRN      DEFINED 19
D NORTEL NETWORKS CORP         	COMMON           656569100   17799    348996 SH       DEFINED 01     115284        0   233712
D NORTEL NETWORKS CORP         	COMMON           656569100      15       300 SH       OTHER   01          0      300        0
D NORTEL NETWORKS CORP         	COMMON           656569100    3483     68300 SH       DEFINED 02      33900        0    34400
D NORTEL NETWORKS CORP         	COMMON           656569100      77      1500 SH       DEFINED 16       1500        0        0
D NORTEL NETWORKS CORP         	COMMON           656569100   77337   1516400 SH       DEFINED 17    1516400        0        0
D NORTEL NETWORKS CORP         	COMMON           656569100    4264     83600 SH       DEFINED 18      83600        0        0
D NORTH FORK BANCORPORATION NY 	COMMON           659424105   16421    842100 SH       DEFINED 01     678200        0   163900
D NORTH FORK BANCORPORATION NY 	COMMON           659424105      18       900 SH       OTHER   01        900        0        0
D NORTH FORK BANCORPORATION NY 	COMMON           659424105   29783   1527342 SH       DEFINED 02    1053382        0   473960
D NORTH FORK BANCORPORATION NY 	COMMON           659424105       1        30 SH       DEFINED 16         30        0        0
D NORTHEAST UTILITIES          	COMMON           664397106    7188    391200 SH       DEFINED 01     300500        0    90700
D NORTHEAST UTILITIES          	COMMON           664397106       7       400 SH       OTHER   01        400        0        0
D NORTHEAST UTILITIES          	COMMON           664397106   10863    591172 SH       DEFINED 02     306472        0   284700
D NORTHERN STATES POWER CO.MINN	COMMON           665772109   51823   2403340 SH       DEFINED 01    1738620        0   664720
D NORTHERN STATES POWER CO.MINN	COMMON           665772109    3014    139795 SH       OTHER   01      63935    75860        0
D NORTHERN STATES POWER CO.MINN	COMMON           665772109  155230   7198891 SH       DEFINED 02    5174726        0  2024164
D NORTHERN STATES POWER CO.MINN	COMMON           665772109    2161    100200 SH       OTHER   0304   100200        0        0
D NORTHERN STATES POWER CO.MINN	COMMON           665772109    1337     62000 SH       DEFINED 05      42000        0    20000
D NORTHERN STATES POWER CO.MINN	COMMON           665772109     112      5200 SH       OTHER   05       5200        0        0
D NORTHERN STATES POWER CO.MINN	COMMON           665772109      37      1700 SH       DEFINED 17       1700        0        0
D NORTHERN TRUST CORP.         	COMMON           665859104    2839     34000 SH       DEFINED 01          0        0    34000
D NORTHERN TRUST CORP.         	COMMON           665859104       3        37 SH       DEFINED 16         37        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 164
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NORTHERN TRUST CORP.         	COMMON           665859104     100      1200 SH       DEFINED 17       1200        0        0
D NORTHFIELD LABORATORIES, INC.	COMMON           666135108     623     43900 SH       DEFINED 17      43900        0        0
D NORTHROP CORP.               	COMMON           666807102      29       450 SH       DEFINED 01          0        0      450
D NORTHROP CORP.               	COMMON           666807102     254      4000 SH       OTHER   01          0     4000        0
D NORTHROP CORP.               	COMMON           666807102     198      3110 SH       DEFINED 02          0        0     3110
D NORTHROP CORP.               	COMMON           666807102      14       224 SH       DEFINED 16        224        0        0
D NORTHROP CORP.               	COMMON           666807102      51       800 SH       DEFINED 17        800        0        0
D NORTHWEST AIRLINES CORP.     	COMMON           667280101     752     29500 SH       DEFINED 01      29500        0        0
D NORTHWEST AIRLINES CORP.     	COMMON           667280101     133      5200 SH       DEFINED 02       1500        0     3700
D NORTHWEST NATURAL GAS CO.    	COMMON           667655104     610     23650 SH       DEFINED 02       3500        0    20150
D NOVA CORP.                   	COMMON           669784100    9136    365440 SH       DEFINED 01     365440        0        0
D NOVA CORP.                   	COMMON           669784100     354     14159 SH       DEFINED 02       2400        0    11759
D NOVELL, INC.                 	COMMON           670006105      77      3700 SH       DEFINED 01          0        0     3700
D NOVELL, INC.                 	COMMON           670006105      41      2000 SH       OTHER   01          0     2000        0
D NOVELL, INC.                 	COMMON           670006105     600     29000 SH       DEFINED 02          0        0    29000
D NOVELL, INC.                 	COMMON           670006105      77      3700 SH       DEFINED 17       3700        0        0
D NOVELLUS SYSTEMS, INC.       	COMMON           670008101     492      7300 SH       DEFINED 01       7300        0        0
D NOVELLUS SYSTEMS, INC.       	COMMON           670008101    1059     15700 SH       DEFINED 02        200        0    15500
D NOVELLUS SYSTEMS, INC.       	COMMON           670008101       9       133 SH       DEFINED 16        133        0        0
D NOVEN PHARMACEUTICALS, INC.  	COMMON           670009109    1371    161300 SH       DEFINED 17     161300        0        0
D NOVOSTE CORP                 	COMMON           67010C100     180     10100 SH       DEFINED 02          0        0    10100
D NU SKIN ASIA INC             	COMMON           67018T105     205     15200 SH       DEFINED 01      15200        0        0
D NU SKIN ASIA INC             	COMMON           67018T105      35      2600 SH       DEFINED 02        800        0     1800
D NUCOR CORP.                  	COMMON           670346105     367      7700 SH       DEFINED 01       6200        0     1500
D NUCOR CORP.                  	COMMON           670346105     105      2200 SH       DEFINED 02       1400        0      800
D NUCOR CORP.                  	COMMON           670346105      48      1000 SH       DEFINED 17       1000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 165
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D NUEVO ENERGY CO.             	COMMON           670509108       2      100 SH       DEFINED 01         100       0        0
D NUEVO ENERGY CO.             	COMMON           670509108     200    11600 SH       DEFINED 02          0        0    11600
D NUEVO GROUP IUSACELL SA DE D 	COMMON           670512102    4579   481993 SH       DEFINED 01     481993        0        0
D NUEVO GROUP IUSACELL SA DE D 	COMMON           670512102       1       81 SH       DEFINED 16         81        0        0
D NVIDIA CORP                  	COMMON           67066G104     739    38400 SH       DEFINED 01      38400        0        0
D NVIDIA CORP                  	COMMON           67066G104     137     7100 SH       DEFINED 02       7100        0        0
D OEC-MEDICAL SYSTEMS, INC.    	COMMON           670828102     351    10000 SH       DEFINED 01      10000        0        0
D OEC-MEDICAL SYSTEMS, INC.    	COMMON           670828102     808    23000 SH       OTHER   01          0    23000        0
D OEC-MEDICAL SYSTEMS, INC.    	COMMON           670828102      70     2000 SH       DEFINED 02       2000        0        0
D OAO TECHNOLOGY SOLUTIONS, INC	COMMON           67082B105      31    10060 SH       DEFINED 01      10060        0        0
D OAK INDUSTRIES, INC.         	COMMON           671400505     356    10460 SH       DEFINED 02          0        0    10460
D OAK TECHNOLOGY, INC.         	COMMON           671802106      15     3400 SH       DEFINED 01       3400        0        0
D OAK TECHNOLOGY, INC.         	COMMON           671802106      48    10800 SH       DEFINED 02          0        0    10800
D OAKWOOD HOMES CORP.          	COMMON           674098108      60    13300 SH       DEFINED 01      13300        0        0
D OAKWOOD HOMES CORP.          	COMMON           674098108     109    24200 SH       DEFINED 02       2600        0    21600
D OBIE MEDIA CORP              	COMMON           674391107     575    53800 SH       DEFINED 01      53800        0        0
D OBIE MEDIA CORP              	COMMON           674391107    1296   121300 SH       DEFINED 02      90500        0    30800
D OCCIDENTAL PETROLEUM CORP.   	COMMON           674599105     193     8325 SH       DEFINED 01        225        0     8100
D OCCIDENTAL PETROLEUM CORP.   	COMMON           674599105     578    25000 SH       OTHER   01          0    25000        0
D OCCIDENTAL PETROLEUM CORP.   	COMMON           674599105       0        4 SH       DEFINED 02          4        0        0
D OCCIDENTAL PETROLEUM CORP.   	COMMON           674599105      88     3800 SH       DEFINED 17       3800        0        0
D OCEAN ENERGY INC TEX         	COMMON           67481E106    3023   296700 SH       DEFINED 01     296700        0        0
D OCEAN ENERGY INC TEX         	COMMON           67481E106     871    85520 SH       DEFINED 02      14100        0    71420
D OCEAN ENERGY INC TEX         	COMMON           67481E106    2780   272900 SH       DEFINED 17     272900        0        0
D OCTEL CORP                   	COMMON           675727101      70     6225 SH       OTHER   01          0     6225        0
D OCTEL CORP                   	COMMON           675727101      52     4600 SH       DEFINED 02          0        0     4600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 166
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D OCULAR SCIENCES, INC.        	COMMON           675744106    1620     83600 SH       DEFINED 01      61100        0    22500
D OCULAR SCIENCES, INC.        	COMMON           675744106     223     11500 SH       DEFINED 02       3200        0     8300
D OCULAR SCIENCES, INC.        	COMMON           675744106      16       800 SH       DEFINED 05          0        0      800
D OCWEN FINANCIAL CORP         	COMMON           675746101    5748    859400 SH       DEFINED 01     659000        0   200400
D OCWEN FINANCIAL CORP         	COMMON           675746101       2       300 SH       OTHER   01        300        0        0
D OCWEN FINANCIAL CORP         	COMMON           675746101   19426   2904600 SH       DEFINED 02    2452500        0   452100
D OCWEN ASSET INVESTMENT CORP. 	COMMON           67574M106    2167    502500 SH       DEFINED 01     502500        0        0
D OCWEN ASSET INVESTMENT CORP. 	COMMON           67574M106      58     13500 SH       DEFINED 02          0        0    13500
D OFFICE DEPOT, INC.           	COMMON           676220106     189     18000 SH       DEFINED 01          0        0    18000
D OFFICE DEPOT, INC.           	COMMON           676220106     353     33600 SH       DEFINED 02          0        0    33600
D OFFICE DEPOT, INC.           	COMMON           676220106      43      4100 SH       DEFINED 17       4100        0        0
D OFFICE DEPOT O% LYON DUE 1201	BOND             676220AA4    7439  11567000 PRN      DEFINED 16
D OFFICE DEPOT 0% CPN LYON 1101	BOND             676220AB2    7139  11331000 PRN      DEFINED 16
D OFFICEMAX, INC.              	COMMON           67622M108     792    136300 SH       DEFINED 01     136300        0        0
D OFFICEMAX, INC.              	COMMON           67622M108     198     34100 SH       DEFINED 02      34100        0        0
D OGDEN CORP.                  	COMMON           676346109     126     12100 SH       DEFINED 02      12100        0        0
D OHIO CASUALTY CORP.          	COMMON           677240103     219     13000 SH       DEFINED 02      11200        0     1800
D OHIO CASUALTY CORP.          	COMMON           677240103    1013     60000 SH       OTHER   0304    60000        0        0
D OHIO CASUALTY CORP.          	COMMON           677240103      44      2612 SH       DEFINED 16       2612        0        0
D OLIN CORP.                   	COMMON           680665205    6594    483938 SH       DEFINED 01     363638        0   120300
D OLIN CORP.                   	COMMON           680665205     249     18300 SH       DEFINED 02      11700        0     6600
D OLIN CORP.                   	COMMON           680665205      56      4100 SH       DEFINED 05          0        0     4100
D OLSTEN CORP.                 	COMMON           681385100      32      3100 SH       DEFINED 02       3100        0        0
D OMNICARE, INC.               	COMMON           681904108      49      5100 SH       DEFINED 01          0        0     5100
D OMNICARE, INC.               	COMMON           681904108      39      4000 SH       DEFINED 02          0        0     4000
D OMNICARE, INC.               	COMMON           681904108     344     35700 SH       DEFINED 16      35700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 167
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D OMNICOM GROUP, INC.          	COMMON           681919106    2544     32120 SH       DEFINED 01      27620        0     4500
D OMNICOM GROUP, INC.          	COMMON           681919106    2764     34900 SH       OTHER   01          0    34900        0
D OMNICOM GROUP, INC.          	COMMON           681919106     309      3900 SH       DEFINED 05       2000        0     1900
D OMNICOM GROUP, INC.          	COMMON           681919106     390      4920 SH       OTHER   05          0     4920        0
D OMNICOM GROUP, INC.          	COMMON           681919106       4        50 SH       DEFINED 16         50        0        0
D OMNICOM GROUP, INC.          	COMMON           681919106     150      1900 SH       DEFINED 17       1900        0        0
D OMNIQUIP INTL INC            	COMMON           681969101       0     19500 SH       DEFINED 02          0        0    19500
D OMNIPOINT CORP.              	COMMON           68212D102    4224     75600 SH       DEFINED 01      75600        0        0
D OMNIPOINT CORP.              	COMMON           68212D102    1056     18900 SH       DEFINED 02       3500        0    15400
D OMNIPOINT CORP.              	COMMON           68212D102    2097     37532 SH       DEFINED 16      37532        0        0
D ON ASSIGNMENT, INC.          	COMMON           682159108    2196     91500 SH       DEFINED 01      91500        0        0
D ON ASSIGNMENT, INC.          	COMMON           682159108    5714    238100 SH       DEFINED 02     176800        0    61300
D ONE VALLEY BANCORP OF WEST VA	COMMON           682419106     321      9296 SH       DEFINED 02       1000        0     8296
D 1 800 FLOWERS COM            	COMMON           68243Q106     845     58500 SH       DEFINED 01      58500        0        0
D 1 800 FLOWERS COM            	COMMON           68243Q106    2092    144900 SH       DEFINED 02     110700        0    34200
D ONEOK INC NEW                	COMMON           682680103    5905    194800 SH       DEFINED 02       6000        0   188800
D ONEOK INC NEW                	COMMON           682680103     182      6000 SH       OTHER   05          0     6000        0
D ONEOK INC NEW                	COMMON           682680103       9       300 SH       DEFINED 17        300        0        0
D ONLINE RES & COMMUNICATIONS  	COMMON           68273G101     195     14045 SH       DEFINED 16      14045        0        0
D OPTICAL COATING LABORATORIES,	COMMON           683829105     838      9100 SH       DEFINED 02          0        0     9100
D ORACLE CORP                  	COMMON           68389X105       0    102512 SH       DEFINED 16     102512        0        0
D ORACLE SYSTEMS CORP.         	COMMON           68389X105   89961   1977155 SH       DEFINED 01    1252144        0   725011
D ORACLE SYSTEMS CORP.         	COMMON           68389X105    2592     56962 SH       OTHER   01      15300    41662        0
D ORACLE SYSTEMS CORP.         	COMMON           68389X105  282679   6212723 SH       DEFINED 02    4629311        0  1583411
D ORACLE SYSTEMS CORP.         	COMMON           68389X105    2048     45000 SH       OTHER   0304    45000        0        0
D ORACLE SYSTEMS CORP.         	COMMON           68389X105     271      5950 SH       DEFINED 05       1450        0     4500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 168
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ORACLE SYSTEMS CORP.         	COMMON           68389X105     850     18680 SH       DEFINED 17      18680        0        0
D ORBITAL SCIENCES CORP.       	COMMON           685564106     837     47800 SH       DEFINED 01      47800        0        0
D ORBITAL SCIENCES CORP.       	COMMON           685564106     739     42200 SH       DEFINED 02      29300        0    12900
D ORBITAL SCIENCES CORPORATION 	BOND             685564AC0       0   9244000 PRN      DEFINED 17
D ORGANOGENESIS, INC.          	COMMON           685906109      12      1600 SH       DEFINED 01       1600        0        0
D ORGANOGENESIS, INC.          	COMMON           685906109     137     18308 SH       DEFINED 02          0        0    18308
D O'REILLY AUTOMOTIVE, INC.    	COMMON           686091109     129      2700 SH       DEFINED 01       2700        0        0
D O'REILLY AUTOMOTIVE, INC.    	COMMON           686091109     295      6200 SH       DEFINED 02        900        0     5300
D ORION CAPITAL CORP.          	COMMON           686268103     515     10874 SH       DEFINED 02       1500        0     9374
D ORION CAPITAL CORP.          	COMMON           686268103    5747    121300 SH       DEFINED 16     121300        0        0
D OSHKOSH B'GOSH, INC. CLASS A 	COMMON           688222207     224     14000 SH       DEFINED 02          0        0    14000
D OSHKOSH TRUCK CORP. CLASS B  	COMMON           688239201     160      6000 SH       OTHER   01          0     6000        0
D OSHKOSH TRUCK CORP. CLASS B  	COMMON           688239201     334     12550 SH       DEFINED 02       1000        0    11550
D OSTEOTECH, INC.              	COMMON           688582105    5745    421650 SH       DEFINED 01     331850        0    89800
D OSTEOTECH, INC.              	COMMON           688582105    2239    164300 SH       DEFINED 02     122700        0    41600
D OSTEOTECH, INC.              	COMMON           688582105      45      3300 SH       DEFINED 05          0        0     3300
D OUTBACK STEAKHOUSE, INC.     	COMMON           689899102    2473     97100 SH       DEFINED 01      97100        0        0
D OUTBACK STEAKHOUSE, INC.     	COMMON           689899102     402     15800 SH       DEFINED 02       4300        0    11500
D OUTBACK STEAKHOUSE, INC.     	COMMON           689899102       4       171 SH       DEFINED 16        171        0        0
D OUTDOOR SYSTEMS, INC.        	COMMON           690057104    1552     43400 SH       DEFINED 02          0        0    43400
D OWENS & MINOR, INC.          	COMMON           690732102     332     34463 SH       DEFINED 01      23000        0    11463
D OWENS & MINOR, INC.          	COMMON           690732102    1221    126875 SH       DEFINED 02       2100        0   124775
D OWENS CORNING                	COMMON           69073F103    5611    258700 SH       DEFINED 01     194700        0    64000
D OWENS CORNING                	COMMON           69073F103      15       700 SH       OTHER   01        700        0        0
D OWENS CORNING                	COMMON           69073F103    6805    313770 SH       DEFINED 02     186086        0   127684
D OWENS CORNING                	COMMON           69073F103      13       600 SH       DEFINED 17        600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 169
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D OWENS-ILLINOIS INC 4.75% 1231	PREF-CONV        690768502    4094    125000 PRN      DEFINED 01
D OWENS-ILLINOIS INC 4.75% 1231	PREF-CONV        690768502    4913    150000 PRN      DEFINED 02
D OXFORD HEALTH PLANS, INC.    	COMMON           691471106    2745    219600 SH       DEFINED 01     216100        0     3500
D OXFORD HEALTH PLANS, INC.    	COMMON           691471106     100      8000 SH       OTHER   01       8000        0        0
D OXFORD HEALTH PLANS, INC.    	COMMON           691471106    4648    371800 SH       DEFINED 02     273000        0    98800
D P-COM, INC.                  	COMMON           693262107     172     24600 SH       DEFINED 02          0        0    24600
D PECO ENERGY CO.              	COMMON           693304107       4       100 SH       DEFINED 01        100        0        0
D PECO ENERGY CO.              	COMMON           693304107    2010     53600 SH       DEFINED 17      53600        0        0
D PG&E CORP                    	COMMON           69331C108   30862   1192717 SH       DEFINED 01     890767        0   301950
D PG&E CORP                    	COMMON           69331C108     449     17344 SH       OTHER   01       3200    14144        0
D PG&E CORP                    	COMMON           69331C108   55426   2142067 SH       DEFINED 02    1354666        0   787400
D PG&E CORP                    	COMMON           69331C108     109      4200 SH       DEFINED 17       4200        0        0
D PE CORP                      	COMMON           69332S102   44196    611710 SH       DEFINED 01     365910        0   245800
D PE CORP                      	COMMON           69332S102    5081     70322 SH       OTHER   01      13700    56622        0
D PE CORP                      	COMMON           69332S102  143871   1991296 SH       DEFINED 02    1637740        0   353556
D PE CORP                      	COMMON           69332S102    5831     80700 SH       DEFINED 05      24300        0    56400
D PE CORP                      	COMMON           69332S102     303      4200 SH       OTHER   05       3200     1000        0
D PE CORP                      	COMMON           69332S102      87      1200 SH       DEFINED 17       1200        0        0
D PE CORP                      	COMMON           69332S201    1117     27752 SH       DEFINED 01      10777        0    16975
D PE CORP                      	COMMON           69332S201     505     12554 SH       OTHER   01       2750     9804        0
D PE CORP                      	COMMON           69332S201    2131     52954 SH       DEFINED 02      50150        0     2804
D PE CORP                      	COMMON           69332S201     726     18025 SH       DEFINED 05       5025        0    13000
D PE CORP                      	COMMON           69332S201      42      1050 SH       OTHER   05        800      250        0
D PIMCO ADVISORS HOLDINGS L.P. 	COMMON           69338P102     463     14688 SH       DEFINED 01      14688        0        0
D PLX TECHNOLOGY INC           	COMMON           693417107    5251    217675 SH       DEFINED 01     153400        0    64275
D PLX TECHNOLOGY INC           	COMMON           693417107     246     10200 SH       DEFINED 02       7000        0     3200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 170
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PLX TECHNOLOGY INC           	COMMON           693417107      58      2400 SH       DEFINED 05          0        0     2400
D PMC-SIERRA INC               	COMMON           69344F106    3247     35100 SH       DEFINED 01      35100        0        0
D PMC-SIERRA INC               	COMMON           69344F106     527      5700 SH       DEFINED 02       1600        0     4100
D PMI GROUP, INC.              	COMMON           69344M101    1937     47400 SH       DEFINED 01      47400        0        0
D PMI GROUP, INC.              	COMMON           69344M101     337      8250 SH       DEFINED 02       2250        0     6000
D PNC BANK CORP                	COMMON           693475105   43678    829000 SH       DEFINED 06     829000        0        0
D PNC FINANCIAL CORP.          	COMMON           693475105   42914    814495 SH       DEFINED 01     594095        0   220400
D PNC FINANCIAL CORP.          	COMMON           693475105    1538     29187 SH       OTHER   01      13520    15667        0
D PNC FINANCIAL CORP.          	COMMON           693475105  102128   1938360 SH       DEFINED 02    1379440        0   558920
D PNC FINANCIAL CORP.          	COMMON           693475105      16       300 SH       DEFINED 05        300        0        0
D PNC FINANCIAL CORP.          	COMMON           693475105     174      3300 SH       DEFINED 17       3300        0        0
D P P & L RESOURCES, INC.      	COMMON           693499105   48195   1780833 SH       DEFINED 01    1319745        0   461088
D P P & L RESOURCES, INC.      	COMMON           693499105     900     33250 SH       OTHER   01      10470    22780        0
D P P & L RESOURCES, INC.      	COMMON           693499105  154990   5727000 SH       DEFINED 02    4547500        0  1179500
D P P & L RESOURCES, INC.      	COMMON           693499105      49      1800 SH       DEFINED 05       1800        0        0
D P P & L RESOURCES, INC.      	COMMON           693499105     706     26100 SH       OTHER   09      26100        0        0
D P P & L RESOURCES, INC.      	COMMON           693499105      46      1700 SH       DEFINED 17       1700        0        0
D PPG INDUSTRIES, INC.         	COMMON           693506107     773     12890 SH       DEFINED 01       9790        0     3100
D PPG INDUSTRIES, INC.         	COMMON           693506107     360      6000 SH       OTHER   01          0     6000        0
D PPG INDUSTRIES, INC.         	COMMON           693506107    1952     32530 SH       DEFINED 02      17130        0    15400
D PPG INDUSTRIES, INC.         	COMMON           693506107     114      1900 SH       DEFINED 17       1900        0        0
D PRI AUTOMATION, INC.         	COMMON           69357H106     235      6500 SH       DEFINED 02          0        0     6500
D PSS WORLD MEDICAL, INC       	COMMON           69366A100     145     16200 SH       DEFINED 01       3200        0    13000
D PSS WORLD MEDICAL, INC       	COMMON           69366A100      62      6900 SH       DEFINED 02       2400        0     4500
D PXRE CORP.                   	COMMON           693674103     417     28600 SH       DEFINED 01      28600        0        0
D PXRE CORP.                   	COMMON           693674103     267     18300 SH       DEFINED 02      18300        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 171
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PACCAR INC                   	COMMON           693718108      74      1454 SH       DEFINED 16       1454        0        0
D PACCAR, INC.                 	COMMON           693718108    9844    193500 SH       DEFINED 01     118200        0    75300
D PACCAR, INC.                 	COMMON           693718108   14152    278170 SH       DEFINED 02     159270        0   118900
D PACCAR, INC.                 	COMMON           693718108      46       900 SH       DEFINED 17        900        0        0
D PACIFIC CENTY FINL CORP      	COMMON           694058108   10253    501640 SH       DEFINED 01     437040        0    64600
D PACIFIC CENTY FINL CORP      	COMMON           694058108    1022     49990 SH       OTHER   01      22774    27216        0
D PACIFIC CENTY FINL CORP      	COMMON           694058108   27304   1335950 SH       DEFINED 02     926150        0   409800
D PACIFIC CENTY FINL CORP      	COMMON           694058108      16       800 SH       DEFINED 05          0        0      800
D PACIFIC SUNWEAR CALIFORNIA,IN	COMMON           694873100    1124     40100 SH       DEFINED 01      40100        0        0
D PACIFIC SUNWEAR CALIFORNIA,IN	COMMON           694873100     224      8000 SH       DEFINED 02       8000        0        0
D PACIFICARE HEALTH SYS DEL    	COMMON           695112102    7309    169000 SH       DEFINED 01     138800        0    30200
D PACIFICARE HEALTH SYS DEL    	COMMON           695112102      17       400 SH       OTHER   01        400        0        0
D PACIFICARE HEALTH SYS DEL    	COMMON           695112102    9531    220359 SH       DEFINED 02     134470        0    85889
D PACKETEER INC                	COMMON           695210104    1339     39300 SH       DEFINED 01       39300       0        0
D PACKETEER INC                	COMMON           695210104    3103     91100 SH       DEFINED 02       68300       0    22800
D PAGEMART WIRELESS, INC. CLASS	COMMON           69553J104      62     10300 SH       DEFINED 02          0        0    10300
D PAGEMART WIRELESS, INC. CLASS	COMMON           69553J104       1       100 SH       DEFINED 19        100        0        0
D PAINE WEBBER GROUP, INC.     	COMMON           695629105    6090    168000 SH       DEFINED 01     103600        0    64400
D PAINE WEBBER GROUP, INC.     	COMMON           695629105      25       700 SH       OTHER   01        700        0        0
D PAINE WEBBER GROUP, INC.     	COMMON           695629105   11013    303798 SH       DEFINED 02     162398        0   141400
D PAINE WEBBER GROUP, INC.     	COMMON           695629105      58      1600 SH       DEFINED 17       1600        0        0
D PAIRGAIN TEC                 	COMMON           695934109    1090     78200 SH       DEFINED 17      78200        0        0
D PALL CORP.                   	COMMON           696429307       5       205 SH       DEFINED 01        205        0        0
D PALL CORP.                   	COMMON           696429307     696     30000 SH       OTHER   01          0    30000        0
D PALL CORP.                   	COMMON           696429307      32      1400 SH       DEFINED 17       1400        0        0
D PAPA JOHN'S INTERNATIONAL,INC	COMMON           698813102   17490    424000 SH       DEFINED 01     307000        0   117000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 172
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PAPA JOHN'S INTERNATIONAL,INC	COMMON           698813102    1134     27500 SH       DEFINED 02      19800        0     7700
D PAPA JOHN'S INTERNATIONAL,INC	COMMON           698813102     177      4300 SH       DEFINED 05          0        0     4300
D PARAMETIC                    	COMMON           699173100       1        76 SH       DEFINED 16         76        0        0
D PARAMETRIC TECHNOLOGY CORP.  	COMMON           699173100      54      4000 SH       DEFINED 01          0        0     4000
D PARAMETRIC TECHNOLOGY CORP.  	COMMON           699173100     790     58534 SH       DEFINED 02        700        0    57834
D PARAMETRIC TECHNOLOGY CORP.  	COMMON           699173100      39      2900 SH       DEFINED 17       2900        0        0
D PARK ELECTROCHEMICAL CORP.   	COMMON           700416209     247      7500 SH       DEFINED 01       7500        0        0
D PARK ELECTROCHEMICAL CORP.   	COMMON           700416209    1154     35100 SH       DEFINED 02       5700        0    29400
D PARK ELECTROCHEM. 5.5% CSN 3/	BOND             700416AB6     750   1005000 PRN      OTHER   01
D PARK PLACE ENTERTAINMENT CORP	COMMON           700690100    1904    152300 SH       DEFINED 01     152300        0        0
D PARK PLACE ENTERTAINMENT CORP	COMMON           700690100     611     48906 SH       DEFINED 02       6606        0    42300
D PARKER-HANNIFIN CORP.        	COMMON           701094104   15644    349100 SH       DEFINED 01     259700        0    89400
D PARKER-HANNIFIN CORP.        	COMMON           701094104   18424    411132 SH       DEFINED 02     254532        0   156600
D PARKER-HANNIFIN CORP.        	COMMON           701094104       2        46 SH       DEFINED 16         46        0        0
D PARKER-HANNIFIN CORP.        	COMMON           701094104      54      1200 SH       DEFINED 17       1200        0        0
D PARKERVISION, INC.           	COMMON           701354102     200      8300 SH       DEFINED 02          0        0     8300
D PARLUX FRAGRANCES INC        	COMMON           701645103     347    150000 SH       DEFINED 01          0        0   150000
D PATHOGENESIS CORP.           	COMMON           70321E104      14       900 SH       DEFINED 01        900        0        0
D PATHOGENESIS CORP.           	COMMON           70321E104     131      8500 SH       DEFINED 02          0        0     8500
D PATHOGENESIS CORP.           	COMMON           70321E104    1230     80000 SH       DEFINED 17      80000        0        0
D PAXAR CORP.                  	COMMON           704227107     188     19816 SH       DEFINED 02       1700        0    18116
D PAXSON COMMUNICATIONS CORP.  	COMMON           704231109     127     10400 SH       DEFINED 02          0        0    10400
D PAYCHEX, INC.                	COMMON           704326107    1112     32595 SH       DEFINED 01      32595        0        0
D PAYCHEX, INC.                	COMMON           704326107    1827     53533 SH       DEFINED 02          0        0    53533
D PAYCHEX, INC.                	COMMON           704326107       2        71 SH       DEFINED 16         71        0        0
D PAYCHEX, INC.                	COMMON           704326107      92      2700 SH       DEFINED 17       2700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 173
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PEDIATRIX MEDICAL GROUP, INC.	COMMON           705324101     595     42900 SH       DEFINED 01      42900        0        0
D PEDIATRIX MEDICAL GROUP, INC.	COMMON           705324101     123      8900 SH       DEFINED 02       8900        0        0
D PEGASUS COMMUNICATIONS CORP  	COMMON           705904100     483     10700 SH       DEFINED 02          0        0    10700
D PEGASUS SYSTEMS, INC.        	COMMON           705906105    1691     45100 SH       DEFINED 01      45100        0        0
D PEGASUS SYSTEMS, INC.        	COMMON           705906105     525     14000 SH       DEFINED 02       8200        0     5800
D PENN ENGR & MFG CORP         	COMMON           707389102     641     29300 SH       DEFINED 02          0        0    29300
D PENN TREATY AMERICAN CORP.   	COMMON           707874103     261     12500 SH       DEFINED 02          0        0    12500
D PENNEY (J. C.), INC.         	COMMON           708160106   35541   1030180 SH       DEFINED 01     700000        0   330180
D PENNEY (J. C.), INC.         	COMMON           708160106    1153     33428 SH       OTHER   01       1400    32028        0
D PENNEY (J. C.), INC.         	COMMON           708160106   65158   1888642 SH       DEFINED 02    1235542        0   653100
D PENNEY (J. C.), INC.         	COMMON           708160106    1725     50000 SH       OTHER   0304    50000        0        0
D PENNEY (J. C.), INC.         	COMMON           708160106      45      1300 SH       DEFINED 05       1300        0        0
D PENNEY (J. C.), INC.         	COMMON           708160106    2837     82219 SH       DEFINED 17      82219        0        0
D PENNEY (J. C.), INC.         	COMMON           708160106   58946   1708580 SH       DEFINED 19    1708580        0        0
D PENNSYLVANIA ENTERPRISES, INC	COMMON           708720107     201      6200 SH       DEFINED 02          0        0     6200
D PENNZOIL-QUAKER STATE COMPAN 	COMMON           709323109     417     33000 SH       OTHER   01          0    33000        0
D PENTAIR, INC.                	COMMON           709631105    2191     54600 SH       DEFINED 01      54600        0        0
D PENTAIR, INC.                	COMMON           709631105    1453     36200 SH       DEFINED 02       2200        0    34000
D PENTAIR, INC.                	COMMON           709631105     490     12200 SH       DEFINED 06      12200        0        0
D PENTON MEDIA INC             	COMMON           709668107    1615     99382 SH       DEFINED 01      89300        0    10082
D PENTON MEDIA INC             	COMMON           709668107     423     26000 SH       DEFINED 02      26000        0        0
D PEOPLES BANCORP, INC.        	COMMON           709789101     273      9900 SH       DEFINED 02          0        0     9900
D PEOPLES ENERGY CORP.         	COMMON           711030106     407     11560 SH       DEFINED 01          0        0    11560
D PEOPLES ENERGY CORP.         	COMMON           711030106      14       400 SH       DEFINED 17        400        0        0
D PEOPLES HERITAGE FIN'L GROUP,	COMMON           711147108   26246   1578700 SH       DEFINED 01     919800        0   658900
D PEOPLES HERITAGE FIN'L GROUP,	COMMON           711147108     394     23725 SH       OTHER   01        600    23125        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 174
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PEOPLES HERITAGE FIN'L GROUP,	COMMON           711147108   56672   3408828 SH       DEFINED 02    2655220        0   753608
D PEOPLES HERITAGE FIN'L GROUP,	COMMON           711147108      53      3200 SH       DEFINED 05       3200        0        0
D PEP BOYS-MANNY, MOE & JACK   	COMMON           713278109    1021     68670 SH       DEFINED 01      68670        0        0
D PEP BOYS-MANNY, MOE & JACK   	COMMON           713278109      74      5000 SH       OTHER   01          0     5000        0
D PEP BOYS-MANNY, MOE & JACK   	COMMON           713278109       7       500 SH       DEFINED 02          0        0      500
D PEP BOYS-MANNY, MOE & JACK   	COMMON           713278109       9       600 SH       DEFINED 17        600        0        0
D PEPSI BOTTLING GROUP INC     	COMMON           713409100    4609    270100 SH       DEFINED 01     150700        0   119400
D PEPSI BOTTLING GROUP INC     	COMMON           713409100   56108   3288300 SH       DEFINED 02    3123100        0   165200
D PEPSI-COLA PUERTO RICO CL B  	COMMON           713434108      94     15600 SH       DEFINED 02          0        0    15600
D PEPSICO, INC.                	COMMON           713448108  280374   9192584 SH       DEFINED 01    4079950        0  5112634
D PEPSICO, INC.                	COMMON           713448108   25686    842162 SH       OTHER   01     224119   618043        0
D PEPSICO, INC.                	COMMON           713448108  427914  14029976 SH       DEFINED 02   10184417        0  3845559
D PEPSICO, INC.                	COMMON           713448108    1220     40000 SH       OTHER   0304    40000        0        0
D PEPSICO, INC.                	COMMON           713448108    5458    178954 SH       DEFINED 05      73734        0   105220
D PEPSICO, INC.                	COMMON           713448108     146      4800 SH       OTHER   05       2400     2400        0
D PEPSICO, INC.                	COMMON           713448108    1674     54900 SH       OTHER   09      54900        0        0
D PEPSICO, INC.                	COMMON           713448108     387     12700 SH       DEFINED 16      12700        0        0
D PEPSICO, INC.                	COMMON           713448108    8029    263250 SH       DEFINED 17     263250        0        0
D PER SE TECHNOLOGIES INC      	COMMON           713569200      51     14700 SH       DEFINED 02          0        0    14700
D PERCLOSE, INC.               	COMMON           71361C107       5       100 SH       DEFINED 01        100        0        0
D PERCLOSE, INC.               	COMMON           71361C107     242      5200 SH       DEFINED 02          0        0     5200
D PEREGRINE SYSTEMS INC        	COMMON           71366Q101   10848    266200 SH       DEFINED 01     209700        0    56500
D PEREGRINE SYSTEMS INC        	COMMON           71366Q101    4262    104600 SH       DEFINED 02      64800        0    39800
D PEREGRINE SYSTEMS INC        	COMMON           71366Q101      86      2100 SH       DEFINED 05          0        0     2100
D PERFORMANCE FOOD GROUP CORP. 	COMMON           713755106    3844    150000 SH       DEFINED 01          0        0   150000
D PERFORMANCE FOOD GROUP CORP. 	COMMON           713755106      54      2100 SH       DEFINED 02          0        0     2100

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 175
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PEROT SYS CORP               	COMMON           714265105     327     17500 SH       DEFINED 02          0        0    17500
D PERRIGO CO.                  	COMMON           714290103       8      1000 SH       DEFINED 01       1000        0        0
D PERRIGO CO.                  	COMMON           714290103     201     25500 SH       DEFINED 02      25500        0        0
D PERSONNEL GROUP OF AMERICA,IN	COMMON           715338109     523     83600 SH       DEFINED 01      83600        0        0
D PERSONNEL GROUP OF AMERICA,IN	COMMON           715338109     353     56500 SH       DEFINED 02      37000        0    19500
D PERVASIVE SOFTWARE INC       	COMMON           715710109    1070     31000 SH       DEFINED 01      31000        0        0
D PERVASIVE SOFTWARE INC       	COMMON           715710109     228      6600 SH       DEFINED 02       6600        0        0
D PETCO ANIMAL SUPPLIES, INC.  	COMMON           716016100       8       700 SH       DEFINED 01        700        0        0
D PETCO ANIMAL SUPPLIES, INC.  	COMMON           716016100     240     20200 SH       DEFINED 02       1400        0    18800
D PETRO-CANADA                 	COMMON           71644E102     908     60000 SH       DEFINED 01      60000        0        0
D PETROLEUM & RESOURCES CORP.  	COMMON           716549100     371     10959 SH       DEFINED 01      10959        0        0
D PETSMART, INC.               	COMMON           716768106      15      4000 SH       DEFINED 01       4000        0        0
D PETSMART, INC.               	COMMON           716768106      27      7300 SH       DEFINED 02          0        0     7300
D PHARMACYCLICS INC            	COMMON           716933106     372      9100 SH       DEFINED 02          0        0     9100
D PHARMACIA & UPJOHN, INC.     	COMMON           716941109   13930    280700 SH       DEFINED 01     224400        0    56300
D PHARMACIA & UPJOHN, INC.     	COMMON           716941109      60      1200 SH       OTHER   01       1200        0        0
D PHARMACIA & UPJOHN, INC.     	COMMON           716941109   17276    348136 SH       DEFINED 02     212400        0   135736
D PHARMACIA & UPJOHN, INC.     	COMMON           716941109   10394    209450 SH       DEFINED 17     209450        0        0
D PFIZER, INC.                 	COMMON           717081103  178078   4963848 SH       DEFINED 01    3246331        0  1717517
D PFIZER, INC.                 	COMMON           717081103   42443   1183092 SH       OTHER   01     567103   615989        0
D PFIZER, INC.                 	COMMON           717081103  199886   5571734 SH       DEFINED 02    3665156        0  1906578
D PFIZER, INC.                 	COMMON           717081103    3762    104865 SH       DEFINED 05      55180        0    49685
D PFIZER, INC.                 	COMMON           717081103    3444     96000 SH       OTHER   1314        0    96000        0
D PFIZER, INC.                 	COMMON           717081103      39      1079 SH       DEFINED 16       1079        0        0
D PFIZER, INC.                 	COMMON           717081103   14437    402424 SH       DEFINED 17     402424        0        0
D PHELPS DODGE                 	COMMON           717265102      77      1400 SH       DEFINED 16       1400        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 176
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PHELPS DODGE CORP.           	COMMON           717265102    1673     30390 SH       DEFINED 01      29840        0      550
D PHELPS DODGE CORP.           	COMMON           717265102     314      5700 SH       DEFINED 02       2000        0     3700
D PHELPS DODGE CORP.           	COMMON           717265102      33       600 SH       DEFINED 17        600        0        0
D PHILIP MORRIS                	COMMON           718154107       0     43800 SH       DEFINED 16      43800        0        0
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107  386259  11298083 SH       DEFINED 01    7561422        0  3736661
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107   13930    407455 SH       OTHER   01     170285   237170        0
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107  954534  27920158 SH       DEFINED 02   21664006        0  6256151
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107    3487    102000 SH       OTHER   0304   102000        0        0
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107    4365    127675 SH       DEFINED 05      64400        0    63275
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107     205      6000 SH       OTHER   05       5400      600        0
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107    2762     80775 SH       OTHER   09      80775        0        0
D PHILIP MORRIS COMPANIES, INC.	COMMON           718154107    1412     41300 SH       DEFINED 17      41300        0        0
D PHILLIPS PETROLEUM COMPANY   	COMMON           718507106   31032    636550 SH       DEFINED 01     439950        0   196600
D PHILLIPS PETROLEUM COMPANY   	COMMON           718507106     424      8700 SH       OTHER   01       1200     7500        0
D PHILLIPS PETROLEUM COMPANY   	COMMON           718507106   91262   1872042 SH       DEFINED 02    1355638        0   516404
D PHILLIPS PETROLEUM COMPANY   	COMMON           718507106    2486     51000 SH       DEFINED 06      51000        0        0
D PHILLIPS PETROLEUM COMPANY   	COMMON           718507106     137      2800 SH       DEFINED 17       2800        0        0
D PHOENIX TECHNOLOGY LTD.      	COMMON           719153108       2       200 SH       DEFINED 01        200        0        0
D PHOENIX TECHNOLOGY LTD.      	COMMON           719153108     112     10000 SH       OTHER   01          0    10000        0
D PHYCOR, INC. 4.5% CSD DUE 215	BOND             71940FAB6    5444  13783000 PRN      DEFINED 01                            0
D PHYCOR, INC. 4.5% CSD DUE 215	BOND             71940FAB6    1620   4100000 PRN      DEFINED 02                            0
D PIEDMONT NATURAL GAS, INC.   	COMMON           720186105      12       400 SH       DEFINED 01          0        0      400
D PIEDMONT NATURAL GAS, INC.   	COMMON           720186105     121      4000 SH       OTHER   01          0     4000        0
D PIEDMONT NATURAL GAS, INC.   	COMMON           720186105    1337     44100 SH       DEFINED 02          0        0    44100
D PIER 1 IMPORTS, INC.         	COMMON           720279108     734    111800 SH       DEFINED 01     111800        0        0
D PIER 1 IMPORTS, INC.         	COMMON           720279108     299     45600 SH       DEFINED 02      24800        0    20800

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 177
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PIERCE LEAHY CORP            	COMMON           720722107     309     13000 SH       DEFINED 02          0        0    13000
D PILGRIM'S PRIDE CORP.        	COMMON           721467108     117     13500 SH       DEFINED 01      13500        0        0
D PILGRIM'S PRIDE CORP.        	COMMON           721467108     109     12500 SH       DEFINED 02       8100        0     4400
D PILLOWTEX CORP.              	COMMON           721501104      83     11100 SH       DEFINED 01      11100        0        0
D PILLOWTEX CORP.              	COMMON           721501104     160     21300 SH       DEFINED 02       7200        0    14100
D PINNACLE GLOBAL GROUP INC    	COMMON           723465100     864    175000 SH       DEFINED 01          0        0   175000
D PINNACLE SYSTEMS, INC.       	COMMON           723481107    9390    221600 SH       DEFINED 01     187200        0    34400
D PINNACLE SYSTEMS, INC.       	COMMON           723481107    1780     42000 SH       DEFINED 02      20900        0    21100
D PINNACLE SYSTEMS, INC.       	COMMON           723481107      55      1300 SH       DEFINED 05          0        0     1300
D PINNACLE WEST CAPITAL CORP.  	COMMON           723484101   19435    534287 SH       DEFINED 01     391470        0   142817
D PINNACLE WEST CAPITAL CORP.  	COMMON           723484101    1696     46618 SH       OTHER   01      30950    15668        0
D PINNACLE WEST CAPITAL CORP.  	COMMON           723484101   25118    690526 SH       DEFINED 02     445226        0   245300
D PINNACLE WEST CAPITAL CORP.  	COMMON           723484101     186      5100 SH       DEFINED 05       3600        0     1500
D PINNACLE WEST CAPITAL CORP.  	COMMON           723484101     291      8000 SH       DEFINED 06       8000        0        0
D PIONEER HI-B                 	COMMON           723686101      48      1200 SH       DEFINED 16       1200        0        0
D PIONEER HI-BRED INTERNATIONAL	COMMON           723686101    1312     33050 SH       DEFINED 01      27700        0     5350
D PIONEER HI-BRED INTERNATIONAL	COMMON           723686101    1242     31302 SH       DEFINED 02          2        0    31300
D PIONEER HI-BRED INTERNATIONAL	COMMON           723686101     357      9000 SH       OTHER   05          0     9000        0
D PIONEER HI-BRED INTERNATIONAL	COMMON           723686101     103      2600 SH       DEFINED 17       2600        0        0
D PIONEER NATURAL RESOURCES COM	COMMON           723787107       1       100 SH       DEFINED 01        100        0        0
D PIONEER NATURAL RESOURCES COM	COMMON           723787107     142     13400 SH       DEFINED 02      13400        0        0
D PIONEER-STANDARD ELECTRONICS,	COMMON           723877106     374     25900 SH       DEFINED 01      25900        0        0
D PIONEER-STANDARD ELECTRONICS,	COMMON           723877106    1661    115075 SH       DEFINED 02      27800        0    87275
D PITNEY BOWES, INC.           	COMMON           724479100    1475     24204 SH       DEFINED 01      15120        0     9084
D PITNEY BOWES, INC.           	COMMON           724479100     920     15100 SH       OTHER   01          0    15100        0
D PITNEY BOWES, INC.           	COMMON           724479100    3960     64984 SH       DEFINED 02          0        0    64984

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 178
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PITNEY BOWES, INC.           	COMMON           724479100     609     10000 SH       DEFINED 05       8000        0     2000
D PITNEY BOWES, INC.           	COMMON           724479100     177      2900 SH       DEFINED 17       2900        0        0
D PITTWAY CORP. CLASS A        	COMMON           725790208     446     14166 SH       DEFINED 01          0        0    14166
D PITTWAY CORP. CLASS A        	COMMON           725790208     123      3900 SH       DEFINED 02        100        0     3800
D PIXAR, INC.                  	COMMON           725811103    7420    197200 SH       DEFINED 01     137150        0    60050
D PIXAR, INC.                  	COMMON           725811103     339      9000 SH       DEFINED 02       5400        0     3600
D PIXAR, INC.                  	COMMON           725811103      83      2200 SH       DEFINED 05          0        0     2200
D PJ AMER INC                  	COMMON           72585Q104     651     31200 SH       DEFINED 02          0        0    31200
D PLACER DOME, INC.            	COMMON           725906101       3       200 SH       DEFINED 01        200        0        0
D PLACER DOME, INC.            	COMMON           725906101     991     66598 SH       DEFINED 02          0        0    66598
D PLACER DOME, INC.            	COMMON           725906101      52      3500 SH       DEFINED 17       3500        0        0
D PLAINS RESOURCES, INC.       	COMMON           726540503    3584    200514 SH       DEFINED 01     171514        0    29000
D PLAINS RESOURCES, INC.       	COMMON           726540503     720     40300 SH       DEFINED 02      34500        0     5800
D PLANTRONICS, INC.            	COMMON           727493108     144      2900 SH       DEFINED 01       2900        0        0
D PLANTRONICS, INC.            	COMMON           727493108     632     12700 SH       OTHER   01          0    12700        0
D PLANTRONICS, INC.            	COMMON           727493108     488      9800 SH       DEFINED 02       4400        0     5400
D PLAYBOY ENTERPRISES, INC. B  	COMMON           728117300     318     11900 SH       DEFINED 02      11900        0        0
D PLAYTEX PRODUCTS, INC.       	COMMON           72813P100     242     16400 SH       DEFINED 02        200        0    16200
D POGO PRODUCING CO.           	COMMON           730448107     350     16846 SH       DEFINED 02          0        0    16846
D POGO PRODUCING CO            	BOND             730448AE7     724   1000000 PRN      OTHER   01                            0
D POGO TRUST I  PFD            	PREFERRED        73044P208    5273     98900 PRN      DEFINED 16                            0
D POLARIS INDS INC             	COMMON           731068102     357     10300 SH       DEFINED 02      10300        0        0
D POLICY MANAGEMENT SYSTEMS COR	COMMON           731108106     206      6500 SH       DEFINED 01       6500        0        0
D POLICY MANAGEMENT SYSTEMS COR	COMMON           731108106      47      1500 SH       DEFINED 02       1500        0        0
D POLO RALPH LAUREN CORP       	COMMON           731572103     750     41800 SH       DEFINED 01      37300        0     4500
D POLO RALPH LAUREN CORP       	COMMON           731572103    1003     55900 SH       DEFINED 02      34100        0    21800

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 179
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D POLO RALPH LAUREN CORP       	COMMON           731572103       2       100 SH       DEFINED 05          0        0      100
D POLYCOM INC                  	COMMON           73172K104   15381    322750 SH       DEFINED 01     232050        0    90700
D POLYCOM INC                  	COMMON           73172K104    1272     26700 SH       DEFINED 02      10400        0    16300
D POLYCOM INC                  	COMMON           73172K104     157      3300 SH       DEFINED 05          0        0     3300
D POLYMER GROUP, INC.          	COMMON           731745105   11739    795838 SH       DEFINED 01     795838        0        0
D POOL ENERGY SERVICES CO.     	COMMON           732788104     394     16000 SH       DEFINED 01      16000        0        0
D POOL ENERGY SERVICES CO.     	COMMON           732788104     259     10500 SH       DEFINED 02       2500        0     8000
D POOL ENERGY SERVICES CO.     	COMMON           732788104    1507     61200 SH       DEFINED 16      61200        0        0
D POST PROPERTIES, INC.        	COMMON           737464107   10676    271568 SH       DEFINED 01     271568        0        0
D POST PROPERTIES, INC.        	COMMON           737464107   22326    567902 SH       DEFINED 02     465571        0   102331
D POTLATCH CORP.               	COMMON           737628107     391      9500 SH       OTHER   01       9500        0        0
D POTLATCH CORP.               	COMMON           737628107      12       300 SH       DEFINED 17        300        0        0
D POTOMAC ELECTRIC POWER CO.   	COMMON           737679100    1188     46700 SH       DEFINED 01      46700        0        0
D POTOMAC ELECTRIC POWER CO.   	COMMON           737679100     280     11000 SH       OTHER   01          0    11000        0
D POTOMAC ELECTRIC POWER CO.   	COMMON           737679100     211      8300 SH       DEFINED 02       2100        0     6200
D POTOMAC ELECTRIC POWER CO.   	COMMON           737679100      51      2000 SH       DEFINED 05          0        0     2000
D POTOMAC ELECTRIC POWER CO.   	COMMON           737679100    2544    100000 SH       DEFINED 17     100000        0        0
D POWER-ONE, INC.              	COMMON           739308104    1469     57600 SH       DEFINED 01      57600        0        0
D POWER-ONE, INC.              	COMMON           739308104    3649    143100 SH       DEFINED 02     109600        0    33500
D POWERWAVE TECHNOLOGIES INC   	COMMON           739363109     699     14500 SH       DEFINED 01      14500        0        0
D POWERWAVE TECHNOLOGIES INC   	COMMON           739363109     145      3000 SH       DEFINED 02        700        0     2300
D POWERTEL INC                 	COMMON           73936C109    1349     24500 SH       DEFINED 02       1500        0    23000
D PREFERRED EMPLOYERS HLDGS IN 	COMMON           739908101     900    200000 SH       DEFINED 01          0        0   200000
D PRAXAIR, INC.                	COMMON           74005P104    6518    141700 SH       DEFINED 01      68500        0    73200
D PRAXAIR, INC.                	COMMON           74005P104    8869    192806 SH       DEFINED 02      60406        0   132400
D PRAXAIR, INC.                	COMMON           74005P104      78      1700 SH       DEFINED 17       1700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 180
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PRE PAID LEGAL SERVICES, INC.	COMMON           740065107     736     18700 SH       DEFINED 01      18700        0        0
D PRE PAID LEGAL SERVICES, INC.	COMMON           740065107     268      6800 SH       DEFINED 02       4900        0     1900
D PRECISION CASTPARTS CORP.    	COMMON           740189105     735     24100 SH       DEFINED 02       8200        0    15900
D PREMARK INTERNATIONAL, INC.  	COMMON           740459102    3096     61300 SH       DEFINED 01      59300        0     2000
D PREMARK INTERNATIONAL, INC.  	COMMON           740459102      76      1500 SH       OTHER   01          0     1500        0
D PREMARK INTERNATIONAL, INC.  	COMMON           740459102    1136     22500 SH       DEFINED 02       2700        0    19800
D PREMIER NATIONAL BANCORP INC 	COMMON           74053F107    1012     58254 SH       OTHER   01          0    58254        0
D PREMIER PARKS, INC.          	COMMON           740540208    6135    211550 SH       DEFINED 01     159550        0    52000
D PREMIER PARKS, INC.          	COMMON           740540208    2688     92700 SH       DEFINED 02      60400        0    32300
D PREMIER PARKS, INC.          	COMMON           740540208      55      1900 SH       DEFINED 05          0        0     1900
D PREMIERE TECHNOLOGIES, INC.  	COMMON           74058F102     496     83500 SH       DEFINED 01      83500        0        0
D PREMIERE TECHNOLOGIES, INC.  	COMMON           74058F102     119     20100 SH       DEFINED 02      17900        0     2200
D PRENTISS PPTYS TR            	COMMON           740706106    2250    101400 SH       DEFINED 01     101400        0        0
D PRENTISS PPTYS TR            	COMMON           740706106    3579    161300 SH       DEFINED 02     149500        0    11800
D PRESIDENTIAL LIFE CORP.      	COMMON           740884101     212     12400 SH       DEFINED 02          0        0    12400
D PRICE ENTERPRISES, INC.      	COMMON           741444202     344     43900 SH       DEFINED 02          0        0    43900
D PRICELINE COM INC            	COMMON           741503106     722     11200 SH       DEFINED 02          0        0    11200
D PRICESMART, INC.             	COMMON           741511109     401     10975 SH       DEFINED 02          0        0    10975
D PRIME RETAIL, INC.           	COMMON           741570105    4553    617300 SH       DEFINED 01     617300        0        0
D PRIME RETAIL, INC.           	COMMON           741570105     107     14447 SH       DEFINED 02          0        0    14447
D PRIME BANCSHARES, INC.       	COMMON           74157H108     122      5350 SH       DEFINED 01       2900        0     2450
D PRIME BANCSHARES, INC.       	COMMON           74157H108     127      5600 SH       DEFINED 02       5600        0        0
D PRIMEX TECHNOLOGIES INC      	COMMON           741597108     247     12500 SH       DEFINED 01      12500        0        0
D PRIMEX TECHNOLOGIES INC      	COMMON           741597108     178      9000 SH       DEFINED 02       9000        0        0
D PRIMARK CORP.                	COMMON           741903108       6       200 SH       DEFINED 01        200        0        0
D PRIMARK CORP.                	COMMON           741903108       5       186 SH       OTHER   01          0      186        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 181
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PRIMARK CORP.                	COMMON           741903108     262      9200 SH       DEFINED 02       1000        0     8200
D PRIME HOSPITALITY CORP.      	COMMON           741917108     524     65500 SH       DEFINED 01      65500        0        0
D PRIME HOSPITALITY CORP.      	COMMON           741917108     176     22000 SH       DEFINED 02      22000        0        0
D PRIMUS TELECOMMUNICATIONS GRO	COMMON           741929103      13       600 SH       DEFINED 01        600        0        0
D PRIMUS TELECOMMUNICATIONS GRO	COMMON           741929103     236     11234 SH       DEFINED 02          0        0    11234
D PRIDE INTL INC               	COMMON           741932107     156     11000 SH       DEFINED 01          0        0    11000
D PRIDE INTL INC               	COMMON           741932107     318     22400 SH       DEFINED 02          0        0    22400
D PRIDE INTERNATIONAL INC 4/15/	BOND             741932AB3    3575  14300000 PRN      DEFINED 02
D PRISON RLTY TR               	COMMON           74264N105     162     15050 SH       DEFINED 02          0        0    15050
D PRIORITY HEALTHCARE CORP CLAS	COMMON           74264T102      31      1008 SH       DEFINED 01       1008        0        0
D PRIORITY HEALTHCARE CORP CLAS	COMMON           74264T102     767     24850 SH       DEFINED 02        400        0    24450
D PRIVATE BUSINESS INC         	COMMON           74267D104    2227    468900 SH       DEFINED 01     303300        0   165600
D PRIVATE BUSINESS INC         	COMMON           74267D104     107     22600 SH       DEFINED 02      13800        0     8800
D PRIVATE BUSINESS INC         	COMMON           74267D104      29      6100 SH       DEFINED 05          0        0     6100
D PROCTER & GAMBLE             	COMMON           742718109       0      2321 SH       DEFINED 16       2321        0        0
D PROCTER & GAMBLE CO.         	COMMON           742718109  553266   5901501 SH       DEFINED 01    3555736        0  2345765
D PROCTER & GAMBLE CO.         	COMMON           742718109   63314    675352 SH       OTHER   01     166475   508877        0
D PROCTER & GAMBLE CO.         	COMMON           742718109  992619  10587939 SH       DEFINED 02    7665888        0  2922051
D PROCTER & GAMBLE CO.         	COMMON           742718109    3938     42000 SH       OTHER   0304    42000        0        0
D PROCTER & GAMBLE CO.         	COMMON           742718109   24610    262504 SH       DEFINED 05     222784        0    39720
D PROCTER & GAMBLE CO.         	COMMON           742718109     319      3400 SH       OTHER   05       2000     1400        0
D PROCTER & GAMBLE CO.         	COMMON           742718109    3094     33000 SH       OTHER   09      33000        0        0
D PROCTER & GAMBLE CO.         	COMMON           742718109   22453    239500 SH       DEFINED 17     239500        0        0
D PROFIT RECOVERY GROUP INT'L.,	COMMON           743168106    9844    220600 SH       DEFINED 01     181450        0    39150
D PROFIT RECOVERY GROUP INT'L.,	COMMON           743168106    9976    223550 SH       DEFINED 02     166250        0    57300
D PROFIT RECOVERY GROUP INT'L.,	COMMON           743168106      65      1450 SH       DEFINED 05          0        0     1450

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 182
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PROGENICS PHARMACEUTICALS IN 	COMMON           743187106    1368     70150 SH       DEFINED 17      70150        0        0
D PROGRESS SOFTWARE CORP.      	COMMON           743312100     323     10300 SH       DEFINED 01      10300        0        0
D PROGRESS SOFTWARE CORP.      	COMMON           743312100     100      3200 SH       DEFINED 02       2500        0      700
D PROGRESSIVE CORP.            	COMMON           743315103    1703     20850 SH       DEFINED 01      19650        0     1200
D PROGRESSIVE CORP.            	COMMON           743315103     310      3800 SH       OTHER   01          0     3800        0
D PROGRESSIVE CORP.            	COMMON           743315103    4248     52000 SH       DEFINED 06      52000        0        0
D PROGRESSIVE CORP.            	COMMON           743315103      65       800 SH       DEFINED 17        800        0        0
D PROLOGIS TRUST               	COMMON           743410102    9262    490700 SH       DEFINED 01     483200        0     7500
D PROLOGIS TRUST               	COMMON           743410102   32200   1705970 SH       DEFINED 02    1463870        0   242100
D PROLOGIS TRUST               	COMMON           743410102     547     29000 SH       DEFINED 17      29000        0        0
D PROLOGIS TR                  	PREF-CONV        743410300    3486    143000 PRN      DEFINED 02
D PROSOFT I-NET SOLUTIONS INC  	COMMON           743477101    5746   1519713 SH       DEFINED 01    1519713        0        0
D PROTECTIVE LIFE CORP.        	COMMON           743674103    1419     48928 SH       DEFINED 01      48928        0        0
D PROTECTIVE LIFE CORP.        	COMMON           743674103    1673     57700 SH       DEFINED 02          0        0    57700
D PROTECTIVE LIFE CORP.        	COMMON           743674103       1        18 SH       DEFINED 16         18        0        0
D PROTEIN DESIGN LABS          	COMMON           74369L103     347      9600 SH       DEFINED 02          0        0     9600
D PROTEIN DESIGN LABS          	COMMON           74369L103    2926     81000 SH       DEFINED 17      81000        0        0
D PROVANT, INC.                	COMMON           743724106    4233    262500 SH       DEFINED 01     187500        0    75000
D PROVANT, INC.                	COMMON           743724106     164     10200 SH       DEFINED 02       6300        0     3900
D PROVANT, INC.                	COMMON           743724106      48      3000 SH       DEFINED 05          0        0     3000
D PROVIDENT FINL GROUP INC     	COMMON           743866105   16548    452600 SH       DEFINED 01     367900        0    84700
D PROVIDENT FINL GROUP INC     	COMMON           743866105     157      4300 SH       OTHER   01       4300        0        0
D PROVIDENT FINL GROUP INC     	COMMON           743866105   32377    885515 SH       DEFINED 02     620140        0   265375
D PROVIDENT FINL GROUP INC     	COMMON           743866105    1393     38100 SH       DEFINED 05       9500        0    28600
D PROVIDENT FINL GROUP INC     	COMMON           743866105      73      2000 SH       OTHER   05          0     2000        0
D PROVINCE HEALTHCARE COMPANY  	COMMON           743977100    1212    105378 SH       DEFINED 01     105378        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 183
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D PROVIDIAN FINANCIAL CORPORATI	COMMON           74406A102    8815    111323 SH       DEFINED 01      74341        0    36982
D PROVIDIAN FINANCIAL CORPORATI	COMMON           74406A102     596      7525 SH       OTHER   01        700     6825        0
D PROVIDIAN FINANCIAL CORPORATI	COMMON           74406A102     420      5300 SH       DEFINED 05       5300        0        0
D PROVIDIAN FINANCIAL CORPORATI	COMMON           74406A102     127      1600 SH       DEFINED 17       1600        0        0
D PROXICOM INC                 	COMMON           744282104    2182     37300 SH       DEFINED 01      37300        0        0
D PROXICOM INC                 	COMMON           744282104    4978     85100 SH       DEFINED 02      63400        0    21700
D PROXIM INC                   	COMMON           744284100       9       200 SH       DEFINED 01        200        0        0
D PROXIM INC                   	COMMON           744284100     419      9100 SH       DEFINED 02          0        0     9100
D PROXYMED INC                 	COMMON           744290107    5025    400000 SH       DEFINED 01          0        0   400000
D PSINET, INC.                 	COMMON           74437C101     392     10900 SH       DEFINED 01      10900        0        0
D PSINET, INC.                 	COMMON           74437C101    1619     45000 SH       DEFINED 02        400        0    44600
D PSINET, INC.                 	COMMON           74437C101       3        71 SH       DEFINED 16         71        0        0
D PSINET, INC.                 	COMMON           74437C101    6054    168300 SH       DEFINED 17     168300        0        0
D PUBLIC SERVICE COMPANY OF NEW	COMMON           744499104    7107    389400 SH       DEFINED 02      26200        0   363200
D PUBLIC SERVICE CO. OF NORTH C	COMMON           744516105    3699    120300 SH       DEFINED 01     120300        0        0
D PUBLIC SERVICE CO. OF NORTH C	COMMON           744516105    4347    141350 SH       DEFINED 02      85700        0    55650
D PUBLIC SERVICE ENTERPRISE GRO	COMMON           744573106     314      8119 SH       DEFINED 01       8119        0        0
D PUBLIC SERVICE ENTERPRISE GRO	COMMON           744573106      54      1400 SH       DEFINED 02        800        0      600
D PUBLIC SERVICE ENTERPRISE GRO	COMMON           744573106      97      2500 SH       DEFINED 05          0        0     2500
D PUBLIC SERVICE ENTERPRISE GRO	COMMON           744573106      93      2400 SH       DEFINED 17       2400        0        0
D PUBLIC STORAGE, INC.         	COMMON           74460D109    6395    253900 SH       DEFINED 01     253900        0        0
D PUBLIC STORAGE, INC.         	COMMON           74460D109   14338    569224 SH       DEFINED 02     500200        0    69024
D PUGET SOUND POWER & LIGHT CO.	COMMON           745332106    1862     83000 SH       DEFINED 01      83000        0        0
D PUGET SOUND POWER & LIGHT CO.	COMMON           745332106     341     15200 SH       DEFINED 02       3500        0    11700
D QLT PHOTOTHERAPEUTICS INC    	COMMON           746927102     573      7500 SH       DEFINED 16       7500        0        0
D QLOGIC CORP.                 	COMMON           747277101     942     13500 SH       DEFINED 01      13500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 184
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D QLOGIC CORP.                 	COMMON           747277101    1885     27000 SH       DEFINED 02        600        0    26400
D QLOGIC CORP.                 	COMMON           747277101       8       118 SH       DEFINED 16        118        0        0
D QUADRAMED CORPORATION   5.25%	BOND             74730WAC5    1432   1650000 PRN      DEFINED 16
D QUAKER OATS CO.              	COMMON           747402105    1365     22054 SH       DEFINED 01       5454        0    16600
D QUAKER OATS CO.              	COMMON           747402105    3824     61800 SH       OTHER   01      38600    23200        0
D QUAKER OATS CO.              	COMMON           747402105      50       800 SH       DEFINED 02        800        0        0
D QUAKER OATS CO.              	COMMON           747402105      93      1500 SH       DEFINED 17       1500        0        0
D QUALCOMM INC                 	COMMON           747525103       0      3094 SH       DEFINED 16       3094        0        0
D QUALCOMM, INC.               	COMMON           747525103   14113     74600 SH       DEFINED 01      64600        0    10000
D QUALCOMM, INC.               	COMMON           747525103      57       300 SH       OTHER   01          0      300        0
D QUALCOMM, INC.               	COMMON           747525103     265      1400 SH       DEFINED 02          0        0     1400
D QUALCOMM, INC.               	COMMON           747525103     114       600 SH       DEFINED 05        600        0        0
D QUALCOMM, INC.               	COMMON           747525103     303      1600 SH       DEFINED 17       1600        0        0
D QUANEX CORP.                 	COMMON           747620102     366     14300 SH       DEFINED 01      14300        0        0
D QUANEX CORP.                 	COMMON           747620102    1389     54200 SH       DEFINED 02      18600        0    35600
D QUANTUM CORP                 	COMMON           747906204   21848   1553600 SH       DEFINED 01    1042500        0   511100
D QUANTUM CORP                 	COMMON           747906204      60      4300 SH       OTHER   01       4200      100        0
D QUANTUM CORP                 	COMMON           747906204   80335   5712476 SH       DEFINED 02    4605376        0  1107100
D QUANTUM CORP                 	COMMON           747906204     15       1100 SH       DEFINED 05       1100        0        0
D QUANTUM CORP                 	COMMON           747906303    1112    149499 SH       DEFINED 01     106750        0    42749
D QUANTUM CORP                 	COMMON           747906303      12      1650 SH       OTHER   01       1600       50        0
D QUANTUM CORP                 	COMMON           747906303    7866   1057503 SH       DEFINED 02    1057503        0        0
D QUANTUM CORP 7% 8/1/04       	BOND             747906AC9     126    140000 PRN      DEFINED 01
D QUANTUM CORP 7% 8/1/04       	BOND             747906AC9      81     90000 PRN      OTHER   01
D QUEENS COUNTY BANCORP, INC.  	COMMON           748242104    1140     41250 SH       OTHER   01          0    41250        0
D QUEST DIAGNOSTICS INC        	COMMON           74834L100    1159     44569 SH       DEFINED 01      44444        0      125

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 185
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D QUEST DIAGNOSTICS INC        	COMMON           74834L100       3       125 SH       OTHER   01          0      125        0
D QUEST DIAGNOSTICS INC        	COMMON           74834L100     169      6510 SH       DEFINED 02       6300        0      210
D QUEST SOFTWARE INC           	COMMON           74834T103     764     16425 SH       DEFINED 01      11650        0     4775
D QUEST SOFTWARE INC           	COMMON           74834T103      30       650 SH       DEFINED 02        400        0      250
D QUEST SOFTWARE INC           	COMMON           74834T103       9       200 SH       DEFINED 05          0        0      200
D QUESTAR CORP.                	COMMON           748356102    2864    158000 SH       DEFINED 01     158000        0        0
D QUESTAR CORP.                	COMMON           748356102     457     25200 SH       DEFINED 02       7900        0    17300
D QUIKSILVER, INC.             	COMMON           74838C106     823     45100 SH       DEFINED 01      45100        0        0
D QUIKSILVER, INC.             	COMMON           74838C106     557     30500 SH       DEFINED 02       3800        0    26700
D QUIDEL CORPORATION           	COMMON           74838J101      35      8500 SH       DEFINED 01          0        0     8500
D QUIDEL CORPORATION           	COMMON           74838J101    7031   1607154 SH       DEFINED 19    1607154        0        0
D QUILMES INDUSTRIAL QUINSA SA 	COMMON           74838Y108     411     43000 SH       DEFINED 16      43000        0        0
D QUINTILES TR                 	COMMON           748767100      11       570 SH       DEFINED 16        570        0        0
D QUINTILES TRANSNATIONAL CORP.	COMMON           748767100   16306    856836 SH       DEFINED 01     834766        0    22070
D QUINTILES TRANSNATIONAL CORP.	COMMON           748767100    2337    122798 SH       DEFINED 02     120000        0     2798
D QUINTILES TRANSNATIONAL CORP.	COMMON           748767100     666     35000 SH       DEFINED 06      35000        0        0
D QUOKKA SPORTS INC            	COMMON           749077103     506     73000 SH       DEFINED 16      73000        0        0
D QUORUM HEALTH GROUP, INC.    	COMMON           749084109     265     37700 SH       DEFINED 01      37700        0        0
D QUORUM HEALTH GROUP, INC.    	COMMON           749084109      42      6000 SH       DEFINED 02       6000        0        0
D QUORUM HEALTH GROUP, INC.    	COMMON           749084109     121     17171 SH       DEFINED 16      17171        0        0
D QUOTESMITH COM INC           	COMMON           749117107     321     45000 SH       DEFINED 01      45000        0        0
D QUOTESMITH COM INC           	COMMON           749117107    1521    213500 SH       DEFINED 02     187700        0    25800
D QWEST COMMUNICATION          	COMMON           749121109       3       101 SH       DEFINED 16        101        0        0
D QWEST COMMUNICATIONS INTL IN 	COMMON           749121109     775     26200 SH       DEFINED 01      26200        0        0
D QWEST COMMUNICATIONS INTL IN 	COMMON           749121109   17988    608470 SH       DEFINED 02     451100        0   157370
D QWEST COMMUNICATIONS INTL IN 	COMMON           749121109      15       520 SH       DEFINED 05          0        0      520

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 186
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D QWEST COMMUNICATIONS INTL IN 	COMMON           749121109     177      6000 SH       DEFINED 06       6000        0        0
D QWEST COMMUNICATIONS INTL IN 	COMMON           749121109    2695     91162 SH       DEFINED 17      91162        0        0
D R&B FALCON CORPORATION       	COMMON           74912E101   18139   1382000 SH       DEFINED 01    1063900        0   318100
D R&B FALCON CORPORATION       	COMMON           74912E101      16      1200 SH       OTHER   01       1200        0        0
D R&B FALCON CORPORATION       	COMMON           74912E101   32291   2460296 SH       DEFINED 02    1802096        0   658200
D R&B FALCON CORPORATION       	COMMON           74912E101     415     31600 SH       DEFINED 17      31600        0        0
D RCN CORP                     	COMMON           749361101    2038     49700 SH       DEFINED 01      49700        0        0
D RCN CORP                     	COMMON           749361101    1640     40000 SH       DEFINED 02       2400        0    37600
D R H DONNELLEY CORP           	COMMON           74955W307      31      1686 SH       DEFINED 01       1066        0      620
D R H DONNELLEY CORP           	COMMON           74955W307     234     12565 SH       OTHER   01        754    11811        0
D R H DONNELLEY CORP           	COMMON           74955W307       7       400 SH       OTHER   05          0      400        0
D RGS ENERGY GRP INC           	COMMON           74956K104    1044     42600 SH       DEFINED 01      42600        0        0
D RGS ENERGY GRP INC           	COMMON           74956K104     848     34600 SH       DEFINED 02      26800        0     7800
D RLI CORP.                    	COMMON           749607107      26       800 SH       DEFINED 01        800        0        0
D RLI CORP.                    	COMMON           749607107     459     13918 SH       DEFINED 02       6400        0     7518
D RPC ENERGY SERVICES, INC.    	COMMON           749660106     149     21500 SH       DEFINED 02          0        0    21500
D RSA SEC INC                  	COMMON           749719100    1432     53900 SH       DEFINED 01      53900        0        0
D RSA SEC INC                  	COMMON           749719100     993     37400 SH       DEFINED 02      10100        0    27300
D RF MICRODEVICES INC          	COMMON           749941100    1615     35300 SH       DEFINED 01      35300        0        0
D RF MICRODEVICES INC          	COMMON           749941100     636     13900 SH       DEFINED 02       2000        0    11900
D RADIAN GROUP INC             	COMMON           750236101    9542    222236 SH       DEFINED 01     221736        0      500
D RADIAN GROUP INC             	COMMON           750236101     447     10400 SH       DEFINED 02      10400        0        0
D RADIAN GROUP INC             	COMMON           750236101      86      2000 SH       DEFINED 05       2000        0        0
D RADIANT SYSTEMS, INC.        	COMMON           75025N102   11859    732600 SH       DEFINED 01     541700        0   190900
D RADIANT SYSTEMS, INC.        	COMMON           75025N102     696     43000 SH       DEFINED 02      28000        0    15000
D RADIANT SYSTEMS, INC.        	COMMON           75025N102     118      7300 SH       DEFINED 05          0        0     7300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 187
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D RADIO ONE INC                	COMMON           75040P108     452     10900 SH       DEFINED 01      10900        0        0
D RADIO ONE INC                	COMMON           75040P108    1129     27200 SH       DEFINED 02      20900        0     6300
D RADISYS CORP.                	COMMON           750459109     220      5600 SH       DEFINED 01       5600        0        0
D RADISYS CORP.                	COMMON           750459109      51      1300 SH       DEFINED 02       1300        0        0
D RADISYS CORP.                	COMMON           750459109       5       120 SH       DEFINED 16        120        0        0
D RAILTEX, INC.                	COMMON           750766107      76      4600 SH       DEFINED 01       4600        0        0
D RAILTEX, INC.                	COMMON           750766107     215     13000 SH       DEFINED 02      12400        0      600
D RAINFOREST CAFE, INC.        	COMMON           75086K104       4       800 SH       DEFINED 01        800        0        0
D RAINFOREST CAFE, INC.        	COMMON           75086K104      61     11400 SH       DEFINED 02          0        0    11400
D RAMBUS INC.                  	COMMON           750917106     616      9300 SH       DEFINED 01       9300        0        0
D RAMBUS INC.                  	COMMON           750917106     345      5200 SH       DEFINED 02        400        0     4800
D RAMBUS INC.                  	COMMON           750917106     108      1633 SH       DEFINED 16       1633        0        0
D RALCORP HLDGS INC NEW        	COMMON           751028101     591     33400 SH       DEFINED 01      33400        0        0
D RALCORP HLDGS INC NEW        	COMMON           751028101      14       816 SH       OTHER   01          0      816        0
D RALCORP HLDGS INC NEW        	COMMON           751028101     403     22800 SH       DEFINED 02      14000        0     8800
D RALSTON PURINA GROUP         	COMMON           751277302   27042    970112 SH       DEFINED 01     503278        0   466834
D RALSTON PURINA GROUP         	COMMON           751277302    5336    191427 SH       OTHER   01     103155    88272        0
D RALSTON PURINA GROUP         	COMMON           751277302   53564   1921595 SH       DEFINED 02    1363148        0   558447
D RALSTON PURINA GROUP         	COMMON           751277302    1254     45000 SH       OTHER   0304    45000        0        0
D RALSTON PURINA GROUP         	COMMON           751277302    3345    120000 SH       DEFINED 05      47700        0    72300
D RALSTON PURINA GROUP         	COMMON           751277302      25       900 SH       OTHER   05          0      900        0
D RALSTON PURINA GROUP         	COMMON           751277302      98      3500 SH       DEFINED 17       3500        0        0
D RANGE RESOURCES CORP         	COMMON           75281A109     187     37900 SH       DEFINED 02          0        0    37900
D RARE HOSPITALITY INTL        	COMMON           753820109     413     19100 SH       DEFINED 02          0        0    19100
D RATIONAL SOFTWARE CORP.      	COMMON           75409P202    1469     50164 SH       DEFINED 01      50164        0        0
D RATIONAL SOFTWARE CORP.      	COMMON           75409P202     676     23100 SH       DEFINED 02       2100        0    21000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 188
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D RATIONAL SOFTWARE CORP.      	COMMON           75409P202     761     26000 SH       OTHER   101112      0    26000        0
D RATIONAL SOFTWARE CORP.      	COMMON           75409P202      40      1354 SH       DEFINED 16       1354        0        0
D RAYMOND JAMES FINANCIAL, INC.	COMMON           754730109    1334     66900 SH       DEFINED 01      66900        0        0
D RAYMOND JAMES FINANCIAL, INC.	COMMON           754730109    1778     89168 SH       DEFINED 02      16500        0    72668
D RAYTHEON COMPANY             	COMMON           755111309   38989    803907 SH       DEFINED 01     487045        0   316862
D RAYTHEON COMPANY             	COMMON           755111309     323      6664 SH       OTHER   01        300     6364        0
D RAYTHEON COMPANY             	COMMON           755111309   72533   1495518 SH       DEFINED 02     886118        0   609400
D RAYTHEON COMPANY             	COMMON           755111309       5       112 SH       DEFINED 05        112        0        0
D RAYTHEON CO                  	COMMON           755111408    9659    194630 SH       DEFINED 01     172180        0    22450
D RAYTHEON CO                  	COMMON           755111408     862     17369 SH       OTHER   01       4188    13181        0
D RAYTHEON CO                  	COMMON           755111408   13572    273500 SH       DEFINED 02     165600        0   107900
D RAYTHEON CO                  	COMMON           755111408     199      4000 SH       OTHER   05          0     4000        0
D RAYTHEON CO                  	COMMON           755111408     794     16000 SH       OTHER   101112      0    16000        0
D RAYTHEON CO                  	COMMON           755111408     184      3700 SH       DEFINED 17       3700        0        0
D REALNETWORKS INC             	COMMON           75605L104     873      8350 SH       DEFINED 01       8000        0      350
D REALNETWORKS INC             	COMMON           75605L104   14837    141891 SH       DEFINED 02      98891        0    43000
D REALNETWORKS INC             	COMMON           75605L104       0         4 SH       DEFINED 16          4        0        0
D RECKSON ASSOCIATES REALTY COR	COMMON           75621K106    1259     60500 SH       DEFINED 01      60500        0        0
D RECKSON ASSOCIATES REALTY COR	COMMON           75621K106    3526    169400 SH       DEFINED 02     156800        0    12600
D REDBACK NETWORKS INC         	COMMON           757209101     227      2100 SH       DEFINED 01       2100        0        0
D REDBACK NETWORKS INC         	COMMON           757209101     508      4700 SH       DEFINED 02       3500        0     1200
D REDWOOD TR INC               	COMMON           758075402     153     11800 SH       DEFINED 01      11800        0        0
D REDWOOD TR INC               	COMMON           758075402      97      7500 SH       DEFINED 02          0        0     7500
D REEBOK INTERNATIONAL LTD.    	COMMON           758110100    2424    226800 SH       DEFINED 01     181900        0    44900
D REEBOK INTERNATIONAL LTD.    	COMMON           758110100       6       600 SH       OTHER   01        600        0        0
D REEBOK INTERNATIONAL LTD.    	COMMON           758110100    3785    354100 SH       DEFINED 02     251200        0   102900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 189
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D REEBOK INTERNATIONAL LTD.    	COMMON           758110100       2       200 SH       DEFINED 05        200        0        0
D REEBOK INTERNATIONAL LTD.    	COMMON           758110100       6       600 SH       DEFINED 17        600        0        0
D REGAL-BELOIT CORP.           	COMMON           758750103     286     13800 SH       DEFINED 02          0        0    13800
D REGENERON PHARMACEUTICALS, IN	COMMON           75886F107     210     25800 SH       DEFINED 02          0        0    25800
D REGIS CORP MINN              	COMMON           758932107    1766     91750 SH       DEFINED 01      91750        0        0
D REGIS CORP MINN              	COMMON           758932107    2740    142350 SH       DEFINED 02      83950        0    58400
D REGENCY REALTY CORPORATION   	COMMON           758939102   15251    726261 SH       DEFINED 01     726261        0        0
D REGENCY REALTY CORPORATION   	COMMON           758939102    4584    218300 SH       DEFINED 02     199600        0    18700
D REGIONS FINANCIAL CORP.      	COMMON           758940100   15311    510350 SH       DEFINED 01     402370        0   107980
D REGIONS FINANCIAL CORP.      	COMMON           758940100      39      1300 SH       OTHER   01       1300        0        0
D REGIONS FINANCIAL CORP.      	COMMON           758940100   22586    752850 SH       DEFINED 02     489050        0   263800
D REGIONS FINANCIAL CORP.      	COMMON           758940100      13       433 SH       DEFINED 16        433        0        0
D REGIONS FINANCIAL CORP.      	COMMON           758940100      72      2400 SH       DEFINED 17       2400        0        0
D REGISTRY MAGIC INCORPORATED  	COMMON           75913K103     295    115000 SH       DEFINED 01          0        0   115000
D RELIANCE STEEL & ALUMINUM CO.	COMMON           759509102     302     14400 SH       DEFINED 02          0        0    14400
D RELIANT ENERGY INC           	COMMON           75952J108   13568    501340 SH       DEFINED 01     271800        0   229540
D RELIANT ENERGY INC           	COMMON           75952J108     363     13400 SH       OTHER   01          0    13400        0
D RELIANT ENERGY INC           	COMMON           75952J108   17207    635800 SH       DEFINED 02     284100        0   351700
D RELIANT ENERGY INC           	COMMON           75952J108      81      3000 SH       DEFINED 05          0        0     3000
D RELIANT ENERGY INC           	COMMON           75952J108      87      3200 SH       DEFINED 17       3200        0        0
D RELIASTAR FINANCIAL CORP.    	COMMON           75952U103    3347    100650 SH       DEFINED 01        650        0   100000
D RELIASTAR FINANCIAL CORP.    	COMMON           75952U103     662     19900 SH       DEFINED 02          0        0    19900
D RELIASTAR FINANCIAL CORP.    	COMMON           75952U103       1        33 SH       DEFINED 16         33        0        0
D RELIASTAR FINANCIAL CORP.    	COMMON           75952U103     599     18000 SH       DEFINED 17      18000        0        0
D REMEC INC                    	COMMON           759543101     294     21400 SH       DEFINED 02          0        0    21400
D REMEDY CORP.                 	COMMON           759548100    1986     70000 SH       DEFINED 01      70000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 190
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D REMEDY CORP.                 	COMMON           759548100     411     14500 SH       DEFINED 02      13000        0     1500
D RENAL CARE GROUP, INC.       	COMMON           759930100    1593     72700 SH       DEFINED 01      72700        0        0
D RENAL CARE GROUP, INC.       	COMMON           759930100     366     16700 SH       DEFINED 02      16700        0        0
D RENT-WAY, INC.               	COMMON           76009U104     122      6400 SH       DEFINED 01       6400        0        0
D RENT-WAY, INC.               	COMMON           76009U104     106      5563 SH       DEFINED 02       2800        0     2763
D REPSOL S A ADR               	COMMON           76026T205     510     25587 SH       DEFINED 01       6450        0    19137
D REPSOL S A ADR               	COMMON           76026T205     179      9000 SH       OTHER   01          0     9000        0
D REPSOL S A ADR               	COMMON           76026T205      60      3000 SH       DEFINED 05          0        0     3000
D REPSOL S A ADR               	COMMON           76026T205     163      8200 SH       DEFINED 17       8200        0        0
D REPUBLIC BANCORP, INC.       	COMMON           760282103     146     12600 SH       DEFINED 01      12600        0        0
D REPUBLIC BANCORP, INC.       	COMMON           760282103     449     38800 SH       DEFINED 02      21900        0    16900
D REPUBLIC NEW YORK CORP.      	COMMON           760719104     430      7000 SH       DEFINED 01       5400        0     1600
D REPUBLIC NEW YORK CORP.      	COMMON           760719104    1634     26602 SH       DEFINED 02          2        0    26600
D REPUBLIC NEW YORK CORP.      	COMMON           760719104      61      1000 SH       DEFINED 16       1000        0        0
D REPUBLIC NEW YORK CORP.      	COMMON           760719104      68      1100 SH       DEFINED 17       1100        0        0
D REPUBLIC SECURITY FINL CORP  	COMMON           760758102    2706    311500 SH       DEFINED 01     311500        0        0
D REPUBLIC SECURITY FINL CORP  	COMMON           760758102    3059    352100 SH       DEFINED 02     279200        0    72900
D REPUBLIC SVCS INC            	COMMON           760759100    3638    334500 SH       DEFINED 01     230800        0   103700
D REPUBLIC SVCS INC            	COMMON           760759100   40490   3723200 SH       DEFINED 02    2905100        0   818100
D RESMED INC.                  	COMMON           761152107    3614    109100 SH       DEFINED 01     109100        0        0
D RESMED INC.                  	COMMON           761152107    4515    136300 SH       DEFINED 02     104000        0    32300
D RESOURCE AMERICA INC CLASS A 	COMMON           761195205     440     59200 SH       DEFINED 01      59200        0        0
D RESOURCE AMERICA INC CLASS A 	COMMON           761195205     176     23700 SH       DEFINED 02      16400        0     7300
D RESPIRONICS, INC.            	COMMON           761230101    1004    121700 SH       DEFINED 01      93600        0    28100
D RESPIRONICS, INC.            	COMMON           761230101     121     14628 SH       DEFINED 02       7300        0     7328
D RESPIRONICS, INC.            	COMMON           761230101       8      1000 SH       DEFINED 05          0        0     1000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 191
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D REUTERS GROUP                	COMMON           76132M102     689     10000 SH       DEFINED 17      10000        0        0
D REUTERS GROUP PLC            	COMMON           76132M102    1800     26138 SH       DEFINED 01      16346        0     9792
D REUTERS GROUP PLC            	COMMON           76132M102    2987     43375 SH       OTHER   01      10399    32976        0
D REUTERS GROUP PLC            	COMMON           76132M102     905     13139 SH       DEFINED 05       6033        0     7106
D REUTERS GROUP PLC            	COMMON           76132M102      60       866 SH       OTHER   05          0      866        0
D REYNOLDS & REYNOLDS CO. CLASS	COMMON           761695105    1231     60400 SH       DEFINED 01      60400        0        0
D REYNOLDS & REYNOLDS CO. CLASS	COMMON           761695105    1159     56900 SH       DEFINED 02       2600        0    54300
D REYNOLDS METALS CO.          	COMMON           761763101   12769    211500 SH       DEFINED 01     160000        0    51500
D REYNOLDS METALS CO.          	COMMON           761763101     169      2800 SH       OTHER   01       2100      700        0
D REYNOLDS METALS CO.          	COMMON           761763101   27718    459100 SH       DEFINED 02     330400        0   128700
D REYNOLDS METALS CO.          	COMMON           761763101      42       700 SH       DEFINED 17        700        0        0
D REYNOLDS R J TOB HLDGS INC   	COMMON           76182K105    1083     40100 SH       DEFINED 01      40100        0        0
D REYNOLDS R J TOB HLDGS INC   	COMMON           76182K105       8       285 SH       OTHER   01        285        0        0
D REYNOLDS R J TOB HLDGS INC   	COMMON           76182K105     189      7000 SH       DEFINED 02       2100        0     4900
D REYNOLDS R J TOB HLDGS INC   	COMMON           76182K105     477     17666 SH       DEFINED 17      17666        0        0
D RHONE POULEN                 	COMMON           762426609    3794     73580 SH       DEFINED 17      73580        0        0
D RHYTHMS NETCONNECTIONS INC   	COMMON           762430205    1325     38400 SH       DEFINED 01      38400        0        0
D RHYTHMS NETCONNECTIONS INC   	COMMON           762430205     238      6900 SH       DEFINED 02       1700        0     5200
D RIBOZYME PHARMACEUTICALS, INC	COMMON           762567105     140     27915 SH       DEFINED 19      27915        0        0
D RICHMOND COUNTY FINL CORP    	COMMON           764556106     734     39000 SH       OTHER   01          0    39000        0
D RITE AID CORP                	COMMON           767754104       0     12700 SH       DEFINED 16      12700        0        0
D RITE AID CORP.               	COMMON           767754104     192     13900 SH       DEFINED 01       3600        0    10300
D RITE AID CORP.               	COMMON           767754104     430     31100 SH       OTHER   01      14000    17100        0
D RITE AID CORP.               	COMMON           767754104      95      6890 SH       DEFINED 02          0        0     6890
D RITE AID CORP.               	COMMON           767754104     233     16902 SH       OTHER   05          0    16902        0
D RITE AID CORP.               	COMMON           767754104    1575    114000 SH       DEFINED 06     114000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 192
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D RITE AID CORP.               	COMMON           767754104      39      2800 SH       DEFINED 17       2800        0        0
D ROADWAY EXPRESS, INC.        	COMMON           769742107     327     16200 SH       DEFINED 02       2600        0    13600
D ROANOKE ELECTRIC STEEL CORP. 	COMMON           769841107     360     20550 SH       DEFINED 02          0        0    20550
D ROBERT HALF                  	COMMON           770323103       1        30 SH       DEFINED 16         30        0        0
D ROBERT HALF INTERNATIONAL,INC	COMMON           770323103    1038     43700 SH       DEFINED 01      43700        0        0
D ROBERT HALF INTERNATIONAL,INC	COMMON           770323103    1059     44600 SH       DEFINED 02       1900        0    42700
D ROBERT HALF INTERNATIONAL,INC	COMMON           770323103    3019    127100 SH       DEFINED 17     127100        0        0
D ROBERT HALF INTERNATIONAL,INC	COMMON           770323103    8906    375000 SH       DEFINED 18     375000        0        0
D ROBERTS PHARMACEUTICAL CORP. 	COMMON           770491108    1162     38400 SH       DEFINED 01      38400        0        0
D ROBERTS PHARMACEUTICAL CORP. 	COMMON           770491108     178      5900 SH       DEFINED 02       2800        0     3100
D ROCKWELL INTL CORP NEW       	COMMON           773903109     970     18475 SH       DEFINED 01      10175        0     8300
D ROCKWELL INTL CORP NEW       	COMMON           773903109     179      3402 SH       DEFINED 02       3402        0        0
D ROCKWELL INTL CORP NEW       	COMMON           773903109      53      1000 SH       DEFINED 05          0        0     1000
D ROCKWELL INTL CORP NEW       	COMMON           773903109     110      2100 SH       DEFINED 17       2100        0        0
D ROFIN SINAR TECHNOLOGIES INC 	COMMON           775043102     478     75000 SH       DEFINED 01          0        0    75000
D ROHM & HAAS CO.              	COMMON           775371107  179826   4977873 SH       DEFINED 01    3186810        0  1791063
D ROHM & HAAS CO.              	COMMON           775371107    3875    107265 SH       OTHER   01      53700    53565        0
D ROHM & HAAS CO.              	COMMON           775371107  527291  14596277 SH       DEFINED 02   11198355        0  3397921
D ROHM & HAAS CO.              	COMMON           775371107    1914     52973 SH       DEFINED 05      17473        0    35500
D ROHM & HAAS CO.              	COMMON           775371107      89      2459 SH       OTHER   05          0     2459        0
D ROHM & HAAS CO.              	COMMON           775371107    2352     65100 SH       OTHER   09      65100        0        0
D ROHM & HAAS CO.              	COMMON           775371107      83      2300 SH       DEFINED 17       2300        0        0
D ROLLINS TRUCK LEASING CORP.  	COMMON           775741101    1306    128975 SH       DEFINED 02       7300        0   121675
D ROMAC INTERNATIONAL, INC.    	COMMON           775835101    1011    122100 SH       DEFINED 01     122100        0        0
D ROMAC INTERNATIONAL, INC.    	COMMON           775835101     420     50700 SH       DEFINED 02      49100        0     1600
D ROSLYN BANCORP INC           	COMMON           778162107      64      3600 SH       OTHER   01          0     3600        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 193
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D ROSLYN BANCORP INC           	COMMON           778162107     299     16700 SH       DEFINED 02      16700        0        0
D ROSS STORES, INC.            	COMMON           778296103    2958    147000 SH       DEFINED 01     147000        0        0
D ROSS STORES, INC.            	COMMON           778296103     564     28000 SH       DEFINED 02       6800        0    21200
D ROSS STORES, INC.            	COMMON           778296103       1        26 SH       DEFINED 16         26        0        0
D ROUGE INDUSTRIES, INC.       	COMMON           779088103      91     12400 SH       DEFINED 02          0        0    12400
D ROUSE CO.                    	COMMON           779273101      35      1500 SH       DEFINED 01       1500        0        0
D ROWAN COMPANIES, INC.        	COMMON           779382100     839     51600 SH       DEFINED 17      51600        0        0
D ROWECOM INC                  	COMMON           77957X108    1514     54563 SH       DEFINED 01      54000        0      563
D ROWECOM INC                  	COMMON           77957X108    3435    123800 SH       DEFINED 02      92300        0    31500
D ROWECOM INC                  	COMMON           77957X108      51      1828 SH       DEFINED 16       1828        0        0
D ROYAL BK SCOTLAND GROUP PLC  	COMMON           780097408   18097    720281 SH       DEFINED 06     720281        0        0
D ROYAL DUTCH PETE CO          	COMMON           780257804  412252   6979875 SH       DEFINED 01     4522852       0  2457023
D ROYAL DUTCH PETE CO          	COMMON           780257804   67308   1139591 SH       OTHER   01      275007  864584        0
D ROYAL DUTCH PETE CO          	COMMON           780257804  498638   8442483 SH       DEFINED 02     6085183       0  2357300
D ROYAL DUTCH PETE CO          	COMMON           780257804    1772     30000 SH       OTHER   0304     30000       0        0
D ROYAL DUTCH PETE CO          	COMMON           780257804    9155    154996 SH       DEFINED 05       77596       0    77400
D ROYAL DUTCH PETE CO          	COMMON           780257804     402      6800 SH       OTHER   05        6000     800        0
D ROYAL DUTCH PETE CO          	COMMON           780257804    2534     42900 SH       OTHER   09       42900       0        0
D ROYAL DUTCH PETE CO          	COMMON           780257804    1364     23100 SH       DEFINED 17       23100       0        0
D RUBY TUESDAY, INC.           	COMMON           781182100     518     26576 SH       DEFINED 01       18900       0     7676
D RUBY TUESDAY, INC.           	COMMON           781182100     220     11300 SH       DEFINED 02       11300       0        0
D RUDDICK CORP.                	COMMON           781258108    2916    183680 SH       DEFINED 01           0       0   183680
D RUDDICK CORP.                	COMMON           781258108      79      5000 SH       DEFINED 02           0       0     5000
D RURAL/METRO CORPORATION      	COMMON           781748108      71     10700 SH       DEFINED 02           0       0    10700
D RYAN'S FAMILY STEAK HOUSE,INC	COMMON           783519101     536     59500 SH       DEFINED 01       59500       0        0
D RYAN'S FAMILY STEAK HOUSE,INC	COMMON           783519101    1092    121300 SH       DEFINED 02       21900       0    99400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 194
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D RYDER SYSTEM, INC.           	COMMON           783549108    7437    365000 SH       DEFINED 01     308300        0    56700
D RYDER SYSTEM, INC.           	COMMON           783549108      12       600 SH       OTHER   01        600        0        0
D RYDER SYSTEM, INC.           	COMMON           783549108   16828    825890 SH       DEFINED 02     566890        0   259000
D RYDER SYSTEM, INC.           	COMMON           783549108      16       800 SH       DEFINED 17        800        0        0
D RYERSON TULL INC NEW         	COMMON           78375P107     285     12328 SH       DEFINED 02       4100        0     8228
D RYLAND GROUP, INC.           	COMMON           783764103     414     18200 SH       DEFINED 01      18200        0        0
D RYLAND GROUP, INC.           	COMMON           783764103     309     13600 SH       DEFINED 02      13600        0        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103  396555   7765991 SH       DEFINED 01    5046090        0  2719901
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103   25642    502160 SH       OTHER   01     129608   372552        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103  840452  16459128 SH       DEFINED 02   11209705        0  5249423
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103    2043     40000 SH       OTHER   0304    40000        0        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103    3657     71626 SH       DEFINED 05      18236        0    53390
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103     531     10404 SH       OTHER   05       2800     7604        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103    1598     31300 SH       DEFINED 06      31300        0        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103    3073     60175 SH       OTHER   09      60175        0        0
D SBC COMMUNICATIONS, INC.     	COMMON           78387G103    1147     22464 SH       DEFINED 17      22464        0        0
D SBC COMMUNICATIONS 7.75% 03/1	PREF-CONV        78387G202   14514    231300 PRN      DEFINED 16
D SDL, INC.                    	COMMON           784076101   10340    135500 SH       DEFINED 01     135500        0        0
D SDL, INC.                    	COMMON           784076101   12630    165500 SH       DEFINED 02     103100        0    62400
D SEI CORP.                    	COMMON           784117103       9       100 SH       DEFINED 01        100        0        0
D SEI CORP.                    	COMMON           784117103    1000     11200 SH       DEFINED 02          0        0    11200
D SEMCO ENERGY INC             	COMMON           78412D109     183     13100 SH       DEFINED 02          0        0    13100
D SFX ENTERTAINMENT, INC.      	COMMON           784178105     551     18000 SH       DEFINED 01      18000        0        0
D SFX ENTERTAINMENT, INC.      	COMMON           784178105     669     21850 SH       DEFINED 02        800        0    21050
D SLM HLDG CORP                	COMMON           78442A109     774     18000 SH       DEFINED 02          0        0    18000
D SLM HLDG CORP                	COMMON           78442A109      77      1800 SH       DEFINED 17       1800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 195
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SPS TECHNOLOGIES, INC.       	COMMON           784626103     334      8800 SH       DEFINED 02       5800        0     3000
D SPDR TR                      	COMMON           78462F103    3116     24200 SH       DEFINED 02      24200        0        0
D SPX CORP.                    	COMMON           784635104    3014     33212 SH       DEFINED 01      27200        0     6012
D SPX CORP.                    	COMMON           784635104     408      4500 SH       DEFINED 02       1100        0     3400
D S3, INC.                     	COMMON           784849101       7       700 SH       DEFINED 01        700        0        0
D S3, INC.                     	COMMON           784849101     233     22300 SH       DEFINED 02       6200        0    16100
D SAFECO CORP.                 	COMMON           786429100    5879    209960 SH       DEFINED 01     128160        0    81800
D SAFECO CORP.                 	COMMON           786429100    8486    303056 SH       DEFINED 02     130856        0   172200
D SAFECO CORP.                 	COMMON           786429100      36      1299 SH       DEFINED 16       1299        0        0
D SAFECO CORP.                 	COMMON           786429100      42      1500 SH       DEFINED 17       1500        0        0
D SAFEGUARD SCIENTIFICS, INC.  	COMMON           786449108    6156     90525 SH       DEFINED 01      65000        0    25525
D SAFEGUARD SCIENTIFICS, INC.  	COMMON           786449108     850     12500 SH       DEFINED 02       2200        0    10300
D SAFEGUARD SCIENTIFICS, INC.  	COMMON           786449108      68      1000 SH       DEFINED 05          0        0     1000
D SAFESCIENCE INC              	COMMON           786452102     637     40155 SH       DEFINED 01      11100        0    29055
D SAFESCIENCE INC              	COMMON           786452102      35      2200 SH       DEFINED 02       2200        0        0
D SAFESKIN CORP.               	COMMON           786454108     348     42300 SH       DEFINED 01      42300        0        0
D SAFESKIN CORP.               	COMMON           786454108      84     10200 SH       DEFINED 02      10200        0        0
D SAFETY-KLEEN CORP NEW        	COMMON           78648R203     472     39100 SH       DEFINED 01      39100        0        0
D SAFETY-KLEEN CORP NEW        	COMMON           78648R203      77      6350 SH       DEFINED 02       1700        0     4650
D SAFEWAY INC                  	COMMON           786514208       7       188 SH       DEFINED 16        188        0        0
D SAFEWAY, INC.                	COMMON           786514208   97851   2570770 SH       DEFINED 01    1761510        0   809260
D SAFEWAY, INC.                	COMMON           786514208    2112     55490 SH       OTHER   01      11740     43750       0
D SAFEWAY, INC.                	COMMON           786514208  283231   7441105 SH       DEFINED 02     781446        0  1659658
D SAFEWAY, INC.                	COMMON           786514208    2227     58500 SH       DEFINED 05      16500        0    42000
D SAFEWAY, INC.                	COMMON           786514208      38      1000 SH       OTHER   05          0     1000        0
D SAFEWAY, INC.                	COMMON           786514208     400     10500 SH       DEFINED 06      10500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 196
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SAFEWAY, INC.                	COMMON           786514208     609     16000 SH       OTHER   09      16000        0        0
D SAFEWAY, INC.                	COMMON           786514208  224222   5890800 SH       DEFINED 17    5890800        0        0
D SAGENT TECHNOLOGY INC        	COMMON           786693101     501     53100 SH       DEFINED 01      53100        0        0
D SAGENT TECHNOLOGY INC        	COMMON           786693101      96     10200 SH       DEFINED 02      10200        0        0
D ST. JUDE MEDICAL, INC.       	COMMON           790849103    4221    134100 SH       DEFINED 01      78500        0    55600
D ST. JUDE MEDICAL, INC.       	COMMON           790849103       3       100 SH       OTHER   01        100        0        0
D ST. JUDE MEDICAL, INC.       	COMMON           790849103    5609    178070 SH       DEFINED 02      95370        0    82700
D ST. JUDE MEDICAL, INC.       	COMMON           790849103      28       900 SH       DEFINED 17        900        0        0
D ST. PAUL BANCORP, INC.       	COMMON           792848103     759     33187 SH       DEFINED 02          0        0    33187
D ST. PAUL CAPITAL 6% CV. PFD. 	PREF-CONV        792856205    4758     87000 PRN      DEFINED 01
D ST. PAUL CAPITAL 6% CV. PFD. 	PREF-CONV        792856205    2734     50000 PRN      DEFINED 02
D ST. PAUL COMPANIES, INC.     	COMMON           792860108   12421    451664 SH       DEFINED 01     313900        0   137764
D ST. PAUL COMPANIES, INC.     	COMMON           792860108      15       536 SH       OTHER   01          0      536        0
D ST. PAUL COMPANIES, INC.     	COMMON           792860108   25407    923902 SH       DEFINED 02     522202        0   401700
D ST. PAUL COMPANIES, INC.     	COMMON           792860108      69      2500 SH       DEFINED 17       2500        0        0
D SAKS INCORPORATION           	COMMON           79377W108     117      7700 SH       DEFINED 02          0        0     7700
D SALESLOGIX CORP              	COMMON           79466P105    6106    305275 SH       DEFINED 01     215850        0    89425
D SALESLOGIX CORP              	COMMON           79466P105     245     12250 SH       DEFINED 02       7500        0     4750
D SALESLOGIX CORP              	COMMON           79466P105      66      3300 SH       DEFINED 05          0        0     3300
D SALISBURY BANCORP INC        	COMMON           795226109     380     19248 SH       DEFINED 01          0        0    19248
D SALTON/MAXIM HOUSEWARES, INC.	COMMON           795757103    1404     45300 SH       DEFINED 01      45300        0        0
D SALTON/MAXIM HOUSEWARES, INC.	COMMON           795757103     251      8100 SH       DEFINED 02       8100        0        0
D SANCHEZ COMPUTER ASSOCS INC  	COMMON           799702105    3604    102600 SH       DEFINED 01     102600        0        0
D SANCHEZ COMPUTER ASSOCS INC  	COMMON           799702105    8476    241300 SH       DEFINED 02     178300        0    63000
D SANDISK CORP.                	COMMON           80004C101   10268    157550 SH       DEFINED 01     114100        0    43450
D SANDISK CORP.                	COMMON           80004C101     548      8400 SH       DEFINED 02       5300        0     3100

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 197
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SANDISK CORP.                	COMMON           80004C101     104      1600 SH       DEFINED 05          0        0     1600
D SANDISK CORP.                	COMMON           80004C101     347      5323 SH       DEFINED 16       5323        0        0
D SANGSTAT MEDICAL CORP.       	COMMON           801003104   19079    892600 SH       DEFINED 01     716900        0   175700
D SANGSTAT MEDICAL CORP.       	COMMON           801003104   15272    714500 SH       DEFINED 02     503900        0   210600
D SANGSTAT MEDICAL CORP.       	COMMON           801003104     139      6500 SH       DEFINED 05          0        0     6500
D SANTA FE SNYDER CORP         	COMMON           80218K105     670     74400 SH       DEFINED 01      74400        0        0
D SANTA FE SNYDER CORP         	COMMON           80218K105     576     64020 SH       DEFINED 02       4300        0    59720
D SANTA FE SNYDER CORP         	COMMON           80218K105    3329    369900 SH       DEFINED 17     369900        0        0
D SAPIENT CORP.                	COMMON           803062108    4797     50900 SH       DEFINED 01      50900        0        0
D SAPIENT CORP.                	COMMON           803062108     980     10400 SH       DEFINED 02       2300        0     8100
D SARA LEE CORP.               	COMMON           803111103   47685   2039980 SH       DEFINED 01    1486600        0   553380
D SARA LEE CORP.               	COMMON           803111103    3573    152850 SH       OTHER   01      62500    90350        0
D SARA LEE CORP.               	COMMON           803111103   69349   2966820 SH       DEFINED 02    1637120        0  1329700
D SARA LEE CORP.               	COMMON           803111103     666     28488 SH       DEFINED 05          0        0    28488
D SARA LEE CORP.               	COMMON           803111103       6       256 SH       DEFINED 16        256        0        0
D SARA LEE CORP.               	COMMON           803111103     229      9800 SH       DEFINED 17       9800        0        0
D SAUER INC                    	COMMON           804137107     667     54700 SH       DEFINED 01      54700        0        0
D SAUER INC                    	COMMON           804137107     167     13700 SH       DEFINED 02      13700        0        0
D SAVILLE SYSTEMS PLC          	COMMON           805174109    1175     80000 SH       DEFINED 01      80000        0        0
D SAVILLE SYSTEMS PLC          	COMMON           805174109    2399    163300 SH       DEFINED 16     163300        0        0
D SAWTEK INC                   	COMMON           805468105     616     17600 SH       DEFINED 02          0        0    17600
D SBARRO, INC.                 	COMMON           805844107       0     15350 SH       DEFINED 02       2600        0    12750
D SCHERING-PLOUGH CORP.        	COMMON           806605101  124088   2844413 SH       DEFINED 01     800641        0  2043772
D SCHERING-PLOUGH CORP.        	COMMON           806605101    8765    200925 SH       OTHER   01     133925    67000        0
D SCHERING-PLOUGH CORP.        	COMMON           806605101   73102   1675700 SH       DEFINED 02    1019300        0   656400
D SCHERING-PLOUGH CORP.        	COMMON           806605101    2954     67709 SH       DEFINED 05      52059        0    15650

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 198
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SCHERING-PLOUGH CORP.        	COMMON           806605101     873     20000 SH       OTHER   05       8800     11200       0
D SCHERING-PLOUGH CORP.        	COMMON           806605101     524     12000 SH       DEFINED 06      12000        0        0
D SCHERING-PLOUGH CORP.        	COMMON           806605101      18       409 SH       DEFINED 16        409        0        0
D SCHERING-PLOUGH CORP.        	COMMON           806605101    2783     63800 SH       DEFINED 17      63800        0        0
D SCHLUMBERGER LTD.            	COMMON           806857108   17415    279470 SH       DEFINED 01     136234        0   143236
D SCHLUMBERGER LTD.            	COMMON           806857108   15232    244440 SH       OTHER   01      78172   166268        0
D SCHLUMBERGER LTD.            	COMMON           806857108    1026     16458 SH       DEFINED 05       8000        0     8458
D SCHLUMBERGER LTD.            	COMMON           806857108     125      2000 SH       OTHER   05          0     2000        0
D SCHLUMBERGER LTD.            	COMMON           806857108      17       277 SH       DEFINED 16        277        0        0
D SCHLUMBERGER LTD.            	COMMON           806857108    5621     90210 SH       DEFINED 17      90210        0        0
D SCHNITZER STEEL INDUSTRIES,IN	COMMON           806882106    2298    125900 SH       DEFINED 01     125900        0        0
D SCHNITZER STEEL INDUSTRIES,IN	COMMON           806882106    5196    284700 SH       DEFINED 02     197700        0    87000
D SCHOLASTIC CORP.             	COMMON           807066105    6358    127150 SH       DEFINED 01      89350        0    37800
D SCHOLASTIC CORP.             	COMMON           807066105     270      5400 SH       DEFINED 02       3300        0     2100
D SCHOLASTIC CORP.             	COMMON           807066105      70      1400 SH       DEFINED 05          0        0     1400
D SCHOOL SPECIALTY INC         	COMMON           807863105    3148    186526 SH       DEFINED 01     186100        0      426
D SCHOOL SPECIALTY INC         	COMMON           807863105    7609    450900 SH       DEFINED 02     337800        0   113100
D SCHWAB (CHARLES) CORP.       	COMMON           808513105   47141   1409808 SH       DEFINED 01     812576        0   597232
D SCHWAB (CHARLES) CORP.       	COMMON           808513105   20471    612220 SH       OTHER   01      24300   587920        0
D SCHWAB (CHARLES) CORP.       	COMMON           808513105     298      8900 SH       DEFINED 17       8900        0        0
D SCIENTIFIC ATLANTA, INC.     	COMMON           808655104    2607     52600 SH       DEFINED 01      30600        0    22000
D SCIENTIFIC ATLANTA, INC.     	COMMON           808655104    1066     21500 SH       DEFINED 02       1200        0    20300
D SCIENTIFIC ATLANTA, INC.     	COMMON           808655104      40       800 SH       DEFINED 17        800        0        0
D SCIOS-NOVA, INC.             	COMMON           808905103       4      1000 SH       DEFINED 01       1000        0        0
D SCIOS-NOVA, INC.             	COMMON           808905103      95     25700 SH       DEFINED 02          0        0    25700
D SCOR SA ADSS                 	COMMON           80917Q106    2652     54600 SH       DEFINED 17      54600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 199
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SCOTT TECHNOLOGIES INC       	COMMON           810022301     359     18200 SH       DEFINED 02          0        0    18200
D SCOTTS CO. CLASS A           	COMMON           810186106     305      8800 SH       DEFINED 02          0        0     8800
D SCRIPPS E W CO OHIO          	COMMON           811054204     906     18450 SH       DEFINED 02          0        0    18450
D SEACHANGE INTL INC           	COMMON           811699107    1286     81000 SH       DEFINED 01      81000        0        0
D SEACHANGE INTL INC           	COMMON           811699107    2929    184500 SH       DEFINED 02     137400        0    47100
D SEACOAST FINL SVCS CORP      	COMMON           81170Q106     747     74700 SH       DEFINED 02          0        0    74700
D SEAGATE TECHNOLOGY, INC.     	COMMON           811804103   15033    490883 SH       DEFINED 01     365700        0   125183
D SEAGATE TECHNOLOGY, INC.     	COMMON           811804103      43      1400 SH       OTHER   01       1400        0        0
D SEAGATE TECHNOLOGY, INC.     	COMMON           811804103   67319   2198169 SH       DEFINED 02    1361944        0   836224
D SEAGATE TECHNOLOGY, INC.     	COMMON           811804103      74      2400 SH       DEFINED 17       2400        0        0
D SEAGRAM LTD.                 	COMMON           811850106  213100   4683509 SH       DEFINED 01    3585525        0  1097984
D SEAGRAM LTD.                 	COMMON           811850106    2895     63621 SH       OTHER   01      21705    41916        0
D SEAGRAM LTD.                 	COMMON           811850106  405692   8916306 SH       DEFINED 02    6772806        0  2143500
D SEAGRAM LTD.                 	COMMON           811850106    1957     43000 SH       OTHER   0304    43000        0        0
D SEAGRAM LTD.                 	COMMON           811850106    1160     25500 SH       DEFINED 05       6000        0    19500
D SEAGRAM LTD.                 	COMMON           811850106    1974     43375 SH       OTHER   09      43375        0        0
D SEAGRAM LTD.                 	COMMON           811850106     214      4700 SH       DEFINED 17       4700        0        0
D SEAGRAM LTD                  	PREF-CONV        811850205    5201    112000 PRN      DEFINED 01
D SEAGRAM LTD                  	PREF-CONV        811850205   55795   1201500 PRN      DEFINED 02
D SEACOR HOLDINGS, INC.        	COMMON           811904101     369      7200 SH       DEFINED 01       7200        0        0
D SEACOR HOLDINGS, INC.        	COMMON           811904101     466      9100 SH       DEFINED 02       2700        0     6400
D SEALED AIR CORPORATION       	COMMON           81211K100     419      8160 SH       DEFINED 01       1600        0     6560
D SEALED AIR CORPORATION       	COMMON           81211K100      96      1876 SH       OTHER   01          0     1876        0
D SEALED AIR CORPORATION       	COMMON           81211K100      46       900 SH       DEFINED 17        900        0        0
D SEALED AIR                   	COMMON           81211K209    1269     25000 SH       DEFINED 16      25000        0        0
D SEALED AIR CORP NEW $2 04/01/	PREF-CONV        81211K209     241      4750 PRN      DEFINED 01

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 200
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SEALED AIR CORP NEW $2 04/01/	PREF-CONV        81211K209      84      1662 PRN      OTHER   01
D SEARS ROEBUCK & CO.          	COMMON           812387108   60844   1939260 SH       DEFINED 01    1339040        0   600220
D SEARS ROEBUCK & CO.          	COMMON           812387108    1268     40402 SH       OTHER   01      14802     25600       0
D SEARS ROEBUCK & CO.          	COMMON           812387108  133596   4258050 SH       DEFINED 02    2855749        0  1402300
D SEARS ROEBUCK & CO.          	COMMON           812387108    1035     33000 SH       OTHER   0304    33000        0        0
D SEARS ROEBUCK & CO.          	COMMON           812387108      45      1425 SH       DEFINED 05       1425        0        0
D SEARS ROEBUCK & CO.          	COMMON           812387108     132      4200 SH       DEFINED 17       4200        0        0
D SEATTLE FILMWORKS, INC.      	COMMON           812572105      95     23287 SH       DEFINED 02          0        0    23287
D SECURE COMPUTING CORPORATION 	COMMON           813705100      63     20100 SH       DEFINED 02          0        0    20100
D SECURITY CAP U S RLTY        	COMMON           814136206    7925    434253 SH       DEFINED 17     434253        0        0
D SECURITY CAPITAL GROUP INCORP	COMMON           81413P105    6834      9426 SH       DEFINED 01       9426        0        0
D SECURITY CAPITAL GROUP INCORP	COMMON           81413P204   16514   1124350 SH       DEFINED 01    1124350        0        0
D SECURITY CAPITAL GROUP INCORP	COMMON           81413P204      82      5600 SH       DEFINED 02       5600        0        0
D SECURITY FIRST TECHNOLOGIES  	COMMON           814279105     906     23300 SH       DEFINED 01      23300        0        0
D SECURITY FIRST TECHNOLOGIES  	COMMON           814279105     167      4300 SH       DEFINED 02       4300        0        0
D SEITEL, INC.                 	COMMON           816074306     688     70600 SH       DEFINED 01      70600        0        0
D SEITEL, INC.                 	COMMON           816074306     323     33176 SH       DEFINED 02      32300        0      876
D SELECTIVE INSURANCE GROUP,INC	COMMON           816300107    1423     75400 SH       DEFINED 02      10200        0    65200
D SEMTECH CORP                 	COMMON           816850101     234      6400 SH       DEFINED 02        400        0     6000
D SENSORMATIC ELECTRONICS CORP.	COMMON           817265101    4050    319200 SH       DEFINED 01     166500        0   152700
D SENSORMATIC ELECTRONICS CORP.	COMMON           817265101       9       700 SH       OTHER   01        700        0        0
D SENSORMATIC ELECTRONICS CORP.	COMMON           817265101   15563   1226600 SH       DEFINED 02    1161100        0    65500
D SEPRACOR, INC.               	COMMON           817315104      53       700 SH       DEFINED 01          0        0      700
D SEPRACOR, INC.               	COMMON           817315104    1133     15000 SH       DEFINED 02          0        0    15000
D SEPRACOR INC                 	BOND             817315AF1       0   7500000 PRN      DEFINED 16
D SEQUA CORPORATION CLASS A    	COMMON           817320104     328     5200 SH        DEFINED 02        300        0     4900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 201
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SEQUENT COMPUTER SYSTEMS,INC.	COMMON           817338106       0    166990 SH       DEFINED 16     166990        0        0
D SERENA SOFTWARE INC          	COMMON           817492101     366     21400 SH       DEFINED 01      21400        0        0
D SERENA SOFTWARE INC          	COMMON           817492101      87      5100 SH       DEFINED 02       5100        0        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104   60769   5753052 SH       DEFINED 01    3539725        0  2213327
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104    2972    281391 SH       OTHER   01     158930   122461        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104  139506  13207008 SH       DEFINED 02    9649207        0  3557800
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104     475     45000 SH       OTHER   0304    45000        0        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104      58      5500 SH       DEFINED 05       5500        0        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104      19      1800 SH       OTHER   05          0     1800        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104     806     76325 SH       OTHER   09      76325        0        0
D SERVICE CORP. INTERNATIONAL  	COMMON           817565104     824     78000 SH       DEFINED 17      78000        0        0
D SERVICE EXPERTS, INC.        	COMMON           817567100     827     79700 SH       DEFINED 01      79700        0        0
D SERVICE EXPERTS, INC.        	COMMON           817567100     160     15400 SH       DEFINED 02      15400        0        0
D SERVICEMASTER CO             	COMMON           81760N109    1728    107600 SH       DEFINED 01     107600        0        0
D SERVICEMASTER CO             	COMMON           81760N109      16      1000 SH       OTHER   01          0     1000        0
D SHARED MEDICAL SYSTEMS CORP. 	COMMON           819486101     117      2500 SH       DEFINED 01        300        0     2200
D SHARED MEDICAL SYSTEMS CORP. 	COMMON           819486101     299      6400 SH       DEFINED 02          0        0     6400
D SHARED MEDICAL SYSTEMS CORP. 	COMMON           819486101      14       300 SH       DEFINED 17        300        0        0
D SHAW GROUP, INC.             	COMMON           820280105    2715    121000 SH       DEFINED 01     121000        0        0
D SHAW GROUP, INC.             	COMMON           820280105    6747    300700 SH       DEFINED 02     228000        0    72700
D SHAW INDUSTRIES, INC.        	COMMON           820286102    1907    120100 SH       DEFINED 01     120100        0        0
D SHAW INDUSTRIES, INC.        	COMMON           820286102     324     20400 SH       DEFINED 02       5800        0    14600
D SHAW COMMUNICATIONS INC      	COMMON           82028K200    5513    200000 SH       OTHER   01          0   200000        0
D SHELL TRANSPORT & TRADING CO.	COMMON           822703609   15984    351295 SH       DEFINED 01     291545        0    59750
D SHELL TRANSPORT & TRADING CO.	COMMON           822703609    1588     34900 SH       OTHER   01       6400    28500        0
D SHELL TRANSPORT & TRADING CO.	COMMON           822703609   22932    504000 SH       DEFINED 02     376800        0   127200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 202
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SHELL TRANSPORT & TRADING CO.	COMMON           822703609    2503     55000 SH       OTHER   0304    55000        0        0
D SHELL TRANSPORT & TRADING CO.	COMMON           822703609      31       690 SH       DEFINED 05          0        0      690
D SHERWIN WILLIAMS             	COMMON           824348106       1        45 SH       DEFINED 16         45        0        0
D SHERWIN-WILLIAMS CO.         	COMMON           824348106    7222    344900 SH       DEFINED 01     261000        0    83900
D SHERWIN-WILLIAMS CO.         	COMMON           824348106     105      5000 SH       OTHER   01          0     5000        0
D SHERWIN-WILLIAMS CO.         	COMMON           824348106   12818    612184 SH       DEFINED 02     378684        0   233500
D SHERWIN-WILLIAMS CO.         	COMMON           824348106      17       800 SH       DEFINED 05        800        0        0
D SHERWIN-WILLIAMS CO.         	COMMON           824348106      40      1900 SH       DEFINED 17       1900        0        0
D SHIRE PHARM                  	COMMON           82481R106     964     33110 SH       DEFINED 17      33100        0        0
D SHOE CARNIVAL INC            	COMMON           824889109     145     13100 SH       DEFINED 01      13100        0        0
D SHOE CARNIVAL INC            	COMMON           824889109     306     27700 SH       DEFINED 02      20200        0     7500
D SHOPKO STORES, INC.          	COMMON           824911101    2221     76600 SH       DEFINED 01      76600        0        0
D SHOPKO STORES, INC.          	COMMON           824911101    1453     50100 SH       DEFINED 02      43300        0     6800
D SHOREWOOD PACKAGING CORP.    	COMMON           825229107     141     10400 SH       DEFINED 02       5000        0     5400
D SHURGARD STORAGE CENTERS,INC.	COMMON           82567D104     312     12600 SH       DEFINED 02          0        0    12600
D SICOR INC                    	COMMON           825846108     502    126451 SH       DEFINED 01     124351        0     2100
D SICOR INC                    	COMMON           825846108     180     45457 SH       DEFINED 02      41529        0     3928
D SIEBEL SYSTEMS, INC.         	COMMON           826170102    2845     42700 SH       DEFINED 01      42700        0        0
D SIEBEL SYSTEMS, INC.         	COMMON           826170102     510      7656 SH       DEFINED 02       1900        0     5756
D SIEBEL SYSTEMS, INC.         	COMMON           826170102    1352     20299 SH       DEFINED 16      20299        0        0
D SIERRA HEALTH SERVICES, INC. 	COMMON           826322109    1182    116700 SH       DEFINED 01     116700        0        0
D SIERRA HEALTH SERVICES, INC. 	COMMON           826322109     371     36600 SH       DEFINED 02      27900        0     8700
D SIERRA PAC RES NEW           	COMMON           826428104     296     13300 SH       DEFINED 01      13300        0        0
D SIERRA PAC RES NEW           	COMMON           826428104     136      6100 SH       DEFINED 02       6100        0        0
D SIGMA-ALDRICH CORP.          	COMMON           826552101    1280     40300 SH       OTHER   01          0    40300        0
D SIGMA-ALDRICH CORP.          	COMMON           826552101      73      2300 SH       DEFINED 02          0        0     2300

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 203
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SIGMA-ALDRICH CORP.          	COMMON           826552101      35      1100 SH       DEFINED 17       1100        0        0
D SILGAN HOLDINGS, INC.        	COMMON           827048109      98      4900 SH       DEFINED 01       4900        0        0
D SILGAN HOLDINGS, INC.        	COMMON           827048109     328     16400 SH       DEFINED 02       9200        0     7200
D SILICON VALLEY GROUP, INC.   	COMMON           827066101     129     10900 SH       DEFINED 02       1600        0     9300
D SILICONIX, INC.              	COMMON           827079203     381      8100 SH       DEFINED 02       3400        0     4700
D SIMON PROPERTY GROUP, INC    	COMMON           828806109   10344    461000 SH       DEFINED 01     453000        0     8000
D SIMON PROPERTY GROUP, INC    	COMMON           828806109   36135   1610442 SH       DEFINED 02    1450030        0   160412
D SIMPSON INDUSTRIES, INC.     	COMMON           829060102     277     25050 SH       DEFINED 02          0        0    25050
D SIMPSON MANUFACTURING CO.,INC	COMMON           829073105     637     13595 SH       DEFINED 01      13595        0        0
D SIMPSON MANUFACTURING CO.,INC	COMMON           829073105      80      1700 SH       DEFINED 02          0        0     1700
D SIMPSON MANUFACTURING CO.,INC	COMMON           829073105     127      2700 SH       DEFINED 16       2700        0        0
D SINCLAIR BROADCAST GROUP, INC	COMMON           829226109     277     30557 SH       DEFINED 01      30557        0        0
D SINCLAIR BROADCAST GROUP, INC	COMMON           829226109      10      1100 SH       DEFINED 02        500        0      600
D SINCLAIR BROADCAST GROUP, INC	COMMON           829226109      19      2082 SH       DEFINED 16       2082        0        0
D SIPEX CORP.                  	COMMON           829909100     893     62400 SH       DEFINED 01      62400        0        0
D SIPEX CORP.                  	COMMON           829909100     220     15400 SH       DEFINED 02      12600        0     2800
D SKY FINANCIAL GROUP, INC.    	COMMON           83080P103     514     21858 SH       DEFINED 02          0        0    21858
D SKYLINE CORP.                	COMMON           830830105     254      9900 SH       DEFINED 02       8200        0     1700
D SKYTEL COMMUNICATIONS INC    	COMMON           83087Q104    2080    113600 SH       DEFINED 01     113600        0        0
D SKYTEL COMMUNICATIONS INC    	COMMON           83087Q104    1392     76000 SH       DEFINED 02      43900        0    32100
D SKYTEL COMMUNICATIONS INC    	COMMON           83087Q104      12       669 SH       DEFINED 16        669        0        0
D SMART MODULAR TECH INC       	COMMON           831690102     514     15100 SH       DEFINED 01      15100        0        0
D SMART MODULAR TECH INC       	COMMON           831690102      85      2500 SH       DEFINED 02       2300        0      200
D SMITH INTERNATIONAL, INC.    	COMMON           832110100   12583    310700 SH       DEFINED 01     244700        0    66000
D SMITH INTERNATIONAL, INC.    	COMMON           832110100      12       300 SH       OTHER   01        300        0        0
D SMITH INTERNATIONAL, INC.    	COMMON           832110100   20841    514600 SH       DEFINED 02     357200        0    157400

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 204
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SMITH INTERNATIONAL, INC.    	COMMON           832110100      57      1400 SH       DEFINED 05          0        0     1400
D SMITH INTERNATIONAL, INC.    	COMMON           832110100       1        24 SH       DEFINED 16         24        0        0
D SMITH INTERNATIONAL, INC.    	COMMON           832110100    1231     30400 SH       DEFINED 17      30400        0        0
D SMITHFIELD FOODS, INC.       	COMMON           832248108    1431     53500 SH       DEFINED 01      53500        0        0
D SMITHFIELD FOODS, INC.       	COMMON           832248108     530     19800 SH       DEFINED 02      14800        0     5000
D SMITHKLINE                   	COMMON           832378301    2840     49300 SH       DEFINED 17      49300        0        0
D SMITHKLINE BEECHAM PLC ORD. A	COMMON           832378301    1630     28294 SH       DEFINED 01      27094        0     1200
D SMITHKLINE BEECHAM PLC ORD. A	COMMON           832378301    3349     58123 SH       OTHER   01      45823    12300        0
D SMITHKLINE BEECHAM PLC ORD. A	COMMON           832378301     576     10000 SH       DEFINED 02      10000        0        0
D SMURFIT-STONE CONTAINER CORP 	COMMON           832727101   49570   2292242 SH       DEFINED 01    1784033        0   508209
D SMURFIT-STONE CONTAINER CORP 	COMMON           832727101     107      4927 SH       OTHER   01       4927        0        0
D SMURFIT-STONE CONTAINER CORP 	COMMON           832727101  138794   6418202 SH       DEFINED 02    4860754        0  1557448
D SMURFIT-STONE CONTAINER CORP 	COMMON           832727101      17       765 SH       DEFINED 05        765        0        0
D SMURFIT-STONE CONTAINER CORP 	COMMON           832727101     216     10000 SH       DEFINED 16      10000        0        0
D SNYDER COMMUNICATIONS INC    	COMMON           832914105     843     55500 SH       DEFINED 01      55500        0        0
D SNYDER COMMUNICATIONS INC    	COMMON           832914105     160     10521 SH       DEFINED 02       2500        0     8021
D SODEXHO MARRIOTT SERVICES INC	COMMON           833793102     655     38500 SH       DEFINED 01      38500        0        0
D SODEXHO MARRIOTT SERVICES INC	COMMON           833793102     104      6100 SH       DEFINED 02       1700        0     4400
D SOFTNET SYS INC              	COMMON           833964109     241      9900 SH       DEFINED 16       9900        0        0
D SOFTWARE COM INC             	COMMON           83402P104     605     14100 SH       DEFINED 01      14100        0        0
D SOFTWARE COM INC             	COMMON           83402P104    1389     32400 SH       DEFINED 02      24100        0     8300
D SOLA INTERNATIONAL, INC.     	COMMON           834092108     214     13800 SH       DEFINED 01      13800        0        0
D SOLA INTERNATIONAL, INC.     	COMMON           834092108      56      3600 SH       DEFINED 02       3600        0        0
D SOLECTRON CORP.              	COMMON           834182107     359      5000 SH       OTHER   01       5000        0        0
D SOLECTRON CORP.              	COMMON           834182107    2585     36000 SH       DEFINED 02          0        0    36000
D SOLECTRON CORP.              	COMMON           834182107       9       129 SH       DEFINED 16        129        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 205
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SOLECTRON CORP.              	COMMON           834182107     194      2700 SH       DEFINED 17       2700        0        0
D SOLUTIA INC.                 	COMMON           834376105   12205    682780 SH       DEFINED 01     542500        0   140280
D SOLUTIA INC.                 	COMMON           834376105      45      2500 SH       OTHER   01       2500        0        0
D SOLUTIA INC.                 	COMMON           834376105   22088   1235716 SH       DEFINED 02     863116        0   372600
D SOLUTIA INC.                 	COMMON           834376105       4       200 SH       DEFINED 05        200        0        0
D SONAT, INC.                  	COMMON           835415100     460     11600 SH       DEFINED 01      11600        0        0
D SONAT, INC.                  	COMMON           835415100     151      3800 SH       OTHER   01          0     3800        0
D SONAT, INC.                  	COMMON           835415100     603     15200 SH       DEFINED 02          0        0    15200
D SONAT, INC.                  	COMMON           835415100      48      1200 SH       DEFINED 17       1200        0        0
D SONESTA INTL HOTELS CORP. CLA	COMMON           835438409      58      9000 SH       DEFINED 01          0        0     9000
D SONESTA INTL HOTELS CORP. CLA	COMMON           835438409      45      7000 SH       DEFINED 02          0        0     7000
D SONIC CORP.                  	COMMON           835451105     801     26300 SH       DEFINED 01      26300        0        0
D SONIC CORP.                  	COMMON           835451105     346     11375 SH       DEFINED 02       2200        0     9175
D SONIC AUTOMOTIVE, INC.       	COMMON           83545G102    2761    212400 SH       DEFINED 01     212400        0        0
D SONIC AUTOMOTIVE, INC.       	COMMON           83545G102    3324    255700 SH       DEFINED 02     203600        0    52100
D SOURCE INFORMATION MGMT CO   	COMMON           836151209    5453    384350 SH       DEFINED 01     310050        0    74300
D SOURCE INFORMATION MGMT CO   	COMMON           836151209    6050    426450 SH       DEFINED 02     319300        0   107150
D SOURCE INFORMATION MGMT CO   	COMMON           836151209      37      2600 SH       DEFINED 05          0        0     2600
D SOUTHDOWN, INC.              	COMMON           841297104    3552     66400 SH       DEFINED 01      66400        0        0
D SOUTHDOWN, INC.              	COMMON           841297104    2220     41492 SH       DEFINED 02       3300        0    38192
D SOUTHDOWN, INC.              	COMMON           841297104       7       123 SH       DEFINED 16        123        0        0
D SOUTHERN CO.                 	COMMON           842587107    8525    331070 SH       DEFINED 01     162970        0   168100
D SOUTHERN CO.                 	COMMON           842587107     440     17069 SH       OTHER   01          0    17069        0
D SOUTHERN CO.                 	COMMON           842587107   17022    661036 SH       DEFINED 02     204880        0   456156
D SOUTHERN CO.                 	COMMON           842587107    1388     53900 SH       DEFINED 05      16900        0    37000
D SOUTHERN CO.                 	COMMON           842587107     196      7600 SH       DEFINED 17       7600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 206
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SOUTHERN PERU COPPER CORP.   	COMMON           843611104     402     23800 SH       DEFINED 02          0        0    23800
D SOUTHERN PERU COPPER CORP.   	COMMON           843611104     309     18300 SH       DEFINED 17      18300        0        0
D SOUTHTRUST CORP.             	COMMON           844730101   13537    377325 SH       DEFINED 01     292050        0    85275
D SOUTHTRUST CORP.             	COMMON           844730101     702     19561 SH       OTHER   01       1000    18561        0
D SOUTHTRUST CORP.             	COMMON           844730101   48202   1343620 SH       DEFINED 02     905920        0   437700
D SOUTHTRUST CORP.             	COMMON           844730101    1076     30000 SH       OTHER   0304    30000        0        0
D SOUTHTRUST CORP.             	COMMON           844730101      65      1800 SH       DEFINED 17       1800        0        0
D SOUTHWEST                    	COMMON           844741108       2       147 SH       DEFINED 16        147        0        0
D SOUTHWEST AIRLINES CO.       	COMMON           844741108   11800    776962 SH       DEFINED 01     574412        0   202550
D SOUTHWEST AIRLINES CO.       	COMMON           844741108   18337   1207350 SH       DEFINED 02     638050        0   569300
D SOUTHWEST AIRLINES CO.       	COMMON           844741108      85      5600 SH       DEFINED 17       5600        0        0
D SOUTHWEST BANCORPORATION TEX 	COMMON           84476R109    1175     67400 SH       DEFINED 01      67400        0        0
D SOUTHWEST BANCORPORATION TEX 	COMMON           84476R109     516     29600 SH       DEFINED 02      29600        0        0
D SOUTHWEST SECURITIES GROUP,IN	COMMON           845224104     643     23800 SH       DEFINED 02          0        0    23800
D SOUTHWESTERN ENERGY CO.      	COMMON           845467109     591     65200 SH       DEFINED 01      65200        0        0
D SOUTHWESTERN ENERGY CO.      	COMMON           845467109    1361    150200 SH       DEFINED 02      65600        0    84600
D SOVEREIGN BANCORP, INC.      	COMMON           845905108    4071    447616 SH       DEFINED 01     342220        0   105396
D SOVEREIGN BANCORP, INC.      	COMMON           845905108      22      2400 SH       OTHER   01       2400        0        0
D SOVEREIGN BANCORP, INC.      	COMMON           845905108    9583   1053734 SH       DEFINED 02     670414        0   383320
D SOVEREIGN BANCORP, INC.      	COMMON           845905108       4       400 SH       DEFINED 05        400        0        0
D SOVEREIGN BANCORP, INC.      	COMMON           845905108     137     15070 SH       DEFINED 16      15070        0        0
D SOVRAN SELF STORAGE, INC.    	COMMON           84610H108     205      9000 SH       DEFINED 02       9000        0        0
D SPACEHAB INC                 	COMMON           846243103     634    130000 SH       DEFINED 01          0        0   130000
D SPECIAL METALS CORP          	COMMON           84741Y103      64     14800 SH       DEFINED 02          0        0    14800
D SPIEKER PROPERTIES, INC.     	COMMON           848497103    5297    152700 SH       DEFINED 01     152700        0        0
D SPIEKER PROPERTIES, INC.     	COMMON           848497103   12748    367500 SH       DEFINED 02     332600        0    34900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 207
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SPLASH TECHNOLOGY HOLDINGS,IN	COMMON           848623104     102     16700 SH       DEFINED 02          0        0    16700
D SPLITROCK SVCS INC           	COMMON           848636304    8396    559750 SH       DEFINED 01     392720        0   167030
D SPLITROCK SVCS INC           	COMMON           848636304     341     22750 SH       DEFINED 02      13900        0     8850
D SPLITROCK SVCS INC           	COMMON           848636304      91      6050 SH       DEFINED 05          0        0     6050
D SPORTSLINE USA, INC.         	COMMON           848934105     216      7300 SH       DEFINED 02          0        0     7300
D SPORTSLINE USA, INC.         	COMMON           848934105      30      1000 SH       DEFINED 16       1000        0        0
D SPORTSLINE USA INC           	BOND             848934AA3       0   3500000 PRN      DEFINED 16
D SPRINGS INDUSTRIES, INC.     	COMMON           851783100      34      1000 SH       DEFINED 01          0        0     1000
D SPRINGS INDUSTRIES, INC.     	COMMON           851783100     210      6200 SH       DEFINED 02       6200        0        0
D SPRINGS INDUSTRIES, INC.     	COMMON           851783100       7       200 SH       DEFINED 17        200        0        0
D SPRINT CORP.                 	COMMON           852061100   17185    316767 SH       DEFINED 01     140238        0   176529
D SPRINT CORP.                 	COMMON           852061100    9142    168508 SH       OTHER   01      93514    74994        0
D SPRINT CORP.                 	COMMON           852061100    2277     41970 SH       DEFINED 02      32722        0     9248
D SPRINT CORP.                 	COMMON           852061100     336      6200 SH       DEFINED 05       6200        0        0
D SPRINT CORP.                 	COMMON           852061100      65      1200 SH       OTHER   05          0     1200        0
D SPRINT CORP.                 	COMMON           852061100    7628    140612 SH       DEFINED 17     140612        0        0
D SPRINT CORP                  	COMMON           852061506    3907     52402 SH       DEFINED 01      15371        0    37031
D SPRINT CORP                  	COMMON           852061506    3037     40727 SH       OTHER   01      23328    17399        0
D SPRINT CORP                  	COMMON           852061506    6250     83820 SH       DEFINED 02       8158        0    75662
D SPRINT CORP                  	COMMON           852061506     112      1500 SH       DEFINED 05       1500        0        0
D SPRINT CORP                  	COMMON           852061506      22       300 SH       OTHER   05          0      300        0
D SPRINT CORP                  	COMMON           852061506  561857   7535330 SH       DEFINED 17    7535330        0        0
D STAMPS COM INC               	COMMON           852857101    1168     33600 SH       DEFINED 01      33600        0        0
D STAMPS COM INC               	COMMON           852857101    2825     81300 SH       DEFINED 02      61400        0    19900
D STANDARD MOTOR PRODUCTS, INC.	COMMON           853666105     278     14300 SH       DEFINED 02       7400        0     6900
D STANDARD PACIFIC CORP.       	COMMON           85375C101     176     17200 SH       DEFINED 01      17200        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 208
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D STANDARD PACIFIC CORP.       	COMMON           85375C101     435     42400 SH       DEFINED 02       2800        0    39600
D STANDARD PRODUCTS CO.        	COMMON           853836104     329      9300 SH       DEFINED 02       6500        0     2800
D STANDEX INTERNATIONAL CORP.  	COMMON           854231107    1015     37600 SH       DEFINED 02          0        0    37600
D STANLEY FURNITURE COMPANY,INC	COMMON           854305208    4060    192200 SH       DEFINED 01     192200        0        0
D STANLEY FURNITURE COMPANY,INC	COMMON           854305208    6466    306100 SH       DEFINED 02     231700        0    74400
D STANLEY WORKS                	COMMON           854616109     180      7150 SH       DEFINED 01       4400        0     2750
D STANLEY WORKS                	COMMON           854616109      25      1000 SH       DEFINED 17       1000        0        0
D STAPLES, INC.                	COMMON           855030102      23      1052 SH       DEFINED 01        172        0      880
D STAPLES, INC.                	COMMON           855030102     368     16875 SH       OTHER   01          0    16875        0
D STAPLES, INC.                	COMMON           855030102    1794     82227 SH       DEFINED 02          0        0    82227
D STAPLES, INC.                	COMMON           855030102     109      5000 SH       DEFINED 05          0        0     5000
D STAPLES, INC.                	COMMON           855030102     208      9514 SH       DEFINED 16       9514        0        0
D STAPLES, INC.                	COMMON           855030102     111      5100 SH       DEFINED 17       5100        0        0
D STAPLES, INC.                	COMMON           855030102   56714   2600000 SH       DEFINED 18       5100        0        0
D STATE AUTO FINANCIAL CORP.   	COMMON           855707105     427     41700 SH       DEFINED 02       2100        0    39600
D STARWOOD HOTELS&RESORTS WRLD 	COMMON           85590A203   55136   2471015 SH       DEFINED 01    1793353        0   677662
D STARWOOD HOTELS&RESORTS WRLD 	COMMON           85590A203     736     32980 SH       OTHER   01       7004    25976        0
D STARWOOD HOTELS&RESORTS WRLD 	COMMON           85590A203  154131   6907676 SH       DEFINED 02    5490149        0  1417527
D STARWOOD HOTELS&RESORTS WRLD 	COMMON           85590A203      38      1700 SH       DEFINED 05       1700        0        0
D STARWOOD HOTELS&RESORTS WRLD 	COMMON           85590A203     551     24700 SH       OTHER   09      24700        0        0
D STATE STR CORP               	COMMON           857477103    1617     25019 SH       DEFINED 01      10019        0    15000
D STATE STR CORP               	COMMON           857477103    4181     64700 SH       OTHER   01      25700    39000        0
D STATE STR CORP               	COMMON           857477103     900     13923 SH       DEFINED 05      11723        0     2200
D STATE STR CORP               	COMMON           857477103       3        48 SH       DEFINED 16         48        0        0
D STATE STR CORP               	COMMON           857477103     116      1800 SH       DEFINED 17       1800        0        0
D STATION CASINOS, INC.        	COMMON           857689103     209      9000 SH       DEFINED 02          0        0     9000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 209
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D STEEL DYNAMICS, INC.         	COMMON           858119100     566     36100 SH       DEFINED 02       2100        0    34000
D STEEL DYNAMICS, INC.         	COMMON           858119100      23      1466 SH       DEFINED 16       1466        0        0
D STEEL TECHNOLOGIES, INC.     	COMMON           858147101    3481    299400 SH       DEFINED 01     299400        0        0
D STEEL TECHNOLOGIES, INC.     	COMMON           858147101     715     61500 SH       DEFINED 02      57300        0     4200
D STEPAN COMPANY               	COMMON           858586100     228     10000 SH       OTHER   01          0    10000        0
D STEPAN COMPANY               	COMMON           858586100      11       500 SH       DEFINED 02          0        0      500
D STERLING BANCSHARES, INC.    	COMMON           858907108    4384    383300 SH       DEFINED 01     290400        0    92900
D STERLING BANCSHARES, INC.    	COMMON           858907108     589     51500 SH       DEFINED 02      40000        0    11500
D STERLING BANCSHARES, INC.    	COMMON           858907108      39      3400 SH       DEFINED 05          0        0     3400
D STERIS CORP.                 	COMMON           859152100    1143     83100 SH       DEFINED 01      83100        0        0
D STERIS CORP.                 	COMMON           859152100     333     24216 SH       DEFINED 02      12200        0    12016
D STERLING COMMERCE, INC.      	COMMON           859205106     938     50520 SH       DEFINED 01      48500        0     2020
D STERLING COMMERCE, INC.      	COMMON           859205106     330     17773 SH       DEFINED 02       2100        0    15673
D STERLING SOFTWARE, INC.      	COMMON           859547101    2646    132300 SH       DEFINED 01     132300        0        0
D STERLING SOFTWARE, INC.      	COMMON           859547101     699     34974 SH       DEFINED 02       5800        0    29174
D STET HELLAS                  	COMMON           859823106       0     42329 SH       DEFINED 16      42329        0        0
D STEWART & STEVENSON SERVICES,	COMMON           860342104     469     35700 SH       DEFINED 01      35700        0        0
D STEWART & STEVENSON SERVICES,	COMMON           860342104      42      3200 SH       DEFINED 02       2900        0      300
D STEWART ENTERPRISES, INC. CL.	COMMON           860370105     894    147500 SH       DEFINED 01     140600        0     6900
D STEWART ENTERPRISES, INC. CL.	COMMON           860370105     285     47000 SH       DEFINED 02       7200        0    39800
D STEWART ENTERPRISES, INC. CL.	COMMON           860370105      61     10000 SH       DEFINED 05          0        0    10000
D STEWART INFORMATION SERVICES 	COMMON           860372101     117      6400 SH       DEFINED 01       6400        0        0
D STEWART INFORMATION SERVICES 	COMMON           860372101    1218     66500 SH       DEFINED 02      14500        0    52000
D STMICROELECT                 	COMMON           861012102    7763     97724 SH       DEFINED 17      97724        0        0
D STMICROELECT                 	COMMON           861012AA0       0   4500000 SH       DEFINED 16    4500000        0        0
D STONE CONTAINER CORP.$1.75 CV	PREF-CONV        861589307    5348    245900 PRN      DEFINED 02

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 210
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D STONE CONTAINER 6.75 CSD 2/15	BOND             861589AE9      38     50000 PRN      OTHER   01
D STONE CONTAINER 6.75 CSD 2/15	BOND             861589AE9     318    418000 PRN      DEFINED 02
D STORAGE USA, INC.            	COMMON           861907103     476     17300 SH       DEFINED 02          0        0    17300
D STRYKER CORP.                	COMMON           863667101    4879     95425 SH       DEFINED 01      86400        0     9025
D STRYKER CORP.                	COMMON           863667101     281      5500 SH       DEFINED 02       4800        0      700
D SUIZA FOODS CORP.            	COMMON           865077101    2396     63900 SH       DEFINED 01      63900        0        0
D SUIZA FOODS CORP.            	COMMON           865077101     741     19755 SH       DEFINED 02      10500        0     9255
D SUMMIT BANCORP               	COMMON           866005101   27161    837313 SH       DEFINED 01     598500        0   238813
D SUMMIT BANCORP               	COMMON           866005101      54      1675 SH       OTHER   01       1000      675        0
D SUMMIT BANCORP               	COMMON           866005101   57846   1783264 SH       DEFINED 02    1200314        0   582950
D SUMMIT BANCORP               	COMMON           866005101      65      2000 SH       DEFINED 05       2000        0        0
D SUMMIT BANCORP               	COMMON           866005101      62      1900 SH       DEFINED 17       1900        0        0
D SUMMIT BANCSHARES INC TEX    	COMMON           866011109     990     54600 SH       DEFINED 01      54600        0        0
D SUMMIT BANCSHARES INC TEX    	COMMON           866011109    2095    115600 SH       DEFINED 02      98500        0    17100
D SUMMIT TECHNOLOGY, INC.      	COMMON           86627E101    3685    201200 SH       DEFINED 01     141100        0    60100
D SUMMIT TECHNOLOGY, INC.      	COMMON           86627E101     152      8300 SH       DEFINED 02       5100        0     3200
D SUMMIT TECHNOLOGY, INC.      	COMMON           86627E101      40      2200 SH       DEFINED 05          0        0     2200
D SUMMIT TECHNOLOGY, INC.      	COMMON           86627E101      14       773 SH       DEFINED 16        773        0        0
D SUN BANCORP, INC.            	COMMON           86663B102    5157    322340 SH       DEFINED 01     258650        0    63690
D SUN BANCORP, INC.            	COMMON           86663B102    3736    233505 SH       DEFINED 02     176715        0    56790
D SUN BANCORP, INC.            	COMMON           86663B102      38      2370 SH       DEFINED 05          0        0     2370
D SUN MICROSYSTEMS, INC.       	COMMON           866810104  549479   5908372 SH       DEFINED 01    3552665        0  2355707
D SUN MICROSYSTEMS, INC.       	COMMON           866810104   59199    636550 SH       OTHER   01     333267   303283        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104  962230  10346560 SH       DEFINED 02    7769038        0  2577522
D SUN MICROSYSTEMS, INC.       	COMMON           866810104   10044    108000 SH       OTHER   0304   108000        0        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104   22737    244489 SH       DEFINED 05     101600        0   142889

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 211
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SUN MICROSYSTEMS, INC.       	COMMON           866810104      19       200 SH       OTHER   05          0      200        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104    5171     55600 SH       OTHER   09      55600        0        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104    1116     12000 SH       OTHER   101112      0    12000        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104     146      1566 SH       DEFINED 16       1566        0        0
D SUN MICROSYSTEMS, INC.       	COMMON           866810104    2058     22130 SH       DEFINED 17      22130        0        0
D SUNGARD DATA                 	COMMON           867363103       2        65 SH       DEFINED 16         65        0        0
D SUNGARD DATA                 	COMMON           867363103      16       600 SH       DEFINED 17        600        0        0
D SUNGARD DATA SYSTEMS, INC.   	COMMON           867363103    1495     56800 SH       DEFINED 02          0        0    56800
D SUNGLASS HUT INTERNATIONAL,IN	COMMON           86736F106    1504    142400 SH       DEFINED 01     142400        0        0
D SUNGLASS HUT INTERNATIONAL,IN	COMMON           86736F106     449     42500 SH       DEFINED 02      42500        0        0
D SUNGLASS HUT INTERNATIONAL,IN	COMMON           86736F106       1       115 SH       DEFINED 16        115        0        0
D SUNOCO INC                   	COMMON           86764P109     285     10400 SH       DEFINED 01      10400        0        0
D SUNOCO INC                   	COMMON           86764P109    1486     54300 SH       OTHER   01      26800    27500        0
D SUNOCO INC                   	COMMON           86764P109      36      1300 SH       DEFINED 02        400        0      900
D SUNOCO INC                   	COMMON           86764P109     126      4600 SH       DEFINED 17       4600        0        0
D SUNRISE ASSISTED LIVING, INC.	COMMON           86768K106    4696    176800 SH       DEFINED 01     176800        0        0
D SUNRISE ASSISTED LIVING, INC.	COMMON           86768K106    9459    356100 SH       DEFINED 02     271400        0    84700
D SUNRISE ASSISTED LIVING, INC.	COMMON           86768K106     225      8460 SH       DEFINED 16       8460        0        0
D SUNRISE ASSISTED LIVING INC  	BOND             86768KAC0       0   2000000 PRN      DEFINED 02
D SUNRISE TECHNOLOGIES, INC.   	COMMON           86769L103    1888    400000 SH       DEFINED 01          0        0   400000
D SUNTERRA CORP                	COMMON           86787D109     654     55100 SH       DEFINED 01      55100        0        0
D SUNTERRA CORP                	COMMON           86787D109      37      3100 SH       DEFINED 02       1600        0     1500
D SUNTRUST BANKS, INC.         	COMMON           867914103   43160    656424 SH       DEFINED 01     458583        0   197841
D SUNTRUST BANKS, INC.         	COMMON           867914103    3990     60684 SH       OTHER   01      21800    38884        0
D SUNTRUST BANKS, INC.         	COMMON           867914103   68165   1036729 SH       DEFINED 02     589380        0   447349
D SUNTRUST BANKS, INC.         	COMMON           867914103     230      3500 SH       DEFINED 17       3500        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 212
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SUNSTONE HOTEL INVESTORS, INC	COMMON           867933103      91     10400 SH       DEFINED 01      10400        0        0
D SUNSTONE HOTEL INVESTORS, INC	COMMON           867933103     134     15300 SH       DEFINED 02      15300        0        0
D SUPERGEN INC                 	COMMON           868059106     404     17600 SH       DEFINED 02        600        0    17000
D SUPERGEN INC                 	COMMON           868059106    1300     56680 SH       DEFINED 17      56680        0        0
D SUPERIOR ENERGY SERVICES, INC	COMMON           868157108     157     24800 SH       DEFINED 02          0        0    24800
D SUPERIOR INDUSTRIES INT'L,INC	COMMON           868168105     370     13200 SH       DEFINED 02          0        0    13200
D SUPERIOR TELECOM INC         	COMMON           868365107     170     12200 SH       DEFINED 01      12200        0        0
D SUPERIOR TELECOM INC         	COMMON           868365107     700     50200 SH       DEFINED 02       9400        0    40800
D SUPERVALU, INC.              	COMMON           868536103    2296    104079 SH       DEFINED 01      88300        0    15779
D SUPERVALU, INC.              	COMMON           868536103     320     14500 SH       DEFINED 02       3800        0    10700
D SUPERVALU, INC.              	COMMON           868536103      29      1300 SH       DEFINED 17       1300        0        0
D SUSQUEHANNA BANCSHARES, INC. 	COMMON           869099101    1182     68537 SH       DEFINED 02          0        0    68537
D SWIFT ENERGY COMPANY         	COMMON           870738101       6       500 SH       DEFINED 01        500        0        0
D SWIFT ENERGY COMPANY         	COMMON           870738101     477     37798 SH       DEFINED 02      10600        0    27198
D SWIFT TRANSPORTATION CO.,INC.	COMMON           870756103     478     24300 SH       DEFINED 02          0        0    24300
D SYBASE INC                   	COMMON           871130100       0        32 SH       DEFINED 16         32        0        0
D SYBASE, INC.                 	COMMON           871130100     287     24300 SH       DEFINED 01      24300        0        0
D SYBASE, INC.                 	COMMON           871130100     151     12800 SH       DEFINED 02      12800        0        0
D SYBRON CORP.                 	COMMON           87114F106    4582    170500 SH       DEFINED 01     165800        0     4700
D SYBRON CORP.                 	COMMON           87114F106    1150     42800 SH       DEFINED 02       8000        0    34800
D SYKES ENTERPRISES, INC.      	COMMON           871237103    6877    278550 SH       DEFINED 01     189050        0    89500
D SYKES ENTERPRISES, INC.      	COMMON           871237103     353     14300 SH       DEFINED 02       9300        0     5000
D SYKES ENTERPRISES, INC.      	COMMON           871237103      77      3100 SH       DEFINED 05          0        0     3100
D SYLVAN LEARNING SYSTEMS, INC.	COMMON           871399101     504     26000 SH       DEFINED 01      26000        0        0
D SYLVAN LEARNING SYSTEMS, INC.	COMMON           871399101      97      5000 SH       OTHER   01          0     5000        0
D SYLVAN LEARNING SYSTEMS, INC.	COMMON           871399101      95      4900 SH       DEFINED 02       1300        0     3600

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 213
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D SYMANTEC CORP.               	COMMON           871503108    4124    114657 SH       DEFINED 01      92057        0    22600
D SYMANTEC CORP.               	COMMON           871503108    2730     75900 SH       DEFINED 02      36700        0    39200
D SYMBOL TECHNOLOGIES, INC.    	COMMON           871508107   11296    335950 SH       DEFINED 01     248550        0    87400
D SYMBOL TECHNOLOGIES, INC.    	COMMON           871508107     580     17237 SH       OTHER   01        400    16837        0
D SYMBOL TECHNOLOGIES, INC.    	COMMON           871508107   20560    611445 SH       DEFINED 02     367395        0   244050
D SYMBOL TECHNOLOGIES, INC.    	COMMON           871508107       1        26 SH       DEFINED 16         26        0        0
D SYMMETRICOM, INC.            	COMMON           871543104      80     10600 SH       DEFINED 02          0        0    10600
D SYMS CORP.                   	COMMON           871551107      91     12300 SH       DEFINED 02          0        0    12300
D SYNOPSYS INC                 	COMMON           871607107       1        23 SH       DEFINED 16         23        0        0
D SYNOPSYS, INC.               	COMMON           871607107    3948     70300 SH       DEFINED 01      70300        0        0
D SYNOPSYS, INC.               	COMMON           871607107     640     11400 SH       DEFINED 02       3000        0     8400
D SYNOPSYS, INC.               	COMMON           871607107    1011     18000 SH       OTHER   101112      0    18000        0
D SYNOVUS FINANCIAL CORP.      	COMMON           87161C105    1590     85059 SH       DEFINED 01          0        0    85059
D SYNOVUS FINANCIAL CORP.      	COMMON           87161C105      56      3000 SH       DEFINED 17       3000        0        0
D SYNTROLEUM CORP              	COMMON           871630109     121     17100 SH       DEFINED 02          0        0    17100
D SYSCO CORP.                  	COMMON           871829107    2542     72485 SH       DEFINED 01      66400        0     6085
D SYSCO CORP.                  	COMMON           871829107     316      9015 SH       OTHER   01          0     9015        0
D SYSCO CORP.                  	COMMON           871829107    3420     97542 SH       DEFINED 02      57142        0    40400
D SYSCO CORP.                  	COMMON           871829107      70      2000 SH       DEFINED 05       2000        0        0
D SYSCO CORP.                  	COMMON           871829107     168      4800 SH       OTHER   05          0     4800        0
D SYSCO CORP.                  	COMMON           871829107     126      3600 SH       DEFINED 17       3600        0        0
D SYSTEMS & COMPUTER   PFD CONV	BOND             871873AB1    4866   5626000 PRN      DEFINED 17
D TCF FINANCIAL CORP.          	COMMON           872275102   18100    633700 SH       DEFINED 01     461300        0   172400
D TCF FINANCIAL CORP.          	COMMON           872275102      14       500 SH       OTHER   01        500        0        0
D TCF FINANCIAL CORP.          	COMMON           872275102   53230   1863594 SH       DEFINED 02    1339734        0   523860
D TCF FINANCIAL CORP.          	COMMON           872275102      23       800 SH       DEFINED 05        800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 214
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TD WATERHOUSE GRP INC        	COMMON           872362108   14725   1138000 SH       DEFINED 01     878350        0   259650
D TD WATERHOUSE GRP INC        	COMMON           872362108      28      2200 SH       OTHER   01       2200        0        0
D TD WATERHOUSE GRP INC        	COMMON           872362108   22806   1762710 SH       DEFINED 02    1220060        0   542650
D TD WATERHOUSE GRP INC        	COMMON           872362108      38      2900 SH       DEFINED 05          0        0     2900
D TECO ENERGY, INC.            	COMMON           872375100   14285    676192 SH       DEFINED 01     566320        0   109872
D TECO ENERGY, INC.            	COMMON           872375100     262     12400 SH       OTHER   01       1200    11200        0
D TECO ENERGY, INC.            	COMMON           872375100   34846   1649520 SH       DEFINED 02    1205020        0   444500
D THQ INC                      	COMMON           872443403     656     15200 SH       DEFINED 01      15200        0        0
D THQ INC                      	COMMON           872443403     129      3000 SH       DEFINED 02       3000        0        0
D TJ INTERNATIONAL, INC.       	COMMON           872534102     236      9400 SH       DEFINED 02          0        0     9400
D TJX COMPANIES                	COMMON           872540109      28      1014 SH       DEFINED 16       1014        0        0
D TJX COMPANIES, INC.          	COMMON           872540109   55908   1992220 SH       DEFINED 01    1223970        0   768250
D TJX COMPANIES, INC.          	COMMON           872540109    1302     46400 SH       OTHER   01      30500    15900        0
D TJX COMPANIES, INC.          	COMMON           872540109  147427   5253438 SH       DEFINED 02    4068438        0  1185000
D TJX COMPANIES, INC.          	COMMON           872540109      42      1500 SH       DEFINED 05       1500        0        0
D TJX COMPANIES, INC.          	COMMON           872540109    4715    168000 SH       DEFINED 06     168000        0        0
D TJX COMPANIES, INC.          	COMMON           872540109      98      3500 SH       DEFINED 17       3500        0        0
D TNP ENTERPRISES, INC.        	COMMON           872594106    1269     32600 SH       DEFINED 02      11100        0    21500
D TRW, INC.                    	COMMON           872649108     995     20000 SH       DEFINED 01          0        0    20000
D TRW, INC.                    	COMMON           872649108     199      4000 SH       OTHER   01          0     4000        0
D TRW, INC.                    	COMMON           872649108    1264     25400 SH       DEFINED 02          0        0    25400
D TRW, INC.                    	COMMON           872649108      65      1300 SH       DEFINED 17       1300        0        0
D TMP WORLDWIDE INC            	COMMON           872941109     937     15400 SH       DEFINED 01      15400        0        0
D TMP WORLDWIDE INC            	COMMON           872941109     755     12400 SH       DEFINED 02        700        0    11700
D TV GUIDE INC                 	COMMON           87307Q109    1596     40800 SH       DEFINED 01      40800        0        0
D TV GUIDE INC                 	COMMON           87307Q109    4812    123000 SH       DEFINED 02      80100        0    42900

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 215
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TV GUIDE INC                 	COMMON           87307Q109       1        35 SH       DEFINED 16         35        0        0
D TALBOTS, INC.                	COMMON           874161102   10723    239950 SH       DEFINED 01     170400        0    69550
D TALBOTS, INC.                	COMMON           874161102     474     10600 SH       DEFINED 02       6900        0     3700
D TALBOTS, INC.                	COMMON           874161102     112      2500 SH       DEFINED 05          0        0     2500
D TALISMAN ENERGY INC          	COMMON           87425E103    8898    297200 SH       DEFINED 01     297200        0        0
D TALK COM INC                 	COMMON           874264104    2626    203500 SH       DEFINED 01     171000        0    32500
D TALK COM INC                 	COMMON           874264104     532     41200 SH       DEFINED 02      28200        0    13000
D TALK COM INC                 	COMMON           874264104      15      1200 SH       DEFINED 05          0        0     1200
D TANDY CORP.                  	COMMON           875382103     129      2500 SH       DEFINED 02          0        0     2500
D TANDY CORP.                  	COMMON           875382103     109      2100 SH       DEFINED 17       2100        0        0
D TAUBMAN                      	COMMON           876664103     588     51100 SH       DEFINED 17      51100        0        0
D TAUBMAN CENTERS, INC.        	COMMON           876664103    1148     99800 SH       DEFINED 01      99800        0        0
D TAUBMAN CENTERS, INC.        	COMMON           876664103     490     42600 SH       DEFINED 02      42600        0        0
D TECH DATA CORP.              	COMMON           878237106     419     18000 SH       DEFINED 01      18000        0        0
D TECH DATA CORP.              	COMMON           878237106     363     15600 SH       DEFINED 02        900        0    14700
D TECH DATA CORP.              	COMMON           878237106      12       507 SH       DEFINED 16        507        0        0
D TECHNE CORP.                 	COMMON           878377100     367     11700 SH       DEFINED 02        700        0    11000
D TECHNITROL, INC.             	COMMON           878555101     987     28000 SH       DEFINED 02       1600        0    26400
D TECUMSEH PRODUCTS, INC.      	COMMON           878895101     181      4000 SH       DEFINED 01          0        0     4000
D TECUMSEH PRODUCTS, INC.      	COMMON           878895101      45      1000 SH       OTHER   01       1000        0        0
D TECUMSEH PRODUCTS CO. CLASS A	COMMON           878895200    1514     30200 SH       DEFINED 01      20200        0    10000
D TECUMSEH PRODUCTS CO. CLASS A	COMMON           878895200      90      1800 SH       OTHER   01       1800        0        0
D TECUMSEH PRODUCTS CO. CLASS A	COMMON           878895200     256      5100 SH       DEFINED 02       1100        0     4000
D TEKELEC                      	COMMON           879101103      28      2000 SH       DEFINED 01       2000        0        0
D TEKELEC                      	COMMON           879101103     191     13800 SH       DEFINED 02          0        0    13800
D TEKTRONIX, INC.              	COMMON           879131100     168      5000 SH       DEFINED 01       5000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 216
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TEKTRONIX, INC.              	COMMON           879131100     248      7400 SH       DEFINED 02       2400        0     5000
D TEKTRONIX, INC.              	COMMON           879131100      17       500 SH       DEFINED 17        500        0        0
D TELE CELULAR SUL PARTICIPACOE	PREFERRED        879238103      15       790 PRN      DEFINED 17
D TELE CELULAR SUL PARTICIPACOE	PREFERRED        879238103    6458    340990 PRN      DEFINED 19
D TELE DANMARK                 	COMMON           879242105    2582     86800 SH       DEFINED 17      86800        0        0
D TELE NORTE LESTE PART S A    	COMMON           879246106     277     17900 SH       DEFINED 17      17900        0        0
D TELE NORDESTE CELULAR PART S 	COMMON           87924W109       9       395 SH       DEFINED 17        395        0        0
D TELE NORDESTE CELULAR PART S 	COMMON           87924W109    6940    305045 SH       DEFINED 19     305045        0        0
D TELE NORTE CELULAR PARTICIPAC	PREFERRED        87924Y105       5       158 PRN      DEFINED 17
D TELE NORTE CELULAR PARTICIPAC	PREFERRED        87924Y105    6548    229780 PRN      DEFINED 19
D TELE SUDESTE CELULAR PARTICIP	PREFERRED        879252104      34      1580 PRN      DEFINED 17
D TELE SUDESTE CELULAR PARTICIP	PREFERRED        879252104   12902    600080 PRN      DEFINED 19
D TELEBANC FINANCIAL CORP      	COMMON           87925R109     214      9300 SH       DEFINED 01       9300        0        0
D TELEBANC FINANCIAL CORP      	COMMON           87925R109      69      3000 SH       DEFINED 02        400        0     2600
D TELEBANC FINANCIAL CORP      	COMMON           87925R109     610     26500 SH       DEFINED 16      26500        0        0
D TELECOM ARGEN                	COMMON           879273209       0      8122 SH       DEFINED 16       8122        0        0
D TELECOM ARGENTINA STET SP ADR	COMMON           879273209    3550    133000 SH       DEFINED 17     133000        0        0
D TELECOM ARGENTINA STET SP ADR	COMMON           879273209       8       300 SH       DEFINED 18        300        0        0
D TELECOM ITAL                 	COMMON           87927W106    4813     55245 SH       DEFINED 17      55245        0        0
D TELECOMUNICACOES BRASILEIRAS 	PREFERRED        879287100       0      7000 PRN      DEFINED 17
D TELECOMUNICACOES BRASILEIRAS 	PREFERRED        879287100       2     64394 PRN      DEFINED 18
D TELECOMUNICACOES BRASILEIRAS 	PREFERRED        879287100       0      5500 PRN      OTHER   01
D TELECOMUNICAS BRASIL ADR PFD 	PREFERRED        879287308    7277     98000 PRN      DEFINED 16
D TELECOMUNICAS BRASIL ADR PFD 	PREFERRED        879287308   56378    759300 PRN      DEFINED 17
D TELECOMUNICAS BRASIL ADR PFD 	PREFERRED        879287308    2762     37194 PRN      DEFINED 18
D TELECOMUNICAS BRASIL ADR PFD 	PREFERRED        879287308     408      5500 PRN      OTHER   01

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     	PAGE 217
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TELEFLEX, INC.               	COMMON           879369106      79      2000 SH       DEFINED 01       2000        0        0
D TELEFLEX, INC.               	COMMON           879369106     769     19500 SH       OTHER   01          0    19500        0
D TELEFONICA DE ARGENTINA S A  	COMMON           879378206    2171     82300 SH       DEFINED 17      82300        0        0
D TELEFONICA D                 	PREFERRED        879382208    9342    194743 PRN      DEFINED 17
D TELEFONICA DE ESPANA S.A SPON	COMMON           879382208      65      1356 SH       DEFINED 01       1356        0        0
D TELEFONICA DE ESPANA S.A SPON	COMMON           879382208     408      8508 SH       OTHER   01       8508        0        0
D TELEFONICA DE ESPANA S.A SPON	COMMON           879382208      56      1167 SH       DEFINED 05          0        0     1167
D TELEFONICA DE ESPANA S.A SPON	COMMON           879382208      75      1560 SH       OTHER   05          0     1560        0
D CPT TELEFONICA DEL PERU - ADR	COMMON           879384105    3545    263800 SH       DEFINED 16     263800        0        0
D CPT TELEFONICA DEL PERU - ADR	COMMON           879384105    6437    479000 SH       DEFINED 17     479000        0        0
D CPT TELEFONICA DEL PERU - ADR	COMMON           879384105   59380   4418776 SH       DEFINED 18    4418776        0        0
D TELEFONOS DE MEXICO S.A. CV.A	COMMON           879403780      14       200 SH       DEFINED 05        200        0        0
D TELEFONOS DE MEXICO S.A. CV.A	COMMON           879403780    6413     90000 SH       DEFINED 18      90000        0        0
D TELEFONOS DE MEXICO, S.A.    	PREF-CONV        879403AD5       0  31126000 PRN      DEFINED 16
D TELEPHONE & DATA SYSTEMS, INC	COMMON           879433100    2060     23200 SH       DEFINED 01      23200        0        0
D TELEPHONE & DATA SYSTEMS, INC	COMMON           879433100    1927     21700 SH       DEFINED 02        700        0    21000
D TELE LESTE CELULAR PARTICIPAC	PREFERRED        87943B102       5       158 PRN      DEFINED 17
D TELE LESTE CELULAR PARTICIPAC	PREFERRED        87943B102    3839    121400 PRN      DEFINED 19
D TELEMIG CELULAR PARTICPACOES 	PREFERRED        87944E105      12       395 PRN      DEFINED 17
D TELEMIG CELULAR PARTICPACOES 	PREFERRED        87944E105    4965    168310 PRN      DEFINED 19
D TELESPECTRUM WORLDWIDE INC   	COMMON           87951U109     128     21500 SH       DEFINED 02          0        0    21500
D TELESPECTRUM WORLDWIDE INC   	COMMON           87951U109       2       342 SH       DEFINED 16        342        0        0
D TELESP PARTICIPACOES S A     	PREFERRED        87952K100    1109     70400 PRN      DEFINED 17
D TELESP CELULAR PART S A      	PREFERRED        87952L108      83      3160 PRN      DEFINED 17
D TELESP CELULAR PART S A      	PREFERRED        87952L108   15021    574980 PRN      DEFINED 19
D TELLABS, INC.                	COMMON           879664100     284      4986 SH       DEFINED 01       4986        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 218
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TELLABS, INC.                	COMMON           879664100    2904    51008 SH       DEFINED 02           0        0    51008
D TELLABS, INC.                	COMMON           879664100      46      800 SH       DEFINED 05         800        0        0
D TELLABS, INC.                	COMMON           879664100     963    16916 SH       DEFINED 16       16916        0        0
D TELLABS, INC.                	COMMON           879664100    3468    60900 SH       DEFINED 17       60900        0        0
D TEMPLE-INLAND, INC.          	COMMON           879868107   72001  1180349 SH       DEFINED 01      817330        0   363019
D TEMPLE-INLAND, INC.          	COMMON           879868107    2291    37553 SH       OTHER   01        9925    27628        0
D TEMPLE-INLAND, INC.          	COMMON           879868107  229061  3755106 SH       DEFINED 02     3129703        0   625403
D TEMPLE-INLAND, INC.          	COMMON           879868107     305     5000 SH       OTHER   0304      5000        0        0
D TEMPLE-INLAND, INC.          	COMMON           879868107     183     3000 SH       DEFINED 05         500        0     2500
D TEMPLE-INLAND, INC.          	COMMON           879868107    1751    28700 SH       OTHER   09       28700        0        0
D TEMPLE-INLAND, INC.          	COMMON           879868107      37      600 SH       DEFINED 17         600        0        0
D TELETECH HOLDINGS INC        	COMMON           879939106     311    21800 SH       DEFINED 02           0        0    21800
D TEMTEX INDUSTRIES, INC.      	COMMON           880236203     284   140000 SH       DEFINED 01           0        0   140000
D TENET HEALTHCARE CORP.       	COMMON           88033G100   47489  2703910 SH       DEFINED 01     1950710        0   753200
D TENET HEALTHCARE CORP.       	COMMON           88033G100     165     9400 SH       OTHER   01        8800      600        0
D TENET HEALTHCARE CORP.       	COMMON           88033G100  106910  6087215 SH       DEFINED 02     4769378        0  1317837
D TENET HEALTHCARE CORP.       	COMMON           88033G100     283    16100 SH       DEFINED 05       12300        0     3800
D TENET HEALTHCARE CORP.       	COMMON           88033G100      26     1500 SH       OTHER   05           0     1500        0
D TENET HEALTHCARE CORP.       	COMMON           88033G100      60     3400 SH       DEFINED 17        3400        0        0
D TENNECO INC NEW              	COMMON           88037E101   27062  1591900 SH       DEFINED 01     1030800        0   561100
D TENNECO INC NEW              	COMMON           88037E101     128     7500 SH       OTHER   01        2500     5000        0
D TENNECO INC NEW              	COMMON           88037E101   68851  4050040 SH       DEFINED 02     2718740        0  1331300
D TENNECO INC NEW              	COMMON           88037E101     850    50000 SH       OTHER   0304     50000        0        0
D TENNECO INC NEW              	COMMON           88037E101      12      700 SH       DEFINED 05         700        0        0
D TENNECO INC NEW              	COMMON           88037E101      32     1900 SH       DEFINED 17        1900        0        0
D TERADYNE, INC.               	COMMON           880770102     814    23100 SH       DEFINED 01       23100        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 219
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TERADYNE, INC.               	COMMON           880770102   15334    435000 SH       DEFINED 02     425000        0    10000
D TERADYNE, INC.               	COMMON           880770102       2        54 SH       DEFINED 16         54        0        0
D TEREX CORPORATION            	COMMON           880779103    3531    112100 SH       DEFINED 01     112100        0        0
D TEREX CORPORATION            	COMMON           880779103    7655    243000 SH       DEFINED 02     187300        0    55700
D TERRA INDUSTRIES, INC.       	COMMON           880915103      17     10200 SH       DEFINED 02          0        0    10200
D TESORO PETROLEUM CORP.       	COMMON           881609101    1659    100900 SH       DEFINED 01     100900        0        0
D TESORO PETROLEUM CORP.       	COMMON           881609101    1267     76800 SH       DEFINED 02      47900        0    28900
D TESORO PETROLEUM CORP PF 7.25	PREF-CONV        881609408    2049    130600 PRN       DEFINED 01
D TESORO PETROLEUM CORP PF 7.25	PREF-CONV        881609408      97      6200 PRN       DEFINED 02
D TEVA PHARMACEUTICAL INDS. LTD	COMMON           881624209     302      6000 SH       DEFINED 01       3000        0     3000
D TETRA TECHNOLOGIES, INC.     	COMMON           88162F105    1047    102800 SH       DEFINED 01     102800        0        0
D TETRA TECHNOLOGIES, INC.     	COMMON           88162F105     260     25500 SH       DEFINED 02      23700        0     1800
D TETRA TECHNOLOGIES, INC.  NEW	COMMON           88162G103     500     29978 SH       DEFINED 02      27050        0     2928
D TEXACO                       	COMMON           881694103    6944    110000 SH       DEFINED 18     110000        0        0
D TEXACO, INC.                 	COMMON           881694103  109850   1740197 SH       DEFINED 01    1203451        0   536746
D TEXACO, INC.                 	COMMON           881694103   18136    287308 SH       OTHER   01      98112   189196        0
D TEXACO, INC.                 	COMMON           881694103  213428   3381039 SH       DEFINED 02    2305100        0  1075939
D TEXACO, INC.                 	COMMON           881694103    4630     73346 SH       DEFINED 05      40546        0    32800
D TEXACO, INC.                 	COMMON           881694103     391      6200 SH       OTHER   05       6200        0        0
D TEXACO, INC.                 	COMMON           881694103      13       200 SH       DEFINED 16        200        0        0
D TEXAS INDUSTRIES, INC.       	COMMON           882491103      44      1200 SH       DEFINED 01       1200        0        0
D TEXAS INDUSTRIES, INC.       	COMMON           882491103     803     21700 SH       DEFINED 02       6900        0    14800
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104  293116   3563724 SH       DEFINED 01    2322420        0  1241304
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104    5092     61905 SH       OTHER   01      24460    37445        0
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104  623191   7576792 SH       DEFINED 02    5530449        0  2046342
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104    1451     17640 SH       DEFINED 05       6800        0    10840

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 220
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104    2908     35350 SH       OTHER   09      35350        0        0
D TEXAS INSTRUMENTS, INC.      	COMMON           882508104     921     11200 SH       DEFINED 17      11200        0        0
D TEXAS REGIONAL BANCSHARES,INC	COMMON           882673106     297     12000 SH       DEFINED 02          0        0    12000
D TEXAS UTILITIES CO.          	COMMON           882848104   30960    829725 SH       DEFINED 01     611000        0   218725
D TEXAS UTILITIES CO.          	COMMON           882848104     229      6130 SH       OTHER   01       2400     3730        0
D TEXAS UTILITIES CO.          	COMMON           882848104   62518   1675498 SH       DEFINED 02    1129998        0   545500
D TEXAS UTILITIES CO.          	COMMON           882848104     116      3100 SH       DEFINED 17       3100        0        0
D TEXTRON INC                  	COMMON           883203101       3        43 SH       DEFINED 16         43        0        0
D TEXTRON, INC.                	COMMON           883203101     352      4550 SH       DEFINED 01       1050        0     3500
D TEXTRON, INC.                	COMMON           883203101    3853     49800 SH       DEFINED 02          0        0    49800
D TEXTRON, INC.                	COMMON           883203101     155      2000 SH       DEFINED 06       2000        0        0
D TEXTRON, INC.                	COMMON           883203101     124      1600 SH       DEFINED 17       1600        0        0
D THERAGENICS CORPORATION      	COMMON           883375107     189     14800 SH       DEFINED 01      14800        0        0
D THERAGENICS CORPORATION      	COMMON           883375107     217     17000 SH       DEFINED 02       2200        0    14800
D THERMO POWER CORP.           	COMMON           883589103    1602    135650 SH       DEFINED 01          0        0   135650
D THERMO POWER CORP.           	COMMON           883589103      44      3700 SH       DEFINED 02          0        0     3700
D THERMOLASE CORP.             	COMMON           883624108     188    100000 SH       DEFINED 01          0        0   100000
D THERMORETEC CORPORATION      	COMMON           883656100      78     14800 SH       DEFINED 02          0        0    14800
D THESTREET COM                	COMMON           88368Q103     270     14900 SH       DEFINED 01      14900        0        0
D THESTREET COM                	COMMON           88368Q103     614     33900 SH       DEFINED 02      25400        0     8500
D THERMEDICS, INC.             	COMMON           883901100     738    100000 SH       DEFINED 01          0        0    100000
D THERMEDICS, INC.             	COMMON           883901100      55      7500 SH       DEFINED 02          0        0     7500
D THOMAS & BET                 	COMMON           884315102       9       185 SH       DEFINED 16        185        0        0
D THOMAS & BETTS CORP.         	COMMON           884315102    1937     37986 SH       DEFINED 01      37700        0      286
D THOMAS & BETTS CORP.         	COMMON           884315102     482      9450 SH       DEFINED 02       1400        0     8050
D THOMAS & BETTS CORP.         	COMMON           884315102      31       600 SH       DEFINED 17        600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 221
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D THOMAS INDUSTRIES, INC.      	COMMON           884425109     381     20400 SH       DEFINED 01      20400        0        0
D THOMAS INDUSTRIES, INC.      	COMMON           884425109     245     13100 SH       DEFINED 02       7100        0     6000
D THORNBURG MORTGAGE ASSET CORP	COMMON           885218107      29      3300 SH       DEFINED 01       3300        0        0
D THORNBURG MORTGAGE ASSET CORP	COMMON           885218107      70      7900 SH       DEFINED 02          0        0     7900
D 3COM CORP                    	COMMON           885535104      32      1100 SH       DEFINED 16       1100        0        0
D 3COM CORP.                   	COMMON           885535104   21236    738653 SH       DEFINED 01     530400        0   208253
D 3COM CORP.                   	COMMON           885535104     150      5200 SH       OTHER   01       5200        0        0
D 3COM CORP.                   	COMMON           885535104   37923   1319055 SH       DEFINED 02     863455        0   455600
D 3COM CORP.                   	COMMON           885535104     335     11666 SH       DEFINED 17      11666        0        0
D 3DO COMPANY                  	COMMON           88553W105    5947    590950 SH       DEFINED 01     457400        0   133550
D 3DO COMPANY                  	COMMON           88553W105    3398    337700 SH       DEFINED 02     252600        0    85100
D 3DO COMPANY                  	COMMON           88553W105      49      4900 SH       DEFINED 05          0        0     4900
D 3DFX INTERACTIVE INC         	COMMON           88553X103    2265    274572 SH       DEFINED 01          0        0   274572
D 3DFX INTERACTIVE INC         	COMMON           88553X103      22      2700 SH       DEFINED 02          0        0     2700
D TICKETMASTER ONLINE-CITYSEAR 	COMMON           88633P203     206      8500 SH       DEFINED 01       8500        0        0
D TICKETMASTER ONLINE-CITYSEAR 	COMMON           88633P203     472     19500 SH       DEFINED 02      14600        0     4900
D TIDEWATER, INC.              	COMMON           886423102    2119     83100 SH       DEFINED 01      83100        0        0
D TIDEWATER, INC.              	COMMON           886423102     417     16370 SH       DEFINED 02       3400        0    12970
D TIFFANY & CO.                	COMMON           886547108    3434     57300 SH       DEFINED 01      52900        0     4400
D TIFFANY & CO.                	COMMON           886547108    1732     28900 SH       DEFINED 02       8200        0    20700
D TIFFANY & CO.                	COMMON           886547108      14       227 SH       DEFINED 16        227        0        0
D TIME WARNER, INC.            	COMMON           887315109   91255   1502138 SH       DEFINED 01     794884        0   707254
D TIME WARNER, INC.            	COMMON           887315109   21863    359889 SH       OTHER   01     104515   255374        0
D TIME WARNER, INC.            	COMMON           887315109   26475    435796 SH       DEFINED 02     201350        0   234446
D TIME WARNER, INC.            	COMMON           887315109    9374    154303 SH       DEFINED 05      74731        0    79572
D TIME WARNER, INC.            	COMMON           887315109     875     14400 SH       OTHER   05      10400     4000        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 222
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TIME WARNER, INC.            	COMMON           887315109    1210     19915 SH       DEFINED 17      19915        0        0
D TIMES MIRROR CO. SER. A COMM 	COMMON           887364107   31196    474007 SH       DEFINED 01     327358        0   146649
D TIMES MIRROR CO. SER. A COMM 	COMMON           887364107     931     14142 SH       OTHER   01        900    13242        0
D TIMES MIRROR CO. SER. A COMM 	COMMON           887364107   38756    588874 SH       DEFINED 02     360674        0   228200
D TIMES MIRROR CO. SER. A COMM 	COMMON           887364107      53       800 SH       DEFINED 17        800        0        0
D TITAN EXPL INC               	COMMON           888289105     230     46500 SH       DEFINED 02          0        0    46500
D TITAN EXPL INC               	COMMON           888289105     242     49060 SH       DEFINED 16      49060        0        0
D TITAN PHARMACEUTICALS INC DE 	COMMON           888314101    1741    185700 SH       DEFINED 17     185700        0        0
D TITANIUM METALS CORP         	PREFERRED        888339108     129     14400 PRN      DEFINED 02
D TOLL BROTHERS, INC.          	COMMON           889478103     269     14100 SH       DEFINED 02          0        0    14100
D TOO INC                      	COMMON           890333107    4654    259445 SH       DEFINED 01     259160        0      285
D TOO INC                      	COMMON           890333107      26      1428 SH       DEFINED 02       1428        0        0
D TOO INC                      	COMMON           890333107       6       342 SH       DEFINED 17        342        0        0
D TOOTSIE ROLL INDUSTRIES, INC.	COMMON           890516107      38      1165 SH       DEFINED 01          0        0     1165
D TOOTSIE ROLL INDUSTRIES, INC.	COMMON           890516107     305      9272 SH       OTHER   01       9272        0        0
D TOOTSIE ROLL INDUSTRIES, INC.	COMMON           890516107     967     29400 SH       DEFINED 02        100        0    29300
D TORCHMARK CORP.              	COMMON           891027104   14287    552168 SH       DEFINED 01     455768        0    96400
D TORCHMARK CORP.              	COMMON           891027104      34      1300 SH       OTHER   01       1300        0        0
D TORCHMARK CORP.              	COMMON           891027104   25580    988594 SH       DEFINED 02     645694        0   342900
D TORCHMARK CORP.              	COMMON           891027104     776     30000 SH       DEFINED 17      30000        0        0
D TOSCO CORP.                  	COMMON           891490302   61343   2429411 SH       DEFINED 01    1499655        0   929756
D TOSCO CORP.                  	COMMON           891490302    3535    139989 SH       OTHER   01      76545    63444        0
D TOSCO CORP.                  	COMMON           891490302  164557   6517098 SH       DEFINED 02    5446698        0  1070400
D TOSCO CORP.                  	COMMON           891490302    1263     50000 SH       OTHER   0304    50000        0        0
D TOSCO CORP.                  	COMMON           891490302      25      1000 SH       DEFINED 05        500        0      500
D TOSCO CORP.                  	COMMON           891490302    1414     56000 SH       OTHER   09      56000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 223
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TOTAL CONTAINMENT INC        	COMMON           89149T101     650     200000 SH       DEFINED 01         0        0   200000
D TOTAL RENAL CARE HOLDINGS,INC	COMMON           89151A107    1885     253400 SH       DEFINED 01     53400        0   200000
D TOTAL RENAL CARE HOLDINGS,INC	COMMON           89151A107     104      14000 SH       DEFINED 02     14000        0        0
D TOTAL ADR                    	COMMON           89151E109       0       4300 SH       DEFINED 16      4300        0        0
D TOWER AUTOMOTIVE, INC.       	COMMON           891707101    1407      71000 SH       DEFINED 01     71000        0        0
D TOWER AUTOMOTIVE, INC.       	COMMON           891707101    3010     151900 SH       DEFINED 02     50400        0   101500
D TOTAL SYSTEM SERVICES, INC.  	COMMON           891906109     920      56600 SH       DEFINED 02         0        0    56600
D TOYS R US, INC.              	COMMON           892335100    3747     249781 SH       DEFINED 01    140449        0   109332
D TOYS R US, INC.              	COMMON           892335100     558      37173 SH       OTHER   01         0    37173        0
D TOYS R US, INC.              	COMMON           892335100   28742    1916100 SH       DEFINED 02   1353600        0   562500
D TOYS R US, INC.              	COMMON           892335100     131       8700 SH       DEFINED 05       700        0     8000
D TOYS R US, INC.              	COMMON           892335100      41       2700 SH       DEFINED 17      2700        0        0
D TRANSACTION NETWORK SVCS INC 	COMMON           893414102      63       1600 SH       DEFINED 01      1600        0        0
D TRANSACTION NETWORK SVCS INC 	COMMON           893414102     287       7300 SH       DEFINED 02       900        0     6400
D TRANSACTION SYSTEMS ARCHITECT	COMMON           893416107    1805      67000 SH       DEFINED 01     67000        0        0
D TRANSACTION SYSTEMS ARCHITECT	COMMON           893416107     676      25100 SH       DEFINED 02     18200        0     6900
D TRANSATLANTIC HOLDINGS, INC. 	COMMON           893521104     281       4000 SH       OTHER   01         0     4000        0
D TRANSCANADA PIPELINES LTD.   	COMMON           893526103      16       1200 SH       DEFINED 01         0        0     1200
D TRANSCANADA PIPELINES LTD.   	COMMON           893526103     370      28300 SH       OTHER   01     12300    16000        0
D TRANSCANADA PIPELINES LTD.   	COMMON           893526103     653      50000 SH       OTHER   0304   50000        0        0
D TRANSCANADA PIPELINES LTD.   	COMMON           893526103     105       8000 SH       DEFINED 05      7900        0      100
D TRANSKARYOTIC THERAPIES INC  	COMMON           893735100     601      11700 SH       DEFINED 02         0        0    11700
D TRANSPORTADORA DE GAS SUR    	COMMON           893870204     903     110300 SH       DEFINED 17    110300        0        0
D TRANSMONTAIGNE INC           	COMMON           893934109     215      14300 SH       DEFINED 02         0        0    14300
D TRAVELERS PROPERTY CAUSALTY C	COMMON           893939108    6396     216800 SH       DEFINED 01    171500        0    45300
D TRAVELERS PROPERTY CAUSALTY C	COMMON           893939108      24        800 SH       OTHER   01       800        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 224
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TRAVELERS PROPERTY CAUSALTY C	COMMON           893939108   10428    353506 SH       DEFINED 02     237206        0   116300
D TRAVELERS PROPERTY CAUSALTY C	COMMON           893939108     620     21000 SH       DEFINED 17      21000        0        0
D TRAVELERS PROPERTY CAUSALTY C	COMMON           893939108      76      2592 SH       DEFINED 19       2592        0        0
D TRANSWITCH CORP.             	COMMON           894065101    1043     18300 SH       DEFINED 01      18300        0        0
D TRANSWITCH CORP.             	COMMON           894065101     194      3400 SH       DEFINED 02       3400        0        0
D TREDEGAR INDUSTRIES, INC.    	COMMON           894650100     539     25200 SH       DEFINED 02          0        0    25200
D TRENWICK GROUP, INC.         	COMMON           895290104     179     10800 SH       DEFINED 02          0        0    10800
D TRIAD HOSPITALS INC          	COMMON           89579K109      13      1316 SH       DEFINED 01        814        0      502
D TRIAD HOSPITALS INC          	COMMON           89579K109       2       159 SH       DEFINED 02          7        0      152
D TRIAD HOSPITALS INC          	COMMON           89579K109      36      3552 SH       DEFINED 16       3552        0        0
D TRIAD HOSPITALS INC          	COMMON           89579K109      68      6736 SH       DEFINED 17       6736        0        0
D TRIAD HOSPITALS INC          	COMMON           89579K109     466     46184 SH       DEFINED 18      46184        0        0
D TRIAD HOSPITALS INC          	COMMON           89579K109   11252   1107402 SH       DEFINED 19    1107402        0        0
D TRIANGLE PHARMACEUTICALS INC 	COMMON           89589H104    4039    209800 SH       DEFINED 01     169200        0    40600
D TRIANGLE PHARMACEUTICALS INC 	COMMON           89589H104    3746    194600 SH       DEFINED 02     133000        0    61600
D TRIANGLE PHARMACEUTICALS INC 	COMMON           89589H104      27      1400 SH       DEFINED 05          0        0     1400
D TRIAD GUARANTY, INC.         	COMMON           895925105     451     26700 SH       DEFINED 02       3400        0    23300
D TRICON GLOBAL RESTAURANTS,INC	COMMON           895953107    6377    155765 SH       DEFINED 01       9545        0   146220
D TRICON GLOBAL RESTAURANTS,INC	COMMON           895953107     303      7411 SH       OTHER   01        525     6886        0
D TRICON GLOBAL RESTAURANTS,INC	COMMON           895953107     491     12000 SH       DEFINED 02          0        0    12000
D TRICON GLOBAL RESTAURANTS,INC	COMMON           895953107       1        24 SH       DEFINED 05         24        0        0
D TRICON GLOBAL RESTAURANTS,INC	COMMON           895953107      70      1700 SH       DEFINED 17       1700        0        0
D TRIBUNE COMPANY              	COMMON           896047107   14011    281628 SH       DEFINED 01     281628        0        0
D TRIBUNE COMPANY              	COMMON           896047107     358      7200 SH       OTHER   01          0     7200        0
D TRIBUNE COMPANY              	COMMON           896047107       1        12 SH       DEFINED 02         12        0        0
D TRIBUNE COMPANY              	COMMON           896047107     129      2600 SH       DEFINED 17       2600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 225
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TRICO MARINE SERVICES, INC.  	COMMON           896106101     217     26100 SH       DEFINED 02      11400        0    14700
D TRIMERIS, INC.               	COMMON           896263100     382     22900 SH       DEFINED 01      22900        0        0
D TRIMERIS, INC.               	COMMON           896263100     948     56800 SH       DEFINED 02      43300        0    13500
D TRINET CORP. REALTY TRUST,INC	COMMON           896287109    1736     72900 SH       DEFINED 01      72900        0        0
D TRINET CORP. REALTY TRUST,INC	COMMON           896287109    4251    178500 SH       DEFINED 02     163100        0    15400
D TRINITY INDUSTRIES, INC.     	COMMON           896522109     222      7200 SH       DEFINED 01       7200        0        0
D TRINITY INDUSTRIES, INC.     	COMMON           896522109     571     18500 SH       DEFINED 02      13200        0     5300
D TRIQUINT SEMICONDUCTOR, INC. 	COMMON           89674K103     663     11600 SH       DEFINED 01      11600        0        0
D TRIQUINT SEMICONDUCTOR, INC. 	COMMON           89674K103     149      2600 SH       DEFINED 02       2600        0        0
D TRUE NORTH COMMUNICATIONS,INC	COMMON           897844106     618     17000 SH       DEFINED 01      17000        0        0
D TRUE NORTH COMMUNICATIONS,INC	COMMON           897844106     997     27400 SH       DEFINED 02       2600        0    24800
D TRUST COMPANY OF NEW JERSEY  	COMMON           898304100    1194     51900 SH       DEFINED 02          0        0    51900
D TRUSTCO BANK CORP. N. Y.     	COMMON           898349105     857     29007 SH       DEFINED 02          0        0    29007
D TRUSTMARK CORP.              	COMMON           898402102     761     33800 SH       DEFINED 02          0        0    33800
D TUBOS DE ACERO MEXICO S.A.A/D	COMMON           898592506     130     10589 SH       DEFINED 17      10589        0        0
D TUMBLEWEED COMMUNICATIONS CO 	COMMON           899690101    1749     65400 SH       DEFINED 01      65400        0        0
D TUMBLEWEED COMMUNICATIONS CO 	COMMON           899690101    4090    152900 SH       DEFINED 02     114700        0    38200
D TUPPERWARE CORP.             	COMMON           899896104    1278     63100 SH       DEFINED 01      61100        0     2000
D TUPPERWARE CORP.             	COMMON           899896104     247     12200 SH       DEFINED 02      12200        0        0
D TUPPERWARE CORP.             	COMMON           899896104      12       600 SH       DEFINED 17        600        0        0
D TV AZTECA, S.A. DE C.V.      	COMMON           901145102     193     38500 SH       DEFINED 17      38500        0        0
D 24 / 7 MEDIA INC             	COMMON           901314104   15620    412400 SH       DEFINED 01     320700        0    91700
D 24 / 7 MEDIA INC             	COMMON           901314104    6556    173100 SH       DEFINED 02     131900        0    41200
D 24 / 7 MEDIA INC             	COMMON           901314104     125      3300 SH       DEFINED 05          0        0     3300
D TYCO INTERNATIONAL LTD.      	COMMON           902124106  563943   5461922 SH       DEFINED 01    3352757        0  2109165
D TYCO INTERNATIONAL LTD.      	COMMON           902124106   47736    462332 SH       OTHER   01     211447   250885        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 226
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D TYCO INTERNATIONAL LTD.      	COMMON           902124106 1052234  10191131 SH       DEFINED 02    7655026        0  2536105
D TYCO INTERNATIONAL LTD.      	COMMON           902124106    4646     45000 SH       OTHER   0304    45000        0        0
D TYCO INTERNATIONAL LTD.      	COMMON           902124106    7705     74620 SH       DEFINED 05      28802        0    45818
D TYCO INTERNATIONAL LTD.      	COMMON           902124106     186      1800 SH       OTHER   05          0     1800        0
D TYCO INTERNATIONAL LTD.      	COMMON           902124106    5498     53250 SH       OTHER   09      53250        0        0
D TYCO INTERNATIONAL LTD.      	COMMON           902124106   12266    118800 SH       DEFINED 16     118800        0        0
D TYCO INTERNATIONAL LTD.      	COMMON           902124106     951      9212 SH       DEFINED 17       9212        0        0
D UCAR INTERNATIONAL, INC.     	COMMON           90262K109     205      9000 SH       DEFINED 02       9000        0        0
D UGI CORP.                    	COMMON           902681105    1460     62800 SH       DEFINED 02          0        0    62800
D UICI                         	COMMON           902737105     335     13100 SH       DEFINED 02       1900        0    11200
D UMB FINL CORP                	COMMON           902788108     209      5000 SH       DEFINED 02       5000        0        0
D UST CORP.                    	COMMON           902900109     326     10600 SH       DEFINED 02       1800        0     8800
D UST CORP.                    	COMMON           902900109    6178    200900 SH       DEFINED 16     200900        0        0
D USX-MARATHON GROUP           	COMMON           902905827      85      2890 SH       DEFINED 01          0        0     2890
D USX-MARATHON GROUP           	COMMON           902905827    1512     51700 SH       DEFINED 17      51700        0        0
D UST, INC.                    	COMMON           902911106     229      7600 SH       DEFINED 01        600        0     7000
D UST, INC.                    	COMMON           902911106      57      1900 SH       DEFINED 17       1900        0        0
D U.S. BANCORP                 	COMMON           902973106  130418   4320195 SH       DEFINED 01    2922830        0  1397365
D U.S. BANCORP                 	COMMON           902973106    9934    329058 SH       OTHER   01     208190   120868        0
D U.S. BANCORP                 	COMMON           902973106  398083  13186797 SH       DEFINED 02   10316540        0  2870257
D U.S. BANCORP                 	COMMON           902973106     755     25000 SH       OTHER   0304    25000        0        0
D U.S. BANCORP                 	COMMON           902973106      75      2500 SH       DEFINED 05       2500        0        0
D U.S. BANCORP                 	COMMON           902973106      36      1200 SH       OTHER   05          0     1200        0
D U.S. BANCORP                 	COMMON           902973106    2438     80750 SH       OTHER   09      80750        0        0
D U.S. BANCORP                 	COMMON           902973106     238      7900 SH       DEFINED 17       7900        0        0
D USA NETWORKS, INC.           	COMMON           902984103     745     19217 SH       DEFINED 01      19017        0      200

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 227
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D USA NETWORKS, INC.           	COMMON           902984103    2445     63100 SH       DEFINED 02          0        0    63100
D USA NETWORKS, INC.           	COMMON           902984103     193      4974 SH       DEFINED 16       4974        0        0
D USG CORP.                    	COMMON           903293405    5926    124435 SH       DEFINED 01      83385        0    41050
D USG CORP.                    	COMMON           903293405     152      3200 SH       OTHER   01       1600     1600        0
D USG CORP.                    	COMMON           903293405    5294    111170 SH       DEFINED 02      66170        0    45000
D U S FOODSERVICE              	COMMON           90331R101      22      1210 SH       DEFINED 01          0        0     1210
D U S FOODSERVICE              	COMMON           90331R101     628     34912 SH       DEFINED 02          0        0    34912
D USEC INC                     	COMMON           90333E108   15017   1465100 SH       DEFINED 01     938400        0   526700
D USEC INC                     	COMMON           90333E108       9       900 SH       OTHER   01        900        0        0
D USEC INC                     	COMMON           90333E108   36742   3584550 SH       DEFINED 02    2701250        0   883300
D USX-U.S. STEEL GROUP.        	COMMON           90337T101   13367    519100 SH       DEFINED 01     365800        0   153300
D USX-U.S. STEEL GROUP.        	COMMON           90337T101   62137   2413080 SH       DEFINED 02    2039280        0   373800
D USX-U.S. STEEL GROUP.        	COMMON           90337T101      26      1000 SH       DEFINED 17       1000        0        0
D U S XPRESS ENTERPRISES INC CL	COMMON           90338N103      87     15000 SH       DEFINED 02          0        0    15000
D US ONCOLOGY INC              	COMMON           90338W103     507     55900 SH       DEFINED 01      55900        0        0
D US ONCOLOGY INC              	COMMON           90338W103     105     11600 SH       DEFINED 02       9500        0     2100
D THE ULTIMATE SOFTWARE GROUP, 	COMMON           90385D107    7270    969267 SH       DEFINED 19     969267        0        0
D ULTRALIFE BATTERIES, INC.    	COMMON           903899102    1200    300000 SH       DEFINED 01          0        0   300000
D ULTRAMAR DIAMOND SHAMROCK COR	COMMON           904000106   31633   1240525 SH       DEFINED 01     800100        0   440425
D ULTRAMAR DIAMOND SHAMROCK COR	COMMON           904000106     682     26734 SH       OTHER   01        500    26234        0
D ULTRAMAR DIAMOND SHAMROCK COR	COMMON           904000106   44350   1739230 SH       DEFINED 02    1255730        0   483500
D ULTRAMAR DIAMOND SHAMROCK COR	COMMON           904000106      36      1400 SH       DEFINED 05       1400        0        0
D UNIBANCO-UNI                 	COMMON           90458E107       0     19000 SH       DEFINED 16      19000        0        0
D UNIBANCO-UNIAO DE BANCOS BRA 	COMMON           90458E107    9905    560000 SH       DEFINED 01     560000        0        0
D UNIBANCO-UNIAO DE BANCOS BRA 	COMMON           90458E107     279     15800 SH       DEFINED 17      15800        0        0
D UNIBANCO-UNIAO DE BANCOS BRA 	COMMON           90458E107    1678     95000 SH       DEFINED 19      95000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 228
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D UNICAPITAL CORP NEW          	COMMON           90459D108     292     91600 SH       DEFINED 01      91600        0        0
D UNICAPITAL CORP NEW          	COMMON           90459D108      36     11200 SH       DEFINED 02      11200        0        0
D UNIFI, INC.                  	COMMON           904677101    4406    400500 SH       DEFINED 01     248600        0   151900
D UNIFI, INC.                  	COMMON           904677101       9       800 SH       OTHER   01        800        0        0
D UNIFI, INC.                  	COMMON           904677101   10165    924100 SH       DEFINED 02     733700        0   190400
D UNIFI, INC.                  	COMMON           904677101       7       600 SH       DEFINED 05        600        0        0
D UNIFIRST CORP.               	COMMON           904708104     620     45100 SH       DEFINED 02          0        0    45100
D UNILEVER N V NY SHS          	COMMON           904784709  179119   2629273 SH       DEFINED 01    1695794        0   933479
D UNILEVER N V NY SHS          	COMMON           904784709    6452     94705 SH       OTHER   01      18981    75724        0
D UNILEVER N V NY SHS          	COMMON           904784709  231057   3391661 SH       DEFINED 02    2387967        0  1003694
D UNILEVER N V NY SHS          	COMMON           904784709    5434     79759 SH       DEFINED 05      34961        0    44798
D UNILEVER N V NY SHS          	COMMON           904784709     426      6247 SH       OTHER   05       3927     2320        0
D UNILEVER N V NY SHS          	COMMON           904784709    1535     22539 SH       OTHER   09      22539        0        0
D UNILEVER N V NY SHS          	COMMON           904784709    1675     24592 SH       DEFINED 17      24592        0        0
D UNICOM CORP.                 	COMMON           904911104    1260     34100 SH       DEFINED 01      22300        0    11800
D UNICOM CORP.                 	COMMON           904911104      92      2500 SH       OTHER   01       2500        0        0
D UNICOM CORP.                 	COMMON           904911104    1729     46800 SH       DEFINED 02      19800        0    27000
D UNICOM CORP.                 	COMMON           904911104      89      2400 SH       DEFINED 17       2400        0        0
D UNION CARBIDE                	COMMON           905581104       0     31161 SH       DEFINED 16      31161        0        0
D UNION CARBIDE CORP.          	COMMON           905581104   54877    965927 SH       DEFINED 01     704445        0   261482
D UNION CARBIDE CORP.          	COMMON           905581104    1320     23242 SH       OTHER   01      12500    10742        0
D UNION CARBIDE CORP.          	COMMON           905581104   80601   1418704 SH       DEFINED 02     895304        0   523400
D UNION CARBIDE CORP.          	COMMON           905581104     148      2600 SH       DEFINED 05       2600        0        0
D UNION CARBIDE CORP.          	COMMON           905581104      80      1400 SH       DEFINED 17       1400        0        0
D UNION PACIFIC CORP.          	COMMON           907818108  153609   3195991 SH       DEFINED 01    1943949        0  1252042
D UNION PACIFIC CORP.          	COMMON           907818108   21339    443978 SH       OTHER   01     154581   289397        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 229
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D UNION PACIFIC CORP.          	COMMON           907818108  352590   7335991 SH       DEFINED 02    5739914        0  1596077
D UNION PACIFIC CORP.          	COMMON           907818108    2740     57000 SH       OTHER   0304    57000        0        0
D UNION PACIFIC CORP.          	COMMON           907818108    1295     26942 SH       DEFINED 05      12042        0    14900
D UNION PACIFIC CORP.          	COMMON           907818108     285      5920 SH       OTHER   05       3600     2320        0
D UNION PACIFIC CORP.          	COMMON           907818108    2050     42650 SH       OTHER   09      42650        0        0
D UNION PACIFIC CORP.          	COMMON           907818108     130      2700 SH       DEFINED 17       2700        0        0
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105    3012    185371 SH       DEFINED 01     171128        0    14243
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105     593     36502 SH       OTHER   01      15365    21137        0
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105     413     25404 SH       DEFINED 02       7404        0    18000
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105       5       300 SH       DEFINED 05          0        0      300
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105      32      1964 SH       OTHER   05          0     1964        0
D UNION PACIFIC RESOURCES GROUP	COMMON           907834105      44      2700 SH       DEFINED 17       2700        0        0
D UNION PLANTERS CORP.         	COMMON           908068109   50108   1229650 SH       DEFINED 01     752450        0   477200
D UNION PLANTERS CORP.         	COMMON           908068109     171      4200 SH       OTHER   01       3900      300        0
D UNION PLANTERS CORP.         	COMMON           908068109  120062   2946309 SH       DEFINED 02    1951004        0   995305
D UNION PLANTERS CORP.         	COMMON           908068109    1121     27500 SH       OTHER   0304    27500        0        0
D UNION PLANTERS CORP.         	COMMON           908068109    3052     74900 SH       DEFINED 05      24700        0    50200
D UNION PLANTERS CORP.         	COMMON           908068109     249      6100 SH       OTHER   05       5100     1000        0
D UNION PLANTERS CORP.         	COMMON           908068109      65      1600 SH       DEFINED 17       1600        0        0
D UNISOURCE ENERGY CORP        	COMMON           909205106     524     44400 SH       DEFINED 01      44400        0        0
D UNISOURCE ENERGY CORP        	COMMON           909205106     865     73200 SH       DEFINED 02      22600        0    50600
D UNISYS CORP.                 	COMMON           909214108    1314     29121 SH       DEFINED 01       9121        0    20000
D UNISYS CORP.                 	COMMON           909214108    3090     68481 SH       DEFINED 02      57181        0    11300
D UNISYS CORP.                 	COMMON           909214108     131      2900 SH       DEFINED 17       2900        0        0
D UNIT CORP.                   	COMMON           909218109     383     50700 SH       DEFINED 01      50700        0        0
D UNIT CORP.                   	COMMON           909218109    1578    208600 SH       DEFINED 02     170100        0    38500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 230
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D UNITED AUTO GROUP INC        	COMMON           909440109     117      9200 SH       DEFINED 02          0        0     9200
D UNITED AUTO GROUP INC        	COMMON           909440109    8044    633994 SH       DEFINED 19      33994        0        0
D UNITED DOMINION INDUSTRIES LT	COMMON           909914103    2140     90100 SH       DEFINED 02          0        0    90100
D UNITED DOMINION REALTY TRUST,	COMMON           910197102    2903    259500 SH       DEFINED 01     259500        0        0
D UNITED DOMINION REALTY TRUST,	COMMON           910197102    7401    661500 SH       DEFINED 02     585500        0    76000
D UNITED HEALTHCARE CORP.      	COMMON           910581107    5609    115210 SH       DEFINED 01      53800        0    61410
D UNITED HEALTHCARE CORP.      	COMMON           910581107      66      1350 SH       OTHER   01       1200      150        0
D UNITED HEALTHCARE CORP.      	COMMON           910581107   15748    323456 SH       DEFINED 02     168536        0   154920
D UNITED HEALTHCARE CORP.      	COMMON           910581107      10       200 SH       DEFINED 05        200        0        0
D UNITED HEALTHCARE CORP.      	COMMON           910581107    2941     60400 SH       DEFINED 16      60400        0        0
D UNITED HEALTHCARE CORP.      	COMMON           910581107     443      9100 SH       DEFINED 17       9100        0        0
D UNITED NATIONAL BANCORP (N.J.	COMMON           910909100     315     13538 SH       DEFINED 02          0        0    13538
D UNITED RENTALS INC           	COMMON           911363109    2891    132900 SH       DEFINED 01     132900        0        0
D UNITED RENTALS INC           	COMMON           911363109     498     22900 SH       DEFINED 02       6100        0    16800
D UNITED RENTALS INC           	COMMON           911363109     148      6800 SH       DEFINED 16       6800        0        0
D UNITED RETAIL GROUP, INC.    	COMMON           911380103     203     17100 SH       DEFINED 01          0        0    17100
D US BIOSCIENCE, INC.          	COMMON           911646206   13982    981200 SH       DEFINED 01     730900        0   250300
D US BIOSCIENCE, INC.          	COMMON           911646206   10428    731800 SH       DEFINED 02     654600        0    77200
D US BIOSCIENCE, INC.          	COMMON           911646206     130      9100 SH       DEFINED 05          0        0     9100
D UNITED STATES CELLULAR CORP. 	COMMON           911684108       7       100 SH       DEFINED 01        100        0        0
D UNITED STATES CELLULAR CORP. 	COMMON           911684108    1455     21400 SH       DEFINED 02          0        0    21400
D USAIR GROUP, INC.            	COMMON           911905107      24       900 SH       DEFINED 01        900        0        0
D USAIR GROUP, INC.            	COMMON           911905107     522     19900 SH       DEFINED 02       2200        0    17700
D USAIR GROUP, INC.            	COMMON           911905107      21       800 SH       DEFINED 17        800        0        0
D U. S. HOME CORP.             	COMMON           911920106     378     13600 SH       DEFINED 02       2200        0    11400
D U. S. INDUSTRIES, INC.       	COMMON           912080108    2466    156600 SH       DEFINED 01     154600        0     2000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 231
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D U. S. INDUSTRIES, INC.       	COMMON           912080108     402     25500 SH       DEFINED 02       6900        0    18600
D U S WEST INC                 	COMMON           91273H101   21890    383603 SH       DEFINED 01     238397        0   145206
D U S WEST INC                 	COMMON           91273H101    7680    134593 SH       OTHER   01      36639    97954        0
D U S WEST INC                 	COMMON           91273H101   17929    314191 SH       DEFINED 02     161640        0   152551
D U S WEST INC                 	COMMON           91273H101    1997     35000 SH       OTHER   0304    35000        0        0
D U S WEST INC                 	COMMON           91273H101    2203     38603 SH       DEFINED 05      17396        0    21207
D U S WEST INC                 	COMMON           91273H101     235      4120 SH       OTHER   05       4120        0        0
D U S WEST INC                 	COMMON           91273H101    4452     78016 SH       DEFINED 16      78016        0        0
D U S WEST INC                 	COMMON           91273H101     314      5500 SH       DEFINED 17       5500        0        0
D UNITED STATIONERS, INC.      	COMMON           913004107    1458     68400 SH       DEFINED 01      68400        0        0
D UNITED STATIONERS, INC.      	COMMON           913004107    7448    349448 SH       DEFINED 02      22800        0   326648
D UNITED TECH                  	COMMON           913017109       0    266421 SH       DEFINED 16     266421        0        0
D UNITED TECHNOLOGIES CORP.    	COMMON           913017109    4016     67710 SH       DEFINED 01      43524        0    24186
D UNITED TECHNOLOGIES CORP.    	COMMON           913017109    2859     48200 SH       OTHER   01      29000    19200        0
D UNITED TECHNOLOGIES CORP.    	COMMON           913017109    3731     62900 SH       DEFINED 02          0        0    62900
D UNITED TECHNOLOGIES CORP.    	COMMON           913017109      27       460 SH       DEFINED 05          0        0      460
D UNITED TECHNOLOGIES CORP.    	COMMON           913017109     314      5300 SH       DEFINED 17       5300        0        0
D UNITED TELEVISION, INC.      	COMMON           913066106     271      2400 SH       DEFINED 02          0        0     2400
D UNITED WATER RESOURCES, INC. 	COMMON           913190104       7       212 SH       DEFINED 01        212        0        0
D UNITED WATER RESOURCES, INC. 	COMMON           913190104     499     15300 SH       DEFINED 02      15300        0        0
D UNITEDGLOBALCOM              	COMMON           913247508    4570     63800 SH       DEFINED 01      13800        0    50000
D UNITEDGLOBALCOM              	COMMON           913247508    4111     57400 SH       DEFINED 02        700        0    56700
D UNITRIN, INC.                	COMMON           913275103     202      5810 SH       DEFINED 02          0        0     5810
D UNITRODE CORP.               	COMMON           913283107    3788     90200 SH       DEFINED 01      88600        0     1600
D UNITRODE CORP.               	COMMON           913283107    1260     30000 SH       DEFINED 02      19600        0    10400
D UNITRODE CORP.               	COMMON           913283107     462     11000 SH       DEFINED 16      11000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 232
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D UNIVERSAL CORP. (VA)         	COMMON           913456109     528     20200 SH       DEFINED 01      20200        0        0
D UNIVERSAL CORP. (VA)         	COMMON           913456109     243      9300 SH       DEFINED 02       9300        0        0
D UNIVERSAL FOODS CORP.        	COMMON           913538104    1900     82836 SH       DEFINED 01      77300        0     5536
D UNIVERSAL FOODS CORP.        	COMMON           913538104     929     40500 SH       DEFINED 02      40500        0        0
D UNIVERSAL FOREST PRODUCTS,INC	COMMON           913543104   10539    806750 SH       DEFINED 01     637850        0   168900
D UNIVERSAL FOREST PRODUCTS,INC	COMMON           913543104    7375    564600 SH       DEFINED 02     449100        0   115500
D UNIVERSAL FOREST PRODUCTS,INC	COMMON           913543104      74      5700 SH       DEFINED 05          0        0     5700
D UNIVERSAL HEALTH SERVICES,INC	COMMON           913903100       5       200 SH       DEFINED 01        200        0        0
D UNIVERSAL HEALTH SERVICES,INC	COMMON           913903100     693     26800 SH       DEFINED 02          0        0    26800
D UNIVISION COMMUNICATIONS INC 	COMMON           914906102   25452    312772 SH       DEFINED 01     230372        0    82400
D UNIVISION COMMUNICATIONS INC 	COMMON           914906102    1489     18300 SH       DEFINED 02          0        0    18300
D UNIVISION COMMUNICATIONS INC 	COMMON           914906102     260      3200 SH       DEFINED 05          0        0     3200
D UNIVISION COMMUNICATIONS INC 	COMMON           914906102     797      9800 SH       DEFINED 16       9800        0        0
D UNOCAL CORP.                 	COMMON           915289102     586     15812 SH       DEFINED 01       1000        0    14812
D UNOCAL CORP.                 	COMMON           915289102     259      7000 SH       OTHER   01       7000        0        0
D UNOCAL CORP.                 	COMMON           915289102    5353    144426 SH       DEFINED 02      33626        0   110800
D UNOCAL CORP.                 	COMMON           915289102      22       600 SH       DEFINED 05        600        0        0
D UNOCAL CORP.                 	COMMON           915289102    5856    158000 SH       DEFINED 06     158000        0        0
D UNOCAL CORP.                 	COMMON           915289102      96      2600 SH       DEFINED 17       2600        0        0
D UNUM CORP                    	COMMON           91529Y106    3474    118000 SH       DEFINED 06     118000        0        0
D UNUMPROVIDENT CORP           	COMMON           91529Y106   81719   2775980 SH       DEFINED 01    1672153        0  1103827
D UNUMPROVIDENT CORP           	COMMON           91529Y106    5915    200932 SH       OTHER   01      12133   188799        0
D UNUMPROVIDENT CORP           	COMMON           91529Y106  242490   8237299 SH       DEFINED 02    6489662        0  1747637
D UNUMPROVIDENT CORP           	COMMON           91529Y106     389     13200 SH       DEFINED 05      11200        0     2000
D UNUMPROVIDENT CORP           	COMMON           91529Y106     890     30241 SH       OTHER   09      30241        0        0
D UNUMPROVIDENT CORP           	COMMON           91529Y106      77      2600 SH       DEFINED 17       2600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 233
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D KYMMENE OY A                 	COMMON           915436109   10390    303350 SH       DEFINED 17     303350        0        0
D URBAN OUTFITTERS, INC.       	COMMON           917047102      27      1200 SH       DEFINED 01       1200        0        0
D URBAN OUTFITTERS, INC.       	COMMON           917047102     531     24000 SH       DEFINED 02      20000        0     4000
D URBAN SHOPPING CENTERS, INC. 	COMMON           917060105    1185     40700 SH       DEFINED 01      40700        0        0
D URBAN SHOPPING CENTERS, INC. 	COMMON           917060105     332     11400 SH       DEFINED 02      10700        0      700
D UROCOR, INC.                 	COMMON           91727P105     539    131650 SH       DEFINED 17     131650        0        0
D USBANCORP, INC. (PA)         	COMMON           917292104     427     31600 SH       DEFINED 02          0        0    31600
D USINTERNETWORKING INC        	COMMON           917311805     853     27300 SH       DEFINED 01      27300        0        0
D USINTERNETWORKING INC        	COMMON           917311805     156      5000 SH       DEFINED 02       5000        0        0
D USWEB CORP                   	COMMON           917327108    1578     46000 SH       DEFINED 01      46000        0        0
D USWEB CORP                   	COMMON           917327108     837     24400 SH       DEFINED 02       2100        0    22300
D UTILICORP UNITED, INC.       	COMMON           918005109    1415     67200 SH       DEFINED 01      67200        0        0
D UTILICORP UNITED, INC.       	COMMON           918005109     242     11500 SH       DEFINED 02       2400        0     9100
D VF CORP.                     	COMMON           918204108       7       210 SH       DEFINED 01        210        0        0
D VF CORP.                     	COMMON           918204108      99      3200 SH       OTHER   01          0     3200        0
D VF CORP.                     	COMMON           918204108     685     22100 SH       DEFINED 02          0        0    22100
D VF CORP.                     	COMMON           918204108      40      1300 SH       DEFINED 17       1300        0        0
D VAIL RESORTS INC             	COMMON           91879Q109    5714    246400 SH       DEFINED 01     172800        0    73600
D VAIL RESORTS INC             	COMMON           91879Q109     561     24200 SH       DEFINED 02       7700        0    16500
D VAIL RESORTS INC             	COMMON           91879Q109      63      2700 SH       DEFINED 05          0        0     2700
D VALASSIS COMMUNICATIONS, INC.	COMMON           918866104    2276     51800 SH       DEFINED 01      51800        0        0
D VALASSIS COMMUNICATIONS, INC.	COMMON           918866104     417      9500 SH       DEFINED 02       2500        0     7000
D VALHI, INC.                  	COMMON           918905100     449     41300 SH       DEFINED 02          0        0    41300
D VALENCE TECHNOLOGY, INC.     	COMMON           918914102     117     25000 SH       DEFINED 02          0        0    25000
D VALENCE TECHNOLOGY, INC.     	COMMON           918914102       4       854 SH       DEFINED 16        854        0        0
D VALERO ENERGY CORPORATION    	COMMON           91913Y100   18101    940300 SH       DEFINED 01     682300        0   258000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 234
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D VALERO ENERGY CORPORATION    	COMMON           91913Y100      10       500 SH       OTHER   01        500        0        0
D VALERO ENERGY CORPORATION    	COMMON           91913Y100   33694   1750360 SH       DEFINED 02    1413660        0   336700
D VALERO ENERGY CORPORATION    	COMMON           91913Y100      31      1600 SH       DEFINED 05        600        0     1000
D VALERO ENERGY CORPORATION    	COMMON           91913Y100     302     15700 SH       DEFINED 17      15700        0        0
D VALLEY NATIONAL BANCORP      	COMMON           919794107     849     34130 SH       DEFINED 01          0        0    34130
D VALLEY NATIONAL BANCORP      	COMMON           919794107    2461     98951 SH       DEFINED 02       1200        0    97751
D VALSPAR CORP.                	COMMON           920355104      65      2000 SH       DEFINED 01       2000        0        0
D VALSPAR CORP.                	COMMON           920355104     216      6600 SH       DEFINED 02          0        0     6600
D VALUEVISION INTERNATIONAL,INC	COMMON           92047K107    1833     70500 SH       DEFINED 01      70500        0        0
D VALUEVISION INTERNATIONAL,INC	COMMON           92047K107     523     20100 SH       DEFINED 02      11600        0     8500
D VANS, INC.                   	COMMON           921930103    3554    296200 SH       DEFINED 01     232100        0    64100
D VANS, INC.                   	COMMON           921930103    1480    123300 SH       DEFINED 02      72000        0    51300
D VANS, INC.                   	COMMON           921930103      29      2400 SH       DEFINED 05          0        0     2400
D VANTIVE CORP.                	COMMON           922091103       1       100 SH       DEFINED 01        100        0        0
D VANTIVE CORP.                	COMMON           922091103     301     34600 SH       DEFINED 02          0        0    34600
D VARCO INTERNATIONAL, INC.    	COMMON           922126107    1968    161500 SH       DEFINED 01     161500        0        0
D VARCO INTERNATIONAL, INC.    	COMMON           922126107     808     66300 SH       DEFINED 02      27700        0    38600
D VARCO INTERNATIONAL, INC.    	COMMON           922126107     563     46200 SH       DEFINED 17      46200        0        0
D VASTAR RESOURCES, INC.       	COMMON           922380100    3891     62200 SH       DEFINED 02          0        0    62200
D VEECO INSTRUMENTS, INC.      	COMMON           922417100    4757    169900 SH       DEFINED 01     129200        0    40700
D VEECO INSTRUMENTS, INC.      	COMMON           922417100     549     19600 SH       DEFINED 02      10600        0     9000
D VEECO INSTRUMENTS, INC.      	COMMON           922417100      45      1600 SH       DEFINED 05          0        0     1600
D VENTANA MEDICAL SYSTEMS INC. 	COMMON           92276H106     391     23000 SH       OTHER   01          0    23000        0
D VERDANT BRAN                 	COMMON           923366207     335    102995 SH       DEFINED 19     102995        0        0
D VERIO INC                    	COMMON           923433106   15224    491100 SH       DEFINED 01     366100        0   125000
D VERIO INC                    	COMMON           923433106    2982     96200 SH       DEFINED 02      56200        0    40000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 235
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D VERIO INC                    	COMMON           923433106     143      4600 SH       DEFINED 05          0        0     4600
D VERITAS SOFTWARE CORP.       	COMMON           923436109    2552     33600 SH       DEFINED 02          0        0    33600
D VERITAS SOFTWARE CORP.       	COMMON           923436109       6        84 SH       DEFINED 16         84        0        0
D VERITY, INC.                 	COMMON           92343C106    1073     15600 SH       DEFINED 01      15600        0        0
D VERITY, INC.                 	COMMON           92343C106     227      3300 SH       DEFINED 02       3300        0        0
D VERISIGN, INC.               	COMMON           92343E102    3524     33600 SH       DEFINED 01      33400        0      200
D VERISIGN, INC.               	COMMON           92343E102   13303    124909 SH       DEFINED 02      93508        0    31400
D VERSATEL TELECOM INTL N V    	COMMON           925301103    4863    452400 SH       DEFINED 01     422600        0    29800
D VERSATEL TELECOM INTL N V    	COMMON           925301103      44      4100 SH       DEFINED 02       2500        0     1600
D VERSATEL TELECOM INTL N V    	COMMON           925301103      12      1100 SH       DEFINED 05          0        0     1100
D VERTEX PHARMACEUTICALS, INC. 	COMMON           92532F100   10251    330000 SH       DEFINED 01     263700        0    66300
D VERTEX PHARMACEUTICALS, INC. 	COMMON           92532F100    5284    170100 SH       DEFINED 02     123500        0    46600
D VERTEX PHARMACEUTICALS, INC. 	COMMON           92532F100      75      2400 SH       DEFINED 05          0        0     2400
D VERTICALNET INC              	COMMON           92532L107    2977     80450 SH       DEFINED 01      60000        0    20450
D VERTICALNET INC              	COMMON           92532L107     215      5800 SH       DEFINED 02       5200        0      600
D VERTICALNET INC              	COMMON           92532L107      30       800 SH       DEFINED 05          0        0      800
D VIACOM, INC.  NON-VOTING CL B	COMMON           925524308   15251    360968 SH       DEFINED 01
D VIACOM, INC.  NON-VOTING CL B	COMMON           925524308   19617    464300 SH       DEFINED 02
D VIACOM, INC.  NON-VOTING CL B	COMMON           925524308      21       500 SH       DEFINED 05
D VIACOM, INC.  NON-VOTING CL B	COMMON           925524308     317      7500 SH       DEFINED 17       7500        0        0
D VIATEL INC                   	COMMON           925529208     139      4700 SH       DEFINED 01       4700        0        0
D VIATEL INC                   	COMMON           925529208      44      1500 SH       DEFINED 02       1500        0        0
D VIATEL INC                   	COMMON           925529208      31      1051 SH       DEFINED 16       1051        0        0
D VIAD CORP.                   	COMMON           92552R109     472     15990 SH       DEFINED 01          0        0    15990
D VIAD CORP.                   	COMMON           92552R109      83      2800 SH       DEFINED 02          0        0     2800
D VIANT CORP                   	COMMON           92553N107    1001     20700 SH       DEFINED 01      20700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 236
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D VIANT CORP                   	COMMON           92553N107    2361     48800 SH       DEFINED 02      36300        0    12500
D VICAL, INC.                  	COMMON           925602104    2156    156100 SH       DEFINED 01     101100        0    55000
D VICAL, INC.                  	COMMON           925602104     134      9700 SH       DEFINED 02       4600        0     5100
D VICAL, INC.                  	COMMON           925602104      28      2000 SH       DEFINED 05          0        0     2000
D VICOR CORP.                  	COMMON           925815102     209      9200 SH       DEFINED 02          0        0     9200
D VIGNETTE CORP                	COMMON           926734104     815      9000 SH       DEFINED 01       9000        0        0
D VIGNETTE CORP                	COMMON           926734104     127      1400 SH       DEFINED 02        400        0     1000
D VINTAGE PETROLEUM, INC.      	COMMON           927460105     919     68100 SH       DEFINED 01      68100        0        0
D VINTAGE PETROLEUM, INC.      	COMMON           927460105     473     35000 SH       OTHER   01          0    35000        0
D VINTAGE PETROLEUM, INC.      	COMMON           927460105     652     48300 SH       DEFINED 02      39700        0     8600
D VISIO CORP                   	COMMON           927914101      39      1000 SH       DEFINED 01       1000        0        0
D VISIO CORP                   	COMMON           927914101     349      8900 SH       DEFINED 02       1400        0     7500
D VISHAY INTERTECHNOLOGY, INC. 	COMMON           928298108    1313     55300 SH       DEFINED 01      55300        0        0
D VISHAY INTERTECHNOLOGY, INC. 	COMMON           928298108     608     25611 SH       DEFINED 02       2200        0    23411
D VISTANA, INC.                	COMMON           92839P108     551     36700 SH       DEFINED 01      36700        0        0
D VISTANA, INC.                	COMMON           92839P108      30      2000 SH       DEFINED 02        700        0     1300
D VISUAL NETWORKS, INC.        	COMMON           928444108   28786    678315 SH       DEFINED 01      74800        0   603515
D VISUAL NETWORKS, INC.        	COMMON           928444108    4363    102800 SH       DEFINED 02      78300        0    24500
D VISX, INC.                   	COMMON           92844S105    2223     28100 SH       DEFINED 01      28100        0        0
D VISX, INC.                   	COMMON           92844S105    2476     31300 SH       DEFINED 02       1300        0    30000
D VISX, INC.                   	COMMON           92844S105      16       207 SH       DEFINED 16        207        0        0
D VITAL SIGNS, INC.            	COMMON           928469105     524     25700 SH       DEFINED 01      25700        0        0
D VITAL SIGNS, INC.            	COMMON           928469105     385     18900 SH       DEFINED 02      17300        0     1600
D VITESSE SEMICONDUCTOR CORP.  	COMMON           928497106      34       400 SH       DEFINED 01        400        0        0
D VITESSE SEMICONDUCTOR CORP.  	COMMON           928497106    3560     41700 SH       DEFINED 02          0        0    41700
D VITESSE SEMICONDUCTOR CORP.  	COMMON           928497106      21       247 SH       DEFINED 16        247        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 237
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107   19750     83072 SH       DEFINED 01      68033        0    15039
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107   13440     56528 SH       OTHER   01      19856    36672        0
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107       1         4 SH       DEFINED 02          4        0        0
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107      12        50 SH       DEFINED 05         50        0        0
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107     618      2600 SH       OTHER   05          0     2600        0
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107  167390    704058 SH       DEFINED 17     704058        0        0
D VODAFONE GROUP PLC SPONSORED 	COMMON           92857T107   10936     46000 SH       DEFINED 18      46000        0        0
D VOICESTREAM WIRELESS CORP    	COMMON           928615103   11213    181671 SH       DEFINED 01     181671        0        0
D VOICESTREAM WIRELESS CORP    	COMMON           928615103    3987     64600 SH       DEFINED 02       2200        0    62400
D VOLT INFORMATION SCIENCES,INC	COMMON           928703107     412     17000 SH       DEFINED 02          0        0    17000
D VORNADO REALTY TRUST S/B/I   	COMMON           929042109   11122    342200 SH       DEFINED 01     337300        0     4900
D VORNADO REALTY TRUST S/B/I   	COMMON           929042109   29451    906190 SH       DEFINED 02     794090        0   112100
D VORNADO REALTY TRUST 6.5 12/3	PREF-CONV        929042208    3506     75000 PRN      DEFINED 02
D VOYAGER NET INC              	COMMON           92906W101     330     37700 SH       DEFINED 01      32700        0     5000
D VOYAGER NET INC              	COMMON           92906W101     644     73600 SH       DEFINED 02      54800        0    18800
D VULCAN MATERIALS CO.         	COMMON           929160109      84      2300 SH       DEFINED 01       2300        0        0
D VULCAN MATERIALS CO.         	COMMON           929160109     949     25900 SH       DEFINED 02          0        0    25900
D VULCAN MATERIALS CO.         	COMMON           929160109      40      1100 SH       DEFINED 17       1100        0        0
D WD 40 COMPANY                	COMMON           929236107     225      9600 SH       DEFINED 02          0        0     9600
D WICOR, INC.                  	COMMON           929253102    5443    187300 SH       DEFINED 01     187300        0        0
D WICOR, INC.                  	COMMON           929253102    3857    132700 SH       DEFINED 02      60500        0    72200
D WMS INDUSTRIES, INC.         	COMMON           929297109      38      3300 SH       DEFINED 01       3300        0        0
D WMS INDUSTRIES, INC.         	COMMON           929297109     142     12200 SH       DEFINED 02       1000        0    11200
D WMX TECHNOLOGIES, INC 2% CSD 	BOND             92929QAF4    9037   9082000 PRN      DEFINED 01
D WMX TECHNOLOGIES, INC 2% CSD 	BOND             92929QAF4    8890   8935000 PRN      DEFINED 02
D WMX TECHNOLOGIES, INC 2% CSD 	BOND             92929QAF4   16161  16242000 PRN      DEFINED 16

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 238
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WPS RESOURCES CORP.          	COMMON           92931B106      62      2200 SH       DEFINED 01       2200        0        0
D WPS RESOURCES CORP.          	COMMON           92931B106     575     20500 SH       OTHER   01          0    20500        0
D WPS RESOURCES CORP.          	COMMON           92931B106     160      5700 SH       DEFINED 02          0        0     5700
D WABASH NATIONAL CORP.        	COMMON           929566107      24      1200 SH       DEFINED 01        200        0     1000
D WABASH NATIONAL CORP.        	COMMON           929566107     215     10600 SH       DEFINED 02       7100        0     3500
D WACHOVIA CORP.               	COMMON           929771103    4963     63127 SH       DEFINED 01      58383        0     4744
D WACHOVIA CORP.               	COMMON           929771103    2029     25800 SH       OTHER   01       3486    22314        0
D WACHOVIA CORP.               	COMMON           929771103     107      1358 SH       DEFINED 02          0        0     1358
D WACHOVIA CORP.               	COMMON           929771103     928     11807 SH       DEFINED 05      11302        0      505
D WACHOVIA CORP.               	COMMON           929771103     173      2200 SH       DEFINED 17       2200        0        0
D WACKENHUT CORRECTIONS CORPORA	COMMON           929798106     516     38600 SH       DEFINED 01      38600        0        0
D WACKENHUT CORRECTIONS CORPORA	COMMON           929798106     226     16900 SH       DEFINED 02       7100        0     9800
D WADDELL & REED FINL INC      	COMMON           930059100    1101     49604 SH       DEFINED 01      48304        0     1300
D WADDELL & REED FINL INC      	COMMON           930059100     242     10905 SH       DEFINED 02       3805        0     7100
D WADDELL & REED FINANCIAL, INC	COMMON           930059209    1101     51520 SH       DEFINED 01      44820        0     6700
D WADDELL & REED FINANCIAL, INC	COMMON           930059209     638     29825 SH       DEFINED 02      21725        0     8100
D WAL-MART STORES, INC.        	COMMON           931142103  667281  14029412 SH       DEFINED 01    9048151        0  4981261
D WAL-MART STORES, INC.        	COMMON           931142103   72997   1534739 SH       OTHER   01     460280  1074459        0
D WAL-MART STORES, INC.        	COMMON           931142103 1063242  22354396 SH       DEFINED 02   14694247        0  7660148
D WAL-MART STORES, INC.        	COMMON           931142103    1427     30000 SH       OTHER   0304    30000        0        0
D WAL-MART STORES, INC.        	COMMON           931142103   11836    248840 SH       DEFINED 05     123700        0   125140
D WAL-MART STORES, INC.        	COMMON           931142103    1608     33800 SH       OTHER   05       6000    27800        0
D WAL-MART STORES, INC.        	COMMON           931142103    3857     81100 SH       OTHER   09      81100        0        0
D WAL-MART STORES, INC.        	COMMON           931142103    3880     81566 SH       DEFINED 16      81566        0        0
D WAL-MART STORES, INC.        	COMMON           931142103    2335     49100 SH       DEFINED 17      49100        0        0
D WALDEN RESIDENTIAL PROPERTIES	COMMON           931210108     382     17500 SH       DEFINED 02          0        0    17500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 239
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WALGREEN CO.                 	COMMON           931422109    4312    169922 SH       DEFINED 01     133772        0    36150
D WALGREEN CO.                 	COMMON           931422109   11380    448472 SH       OTHER   01      25872   422600        0
D WALGREEN CO.                 	COMMON           931422109     337     13300 SH       DEFINED 02      13300        0        0
D WALGREEN CO.                 	COMMON           931422109      53      2100 SH       DEFINED 05          0        0     2100
D WALGREEN CO.                 	COMMON           931422109    1583     62400 SH       OTHER   05          0    62400        0
D WALGREEN CO.                 	COMMON           931422109     277     10900 SH       DEFINED 17      10900        0        0
D WALLACE COMPUTER SERVICES,INC	COMMON           932270101      65      3200 SH       OTHER   01          0     3200        0
D WALLACE COMPUTER SERVICES,INC	COMMON           932270101    2400    118500 SH       DEFINED 02      14100        0   104400
D WALTER INDUSTRIES, INC.      	COMMON           93317Q105     192     14200 SH       DEFINED 02        500        0    13700
D WARNACO GROUP, INC.          	COMMON           934390105    1053     57700 SH       DEFINED 01      57700        0        0
D WARNACO GROUP, INC.          	COMMON           934390105      55      3000 SH       OTHER   01       3000        0        0
D WARNACO GROUP, INC.          	COMMON           934390105     358     19600 SH       DEFINED 02      12700        0     6900
D WARNER-LAMBERT               	COMMON           934488107    6488     96560 SH       DEFINED 16      96560        0        0
D WARNER-LAMBERT CO.           	COMMON           934488107  269828   4065201 SH       DEFINED 01    2672379        0  1392822
D WARNER-LAMBERT CO.           	COMMON           934488107   27592    415705 SH       OTHER   01     105750   309955        0
D WARNER-LAMBERT CO.           	COMMON           934488107  540773   8147238 SH       DEFINED 02    6203258        0  1943979
D WARNER-LAMBERT CO.           	COMMON           934488107    2987     45000 SH       OTHER   0304    45000        0        0
D WARNER-LAMBERT CO.           	COMMON           934488107    9171    138166 SH       DEFINED 05      68696        0    69470
D WARNER-LAMBERT CO.           	COMMON           934488107     199      3000 SH       OTHER   05       1200     1800        0
D WARNER-LAMBERT CO.           	COMMON           934488107    1500     22600 SH       OTHER   09      22600        0        0
D WARNER-LAMBERT CO.           	COMMON           934488107     717     10796 SH       DEFINED 17      10796        0        0
D WASHINGTON FEDERAL, INC.     	COMMON           938824109    2203     94998 SH       DEFINED 01      70300        0    24698
D WASHINGTON FEDERAL, INC.     	COMMON           938824109    5120    220800 SH       DEFINED 02      81600        0   139200
D WASHINGTON GAS LIGHT CO.     	COMMON           938837101     109      4000 SH       DEFINED 01          0        0     4000
D WASHINGTON GAS LIGHT CO.     	COMMON           938837101    1283     47300 SH       DEFINED 02      47300        0        0
D WASHINGTON GAS LIGHT CO.     	COMMON           938837101    4847    178700 SH       DEFINED 17     178700        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 240
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WASHINGTON MUTUAL, INC.      	COMMON           939322103  141710   4844795 SH       DEFINED 01    2904992        0  1939803
D WASHINGTON MUTUAL, INC.      	COMMON           939322103    5477    187245 SH       OTHER   01     109326    77919        0
D WASHINGTON MUTUAL, INC.      	COMMON           939322103  417789  14283370 SH       DEFINED 02   11003523        0  3279847
D WASHINGTON MUTUAL, INC.      	COMMON           939322103     585     20000 SH       OTHER   0304    20000        0        0
D WASHINGTON MUTUAL, INC.      	COMMON           939322103      96      3298 SH       DEFINED 05       3298        0        0
D WASHINGTON MUTUAL, INC.      	COMMON           939322103    1653     56500 SH       OTHER   09      56500        0        0
D WASHINGTON MUTUAL, INC.      	COMMON           939322103     190      6500 SH       DEFINED 17       6500        0        0
D WASHINGTON POST CO. CLASS B  	COMMON           939640108   33193     65084 SH       DEFINED 01      47984        0    17100
D WASHINGTON POST CO. CLASS B  	COMMON           939640108  225374    441909 SH       OTHER   01        100   441809        0
D WASHINGTON POST CO. CLASS B  	COMMON           939640108   77934    152812 SH       DEFINED 02     111512        0    41300
D WASHINGTON POST CO. CLASS B  	COMMON           939640108   11730     23000 SH       OTHER   101112      0    23000        0
D WASTE INDUSTRIES INC         	COMMON           941058109     205     15400 SH       DEFINED 02          0        0    15400
D WASTE MANAGEMENT INC         	COMMON           94106L109   85074   4419453 SH       DEFINED 01    3079186        0  1340267
D WASTE MANAGEMENT INC         	COMMON           94106L109    2719    141256 SH       OTHER   01      49601    91655        0
D WASTE MANAGEMENT INC         	COMMON           94106L109  301668  15671040 SH       DEFINED 02   11950288        0  3720752
D WASTE MANAGEMENT INC         	COMMON           94106L109     963     50025 SH       OTHER   0304    50025        0        0
D WASTE MANAGEMENT INC         	COMMON           94106L109      60      3101 SH       DEFINED 05       2101        0     1000
D WASTE MANAGEMENT INC         	COMMON           94106L109     962     49982 SH       OTHER   09      49982        0        0
D WASTE MANAGEMENT INC         	COMMON           94106L109     127      6600 SH       DEFINED 17       6600        0        0
D WASTE MANAGEMENT INC 4 02/01/	BOND             94106LAA7    3099   3000000 PRN      DEFINED 16
D WATCHGUARD TECHNOLOGIES INC  	COMMON           941105108    1035     69000 SH       DEFINED 01      69000        0        0
D WATCHGUARD TECHNOLOGIES INC  	COMMON           941105108    2417    161100 SH       DEFINED 02     121000        0    40100
D WATERS CORP                  	COMMON           941848103     303      5000 SH       OTHER   01          0     5000        0
D WATERS CORP                  	COMMON           941848103     745     12300 SH       DEFINED 02          0        0    12300
D WATERS CORP                  	COMMON           941848103     527      8700 SH       DEFINED 16       8700        0        0
D WATSON PHARMACEUTICALS, INC. 	COMMON           942683103   10022    327900 SH       DEFINED 01     261200        0    66700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 241
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WATSON PHARMACEUTICALS, INC. 	COMMON           942683103      21       700 SH       OTHER   01        700        0        0
D WATSON PHARMACEUTICALS, INC. 	COMMON           942683103   26324    861302 SH       DEFINED 02     623830        0   237472
D WATSON PHARMACEUTICALS, INC. 	COMMON           942683103       1        29 SH       DEFINED 16         29        0        0
D WATSON PHARMACEUTICALS, INC. 	COMMON           942683103      31      1000 SH       DEFINED 17       1000        0        0
D WAUSAU-MOSINEE PAPER CORP    	COMMON           943315101      21      1700 SH       DEFINED 01       1700        0        0
D WAUSAU-MOSINEE PAPER CORP    	COMMON           943315101     143     11800 SH       DEFINED 02      11800        0        0
D WAVO CORP                    	COMMON           944027101     111     25000 SH       DEFINED 02          0        0    25000
D WEATHERFORD INTERNATIONAL,INC	COMMON           947074100      74      2300 SH       DEFINED 01       2300        0        0
D WEATHERFORD INTERNATIONAL,INC	COMMON           947074100      35      1100 SH       OTHER   01          0     1100        0
D WEATHERFORD INTERNATIONAL,INC	COMMON           947074100     952     29762 SH       DEFINED 02          0        0    29762
D WEBB (DEL) CORP.             	COMMON           947423109    1122     51000 SH       DEFINED 01      51000        0        0
D WEBB (DEL) CORP.             	COMMON           947423109    1729     78600 SH       DEFINED 02      21400        0    57200
D WEBSTER FINANCIAL CORP.      	COMMON           947890109    2203     86402 SH       DEFINED 01      53900        0    32502
D WEBSTER FINANCIAL CORP.      	COMMON           947890109     342     13411 SH       DEFINED 02       5400        0     8011
D WEBSTER FINANCIAL CORP.      	COMMON           947890109      20       800 SH       DEFINED 05          0        0      800
D WEBSTER FINANCIAL CORP.      	COMMON           947890109       9       348 SH       DEFINED 16        348        0        0
D WEBTRENDS CORP               	COMMON           94844D104    2237     50200 SH       DEFINED 01      26900        0    23300
D WEBTRENDS CORP               	COMMON           94844D104    2255     50600 SH       DEFINED 02      37200        0    13400
D WEBTRENDS CORP               	COMMON           94844D104      40       900 SH       DEFINED 05          0        0      900
D WEIS MARKETS, INC.           	COMMON           948849104      23       675 SH       DEFINED 01          0        0      675
D WEIS MARKETS, INC.           	COMMON           948849104     757     22100 SH       DEFINED 02          0        0    22100
D WELLMAN, INC.                	COMMON           949702104   26681   1477100 SH       DEFINED 01    1162300        0   314800
D WELLMAN, INC.                	COMMON           949702104   18569   1028000 SH       DEFINED 02     778400        0   249600
D WELLMAN, INC.                	COMMON           949702104     197     10900 SH       DEFINED 05          0        0    10900
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108   16825    295180 SH       DEFINED 01     198180        0    97000
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108      34       600 SH       OTHER   01        600        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 242
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108   37220    652980 SH       DEFINED 02     444980        0   208000
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108      11       200 SH       DEFINED 05        200        0        0
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108     764     13400 SH       DEFINED 16      13400        0        0
D WELLPOINT HEALTH NETWORK CL. 	COMMON           94973H108      40       700 SH       DEFINED 17        700        0        0
D WELLS FARGO COMPANY          	COMMON           949746101  229260   5785749 SH       DEFINED 01    3735997        0  2049752
D WELLS FARGO COMPANY          	COMMON           949746101    4165    105100 SH       OTHER   01      32105    72995        0
D WELLS FARGO COMPANY          	COMMON           949746101  475610  12002780 SH       DEFINED 02    8822816        0  3179964
D WELLS FARGO COMPANY          	COMMON           949746101     178      4500 SH       DEFINED 05       1500        0     3000
D WELLS FARGO COMPANY          	COMMON           949746101    2405     60700 SH       OTHER   09      60700        0        0
D WELLS FARGO COMPANY          	COMMON           949746101   44364   1119600 SH       DEFINED 17    1119600        0        0
D WELLSFORD REAL PPTYS INC     	COMMON           950240101     371     39100 SH       DEFINED 02          0        0    39100
D WENDY'S INTERNATIONAL, INC.  	COMMON           950590109    2222     83865 SH       DEFINED 01      80800        0     3065
D WENDY'S INTERNATIONAL, INC.  	COMMON           950590109     368     13900 SH       DEFINED 02       3800        0    10100
D WENDY'S INTERNATIONAL, INC.  	COMMON           950590109     233      8775 SH       DEFINED 16       8775        0        0
D WENDY'S INTERNATIONAL, INC.  	COMMON           950590109      34      1300 SH       DEFINED 17       1300        0        0
D WERNER ENTERPRISES, INC.     	COMMON           950755108    6945    394025 SH       DEFINED 01     394025        0        0
D WERNER ENTERPRISES, INC.     	COMMON           950755108   10220    579850 SH       DEFINED 02     401000        0   178850
D WESCO INTL INC               	COMMON           95082P105     859     60800 SH       DEFINED 01      60800        0        0
D WESCO INTL INC               	COMMON           95082P105    1235     87400 SH       DEFINED 02      52600        0    34800
D WESLEY JESSEN VISIONCARE INC 	COMMON           951018100     499     16000 SH       DEFINED 01      16000        0        0
D WESLEY JESSEN VISIONCARE INC 	COMMON           951018100     100      3200 SH       DEFINED 02       3200        0        0
D WEST COAST BANCORP           	COMMON           952145100     552     37400 SH       DEFINED 01      26400        0    11000
D WEST COAST BANCORP           	COMMON           952145100      25      1700 SH       DEFINED 02       1000        0      700
D WEST COAST BANCORP           	COMMON           952145100       6       400 SH       DEFINED 05          0        0      400
D WESTAMERICA BANCORPORATION   	COMMON           957090103    1140     37700 SH       DEFINED 01      37700        0        0
D WESTAMERICA BANCORPORATION   	COMMON           957090103    3503    115800 SH       DEFINED 02      87000        0    28800

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 243
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WESTCOAST ENERGY, INC.       	COMMON           95751D102    1390     74141 SH       OTHER   01      29800    44341        0
D WESTELL TECHNOLOGIES, INC. CL	COMMON           957541105      36      4400 SH       DEFINED 02          0        0     4400
D WESTELL TECHNOLOGIES, INC. CL	COMMON           957541105     419     51600 SH       DEFINED 17      51600        0        0
D WESTERN DIGITAL CORP.        	COMMON           958102105      95     25700 SH       DEFINED 02          0        0    25700
D WESTERN DIGITAL CORP         	BOND             958102AH8       0   7500000 PRN      DEFINED 02
D WESTERN RESOURCES, INC.      	COMMON           959425109     573     26804 SH       DEFINED 02          4        0    26800
D WESTERN WIRELESS CORP. CLASS 	COMMON           95988E204   10388    231642 SH       DEFINED 01     231642        0        0
D WESTERN WIRELESS CORP. CLASS 	COMMON           95988E204    2498     55700 SH       DEFINED 02       2800        0    52900
D WESTFIELD AMERICA, INC.      	COMMON           959910100    1351     97400 SH       DEFINED 01      97400        0        0
D WESTFIELD AMERICA, INC.      	COMMON           959910100    2191    157900 SH       DEFINED 02     137600        0    20300
D WESTINGHOUSE AIR BRAKE CO.   	COMMON           960386100     675     37100 SH       DEFINED 01      37100        0        0
D WESTINGHOUSE AIR BRAKE CO.   	COMMON           960386100     384     21100 SH       DEFINED 02      12900        0     8200
D WESTPOINT STEVENS, INC.      	COMMON           961238102    4805    203400 SH       DEFINED 01       1200        0   202200
D WESTPOINT STEVENS, INC.      	COMMON           961238102     184      7800 SH       DEFINED 02       1000        0     6800
D WESTPOINT STEVENS, INC.      	COMMON           961238102      21       903 SH       DEFINED 16        903        0        0
D WESTVACO CORP.               	COMMON           961548104    5801    226391 SH       DEFINED 01     224854        0     1537
D WESTVACO CORP.               	COMMON           961548104     506     19738 SH       OTHER   01      14128     5610        0
D WESTVACO CORP.               	COMMON           961548104      74      2900 SH       DEFINED 02        800        0     2100
D WESTVACO CORP.               	COMMON           961548104      28      1100 SH       DEFINED 17       1100        0        0
D WESTWOOD ONE, INC.           	COMMON           961815107     203      4500 SH       DEFINED 01       4500        0        0
D WESTWOOD ONE, INC.           	COMMON           961815107     765     16950 SH       DEFINED 02       1350        0    15600
D WEYERHAEUSER CO.             	COMMON           962166104    2476     42975 SH       DEFINED 01      39200        0     3775
D WEYERHAEUSER CO.             	COMMON           962166104     248      4300 SH       OTHER   01          0     4300        0
D WEYERHAEUSER CO.             	COMMON           962166104    1567     27200 SH       DEFINED 02      10000        0    17200
D WEYERHAEUSER CO.             	COMMON           962166104     127      2200 SH       DEFINED 17       2200        0        0
D WHIRLPOOL CORP.              	COMMON           963320106     202      3100 SH       DEFINED 01       1100        0     2000

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 244
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WHIRLPOOL CORP.              	COMMON           963320106     934     14302 SH       DEFINED 02       5902        0     8400
D WHIRLPOOL CORP.              	COMMON           963320106      13       200 SH       DEFINED 05        200        0        0
D WHIRLPOOL CORP.              	COMMON           963320106      52       800 SH       DEFINED 17        800        0        0
D WHITE MTNS INS GROUP INC     	COMMON           964126106    2713     20000 SH       DEFINED 01      14000        0     6000
D WHITE MTNS INS GROUP INC     	COMMON           964126106    1655     12200 SH       DEFINED 02          0        0    12200
D WHITMAN CORP NEW             	COMMON           96647R107     288     20200 SH       DEFINED 01      20200        0        0
D WHITMAN CORP NEW             	COMMON           96647R107       9       600 SH       DEFINED 02        600        0        0
D WHITNEY HOLDING CORP.        	COMMON           966612103       7       200 SH       DEFINED 16        200        0        0
D WHITNEY HOLDING CORP.        	COMMON           966612103     960     27915 SH       DEFINED 19      27915        0        0
D WHITTMAN-HART, INC.          	COMMON           966834103     357      9200 SH       DEFINED 01       9200        0        0
D WHITTMAN-HART, INC.          	COMMON           966834103     124      3200 SH       DEFINED 02        300        0     2900
D WILEY (JOHN) & SONS, INC. CLA	COMMON           968223206      56      3600 SH       DEFINED 01          0        0     3600
D WILEY (JOHN) & SONS, INC. CLA	COMMON           968223206     226     14400 SH       DEFINED 02          0        0    14400
D WILLIAMS COMPANIES, INC.     	COMMON           969457100      45      1200 SH       DEFINED 01       1200        0        0
D WILLIAMS COMPANIES, INC.     	COMMON           969457100     575     15276 SH       OTHER   01          0    15276        0
D WILLIAMS COMPANIES, INC.     	COMMON           969457100    3503     93100 SH       DEFINED 02          0        0    93100
D WILLIAMS COMPANIES, INC.     	COMMON           969457100    1092     29031 SH       DEFINED 16      29031        0        0
D WILLIAMS COMPANIES, INC.     	COMMON           969457100     177      4700 SH       DEFINED 17       4700        0        0
D WILLIAMS-SONOMA, INC.        	COMMON           969904101    4176     86000 SH       DEFINED 01      86000        0        0
D WILLIAMS-SONOMA, INC.        	COMMON           969904101   12337    254050 SH       DEFINED 02     197400        0    56650
D WILLIS LEASE FINANCE CORP.   	COMMON           970646105    3875    293800 SH       DEFINED 01     293800        0        0
D WILLIS LEASE FINANCE CORP.   	COMMON           970646105    7826    593400 SH       DEFINED 02     450600        0   142800
D WILMINGTON TRUST CORP.       	COMMON           971807102    2763     56900 SH       DEFINED 01      43100        0    13800
D WILMINGTON TRUST CORP.       	COMMON           971807102    2966     61076 SH       DEFINED 02      33876        0    27200
D WIND RIVER SYSTEMS INC       	COMMON           973149107    3943    207500 SH       DEFINED 01     207500        0        0
D WIND RIVER SYSTEMS INC       	COMMON           973149107    9209    484700 SH       DEFINED 02     357000        0   127700

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 245
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WINDMERE CORP.               	COMMON           973411101     142     11800 SH       DEFINED 02          0        0    11800
D WINK COMMUNICATIONS          	COMMON           974168106    2002     45825 SH       DEFINED 01      38075        0     7750
D WINK COMMUNICATIONS          	COMMON           974168106    2114     48400 SH       DEFINED 02      36200        0    12200
D WINK COMMUNICATIONS          	COMMON           974168106      15       350 SH       DEFINED 05          0        0      350
D WINN-DIXIE STORES, INC.      	COMMON           974280109    3955    133225 SH       DEFINED 01     133225        0        0
D WINN-DIXIE STORES, INC.      	COMMON           974280109      48      1600 SH       DEFINED 17       1600        0        0
D WINNEBAGO INDUSTRIES, INC.   	COMMON           974637100      31      1300 SH       DEFINED 01       1300        0        0
D WINNEBAGO INDUSTRIES, INC.   	COMMON           974637100     680     28400 SH       DEFINED 02      17500        0    10900
D WINSTAR COMM                 	COMMON           975515107     122      3122 SH       DEFINED 16       3122        0        0
D WINSTAR COMMUNICATIONS, INC. 	COMMON           975515107    6094    156000 SH       DEFINED 01     124450        0    31550
D WINSTAR COMMUNICATIONS, INC. 	COMMON           975515107    1465     37500 SH       DEFINED 02       5100        0    32400
D WINSTAR COMMUNICATIONS, INC. 	COMMON           975515107      43      1100 SH       DEFINED 05          0        0     1100
D WINSTAR COMMUNICATIONS, INC. 	COMMON           975515107     699     17900 SH       DEFINED 17      17900        0        0
D WISCONSIN CENT. TRANSPORTATIO	COMMON           976592105    2300    168000 SH       DEFINED 01     148800        0    19200
D WISCONSIN CENT. TRANSPORTATIO	COMMON           976592105    1433    104700 SH       DEFINED 02      72800        0    31900
D WISCONSIN ENERGY CORP.       	COMMON           976657106   72794   3105818 SH       DEFINED 01    2033685        0  1072133
D WISCONSIN ENERGY CORP.       	COMMON           976657106    2610    111375 SH       OTHER   01      40930    70445        0
D WISCONSIN ENERGY CORP.       	COMMON           976657106  154291   6582963 SH       DEFINED 02    4685463        0  1897500
D WISCONSIN ENERGY CORP.       	COMMON           976657106    1523     65000 SH       OTHER   0304    65000        0        0
D WISCONSIN ENERGY CORP.       	COMMON           976657106     105      4500 SH       DEFINED 05       4500        0        0
D WISCONSIN ENERGY CORP.       	COMMON           976657106    1083     46200 SH       OTHER   09      46200        0        0
D WIT CAP GROUP INC            	COMMON           97737K309    4042    221500 SH       DEFINED 01     167750        0    53750
D WIT CAP GROUP INC            	COMMON           97737K309    1821     99800 SH       DEFINED 02      74400        0    25400
D WIT CAP GROUP INC            	COMMON           97737K309      37      2000 SH       DEFINED 05          0        0     2000
D WOLVERINE TUBE, INC.         	COMMON           978093102     181     11700 SH       DEFINED 02       2800        0     8900
D WOLVERINE WORLD WIDE, INC.   	COMMON           978097103      46      4000 SH       DEFINED 01       4000        0        0

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 246
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D WOLVERINE WORLD WIDE, INC.   	COMMON           978097103     291     25562 SH       DEFINED 02        300        0    25262
D WOMEN FIRST HEALTHCARE       	COMMON           978150100     649     91900 SH       DEFINED 01      91900        0        0
D WOMEN FIRST HEALTHCARE       	COMMON           978150100    1548    219200 SH       DEFINED 02     166300        0    52900
D WORLD ACESS INC              	COMMON           98141A101    1034     92400 SH       DEFINED 01      92400        0        0
D WORLD ACESS INC              	COMMON           98141A101    1757    157017 SH       DEFINED 02     111000        0    46017
D WORLD COLOR PRESS INC DEL    	BOND             981443AA2    3190   3314000 PRN      DEFINED 16
D WORLDGATE COMMUNICATIONS INC 	COMMON           98156L307    2898    126700 SH       DEFINED 01     126700        0        0
D WORLDGATE COMMUNICATIONS INC 	COMMON           98156L307    6188    270500 SH       DEFINED 02     202300        0    68200
D WORTHINGTON INDUSTRIES, INC. 	COMMON           981811102     365     21495 SH       DEFINED 01          0        0    21495
D WORTHINGTON INDUSTRIES, INC. 	COMMON           981811102      17      1000 SH       DEFINED 17       1000        0        0
D WRIGLEY (WM.) JR. CO.        	COMMON           982526105     723     10500 SH       DEFINED 01          0        0    10500
D WRIGLEY (WM.) JR. CO.        	COMMON           982526105     206      3000 SH       OTHER   01          0     3000        0
D WRIGLEY (WM.) JR. CO.        	COMMON           982526105     612      8900 SH       DEFINED 02          0        0     8900
D WRIGLEY (WM.) JR. CO.        	COMMON           982526105      89      1300 SH       DEFINED 17       1300        0        0
D WRIGLEY WM                   	COMMON           982526105       3        37 SH       DEFINED 16         37        0        0
D WYMAN-GORDON CO.             	COMMON           983085101    5627    301100 SH       DEFINED 01     301100        0        0
D WYMAN-GORDON CO.             	COMMON           983085101     299     16000 SH       DEFINED 02          0        0    16000
D WYNDHAM INTL INC             	COMMON           983101106      18      7000 SH       DEFINED 01       7000        0        0
D WYNDHAM INTL INC             	COMMON           983101106     130     49424 SH       DEFINED 02      44700        0     4724
D WYNN'S INTERNATIONAL, INC.   	COMMON           983195108      18      1100 SH       DEFINED 01          0        0     1100
D WYNN'S INTERNATIONAL, INC.   	COMMON           983195108     266     16705 SH       DEFINED 02          0        0    16705
D XILINX INC                   	COMMON           983919101     119      1809 SH       DEFINED 16       1809        0        0
D XILINX, INC.                 	COMMON           983919101   12203    186220 SH       DEFINED 01     130700        0    55520
D XILINX, INC.                 	COMMON           983919101   22241    339404 SH       DEFINED 02     194304        0   145100
D XIRCOM, INC.                 	COMMON           983922105    2297     53800 SH       DEFINED 01      53800        0        0
D XIRCOM, INC.                 	COMMON           983922105    1323     31000 SH       DEFINED 02       9500        0    21500

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 247
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D XEROX CORP                   	COMMON           984121103       8       195 SH       DEFINED 16        195        0        0
D XEROX CORP.                  	COMMON           984121103  133205   3176236 SH       DEFINED 01    2180945        0   995291
D XEROX CORP.                  	COMMON           984121103    2420     57698 SH       OTHER   01      20400    37298        0
D XEROX CORP.                  	COMMON           984121103  184950   4410080 SH       DEFINED 02    2726180        0  1683900
D XEROX CORP.                  	COMMON           984121103    2460     58660 SH       DEFINED 05      21960        0    36700
D XEROX CORP.                  	COMMON           984121103      25       600 SH       OTHER   05          0      600        0
D XEROX CORP.                  	COMMON           984121103     302      7200 SH       DEFINED 17       7200        0        0
D XOMED SURGICAL PRODS INC     	COMMON           98412V107     650     11400 SH       DEFINED 01      11400        0        0
D XOMED SURGICAL PRODS INC     	COMMON           98412V107     234      4100 SH       DEFINED 02       2600        0     1500
D XOMED SURGICAL PRODS INC     	COMMON           98412V107    3705     65000 SH       DEFINED 16      65000        0        0
D XTRA CORP.                   	COMMON           984138107     215      5400 SH       DEFINED 02          0        0     5400
D XOOM COM INC                 	COMMON           98413F101    1251     25200 SH       DEFINED 01      25200        0        0
D XOOM COM INC                 	COMMON           98413F101    2844     57300 SH       DEFINED 02      42500        0    14800
D YPF SOCIEDAD ANONIMA - SPONS.	COMMON           984245100    3162     81200 SH       DEFINED 17      81200        0        0
D YAHOO!, INC.                 	COMMON           984332106     115       640 SH       DEFINED 01        500        0      140
D YAHOO!, INC.                 	COMMON           984332106    6659     37100 SH       DEFINED 02          0        0    37100
D YAHOO!, INC.                 	COMMON           984332106      36       200 SH       DEFINED 05        200        0        0
D YAHOO!, INC.                 	COMMON           984332106    2814     15679 SH       DEFINED 16      15679        0        0
D YAHOO!, INC.                 	COMMON           984332106    1669      9298 SH       DEFINED 17       9298        0        0
D YANKEE CANDLE INC            	COMMON           984757104     819     42400 SH       DEFINED 01      42400        0        0
D YANKEE CANDLE INC            	COMMON           984757104     966     50000 SH       OTHER   01          0    50000        0
D YANKEE CANDLE INC            	COMMON           984757104    2122    109900 SH       DEFINED 02      83000        0    26900
D YANKEE ENERGY SYSTEM, INC.   	COMMON           984779108       5       115 SH       DEFINED 01        100        0       15
D YANKEE ENERGY SYSTEM, INC.   	COMMON           984779108     288      6750 SH       DEFINED 02          0        0     6750
D YELLOW CORP.                 	COMMON           985509108     187     11300 SH       DEFINED 01      11300        0        0
D YELLOW CORP.                 	COMMON           985509108     129      7800 SH       DEFINED 02       3700        0     4100

FORM	13F INFORMATI	ON TABLE						SEPTEMBE	R 30 19 99     9     PAGE 248
                                                                VALUE    SHARES/ SH/ PUT/ INVSTMT         ----VOTING AUTHORITY---
  NAME OF ISSUER               	-TITLE OF CLASS- --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS SOLE   SHARED     NONE
D YORK FINANCIAL CORP.         	COMMON           986630101     314     21714 SH       DEFINED 02          0        0    21714
D YORK INTERNATIONAL CORP.     	COMMON           986670107    2744     76340 SH       DEFINED 01      76340        0        0
D YORK INTERNATIONAL CORP.     	COMMON           986670107     435     12100 SH       DEFINED 02       3400        0     8700
D YOUNG & RUBICAM INC          	COMMON           987425105     387      8800 SH       DEFINED 02          0        0     8800
D YOUNG BROADCASTING CORP.CLASS	COMMON           987434107      73      1400 SH       DEFINED 01       1400        0        0
D YOUNG BROADCASTING CORP.CLASS	COMMON           987434107     257      4900 SH       DEFINED 02          0        0     4900
D YOUNG BROADCASTING CORP.CLASS	COMMON           987434107       5        87 SH       DEFINED 16         87        0        0
D ZALE CORP.                   	COMMON           988858106    1843     48100 SH       DEFINED 01      48100        0        0
D ZALE CORP.                   	COMMON           988858106     598     15600 SH       DEFINED 02       1700        0    13900
D ZARING NATL CORP             	COMMON           989136106     504     96000 SH       DEFINED 01          0        0    96000
D ZEBRA TECHNOLOGIES CORP.CLASS	COMMON           989207105     937     20600 SH       DEFINED 01      20600        0        0
D ZEBRA TECHNOLOGIES CORP.CLASS	COMMON           989207105     164      3600 SH       DEFINED 02       2800        0      800
D ZIFF-DAVIS INC               	COMMON           989511100     403     25000 SH       DEFINED 16      25000        0        0
D ZILA, INC.                   	COMMON           989513205      99     30000 SH       DEFINED 02          0        0    30000
D ZIONS BANCORPORATIONS        	COMMON           989701107    1069     19400 SH       DEFINED 01      15300        0     4100
D ZIONS BANCORPORATIONS        	COMMON           989701107    2266     41100 SH       DEFINED 02       7200        0    33900
D ZIONS BANCORPORATIONS        	COMMON           989701107       1        23 SH       DEFINED 16         23        0        0
D ZOMAX INC MINN               	COMMON           989929104    1340     51800 SH       DEFINED 01      51800        0        0
D ZOMAX INC MINN               	COMMON           989929104     437     16900 SH       DEFINED 02       9100        0     7800
S REPORT SUMMARY              6415 DATA RECORDS
</TABLE>


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