UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549
FORM 13F
FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER END: MARCH 31 2000
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 REPORT AND THE
PERSON BY WHOM IT IS SIGNED HEREBY REPRESENT THAT THE PERSON
SIGNING THE REPORT IS AUTHORIZED TO SUBMIT IT, THAT ALL
INFORMATION CONTAINED 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 MARCH 31 2000
REPORT TYPE (CHECK ONLY ONE):
{X} 13F HOLDINGS REPORT.
{ } 13F NOTICE.
{ } 13F COMBINATION REPORT.
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
REPORT SUMMARY:
NUMBER OF OTHER INCLUDED MANAGERS: 19
FORM 13F INFORMATION TABLE ENTRY TOTAL: 6,152
FORM 13F INFORMATION TABLE VALUE TOTAL: 130,918,207
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. MORGAN FSB
06 28-3389 J. P. MORGAN VENTURES 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 MARCH 31 2000 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 LERNOUT & HAUSPIE SPEECH PRO COMMON B5628B104 21 193 SH DEFINED 16 193 0 0
D LERNOUT & HAUSPIE SPEECH PRO COMMON B5628B104 332 3000 SH OTHER 01 0 3000 0
D DAIMLERCHRYSLER AG COMMON D1668R123 562 8588 SH DEFINED 01 2959 0 5629
D DAIMLERCHRYSLER AG COMMON D1668R123 162 2471 SH DEFINED 02 0 0 2471
D DAIMLERCHRYSLER AG COMMON D1668R123 41 623 SH OTHER 01 0 623 0
D TOTAL FINA S A COMMON F9212D142 4759 153500 SH DEFINED 17 153500 0 0
D TOTAL FINA S A COMMON F9212D142 146 4700 SH DEFINED 16 4700 0 0
D ACE LTD. COMMON G0070K103 6545 3556571 SH DEFINED 19 3556571 0 0
D ACE LTD. COMMON G0070K103 7886 350483 SH DEFINED 19 350483 0 0
D ACE LTD. COMMON G0070K103 742 32418 SH DEFINED 01 10205 0 22213
D ACE LTD. COMMON G0070K103 3013 131700 SH OTHER 01 0 131700 0
D AMDOCS LTD COMMON G02602103 3477 46990 SH DEFINED 01 28750 0 18240
D AMDOCS LTD COMMON G02602103 23716 320489 SH DEFINED 02 294000 0 26489
D AMDOCS LTD COMMON G02602103 61 820 SH OTHER 01 420 400 0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON G03910109 21 810 SH DEFINED 16 810 0 0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON G03910109 14318 550700 SH DEFINED 01 550700 0 0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON G03910109 11448 440300 SH DEFINED 02 369500 0 70800
D CORECOMM LTD COMMON G2422R109 614 13950 SH DEFINED 02 0 0 13950
D CREDICORP LTD. COMMON G2519Y108 53 4888 SH DEFINED 18 4888 0 0
D CREDICORP LTD. COMMON G2519Y108 4 375 SH DEFINED 01 375 0 0
D EVEREST RE GROUP LTD COMMON G3223R108 1736 53200 SH DEFINED 01 51800 0 1400
D EVEREST RE GROUP LTD COMMON G3223R108 277 8500 SH DEFINED 02 2300 0 6200
D EVEREST RE GROUP LTD COMMON G3223R108 52 1600 SH OTHER 01 0 1600 0
D FLAG TELECOM HOLDINGS LTD COMMON G3529L102 29 1275 SH DEFINED 05 0 0 1275
D FLAG TELECOM HOLDINGS LTD COMMON G3529L102 6560 289950 SH DEFINED 01 211900 0 78050
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FLAG TELECOM HOLDINGS LTD COMMON G3529L102 4424 195550 SH DEFINED 02 157425 0 38125
D GEMSTAR INTERNATIONAL GROUP LT COMMON G3788V106 3956 46000 SH DEFINED 18 46000 0 0
D GEMSTAR INTERNATIONAL GROUP LT COMMON G3788V106 112 1300 SH DEFINED 01 0 0 1300
D GEMSTAR INTERNATIONAL GROUP LT COMMON G3788V106 2481 28852 SH DEFINED 02 0 0 28852
D GLOBAL CROSSING LTD COMMON G3921A100 7944 194045 SH DEFINED 17 194045 0 0
D GLOBAL CROSSING LTD COMMON G3921A100 7903 193036 SH DEFINED 18 193036 0 0
D GLOBAL CROSSING LTD COMMON G3921A100 152 3725 SH DEFINED 05 3725 0 0
D GLOBAL CROSSING LTD COMMON G3921A100 992 24229 SH DEFINED 16 24229 0 0
D GLOBAL CROSSING LTD COMMON G3921A100 115002 2809177 SH DEFINED 01 2123907 0 685270
D GLOBAL CROSSING LTD COMMON G3921A100 274021 6693560 SH DEFINED 02 4787190 0 1906370
D GLOBAL CROSSING LTD COMMON G3921A100 729 17800 SH OTHER 09 17800 0 0
D GLOBAL CROSSING LTD COMMON G3921A100 2149 52505 SH OTHER 01 23770 28735 0
D GLOBAL-TECH APPLIANCES INC COMMON G39320109 201 35000 SH DEFINED 01 35000 0 0
D INTELLIGENT POLYMERS LTD COMMON G48029105 9089 262500 SH DEFINED 01 262500 0 0
D INTERWAVE COMMUNCTNS INTL LT COMMON G4911N102 18 600 SH DEFINED 05 0 0 600
D INTERWAVE COMMUNCTNS INTL LT COMMON G4911N102 2167 71950 SH DEFINED 01 54450 0 17500
D INTERWAVE COMMUNCTNS INTL LT COMMON G4911N102 1527 50700 SH DEFINED 02 40700 0 10000
D IPC HOLDINGS LTD. COMMON G4933P101 8321 693389 SH DEFINED 01 667800 0 25589
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 59 5800 SH DEFINED 05 5800 0 0
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 2327 229800 SH DEFINED 16 229800 0 0
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 147 14500 SH DEFINED 01 0 0 14500
D LORAL SPACE & COMMUNICATIONS L COMMON G56462107 127 12500 SH DEFINED 02 0 0 12500
D LORAL SPACE & COMM 6.00% 11/01 PREF-CONV G56462149 6366 198925 SH DEFINED 16
D NORDIC AMERICAN TANKER SHIPP COMMON G65773106 2980 236000 SH DEFINED 16 236000 0 0
D OPENTV CORP COMMON G67543101 107 900 SH DEFINED 05 0 0 900
D OPENTV CORP COMMON G67543101 7508 63425 SH DEFINED 01 39950 0 23475
FORM 13F INFORMATION TABLE MARCH 31 2000 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 OPENTV CORP COMMON G67543101 4291 36250 SH DEFINED 02 28500 0 7750
D PARTNERRE HOLDINGS LTD. COMMON G6852T105 77 2100 SH DEFINED 01 0 0 2100
D PARTNERRE HOLDINGS LTD. COMMON G6852T105 3837 104225 SH OTHER 01 0 104225 0
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 94 2300 SH DEFINED 05 0 0 2300
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 22665 554500 SH DEFINED 01 498400 0 56100
D RENAISSANCE HOLDINGS LTD. COMMON G7496G103 15632 382425 SH DEFINED 02 317925 0 64500
D SANTA FE INTERNATIONAL CORP. COMMON G7805C108 2442 66000 SH DEFINED 17 66000 0 0
D WHITE MTNS INS GROUP LTD COMMON G9618E107 1878 14000 SH DEFINED 01 14000 0 0
D WHITE MTNS INS GROUP LTD COMMON G9618E107 1636 12200 SH DEFINED 02 0 0 12200
D XL CAP LTD COMMON G98255105 554 3125873 SH DEFINED 19 3125873 0 0
D XL CAP LTD COMMON G98255105 105 1900 SH DEFINED 05 1900 0 0
D XL CAP LTD COMMON G98255105 42798 772878 SH DEFINED 01 432863 0 340015
D XL CAP LTD COMMON G98255105 158438 2861180 SH DEFINED 02 2136180 0 725000
D XL CAP LTD COMMON G98255105 1528 27600 SH OTHER 09 27600 0 0
D XL CAP LTD COMMON G98255105 1796 32430 SH OTHER 01 9795 22635 0
D XL CAP LTD COMMON G98255105 3323 60000 SH OTHER 0304 60000 0 0
D MILLICOM INTERNATIONAL MILLICO COMMON L6388F102 546 9563 SH DEFINED 02 0 0 9563
D CHECK POINT SOFTWARE TECHNOLOG COMMON M22465104 14726 86084 SH DEFINED 01 0 0 86084
D M SYS FLASH DISK PIONEERS LT COMMON M7061C100 113 2125 SH DEFINED 05 0 0 2125
D M SYS FLASH DISK PIONEERS LT COMMON M7061C100 9517 179575 SH DEFINED 01 116950 0 62625
D M SYS FLASH DISK PIONEERS LT COMMON M7061C100 5652 106650 SH DEFINED 02 85900 0 20750
D VOCALTEC COMMUNICATIONS LTD COMMON M97601104 466 16000 SH DEFINED 16 16000 0 0
D BAAN COMPANY NV COMMON N08044104 241 47111 SH DEFINED 16 47111 0 0
D CNH GLOBAL N V COMMON N20935107 596 60400 SH DEFINED 01 60400 0 0
D CNH GLOBAL N V COMMON N20935107 411 41600 SH DEFINED 02 41600 0 0
D METRON TECHNOLOGY N V COMMON N5665B105 76 3600 SH DEFINED 05 0 0 3600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 METRON TECHNOLOGY N V COMMON N5665B105 2622 124850 SH DEFINED 01 22850 0 102000
D METRON TECHNOLOGY N V COMMON N5665B105 609 29000 SH DEFINED 02 21900 0 7100
D STEINER LEISURE LTD COMMON P8744Y102 941 48900 SH DEFINED 01 48900 0 0
D STEINER LEISURE LTD COMMON P8744Y102 277 14400 SH DEFINED 02 9900 0 4500
D SUN INTL HOTELS LTD COMMON P8797T133 1190 61000 SH DEFINED 01 61000 0 0
D SUN INTL HOTELS LTD COMMON P8797T133 2759 141500 SH DEFINED 02 127400 0 14100
D ROYAL CARIBBEAN CRUISES, LTD. COMMON V7780T103 112 4000 SH DEFINED 01 4000 0 0
D ROYAL CARIBBEAN CRUISES, LTD. COMMON V7780T103 1467 52400 SH DEFINED 02 0 0 52400
D FLEXTRONICS INTERNATIONAL LTD. COMMON Y2573F102 113 1600 SH DEFINED 02 0 0 1600
D OMI CORP NEW COMMON Y6476W104 81 21200 SH DEFINED 02 0 0 21200
D AAR CORP. COMMON 000361105 178 10650 SH DEFINED 02 0 0 10650
D ABC RAIL PRODUCTS CORP. COMMON 000752105 441 50400 SH DEFINED 01 50400 0 0
D ABC RAIL PRODUCTS CORP. COMMON 000752105 164 18700 SH DEFINED 02 17200 0 1500
D A.C. MOORE ARTS & CRAFTS, INC. COMMON 00086T103 525 70000 SH DEFINED 01 70000 0 0
D ADC TELECOMMUNICATIONS, INC. COMMON 000886101 8881 164852 SH DEFINED 01 140252 0 24600
D ACT MFG INC COMMON 000973107 3983 71200 SH DEFINED 01 71200 0 0
D ACT MFG INC COMMON 000973107 9929 177500 SH DEFINED 02 142800 0 34700
D AFLAC, INC. COMMON 001055102 73 1600 SH DEFINED 17 1600 0 0
D AFLAC, INC. COMMON 001055102 1039 22808 SH DEFINED 01 21608 0 1200
D AFLAC, INC. COMMON 001055102 3139 68900 SH DEFINED 02 0 0 68900
D AFLAC, INC. COMMON 001055102 775 17000 SH OTHER 01 0 17000 0
D AES CORPORATION "CONV BOND" BOND 00130HAN5 804 903000 PRN DEFINED 16
D AES CORP. COMMON 00130H105 4442 56400 SH DEFINED 17 56400 0 0
D AES CORP. COMMON 00130H105 32 400 SH DEFINED 05 400 0 0
D AES CORP. COMMON 00130H105 181367 2303075 SH DEFINED 16 2303075 0 0
D AES CORP. COMMON 00130H105 6710 85200 SH DEFINED 01 83000 0 2200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AES CORP. COMMON 00130H105 2189 27800 SH DEFINED 02 0 0 27800
D AK STEEL HOLDING CORP. COMMON 001547108 778 75000 SH DEFINED 16 75000 0 0
D AMCV CAP TR I PREF-CONV 001648203 3103 62600 PRN DEFINED 01
D AMCV CAP TR I PREF-CONV 001648203 2676 54000 PRN DEFINED 02
D AMFM INC COMMON 001693100 3324 53500 SH DEFINED 17 53500 0 0
D AMFM INC COMMON 001693100 155 2500 SH DEFINED 01 2500 0 0
D AMFM INC COMMON 001693100 1994 32100 SH DEFINED 02 0 0 32100
D AMR CORP. COMMON 001765106 29 900 SH DEFINED 17 900 0 0
D AMR CORP. COMMON 001765106 2311 72500 SH DEFINED 16 72500 0 0
D AMR CORP. COMMON 001765106 10579 331890 SH DEFINED 01 239290 0 92600
D AMR CORP. COMMON 001765106 14907 467680 SH DEFINED 02 236580 0 231100
D AMR CORP. COMMON 001765106 529 16600 SH OTHER 01 600 16000 0
D APAC CUSTOMER SERVICES INC COMMON 00185E106 103 11800 SH DEFINED 02 0 0 11800
D AT&T CORP. COMMON 001957109 2002 35543 SH DEFINED 18 35543 0 0
D AT&T CORP. COMMON 001957109 3419 60714 SH DEFINED 05 25864 0 34850
D AT&T CORP. COMMON 001957109 3154 56000 SH DEFINED 16 56000 0 0
D AT&T CORP. COMMON 001957109 342157 6075988 SH DEFINED 01 3793860 0 2282128
D AT&T CORP. COMMON 001957109 737401 13094693 SH DEFINED 02 9019436 0 4075257
D AT&T CORP. COMMON 001957109 1689 30000 SH OTHER 101112 0 30000 0
D AT&T CORP. COMMON 001957109 1711 30375 SH OTHER 09 30375 0 0
D AT&T CORP. COMMON 001957109 18823 334258 SH OTHER 01 138424 195834 0
D AT&T CORP COMMON 001957208 35588 600000 SH DEFINED 17 600000 0 0
D AT&T CORP COMMON 001957208 945 15928 SH DEFINED 05 9146 0 6782
D AT&T CORP COMMON 001957208 11269 190000 SH DEFINED 16 190000 0 0
D AT&T CORP COMMON 001957208 196785 3317746 SH DEFINED 01 1943211 0 1374535
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AT&T CORP COMMON 001957208 469621 7917666 SH DEFINED 02 6380342 0 1537324
D AT&T CORP COMMON 001957208 2284 38500 SH OTHER 09 38500 0 0
D AT&T CORP COMMON 001957208 22377 377272 SH OTHER 01 160694 216578 0
D APP FINANCE VI MAURITIUS LTD BOND 00202NAA3 4770 26500000 PRN DEFINED 01
D AT & T CDA INC COMMON 00207Q202 244 4000 SH DEFINED 02 0 0 4000
D ATMI INC. COMMON 00207R101 468 9800 SH DEFINED 05 0 0 9800
D ATMI INC. COMMON 00207R101 40738 853150 SH DEFINED 01 572250 0 280900
D ATMI INC. COMMON 00207R101 19520 408800 SH DEFINED 02 313500 0 95300
D AVT CORP COMMON 002420107 469 39700 SH DEFINED 01 39700 0 0
D AVT CORP COMMON 002420107 80 6800 SH DEFINED 02 6800 0 0
D AVX CORP. COMMON 002444107 955 12600 SH DEFINED 02 0 0 12600
D AXA FINL INC COMMON 002451102 144 4000 SH DEFINED 05 4000 0 0
D AXA FINL INC COMMON 002451102 19089 532106 SH DEFINED 01 475696 0 56410
D AXA FINL INC COMMON 002451102 54403 1516460 SH DEFINED 02 871460 0 645000
D AXA FINL INC COMMON 002451102 50 1400 SH OTHER 01 1400 0 0
D AARON RENTS, INC. CL. 'B' COMMON 002535201 1988 132000 SH DEFINED 01
D AARON RENTS, INC. CL. 'B' COMMON 002535201 842 55900 SH DEFINED 02
D ABBOTT LABORATORIES, INC. COMMON 002824100 4571 129900 SH DEFINED 17 129900 0 0
D ABBOTT LABORATORIES, INC. COMMON 002824100 3047 86579 SH DEFINED 05 58160 0 28419
D ABBOTT LABORATORIES, INC. COMMON 002824100 153218 4354280 SH DEFINED 01 3252972 0 1101308
D ABBOTT LABORATORIES, INC. COMMON 002824100 198251 5634060 SH DEFINED 02 3378140 0 2255920
D ABBOTT LABORATORIES, INC. COMMON 002824100 612 17400 SH OTHER 05 9400 8000 0
D ABBOTT LABORATORIES, INC. COMMON 002824100 22282 633241 SH OTHER 01 84920 548321 0
D ABERCROMBIE & FITCH CO-CL A COMMON 002896207 26 1600 SH DEFINED 05 1600 0 0
D ABERCROMBIE & FITCH CO-CL A COMMON 002896207 27991 1749422 SH DEFINED 01 1078800 0 670622
D ABERCROMBIE & FITCH CO-CL A COMMON 002896207 101317 6332292 SH DEFINED 02 4759092 0 1573200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ABERCROMBIE & FITCH CO-CL A COMMON 002896207 22 1400 SH OTHER 01 1400 0 0
D ABGENIX INC COMMON 00339B107 137 990 SH DEFINED 05 0 0 990
D ABGENIX INC COMMON 00339B107 11188 81000 SH DEFINED 01 53960 0 27040
D ABGENIX INC COMMON 00339B107 6652 48160 SH DEFINED 02 38510 0 9650
D ACCLAIM ENTERTAINMENT, INC. COMMON 004325205 402 121300 SH DEFINED 01 121300 0 0
D ACCLAIM ENTERTAINMENT, INC. COMMON 004325205 1660 501000 SH DEFINED 02 16000 0 485000
D ACCREDO HEALTH INC COMMON 00437V104 30 900 SH DEFINED 05 0 0 900
D ACCREDO HEALTH INC COMMON 00437V104 3059 92350 SH DEFINED 01 69700 0 22650
D ACCREDO HEALTH INC COMMON 00437V104 2246 67800 SH DEFINED 02 54550 0 13250
D ACCRUE SOFTWARE INC COMMON 00437W102 87 1900 SH DEFINED 05 0 0 1900
D ACCRUE SOFTWARE INC COMMON 00437W102 11351 247850 SH DEFINED 01 169575 0 78275
D ACCRUE SOFTWARE INC COMMON 00437W102 7218 157600 SH DEFINED 02 123900 0 33700
D ACNIELSEN CORP COMMON 004833109 941 41843 SH DEFINED 01 41177 0 666
D ACNIELSEN CORP COMMON 004833109 227 10100 SH DEFINED 02 2700 0 7400
D ACNIELSEN CORP COMMON 004833109 6 266 SH OTHER 05 0 266 0
D ACNIELSEN CORP COMMON 004833109 409 18198 SH OTHER 01 0 18198 0
D ACTEL CORPORATION COMMON 004934105 211 5900 SH DEFINED 02 600 0 5300
D ACTIVCARD S A COMMON 00505N109 8916 236174 SH DEFINED 16 236174 0 0
D ACTIVCARD S A COMMON 00505N109 60 1400 SH OTHER 01 0 1400 0
D ACTUATE CORP COMMON 00508B102 269 5000 SH DEFINED 05 0 0 5000
D ACTUATE CORP COMMON 00508B102 28132 522775 SH DEFINED 01 370025 0 152750
D ACTUATE CORP COMMON 00508B102 2890 53700 SH DEFINED 02 38500 0 15200
D ACX TECHNOLOGIES, INC. COMMON 005123104 62 15100 SH DEFINED 02 15100 0 0
D ACXIOM CORP. COMMON 005125109 1164 35000 SH DEFINED 01 15000 0 20000
D ACXIOM CORP. COMMON 005125109 539 16200 SH DEFINED 02 500 0 15700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ADAPTIVE BROADBAND CORP COMMON 00650M104 96 1800 SH DEFINED 17 1800 0 0
D ADAPTIVE BROADBAND CORP COMMON 00650M104 1685 31500 SH DEFINED 18 31500 0 0
D ADAPTEC, INC. COMMON 00651F108 4 105 SH DEFINED 16 105 0 0
D ADAPTEC, INC. COMMON 00651F108 3696 95700 SH DEFINED 01 94600 0 1100
D ADAPTEC, INC. COMMON 00651F108 1418 36700 SH DEFINED 02 4500 0 32200
D ADECCO SA COMMON 006754105 672 7600 SH DEFINED 02 0 0 7600
D ADELPHIA COMMUNICATIONS CORP. COMMON 006848105 1029 21000 SH DEFINED 02 0 0 21000
D ADOBE SYSTEMS, INC. COMMON 00724F101 78 700 SH DEFINED 17 700 0 0
D ADOBE SYSTEMS, INC. COMMON 00724F101 22 200 SH DEFINED 05 200 0 0
D ADOBE SYSTEMS, INC. COMMON 00724F101 24 215 SH DEFINED 16 215 0 0
D ADOBE SYSTEMS, INC. COMMON 00724F101 42833 384800 SH DEFINED 01 278810 0 105990
D ADOBE SYSTEMS, INC. COMMON 00724F101 92325 829420 SH DEFINED 02 529520 0 299900
D ADOBE SYSTEMS, INC. COMMON 00724F101 78 700 SH OTHER 01 700 0 0
D ADVANCED DIGITAL INFORMATION COMMON 007525108 212 6200 SH DEFINED 01 6200 0 0
D ADVANCED DIGITAL INFORMATION COMMON 007525108 277 8100 SH DEFINED 02 900 0 7200
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 771 12300 SH DEFINED 17 12300 0 0
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 520 8300 SH DEFINED 05 0 0 8300
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 25 400 SH DEFINED 16 400 0 0
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 61058 974000 SH DEFINED 01 741350 0 232650
D ADVANCED FIBRE COMMUNICATION COMMON 00754A105 36948 589400 SH DEFINED 02 460750 0 128650
D ADVANCED RADIO TELECOM CORP COMMON 00754U101 1719 51900 SH DEFINED 16 51900 0 0
D ADVANCED TISSUE SCIENCES, INC. COMMON 00755F103 675 100000 SH DEFINED 19 100000 0 0
D ADVANCED TISSUE SCIENCES, INC. COMMON 00755F103 14 2100 SH DEFINED 01 2100 0 0
D ADVANTICA RESTAURANT GROUP, IN COMMON 00758B109 42 27800 SH DEFINED 02 0 0 27800
D ADVO, INC. COMMON 007585102 270 10800 SH DEFINED 01 10800 0 0
D ADVO, INC. COMMON 007585102 118 4700 SH DEFINED 02 2900 0 1800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AERIAL COMMUNICATIONS INC COMMON 007655103 5369 94500 SH DEFINED 16 94500 0 0
D AERIAL COMMUNICATIONS INC COMMON 007655103 2193 38600 SH DEFINED 01 38600 0 0
D AERIAL COMMUNICATIONS INC COMMON 007655103 415 7300 SH DEFINED 02 7300 0 0
D ADVANCED MICRO DEVICES, INC. COMMON 007903107 51 900 SH DEFINED 17 900 0 0
D ADVANCED MICRO DEVICES, INC. COMMON 007903107 265 4650 SH DEFINED 01 0 0 4650
D AEGON N V COMMON 007924103 5069 62969 SH DEFINED 01 48180 0 14789
D AEGON N V COMMON 007924103 457 5681 SH DEFINED 02 5681 0 0
D AEGON N V COMMON 007924103 336 4176 SH OTHER 01 936 3240 0
D ADVANTA CORP. CLASS "A" COMMON 007942105 4 204 SH DEFINED 16 204 0 0
D ADVANTA CORP. CLASS "A" COMMON 007942105 739 36400 SH DEFINED 01 36400 0 0
D ADVANTA CORP. CLASS "A" COMMON 007942105 49 2400 SH DEFINED 02 2400 0 0
D ADVANCED ENERGY INDUSTRIES, IN COMMON 007973100 510 10000 SH DEFINED 02 0 0 10000
D ADVENT SOFTWARE, INC. COMMON 007974108 560 12200 SH DEFINED 02 200 0 12000
D AETHER SYS INC COMMON 00808V105 82 450 SH DEFINED 05 0 0 450
D AETHER SYS INC COMMON 00808V105 9275 51100 SH DEFINED 01 37700 0 13400
D AETHER SYS INC COMMON 00808V105 6461 35600 SH DEFINED 02 28850 0 6750
D AETNA, INC. COMMON 008117103 50 900 SH DEFINED 17 900 0 0
D AETNA, INC. COMMON 008117103 22 400 SH DEFINED 05 400 0 0
D AETNA, INC. COMMON 008117103 6105 110000 SH DEFINED 16 110000 0 0
D AETNA, INC. COMMON 008117103 40077 722100 SH DEFINED 01 519800 0 202300
D AETNA, INC. COMMON 008117103 76749 1382856 SH DEFINED 02 857256 0 525600
D AETNA, INC. COMMON 008117103 163 2942 SH OTHER 01 2942 0 0
D AFFILIATED COMPUTER SERVICES, COMMON 008190100 1474 38800 SH DEFINED 01 38800 0 0
D AFFILIATED COMPUTER SERVICES, COMMON 008190100 1282 33741 SH DEFINED 02 1900 0 31841
D AFFYMETRIX, INC. COMMON 00826T108 193 1300 SH DEFINED 05 0 0 1300
D AFFYMETRIX, INC. COMMON 00826T108 20941 141075 SH DEFINED 01 103250 0 37825
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AFFYMETRIX, INC. COMMON 00826T108 13181 88800 SH DEFINED 02 63250 0 25550
D AFTERMARKET TECHNOLOGY CORPORA COMMON 008318107 155 12400 SH DEFINED 02 0 0 12400
D AGILE SOFTWARE CORP DEL COMMON 00846X105 300 4800 SH DEFINED 05 0 0 4800
D AGILE SOFTWARE CORP DEL COMMON 00846X105 22841 365450 SH DEFINED 01 244250 0 121200
D AGILE SOFTWARE CORP DEL COMMON 00846X105 12631 202100 SH DEFINED 02 162100 0 40000
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 182 4635 SH DEFINED 01 4145 0 490
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 207 5270 SH DEFINED 02 0 0 5270
D AGRIBRANDS INTERNATIONAL, INC. COMMON 00849R105 49 1246 SH OTHER 01 0 1246 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 40 1400 SH DEFINED 17 1400 0 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 28 1000 SH DEFINED 05 1000 0 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 67423 2370874 SH DEFINED 01 1829564 0 541310
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 171076 6015770 SH DEFINED 02 4545070 0 1470700
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 1323 46532 SH OTHER 01 11200 35332 0
D AIR PRODUCTS & CHEMICALS, INC. COMMON 009158106 569 20000 SH OTHER 0304 20000 0 0
D AIRBORNE FREIGHT CORP. COMMON 009266107 746 31100 SH DEFINED 02 8900 0 22200
D AIRGAS, INC. COMMON 009363102 50 6000 SH DEFINED 01 0 0 6000
D AIRGAS, INC. COMMON 009363102 160 19200 SH DEFINED 02 0 0 19200
D AIRNET COMMUNICATIONS CORP COMMON 00941P106 270 7716 SH DEFINED 01 7716 0 0
D AIRTRAN HOLDINGS INC COMMON 00949P108 439 99600 SH DEFINED 01 99600 0 0
D AIRTRAN HOLDINGS INC COMMON 00949P108 318 72100 SH DEFINED 02 49300 0 22800
D AKAMAI TECHNOLOGIES INC COMMON 00971T101 4985 31000 SH DEFINED 18 31000 0 0
D AKAMAI TECHNOLOGIES INC COMMON 00971T101 11 66 SH DEFINED 16 66 0 0
D AKAMAI TECHNOLOGIES INC COMMON 00971T101 1865 11600 SH DEFINED 01 11200 0 400
D AKAMAI TECHNOLOGIES INC COMMON 00971T101 658 4093 SH DEFINED 02 4093 0 0
D ALAMOSA PCS HOLDINGS COMMON 011593100 33 867 SH DEFINED 05 0 0 867
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ALAMOSA PCS HOLDINGS COMMON 011593100 2546 67432 SH DEFINED 01 45071 0 22361
D ALAMOSA PCS HOLDINGS COMMON 011593100 235 6221 SH DEFINED 02 4562 0 1659
D ALASKA AIR GROUP, INC. COMMON 011659109 878 29200 SH DEFINED 01 29200 0 0
D ALASKA AIR GROUP, INC. COMMON 011659109 487 16200 SH DEFINED 02 8700 0 7500
D ALBANY MOLECULAR RESH INC COMMON 012423109 1706 29229 SH OTHER 01 0 29229 0
D ALBEMARLE CORP. COMMON 012653101 122 5900 SH DEFINED 05 0 0 5900
D ALBEMARLE CORP. COMMON 012653101 16491 794725 SH DEFINED 01 562225 0 232500
D ALBEMARLE CORP. COMMON 012653101 21908 1055825 SH DEFINED 02 952550 0 103275
D ALBEMARLE CORP. COMMON 012653101 193 9300 SH OTHER 01 4400 4900 0
D ALBERTA ENERGY CO. LTD. COMMON 012873105 3638 120000 SH OTHER 01 0 120000 0
D ALBERTO CULVER CO. CLASS B CV. COMMON 013068101 7 300 SH DEFINED 17 300 0 0
D ALBERTO CULVER CO. CLASS B CV. COMMON 013068101 7606 319400 SH DEFINED 01 319400 0 0
D ALBERTO CULVER CO. CLASS B CV. COMMON 013068101 6811 286000 SH DEFINED 02 216300 0 69700
D ALBERTSON'S, INC. COMMON 013104104 80 2600 SH DEFINED 17 2600 0 0
D ALBERTSON'S, INC. COMMON 013104104 6 200 SH DEFINED 05 200 0 0
D ALBERTSON'S, INC. COMMON 013104104 31273 1012876 SH DEFINED 01 713118 0 299758
D ALBERTSON'S, INC. COMMON 013104104 53994 1748800 SH DEFINED 02 854100 0 894700
D ALBERTSON'S, INC. COMMON 013104104 130 4223 SH OTHER 01 2900 1323 0
D ALCAN ALUMINIUM LTD. COMMON 013716105 14723 435000 SH DEFINED 17 435000 0 0
D ALCAN ALUMINIUM LTD. COMMON 013716105 178 5222 SH DEFINED 01 922 0 4300
D ALCOA INC COMMON 013817101 162 2300 SH DEFINED 17 2300 0 0
D ALCOA INC COMMON 013817101 3675 52320 SH DEFINED 05 19100 0 33220
D ALCOA INC COMMON 013817101 135373 1927024 SH DEFINED 01 1218164 0 708860
D ALCOA INC COMMON 013817101 162662 2315478 SH DEFINED 02 1431464 0 884014
D ALCOA INC COMMON 013817101 42 600 SH OTHER 05 0 600 0
D ALCOA INC COMMON 013817101 7887 112265 SH OTHER 01 58495 53770 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ALCATEL ALSTHOM (CGE) A/D/R COMMON 013904305 22618 520216 SH DEFINED 17 520216 0 0
D ALCATEL ALSTHOM (CGE) A/D/R COMMON 013904305 891 20672 SH DEFINED 01 2067 0 18605
D ALCATEL ALSTHOM (CGE) A/D/R COMMON 013904305 601 13939 SH DEFINED 02 0 0 13939
D ALEXANDER & BALDWIN, INC. COMMON 014482103 728 35300 SH DEFINED 02 16600 0 18700
D ALEXANDER'S, INC. COMMON 014752109 343 5400 SH DEFINED 02 0 0 5400
D ALEXION PHARMACEUTICALS INC BOND 015351AA7 0 8210000 PRN DEFINED 16
D ALFA CORP. COMMON 015385107 625 35200 SH DEFINED 02 17200 0 18000
D ALKERMES, INC. COMMON 01642T108 407 4400 SH DEFINED 02 0 0 4400
D ALLEGHANY CORP. COMMON 017175100 2522 13417 SH DEFINED 01 13113 0 304
D ALLEGHANY CORP. COMMON 017175100 199 1060 SH OTHER 01 0 1060 0
D ALLEGHENY ENERGY INC COMMON 017361106 36 1300 SH DEFINED 05 1000 0 300
D ALLEGHENY ENERGY INC COMMON 017361106 14167 511683 SH DEFINED 01 460133 0 51550
D ALLEGHENY ENERGY INC COMMON 017361106 28973 1046410 SH DEFINED 02 680510 0 365900
D ALLEGHENY ENERGY INC COMMON 017361106 28 1000 SH OTHER 05 1000 0 0
D ALLEGHENY ENERGY INC COMMON 017361106 102 3700 SH OTHER 01 1700 2000 0
D ALLEGHENY ENERGY INC COMMON 017361106 914 33000 SH OTHER 0304 33000 0 0
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 12 600 SH DEFINED 17 600 0 0
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 18 900 SH DEFINED 05 900 0 0
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 39823 1984885 SH DEFINED 01 1347141 0 637744
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 115167 5740253 SH DEFINED 02 4404045 0 1336208
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 550 27425 SH OTHER 09 27425 0 0
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 379 18894 SH OTHER 01 2325 16569 0
D ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 1204 60000 SH OTHER 0304 60000 0 0
D ALLEGIANCE TELECOM INC COMMON 01747T102 540 6700 SH DEFINED 05 900 0 5800
D ALLEGIANCE TELECOM INC COMMON 01747T102 78802 977393 SH DEFINED 01 635871 0 341522
D ALLEGIANCE TELECOM INC COMMON 01747T102 137893 1710300 SH DEFINED 02 1310310 0 399990
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ALLEGIANCE TELECOM INC COMMON 01747T102 508 6300 SH OTHER 09 6300 0 0
D ALLEGIANCE TELECOM INC COMMON 01747T102 1170 14506 SH OTHER 01 5837 8669 0
D ALLERGAN, INC. COMMON 018490102 40 800 SH DEFINED 17 800 0 0
D ALLERGAN, INC. COMMON 018490102 7002 140040 SH DEFINED 01 10000 0 130040
D ALLERGAN, INC. COMMON 018490102 785 15700 SH DEFINED 02 0 0 15700
D ALLERGAN, INC. COMMON 018490102 685 13700 SH OTHER 01 1000 12700 0
D ALLIANCE SEMICONDUCTOR CORP. COMMON 01877H100 242 11300 SH DEFINED 01 11300 0 0
D ALLIANCE SEMICONDUCTOR CORP. COMMON 01877H100 259 12100 SH DEFINED 02 800 0 11300
D ALLIANT CORP COMMON 018802108 651 21400 SH DEFINED 01 21400 0 0
D ALLIANT CORP COMMON 018802108 70 2300 SH DEFINED 02 200 0 2100
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 130 2200 SH DEFINED 01 2200 0 0
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 6 100 SH DEFINED 02 100 0 0
D ALLIANT TECHSYSTEMS, INC. COMMON 018804104 471 8000 SH OTHER 01 0 8000 0
D ALLIED CAPITAL CORPORATION COMMON 01903Q108 5873 336800 SH DEFINED 01 336800 0 0
D ALLIED CAPITAL CORPORATION COMMON 01903Q108 12946 742375 SH DEFINED 02 592325 0 150050
D ALLIED HOLDINGS, INC. COMMON 019223106 238 40100 SH DEFINED 02 38800 0 1300
D ALLIED PRODUCTS CORP. COMMON 019411107 45 14850 SH DEFINED 02 0 0 14850
D ALLIED WASTE INDUSTRIES, INC. COMMON 019589308 8 1200 SH DEFINED 17 1200 0 0
D ALLIED WASTE INDUSTRIES, INC. COMMON 019589308 62 9500 SH DEFINED 16 9500 0 0
D ALLIED WASTE INDUSTRIES, INC. COMMON 019589308 6075 925631 SH DEFINED 01 925631 0 0
D ALLMERICA FINANCIAL CORP. COMMON 019754100 1459 28600 SH DEFINED 17 28600 0 0
D ALLMERICA FINANCIAL CORP. COMMON 019754100 2570 50400 SH DEFINED 01 50400 0 0
D ALLMERICA FINANCIAL CORP. COMMON 019754100 423 8300 SH DEFINED 02 2300 0 6000
D ALLOY ONLINE INC COMMON 019855105 1677 100500 SH DEFINED 01 100500 0 0
D ALLOY ONLINE INC COMMON 019855105 4172 250000 SH DEFINED 02 197400 0 52600
D ALLSCRIPTS INC COMMON 019886100 283 4700 SH DEFINED 05 0 0 4700
FORM 13F INFORMATION TABLE MARCH 31 2000 PAGE 14
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 ALLSCRIPTS INC COMMON 019886100 30961 514950 SH DEFINED 01 381975 0 132975
D ALLSCRIPTS INC COMMON 019886100 16858 280375 SH DEFINED 02 223325 0 57050
D ALLSTATE CORP. COMMON 020002101 488 20500 SH DEFINED 17 20500 0 0
D ALLSTATE CORP. COMMON 020002101 40 1700 SH DEFINED 05 1700 0 0
D ALLSTATE CORP. COMMON 020002101 125840 5284498 SH DEFINED 01 3864866 0 1419632
D ALLSTATE CORP. COMMON 020002101 247310 10385486 SH DEFINED 02 6051230 0 4334256
D ALLSTATE CORP. COMMON 020002101 1422 59716 SH OTHER 01 35586 24130 0
D ALLTEL CORP. COMMON 020039103 120 1900 SH DEFINED 17 1900 0 0
D ALLTEL CORP. COMMON 020039103 5028 79500 SH DEFINED 06 79500 0 0
D ALLTEL CORP. COMMON 020039103 42342 669438 SH DEFINED 01 501580 0 167858
D ALLTEL CORP. COMMON 020039103 82725 1307899 SH DEFINED 02 681520 0 626379
D ALLTEL CORP. COMMON 020039103 682 10778 SH OTHER 01 4020 6758 0
D ALPHA INDS INC COMMON 020753109 1843 19400 SH DEFINED 01 19400 0 0
D ALPHA INDS INC COMMON 020753109 209 2200 SH DEFINED 02 2200 0 0
D ALPHARMA, INC. COMMON 020813101 1566 42600 SH DEFINED 01 42600 0 0
D ALPHARMA, INC. COMMON 020813101 5637 153400 SH DEFINED 02 13300 0 140100
D ALPINE GROUP, INC. COMMON 020825105 193 21400 SH DEFINED 01 21400 0 0
D ALPINE GROUP, INC. COMMON 020825105 28 3100 SH DEFINED 02 3100 0 0
D ALTERA CORP. COMMON 021441100 6 76 SH DEFINED 16 76 0 0
D ALTERA CORP. COMMON 021441100 6042 67700 SH DEFINED 01 65900 0 1800
D ALTERA CORP. COMMON 021441100 72038 807150 SH DEFINED 02 698550 0 108600
D ALTEON WEBSYSTEMS INC COMMON 02145A109 262 3200 SH DEFINED 05 0 0 3200
D ALTEON WEBSYSTEMS INC COMMON 02145A109 24085 293725 SH DEFINED 01 203550 0 90175
D ALTEON WEBSYSTEMS INC COMMON 02145A109 20430 249150 SH DEFINED 02 212750 0 36400
D ALTERNATIVE LIVING SVCS 5.25% BOND 02145KAB3 540 500000 PRN DEFINED 16
D ALTERRA HEALTHCARE CORP COMMON 02146C104 106 26600 SH DEFINED 02 200 0 26400
FORM 13F INFORMATION TABLE MARCH 31 2000 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. 0% CPN. LYON DUE 7/ BOND 022615AC2 560 1000000 PRN DEFINED 16
D ALZA CORP. 5% CSD DUE 5/01/200 BOND 022615AD0 9180 7650000 PRN DEFINED 01
D ALZA CORP. 5% CSD DUE 5/01/200 BOND 022615AD0 30000 25000000 PRN DEFINED 02
D ALZA CORPORATION COMMON 022615108 23 600 SH DEFINED 17 600 0 0
D ALZA CORPORATION COMMON 022615108 2956 78700 SH DEFINED 05 34100 0 44600
D ALZA CORPORATION COMMON 022615108 123370 3284353 SH DEFINED 01 1915345 0 1369008
D ALZA CORPORATION COMMON 022615108 334308 8899939 SH DEFINED 02 7227254 0 1672685
D ALZA CORPORATION COMMON 022615108 150 4000 SH OTHER 05 3000 1000 0
D ALZA CORPORATION COMMON 022615108 646 17200 SH OTHER 09 17200 0 0
D ALZA CORPORATION COMMON 022615108 3224 85840 SH OTHER 01 47080 38760 0
D ALZA CORPORATION COMMON 022615108 1127 30000 SH OTHER 0304 30000 0 0
D AMAZON.COM INC COMMON 023135106 608 9074 SH DEFINED 17 9074 0 0
D AMAZON.COM INC COMMON 023135106 992 15600 SH DEFINED 16 15600 0 0
D AMAZON.COM INC COMMON 023135106 72 1076 SH DEFINED 01 1076 0 0
D AMAZON.COM INC COMMON 023135106 2023 30200 SH DEFINED 02 0 0 30200
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 181 3600 SH DEFINED 05 3600 0 0
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 83986 1667209 SH DEFINED 01 1046874 0 620335
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 280130 5560893 SH DEFINED 02 4560510 0 1000383
D AMBAC FINANCIAL GROUP INC. COMMON 023139108 1953 38775 SH OTHER 01 13715 25060 0
D AMCOL INTERNATIONAL CORP. COMMON 02341W103 95 6200 SH DEFINED 01 6200 0 0
D AMCOL INTERNATIONAL CORP. COMMON 02341W103 397 25850 SH DEFINED 02 11900 0 13950
D AMERADA HESS CORP. COMMON 023551104 39 600 SH DEFINED 17 600 0 0
D AMERADA HESS CORP. COMMON 023551104 1231 19055 SH DEFINED 01 2455 0 16600
D AMERADA HESS CORP. COMMON 023551104 679 10500 SH DEFINED 02 6300 0 4200
D AMERCO, INC. COMMON 023586100 864 47000 SH DEFINED 02 2000 0 45000
D AMEREN CORPORATION COMMON 023608102 25 800 SH DEFINED 17 800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 2460 79500 SH DEFINED 01 52900 0 26600
D AMEREN CORPORATION COMMON 023608102 7577 244900 SH DEFINED 02 87300 0 157600
D AMEREN CORPORATION COMMON 023608102 230 7420 SH OTHER 01 0 7420 0
D AMERICA ONLINE INC BOND 02364JAC8 4760 8000000 PRN DEFINED 16
D AMERICA ONLINE INC BOND 02364JAC8 3868 6500000 PRN DEFINED 01
D AMERICA ONLINE INC BOND 02364JAC8 15827 26600000 PRN DEFINED 02
D AMERICA ONLINE, INC. COMMON 02364J104 5233 77600 SH DEFINED 05 34600 0 43000
D AMERICA ONLINE, INC. COMMON 02364J104 92 1400 SH DEFINED 16 1400 0 0
D AMERICA ONLINE, INC. COMMON 02364J104 476224 7061659 SH DEFINED 01 4670939 0 2390720
D AMERICA ONLINE, INC. COMMON 02364J104 925363 13721680 SH DEFINED 02 9403130 0 4318550
D AMERICA ONLINE, INC. COMMON 02364J104 27 400 SH OTHER 05 0 400 0
D AMERICA ONLINE, INC. COMMON 02364J104 2084 30900 SH OTHER 09 30900 0 0
D AMERICA ONLINE, INC. COMMON 02364J104 8705 129075 SH OTHER 01 63870 65205 0
D AMERICA WEST HLDG CORP COMMON 023657208 1166 75200 SH DEFINED 01 75200 0 0
D AMERICA WEST HLDG CORP COMMON 023657208 807 52061 SH DEFINED 02 47500 0 4561
D AMERICAN ANNUITY GROUP, INC. COMMON 023840101 188 12310 SH DEFINED 02 0 0 12310
D AMERICAN AXLE & MFG HLDGS IN COMMON 024061103 382 25800 SH DEFINED 02 25800 0 0
D AMERCIAN CLASSIC VOYAGES CO. COMMON 024928103 104 4125 SH DEFINED 05 0 0 4125
D AMERCIAN CLASSIC VOYAGES CO. COMMON 024928103 7395 293575 SH DEFINED 01 173225 0 120350
D AMERCIAN CLASSIC VOYAGES CO. COMMON 024928103 4855 192750 SH DEFINED 02 140375 0 52375
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 4 99 SH DEFINED 16 99 0 0
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 231 6100 SH DEFINED 01 6100 0 0
D AMERICAN EAGLE OUTFITTERS NE COMMON 02553E106 304 8000 SH DEFINED 02 200 0 7800
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 657 22050 SH DEFINED 17 22050 0 0
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 215 7200 SH DEFINED 01 3000 0 4200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ELECTRIC POWER, INC. COMMON 025537101 787 26400 SH DEFINED 02 15600 0 10800
D AMERICAN ELECTRIC POWER, INC. COMMON 025537101 60 2000 SH OTHER 01 2000 0 0
D AMERICAN EXPRESS CO. COMMON 025816109 1281 8600 SH DEFINED 17 8600 0 0
D AMERICAN EXPRESS CO. COMMON 025816109 305 2050 SH DEFINED 05 1500 0 550
D AMERICAN EXPRESS CO. COMMON 025816109 83534 560867 SH DEFINED 01 415252 0 145615
D AMERICAN EXPRESS CO. COMMON 025816109 12472 83740 SH DEFINED 02 68140 0 15600
D AMERICAN EXPRESS CO. COMMON 025816109 2979 20000 SH OTHER 101112 0 20000 0
D AMERICAN EXPRESS CO. COMMON 025816109 4325 29038 SH OTHER 01 10900 18138 0
D AMERICAN FINANCIAL GROUP, INC. COMMON 025932104 1402 48964 SH DEFINED 01 48900 0 64
D AMERICAN FINANCIAL GROUP, INC. COMMON 025932104 544 19000 SH DEFINED 02 1200 0 17800
D AMERICAN FREIGHTWAYS CORP. COMMON 02629V108 1672 111900 SH DEFINED 01 111900 0 0
D AMERICAN FREIGHTWAYS CORP. COMMON 02629V108 1335 89400 SH DEFINED 02 66600 0 22800
D AMERICAN GENERAL CORP. COMMON 026351106 1089 19400 SH DEFINED 17 19400 0 0
D AMERICAN GENERAL CORP. COMMON 026351106 2273 40500 SH DEFINED 06 40500 0 0
D AMERICAN GENERAL CORP. COMMON 026351106 338 6016 SH DEFINED 05 0 0 6016
D AMERICAN GENERAL CORP. COMMON 026351106 21237 378384 SH DEFINED 01 180119 0 198265
D AMERICAN GENERAL CORP. COMMON 026351106 27198 484600 SH DEFINED 02 259500 0 225100
D AMERICAN GENERAL CORP. COMMON 026351106 22 400 SH OTHER 01 400 0 0
D AMERICAN GENERAL LLC $3.00 CV. PREF-CONV 02637G200 795 11200 SH DEFINED 01
D AMERICAN HOME MTG HLDGS INC COMMON 02660M108 563 88300 SH DEFINED 01 88300 0 0
D AMERICAN HOME MTG HLDGS INC COMMON 02660M108 1510 236800 SH DEFINED 02 191800 0 45000
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 129 2400 SH DEFINED 17 2400 0 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 5375 100000 SH DEFINED 18 100000 0 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 5990 111450 SH DEFINED 05 52050 0 59400
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 347222 6459947 SH DEFINED 01 4313941 0 2146006
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 686247 12767377 SH DEFINED 02 8762440 0 4004937
FORM 13F INFORMATION TABLE MARCH 31 2000 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 677 12600 SH OTHER 05 11800 800 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 2478 46100 SH OTHER 09 46100 0 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 56543 1051969 SH OTHER 01 135680 916289 0
D AMERICAN HOME PRODUCTS CORP. COMMON 026609107 4838 90000 SH OTHER 0304 90000 0 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 1150 10500 SH DEFINED 17 10500 0 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 7540 68856 SH DEFINED 05 17020 0 51836
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 544 4625 SH DEFINED 16 4625 0 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 746756 6819687 SH DEFINED 01 3409104 0 3410583
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 286760 2618812 SH DEFINED 02 1664447 0 954365
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 623 5693 SH OTHER 05 5693 0 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 1603012 14639379 SH OTHER 0708 0 14639379 0
D AMERICAN INTERNATIONAL GROUP, COMMON 026874107 226149 2065290 SH OTHER 01 172649 1892641 0
D AMERICAN ITALIAN PASTA COMPANY COMMON 027070101 10347 420200 SH DEFINED 01 419700 0 500
D AMERICAN ITALIAN PASTA COMPANY COMMON 027070101 5676 230500 SH DEFINED 02 187600 0 42900
D AMERICAN MANAGEMENT SYSTEMS, I COMMON 027352103 82 2223 SH DEFINED 16 2223 0 0
D AMERICAN MANAGEMENT SYSTEMS, I COMMON 027352103 2423 55300 SH DEFINED 01 55300 0 0
D AMERICAN MANAGEMENT SYSTEMS, I COMMON 027352103 4049 92425 SH DEFINED 02 11200 0 81225
D AMERICAN MOBILE SATELLITE CO. COMMON 02755R103 170 7100 SH DEFINED 05 0 0 7100
D AMERICAN MOBILE SATELLITE CO. COMMON 02755R103 19842 826750 SH DEFINED 01 613625 0 213125
D AMERICAN MOBILE SATELLITE CO. COMMON 02755R103 11054 460575 SH DEFINED 02 362900 0 97675
D AMERICAN NATIONAL INSURANCE CO COMMON 028591105 1081 18800 SH DEFINED 01 18800 0 0
D AMERICAN NATIONAL INSURANCE CO COMMON 028591105 138 2400 SH DEFINED 02 700 0 1700
D AMERICAN RETIREMENT CORPORATIO COMMON 028913101 106 12400 SH DEFINED 02 0 0 12400
D AMERICAN POWER CONVERSION CORP COMMON 029066107 4564 106450 SH DEFINED 01 106450 0 0
D AMERICAN POWER CONVERSION CORP COMMON 029066107 1865 43500 SH DEFINED 02 5000 0 38500
D AMERICAN PRECISION INDUSTRIES, COMMON 029069101 0 11500 SH DEFINED 02 0 0 11500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 STANDARD COMPANIES, I COMMON 029712106 3696 99900 SH DEFINED 01 99000 0 900
D AMERICAN STANDARD COMPANIES, I COMMON 029712106 773 20900 SH DEFINED 02 4000 0 16900
D AMERICAN STS WTR CO COMMON 029899101 595 20000 SH DEFINED 01 20000 0 0
D AMERICAN STS WTR CO COMMON 029899101 1172 39400 SH DEFINED 02 36000 0 3400
D AMERICAN TOWER CORP "CONV BON BOND 029912AE2 0 1000000 PRN DEFINED 16
D AMERICAN TOWER CORP COMMON 029912201 2410 48800 SH DEFINED 01 48800 0 0
D AMERICAN TOWER CORP COMMON 029912201 1172 23730 SH DEFINED 02 1400 0 22330
D AMERICAN WATER WORKS, INC. COMMON 030411102 1617 68100 SH DEFINED 01 68100 0 0
D AMERICAN WATER WORKS, INC. COMMON 030411102 758 31900 SH DEFINED 02 14800 0 17100
D AMERICREDIT CORP. COMMON 03060R101 865 53000 SH DEFINED 01 53000 0 0
D AMERICREDIT CORP. COMMON 03060R101 1171 71800 SH DEFINED 02 11400 0 60400
D AMERIPATH INC COMMON 03071D109 162 19900 SH DEFINED 02 5800 0 14100
D AMERISOURCE HEALTH CORP. CLASS COMMON 03071P102 626 41700 SH DEFINED 01 41700 0 0
D AMERISOURCE HEALTH CORP. CLASS COMMON 03071P102 87 5800 SH DEFINED 02 5200 0 600
D AMERITRADE HOLDING CORP 'BOND BOND 03072HAB5 0 10000000 PRN DEFINED 16
D AMERUS LIFE HLDGS INC COMMON 030732101 822 45326 SH DEFINED 01 45326 0 0
D AMERUS LIFE HLDGS INC COMMON 030732101 80 4400 SH DEFINED 02 4400 0 0
D AMES DEPARTMENT STORES, INC. COMMON 030789507 386 15700 SH DEFINED 02 0 0 15700
D AMGEN, INC. COMMON 031162100 13470 219530 SH DEFINED 17 219530 0 0
D AMGEN, INC. COMMON 031162100 55 900 SH DEFINED 05 900 0 0
D AMGEN, INC. COMMON 031162100 693 11670 SH DEFINED 16 11670 0 0
D AMGEN, INC. COMMON 031162100 33741 549747 SH DEFINED 01 465447 0 84300
D AMGEN, INC. COMMON 031162100 153483 2500740 SH DEFINED 02 2288390 0 212350
D AMGEN, INC. COMMON 031162100 792 12900 SH OTHER 01 9900 3000 0
D AMKOR TECHNOLOGY INC COMMON 031652100 3587 67600 SH DEFINED 01 67600 0 0
D AMKOR TECHNOLOGY INC COMMON 031652100 3757 70800 SH DEFINED 02 24900 0 45900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AMRESCO CAP TRUST COMMON 031919103 4126 405000 SH DEFINED 01 405000 0 0
D AMPHENOL CORPORATION COMMON 032095101 1769 17300 SH DEFINED 01 17300 0 0
D AMPHENOL CORPORATION COMMON 032095101 307 3000 SH DEFINED 02 3000 0 0
D AMSOUTH BANCORPORATION COMMON 032165102 36 2400 SH DEFINED 17 2400 0 0
D AMSOUTH BANCORPORATION COMMON 032165102 31 2100 SH DEFINED 05 2100 0 0
D AMSOUTH BANCORPORATION COMMON 032165102 25272 1691787 SH DEFINED 01 1207347 0 484440
D AMSOUTH BANCORPORATION COMMON 032165102 46477 3111300 SH DEFINED 02 1885286 0 1226014
D AMSOUTH BANCORPORATION COMMON 032165102 61 4100 SH OTHER 01 4100 0 0
D ANADARKO PETROLEUM CORP. COMMON 032511107 31 800 SH DEFINED 17 800 0 0
D ANADARKO PETROLEUM CORP. COMMON 032511107 46 1200 SH DEFINED 05 0 0 1200
D ANADARKO PETROLEUM CORP. COMMON 032511107 1888 48800 SH DEFINED 16 48800 0 0
D ANADARKO PETROLEUM CORP. COMMON 032511107 6511 168298 SH DEFINED 01 101998 0 66300
D ANADARKO PETROLEUM CORP. COMMON 032511107 6457 166900 SH DEFINED 02 62800 0 104100
D ANADIGICS, INC. COMMON 032515108 1558 23600 SH DEFINED 01 23600 0 0
D ANADIGICS, INC. COMMON 032515108 251 3800 SH DEFINED 02 3800 0 0
D ANALOG DEVICES, INC. COMMON 032654105 403 5000 SH DEFINED 17 5000 0 0
D ANALOG DEVICES, INC. COMMON 032654105 2093 26000 SH OTHER 01 0 26000 0
D ANALOGIC CORP. COMMON 032657207 387 10500 SH DEFINED 02 0 0 10500
D ANAREN MICROWAVE INC COMMON 032744104 103 1075 SH DEFINED 05 0 0 1075
D ANAREN MICROWAVE INC COMMON 032744104 3806 39700 SH DEFINED 01 8225 0 31475
D ANAREN MICROWAVE INC COMMON 032744104 884 9225 SH DEFINED 02 7025 0 2200
D ANCHOR GAMING COMMON 033037102 106 2800 SH DEFINED 05 0 0 2800
D ANCHOR GAMING COMMON 033037102 12721 335300 SH DEFINED 01 259525 0 75775
D ANCHOR GAMING COMMON 033037102 11338 298850 SH DEFINED 02 242075 0 56775
D ANCOR COMMUNICATIONS INC COMMON 03332K108 794 19300 SH DEFINED 01 19300 0 0
D ANCOR COMMUNICATIONS INC COMMON 03332K108 440 10700 SH DEFINED 02 3900 0 6800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ANDREW CORP. COMMON 034425108 11 500 SH DEFINED 17 500 0 0
D ANDREW CORP. COMMON 034425108 1981 86600 SH DEFINED 01 86600 0 0
D ANDREW CORP. COMMON 034425108 1413 61775 SH DEFINED 02 36800 0 24975
D ANDRX CORP. COMMON 034551101 6098 52800 SH DEFINED 01 52800 0 0
D ANDRX CORP. COMMON 034551101 970 8400 SH DEFINED 02 2400 0 6000
D ANGLOGOLD LTD COMMON 035128206 240 10000 SH OTHER 01 0 10000 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 919 14761 SH DEFINED 17 14761 0 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 187 3000 SH DEFINED 05 3000 0 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 17357 278825 SH DEFINED 01 229816 0 49009
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 168 2700 SH DEFINED 02 2700 0 0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON 035229103 2126 34150 SH OTHER 01 25800 8350 0
D ANIXTER INTERNATIONAL, INC. COMMON 035290105 9840 353000 SH DEFINED 01 224300 0 128700
D ANIXTER INTERNATIONAL, INC. COMMON 035290105 13623 488700 SH DEFINED 02 318500 0 170200
D ANNTAYLOR STORES CORP. COMMON 036115103 271 11800 SH DEFINED 01 11800 0 0
D ANNTAYLOR STORES CORP. COMMON 036115103 64 2800 SH DEFINED 02 2800 0 0
D ANTEC CORPORATION COMMON 03664P105 2 40 SH DEFINED 16 40 0 0
D ANTEC CORPORATION COMMON 03664P105 1483 33100 SH DEFINED 01 33100 0 0
D ANTEC CORPORATION COMMON 03664P105 533 11900 SH DEFINED 02 9200 0 2700
D ANSWERTHINK CONSULTING GROUP COMMON 036916104 1087 44500 SH DEFINED 01 44500 0 0
D ANSWERTHINK CONSULTING GROUP COMMON 036916104 134 5500 SH DEFINED 02 5500 0 0
D AON CORP. COMMON 037389103 52 1600 SH DEFINED 17 1600 0 0
D AON CORP. COMMON 037389103 97 3000 SH DEFINED 05 3000 0 0
D AON CORP. COMMON 037389103 61621 1910725 SH DEFINED 01 1434075 0 476650
D AON CORP. COMMON 037389103 186164 5772520 SH DEFINED 02 4262720 0 1509800
D AON CORP. COMMON 037389103 322 9975 SH OTHER 01 3900 6075 0
D APACHE CORP. COMMON 037411105 35 700 SH DEFINED 17 700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 APACHE CORP. COMMON 037411105 11002 225100 SH DEFINED 16 225100 0 0
D APACHE CORP. COMMON 037411105 13884 279078 SH DEFINED 01 211700 0 67378
D APACHE CORP. COMMON 037411105 31763 638456 SH DEFINED 02 388850 0 249606
D APACHE CORP. COMMON 037411105 25 500 SH OTHER 01 500 0 0
D APEX INC COMMON 037548104 631 17000 SH DEFINED 01 17000 0 0
D APEX INC COMMON 037548104 574 15450 SH DEFINED 02 8900 0 6550
D APPLE COMPUTER, INC. COMMON 037833100 136 1000 SH DEFINED 17 1000 0 0
D APPLE COMPUTER, INC. COMMON 037833100 7 53 SH DEFINED 16 53 0 0
D APPLE COMPUTER, INC. COMMON 037833100 48140 354460 SH DEFINED 01 311400 0 43060
D APPLE COMPUTER, INC. COMMON 037833100 172670 1271380 SH DEFINED 02 955480 0 315900
D APPLE COMPUTER, INC. COMMON 037833100 109 800 SH OTHER 01 800 0 0
D APRIA HEALTHCARE GROUP, INC. COMMON 037933108 1533 106200 SH DEFINED 01 106200 0 0
D APRIA HEALTHCARE GROUP, INC. COMMON 037933108 1240 85863 SH DEFINED 02 49200 0 36663
D APPLIED INDL TECHNOLOGIES IN COMMON 03820C105 268 16775 SH DEFINED 02 8900 0 7875
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 11165 74400 SH DEFINED 17 74400 0 0
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 540 3600 SH DEFINED 05 0 0 3600
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 65840 438750 SH DEFINED 01 340650 0 98100
D APPLIED MICRO CIRCUITS CORPORA COMMON 03822W109 45889 305800 SH DEFINED 02 228600 0 77200
D APPLIED MATERIALS, INC. COMMON 038222105 14129 149900 SH DEFINED 17 149900 0 0
D APPLIED MATERIALS, INC. COMMON 038222105 75 800 SH DEFINED 05 800 0 0
D APPLIED MATERIALS, INC. COMMON 038222105 566 6341 SH DEFINED 16 6341 0 0
D APPLIED MATERIALS, INC. COMMON 038222105 212860 2258460 SH DEFINED 01 1641580 0 616880
D APPLIED MATERIALS, INC. COMMON 038222105 467944 4964920 SH DEFINED 02 3092220 0 1872700
D APPLIED MATERIALS, INC. COMMON 038222105 490 5200 SH OTHER 01 5200 0 0
D APPLIED POWER, INC. CLASS "A" COMMON 038225108 1405 49300 SH DEFINED 01 49300 0 0
D APPLIED POWER, INC. CLASS "A" COMMON 038225108 6577 230755 SH DEFINED 02 15300 0 215455
FORM 13F INFORMATION TABLE MARCH 31 2000 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 APPLIED SCIENCE & TECHNOLOGY, COMMON 038236105 2226 73600 SH DEFINED 01 73600 0 0
D APPLIED SCIENCE & TECHNOLOGY, COMMON 038236105 5690 188100 SH DEFINED 02 150000 0 38100
D APPLIEDTHEORY CORP COMMON 03828R104 207 9900 SH DEFINED 01 9900 0 0
D APPLIEDTHEORY CORP COMMON 03828R104 40 1900 SH DEFINED 02 1900 0 0
D APPNET INC COMMON 03831Q101 21 447 SH DEFINED 16 447 0 0
D APPNET INC COMMON 03831Q101 1602 34075 SH DEFINED 01 24100 0 9975
D APTARGROUP, INC. COMMON 038336103 241 9046 SH DEFINED 01 0 0 9046
D APTARGROUP, INC. COMMON 038336103 782 29300 SH DEFINED 02 18300 0 11000
D ARCADIA FINL LTD COMMON 039101100 124 24700 SH DEFINED 02 24700 0 0
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 38 3700 SH DEFINED 17 3700 0 0
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 33 3175 SH DEFINED 01 2302 0 873
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 1436 139200 SH DEFINED 02 0 0 139200
D ARCHER-DANIELS-MIDLAND CO. COMMON 039483102 94 9111 SH OTHER 01 0 9111 0
D ARCHSTONE COMMUNITIES TRUST COMMON 039581103 375 18800 SH DEFINED 01 0 0 18800
D ARCHSTONE COMMUNITIES TRUST COMMON 039581103 166 8335 SH DEFINED 02 0 0 8335
D ARCTIC CAT, INC. COMMON 039670104 196 19125 SH DEFINED 02 0 0 19125
D ARDEN RLTY GROUP INC COMMON 039793104 188 9000 SH DEFINED 16 9000 0 0
D ARDEN RLTY GROUP INC COMMON 039793104 9715 465400 SH DEFINED 01 465200 0 200
D ARDEN RLTY GROUP INC COMMON 039793104 18483 885400 SH DEFINED 02 756000 0 129400
D ARGOSY GAMING CORP. COMMON 040228108 1344 94300 SH DEFINED 01 74300 0 20000
D ARGOSY GAMING CORP. COMMON 040228108 447 31400 SH DEFINED 02 15500 0 15900
D ARIBA INC COMMON 04033V104 2516 12000 SH DEFINED 18 12000 0 0
D ARIBA INC COMMON 04033V104 1908 9100 SH DEFINED 02 0 0 9100
D ARMSTRONG WORLD INDUSTRIES, IN COMMON 042476101 4 200 SH DEFINED 17 200 0 0
D ARMSTRONG WORLD INDUSTRIES, IN COMMON 042476101 658 36800 SH DEFINED 01 36800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ARMSTRONG WORLD INDUSTRIES, IN COMMON 042476101 104 5800 SH DEFINED 02 1700 0 4100
D ARROW ELECTRONICS, INC. COMMON 042735100 85 2400 SH DEFINED 01 0 0 2400
D ARROW ELECTRONICS, INC. COMMON 042735100 388 11000 SH DEFINED 02 0 0 11000
D ARROW FINANCIAL CORP. COMMON 042744102 72 3930 SH DEFINED 01 0 0 3930
D ARROW FINANCIAL CORP. COMMON 042744102 405 22200 SH DEFINED 02 0 0 22200
D ART TECHNOLOGY GROUP INC COMMON 04289L107 296 4500 SH DEFINED 05 0 0 4500
D ART TECHNOLOGY GROUP INC COMMON 04289L107 27898 424700 SH DEFINED 01 288900 0 135800
D ART TECHNOLOGY GROUP INC COMMON 04289L107 16438 250250 SH DEFINED 02 198750 0 51500
D ARTESYN TECHNOLOGIES INC COMMON 043127109 566 29900 SH DEFINED 01 29900 0 0
D ARTESYN TECHNOLOGIES INC COMMON 043127109 405 21400 SH DEFINED 02 10600 0 10800
D ARVIN INDUSTRIES, INC. COMMON 043339100 226 10000 SH DEFINED 01 10000 0 0
D ARVIN INDUSTRIES, INC. COMMON 043339100 2695 119100 SH DEFINED 02 28700 0 90400
D ASCENT ENTERTAINMENT GROUP, IN COMMON 043628106 232 15300 SH DEFINED 01 15300 0 0
D ASCENT ENTERTAINMENT GROUP, IN COMMON 043628106 70 4600 SH DEFINED 02 4600 0 0
D ASHLAND, INC. COMMON 044204105 13 400 SH DEFINED 17 400 0 0
D ASHLAND, INC. COMMON 044204105 8030 241500 SH DEFINED 18 241500 0 0
D ASHLAND, INC. COMMON 044204105 162 4865 SH DEFINED 05 0 0 4865
D ASHLAND, INC. COMMON 044204105 275 8266 SH DEFINED 01 8166 0 100
D ASHTON TECHNOLOGY GROUP INC COMMON 045084100 206 24400 SH DEFINED 01 24400 0 0
D ASHTON TECHNOLOGY GROUP INC COMMON 045084100 38 4500 SH DEFINED 02 4500 0 0
D ASIA PULP & PAPER LTD. SPNSRD. COMMON 04516V100 148 20000 SH OTHER 01 0 20000 0
D ASK JEEVES INC COMMON 045174109 31 500 SH DEFINED 01 500 0 0
D ASK JEEVES INC COMMON 045174109 238 3900 SH DEFINED 02 0 0 3900
D ASPECT COMMUNICATIONS CORP COMMON 04523Q102 54 1446 SH DEFINED 16 1446 0 0
D ASPECT COMMUNICATIONS CORP COMMON 04523Q102 1190 32100 SH DEFINED 01 32100 0 0
D ASPECT COMMUNICATIONS CORP COMMON 04523Q102 1286 34700 SH DEFINED 02 12700 0 22000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ASPECT DEVELOPMENT, INC. COMMON 045234101 901 14000 SH DEFINED 16 14000 0 0
D ASPECT DEVELOPMENT, INC. COMMON 045234101 3792 58900 SH DEFINED 01 58900 0 0
D ASPECT DEVELOPMENT, INC. COMMON 045234101 1030 16000 SH DEFINED 02 9600 0 6400
D ASPEN TECHNOLOGY, INC. COMMON 045327103 186 4600 SH DEFINED 05 0 0 4600
D ASPEN TECHNOLOGY, INC. COMMON 045327103 12582 311625 SH DEFINED 01 179850 0 131775
D ASPEN TECHNOLOGY, INC. COMMON 045327103 1825 45200 SH DEFINED 02 32200 0 13000
D ASSOCIATED BANC CORP. COMMON 045487105 4995 167200 SH DEFINED 01 131300 0 35900
D ASSOCIATED BANC CORP. COMMON 045487105 15819 529504 SH DEFINED 02 378142 0 151362
D ASSOCIATED BANC CORP. COMMON 045487105 12 400 SH OTHER 01 400 0 0
D ASSOCIATED ESTATES REALTY CORP COMMON 045604105 85 10500 SH DEFINED 02 700 0 9800
D AT HOME CORP BOND 045919AC1 47822 86850000 PRN DEFINED 17
D AT HOME CORP BOND 045919AC1 14 25000 PRN DEFINED 16
D EXCITE AT HOME CORPCONV BOND BOND 045919AD9 0 13000000 PRN DEFINED 16
D AT HOME CORPORATION COMMON 045919107 3 89 SH DEFINED 16 89 0 0
D AT HOME CORPORATION COMMON 045919107 258 7837 SH DEFINED 01 5000 0 2837
D AT HOME CORPORATION COMMON 045919107 2253 68400 SH DEFINED 02 0 0 68400
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 96 4500 SH DEFINED 17 4500 0 0
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 340 15920 SH DEFINED 05 6838 0 9082
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 45580 2132384 SH DEFINED 01 1660906 0 471478
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 86588 4050900 SH DEFINED 02 2398800 0 1652100
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 43 2000 SH OTHER 05 0 2000 0
D ASSOCIATES FIRST CAPITAL CORP. COMMON 046008108 1328 62122 SH OTHER 01 13732 48390 0
D ASTEC INDUSTRIES INC COMMON 046224101 234 8800 SH DEFINED 01 8800 0 0
D ASTEC INDUSTRIES INC COMMON 046224101 40 1500 SH DEFINED 02 1500 0 0
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 37 1305 SH DEFINED 05 1305 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ASTORIA FINANCIAL CORPORATION COMMON 046265104 34070 1200710 SH DEFINED 01 718300 0 482410
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 88818 3130136 SH DEFINED 02 2587048 0 543088
D ASTORIA FINANCIAL CORPORATION COMMON 046265104 11 400 SH OTHER 01 400 0 0
D ASTRAZENECA PLC COMMON 046353108 81 2008 SH DEFINED 01 0 0 2008
D ASTRAZENECA PLC COMMON 046353108 54 1344 SH OTHER 05 0 1344 0
D ASTRAZENECA PLC COMMON 046353108 445 10999 SH OTHER 01 0 10999 0
D ASYST TECHNOLOGIES, INC. COMMON 04648X107 1217 20800 SH DEFINED 01 15600 0 5200
D ASYST TECHNOLOGIES, INC. COMMON 04648X107 170 2900 SH DEFINED 02 2900 0 0
D ATLANTIC COAST AIRLINES HLDG COMMON 048396105 259 10000 SH DEFINED 01 10000 0 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 106922 1257900 SH DEFINED 18 1257900 0 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 1263 14856 SH DEFINED 05 7756 0 7100
D ATLANTIC RICHFIELD CO. COMMON 048825103 14713 173096 SH DEFINED 01 111462 0 61634
D ATLANTIC RICHFIELD CO. COMMON 048825103 247 2900 SH OTHER 05 0 2900 0
D ATLANTIC RICHFIELD CO. COMMON 048825103 13834 162757 SH OTHER 01 27246 135511 0
D ATMEL CORP. COMMON 049513104 3392 65700 SH DEFINED 01 65700 0 0
D ATMEL CORP. COMMON 049513104 583 11300 SH DEFINED 02 3100 0 8200
D ATMOS ENERGY CORP. COMMON 049560105 7408 452400 SH DEFINED 01 452400 0 0
D ATMOS ENERGY CORP. COMMON 049560105 7551 461100 SH DEFINED 02 381000 0 80100
D ATWOOD OCEANICS, INC. COMMON 050095108 597 9000 SH DEFINED 02 0 0 9000
D AUSPEX SYSTEMS, INC. COMMON 052116100 220 20000 SH OTHER 101112 0 20000 0
D AUTODESK, INC. COMMON 052769106 18 400 SH DEFINED 17 400 0 0
D AUTODESK, INC. COMMON 052769106 14 303 SH DEFINED 16 303 0 0
D AUTODESK, INC. COMMON 052769106 4081 89683 SH DEFINED 01 52383 0 37300
D AUTODESK, INC. COMMON 052769106 6998 153800 SH DEFINED 02 63800 0 90000
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 183 3800 SH DEFINED 17 3800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AUTOMATIC DATA PROCESSING, INC COMMON 053015103 1448 30000 SH DEFINED 05 12600 0 17400
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 116784 2420385 SH DEFINED 01 1654485 0 765900
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 214108 4437466 SH DEFINED 02 2778440 0 1659026
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 19 400 SH OTHER 05 0 400 0
D AUTOMATIC DATA PROCESSING, INC COMMON 053015103 7824 162149 SH OTHER 01 16215 145934 0
D AUTOZONE, INC. COMMON 053332102 25 900 SH DEFINED 17 900 0 0
D AUTOZONE, INC. COMMON 053332102 42 1500 SH DEFINED 01 1500 0 0
D AUTOZONE, INC. COMMON 053332102 150 5400 SH DEFINED 02 0 0 5400
D AVADO BRANDS INC COMMON 05336P108 1192 423800 SH DEFINED 17 423800 0 0
D AVADO BRANDS INC COMMON 05336P108 0 122 SH DEFINED 16 122 0 0
D AVADO BRANDS INC COMMON 05336P108 5 1800 SH DEFINED 02 1800 0 0
D AVADO FIN I "PFD CONV" PREF-CONV 05336Q205 1324 77860 SH DEFINED 16
D AVANEX CORP COMMON 05348W109 42 275 SH DEFINED 05 0 0 275
D AVANEX CORP COMMON 05348W109 4932 32500 SH DEFINED 01 24525 0 7975
D AVANEX CORP COMMON 05348W109 3346 22050 SH DEFINED 02 17725 0 4325
D AVALONBAY CUMMUNITIES, INC COMMON 053484101 3216 87800 SH DEFINED 01 87800 0 0
D AVALONBAY CUMMUNITIES, INC COMMON 053484101 8331 227469 SH DEFINED 02 188100 0 39369
D AVANT IMMUNOTHERAPEUTICS INC COMMON 053491106 29 3100 SH DEFINED 05 0 0 3100
D AVANT IMMUNOTHERAPEUTICS INC COMMON 053491106 3593 378200 SH DEFINED 01 280900 0 97300
D AVANT IMMUNOTHERAPEUTICS INC COMMON 053491106 2099 220900 SH DEFINED 02 176300 0 44600
D AVERY DENNISON CORP. COMMON 053611109 43 700 SH DEFINED 17 700 0 0
D AVERY DENNISON CORP. COMMON 053611109 24 400 SH DEFINED 05 400 0 0
D AVERY DENNISON CORP. COMMON 053611109 906 14830 SH DEFINED 01 8750 0 6080
D AVERY DENNISON CORP. COMMON 053611109 1136 18600 SH DEFINED 02 0 0 18600
D AVERY DENNISON CORP. COMMON 053611109 879 14400 SH OTHER 01 0 14400 0
D AVISTA CORP COMMON 05379B107 4291 105300 SH DEFINED 02 0 0 105300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 AVIS RENT A CAR, INC. COMMON 053790101 968 54900 SH DEFINED 01 54900 0 0
D AVIS RENT A CAR, INC. COMMON 053790101 402 22800 SH DEFINED 02 13900 0 8900
D AVNET, INC. COMMON 053807103 1625 25800 SH DEFINED 01 24900 0 900
D AVNET, INC. COMMON 053807103 244 3871 SH DEFINED 02 0 0 3871
D AVON PRODUCTS, INC. COMMON 054303102 44 1500 SH DEFINED 17 1500 0 0
D AVON PRODUCTS, INC. COMMON 054303102 176 6000 SH DEFINED 05 2000 0 4000
D AVON PRODUCTS, INC. COMMON 054303102 2242 76656 SH DEFINED 01 14000 0 62656
D AVON PRODUCTS, INC. COMMON 054303102 813 27800 SH OTHER 01 13400 14400 0
D AWARE INC MASS COMMON 05453N100 1119 27900 SH DEFINED 17 27900 0 0
D AWARE INC MASS COMMON 05453N100 20 500 SH DEFINED 02 0 0 500
D AXCESS INC COMMON 054546106 2772 401965 SH DEFINED 19 401965 0 0
D AXENT TECHNOLOGIES, INC. COMMON 05459C108 335 17800 SH DEFINED 01 17800 0 0
D AXENT TECHNOLOGIES, INC. COMMON 05459C108 172 9120 SH DEFINED 02 3400 0 5720
D AZTAR CORP. COMMON 054802103 27 2800 SH DEFINED 05 0 0 2800
D AZTAR CORP. COMMON 054802103 3588 377675 SH DEFINED 01 301000 0 76675
D AZTAR CORP. COMMON 054802103 3634 382550 SH DEFINED 02 310575 0 71975
D BB&T CORPORATION COMMON 054937107 59 2100 SH DEFINED 17 2100 0 0
D BB&T CORPORATION COMMON 054937107 11429 407250 SH DEFINED 01 249700 0 157550
D BB&T CORPORATION COMMON 054937107 11862 422708 SH DEFINED 02 147600 0 275108
D BCE, INC. COMMON 05534B109 10135 80800 SH DEFINED 18 80800 0 0
D BCE, INC. COMMON 05534B109 87117 694500 SH DEFINED 16 694500 0 0
D BCE, INC. COMMON 05534B109 50 400 SH DEFINED 01 0 0 400
D BHC COMMUNICATIONS, INC. COMMON 055448104 47 300 SH DEFINED 01 300 0 0
D BHC COMMUNICATIONS, INC. COMMON 055448104 1186 7600 SH DEFINED 02 0 0 7600
D BJ'S WHOLESALE CLUB, INC. COMMON 05548J106 829 21600 SH DEFINED 01 21600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BJ'S WHOLESALE CLUB, INC. COMMON 05548J106 794 20700 SH DEFINED 02 1200 0 19500
D BJ SERVICES CO. COMMON 055482103 2076 28100 SH DEFINED 02 0 0 28100
D BMC INDUSTRIES, INC. COMMON 055607105 129 22700 SH DEFINED 02 1100 0 21600
D BP AMOCO P L C COMMON 055622104 3458 64948 SH DEFINED 05 21196 0 43752
D BP AMOCO P L C COMMON 055622104 68140 1279628 SH DEFINED 01 851234 0 428394
D BP AMOCO P L C COMMON 055622104 2819 52946 SH DEFINED 02 31938 0 21008
D BP AMOCO P L C COMMON 055622104 75 1400 SH OTHER 05 0 1400 0
D BP AMOCO P L C COMMON 055622104 17504 328720 SH OTHER 01 114908 213812 0
D BRE PROPERTIES, INC. CLASS "A" COMMON 05564E106 764 29600 SH DEFINED 02 24400 0 5200
D BSB BANCORP, INC. COMMON 055652101 1393 66712 SH DEFINED 02 5100 0 61612
D BMC SOFTWARE, INC. COMMON 055921100 74 1500 SH DEFINED 17 1500 0 0
D BMC SOFTWARE, INC. COMMON 055921100 3 56 SH DEFINED 16 56 0 0
D BMC SOFTWARE, INC. COMMON 055921100 41148 833375 SH DEFINED 01 643175 0 190200
D BMC SOFTWARE, INC. COMMON 055921100 124401 2519507 SH DEFINED 02 1850590 0 668917
D BMC SOFTWARE, INC. COMMON 055921100 64 1300 SH OTHER 01 1300 0 0
D BAKER HUGHES, INC. COMMON 057224107 85 2805 SH DEFINED 17 2805 0 0
D BAKER HUGHES, INC. COMMON 057224107 20288 670680 SH DEFINED 01 474250 0 196430
D BAKER HUGHES, INC. COMMON 057224107 46302 1530630 SH DEFINED 02 1085330 0 445300
D BAKER HUGHES, INC. COMMON 057224107 45 1500 SH OTHER 01 1500 0 0
D BALDOR ELECTRIC CO. COMMON 057741100 241 13320 SH DEFINED 02 0 0 13320
D BALDWIN & LYONS, INC. CL. "B" COMMON 057755209 409 21100 SH DEFINED 02
D BALL CORP. COMMON 058498106 7 200 SH DEFINED 17 200 0 0
D BALL CORP. COMMON 058498106 1922 55600 SH DEFINED 01 55600 0 0
D BALL CORP. COMMON 058498106 345 9977 SH DEFINED 02 2700 0 7277
D BALLY TOTAL FITNESS HOLDING CO COMMON 05873K108 737 30100 SH DEFINED 01 30100 0 0
D BALLY TOTAL FITNESS HOLDING CO COMMON 05873K108 3583 146225 SH DEFINED 02 5000 0 141225
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BANCO RIO DE LA PLATA S.A. COMMON 059644104 72 5000 SH DEFINED 17 5000 0 0
D BANCO RIO DE LA PLATA S.A. COMMON 059644104 11639 813200 SH DEFINED 16 813200 0 0
D BANCO SANTANDER P R SAN JUAN COMMON 059646109 124 10400 SH DEFINED 02 10400 0 0
D BANCORPSOUTH, INC. COMMON 059692103 1470 89760 SH DEFINED 02 0 0 89760
D BANCWEST CORPORATION COMMON 059790105 7361 372700 SH DEFINED 01 321800 0 50900
D BANCWEST CORPORATION COMMON 059790105 6777 343160 SH DEFINED 02 147360 0 195800
D BANCWEST CORPORATION COMMON 059790105 8 400 SH OTHER 01 400 0 0
D BANK OF AMERICA CORPORATION COMMON 060505104 91394 1742893 SH DEFINED 17 1742893 0 0
D BANK OF AMERICA CORPORATION COMMON 060505104 5759 109832 SH DEFINED 05 54681 0 55151
D BANK OF AMERICA CORPORATION COMMON 060505104 262 5000 SH DEFINED 16 5000 0 0
D BANK OF AMERICA CORPORATION COMMON 060505104 429288 8186581 SH DEFINED 01 5355398 0 2831183
D BANK OF AMERICA CORPORATION COMMON 060505104 702195 13390966 SH DEFINED 02 8134073 0 5256893
D BANK OF AMERICA CORPORATION COMMON 060505104 681 12985 SH OTHER 05 5000 7985 0
D BANK OF AMERICA CORPORATION COMMON 060505104 2851 54369 SH OTHER 09 54369 0 0
D BANK OF AMERICA CORPORATION COMMON 060505104 30648 584461 SH OTHER 01 219318 365143 0
D BANK OF AMERICA CORPORATION COMMON 060505104 3262 62210 SH OTHER 0304 62210 0 0
D BANK OF NEW YORK CO., INC. COMMON 064057102 270 6500 SH DEFINED 17 6500 0 0
D BANK OF NEW YORK CO., INC. COMMON 064057102 1097 26400 SH DEFINED 05 20000 0 6400
D BANK OF NEW YORK CO., INC. COMMON 064057102 16577 398830 SH DEFINED 01 180382 0 218448
D BANK OF NEW YORK CO., INC. COMMON 064057102 1396 33588 SH DEFINED 02 0 0 33588
D BANK OF NEW YORK CO., INC. COMMON 064057102 13762 331100 SH OTHER 01 66360 264740 0
D BANK ONE CORPORATION COMMON 06423A103 290 8400 SH DEFINED 17 8400 0 0
D BANK ONE CORPORATION COMMON 06423A103 483 14001 SH DEFINED 05 9651 0 4350
D BANK ONE CORPORATION COMMON 06423A103 174410 5055348 SH DEFINED 01 3561911 0 1493437
D BANK ONE CORPORATION COMMON 06423A103 384855 11155208 SH DEFINED 02 7548230 0 3606978
D BANK ONE CORPORATION COMMON 06423A103 99 2860 SH OTHER 05 1760 1100 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BANK ONE CORPORATION COMMON 06423A103 1886 54676 SH OTHER 01 34979 19697 0
D BANK PLUS CORP. COMMON 064446107 116 71548 SH DEFINED 16 71548 0 0
D BANK UNITED CORP. COMMON 065412108 164 5200 SH DEFINED 05 0 0 5200
D BANK UNITED CORP. COMMON 065412108 24115 764025 SH DEFINED 01 611950 0 152075
D BANK UNITED CORP. COMMON 065412108 18358 581625 SH DEFINED 02 430225 0 151400
D BANKNORTH GROUP, INC. COMMON 06646L100 3062 114200 SH DEFINED 01 114200 0 0
D BANKNORTH GROUP, INC. COMMON 06646L100 1786 66600 SH DEFINED 02 48400 0 18200
D BANTA CORP. COMMON 066821109 300 16300 SH DEFINED 01 16300 0 0
D BANTA CORP. COMMON 066821109 265 14400 SH DEFINED 02 14400 0 0
D BARD (C. R.), INC. COMMON 067383109 12 300 SH DEFINED 17 300 0 0
D BARD (C. R.), INC. COMMON 067383109 3401 87900 SH DEFINED 01 87900 0 0
D BARD (C. R.), INC. COMMON 067383109 751 19400 SH DEFINED 02 4100 0 15300
D BARNES & NOBLE, INC. COMMON 067774109 2597 110800 SH DEFINED 16 110800 0 0
D BARNES & NOBLE, INC. COMMON 067774109 3068 130900 SH DEFINED 01 130900 0 0
D BARNES & NOBLE, INC. COMMON 067774109 509 21700 SH DEFINED 02 6200 0 15500
D BARNES GROUP, INC. COMMON 067806109 977 67400 SH DEFINED 02 15900 0 51500
D BARNESANDNOBLE COM INC COMMON 067846105 16 1665 SH DEFINED 16 1665 0 0
D BARNESANDNOBLE COM INC COMMON 067846105 19 2000 SH DEFINED 01 0 0 2000
D BARNESANDNOBLE COM INC COMMON 067846105 176 18700 SH DEFINED 02 0 0 18700
D BARRICK GOLD CORP. COMMON 067901108 777 49500 SH DEFINED 17 49500 0 0
D BARRICK GOLD CORP. COMMON 067901108 6 360 SH DEFINED 01 360 0 0
D BARR LABORATORIES, INC. COMMON 068306109 2990 71200 SH DEFINED 01 71200 0 0
D BARR LABORATORIES, INC. COMMON 068306109 483 11500 SH DEFINED 02 3400 0 8100
D BARRETT RESOURCES CORP. COMMON 068480201 472 15840 SH DEFINED 02 100 0 15740
D BASIN EXPL INC COMMON 070107107 27 1790 SH DEFINED 16 1790 0 0
D BASIN EXPL INC COMMON 070107107 269 18000 SH DEFINED 01 18000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BASIN EXPL INC COMMON 070107107 176 11800 SH DEFINED 02 3800 0 8000
D BATTLE MOUNTAIN GOLD CO. COMMON 071593107 249 128700 SH DEFINED 01 128700 0 0
D BATTLE MOUNTAIN GOLD CO. COMMON 071593107 55 28500 SH DEFINED 02 23400 0 5100
D BATTLE MOUNTAIN GOLD CO. COMMON 071593107 194 100000 SH OTHER 01 0 100000 0
D BAUSCH & LOMB, INC. COMMON 071707103 21 400 SH DEFINED 17 400 0 0
D BAUSCH & LOMB, INC. COMMON 071707103 52 1000 SH DEFINED 05 1000 0 0
D BAUSCH & LOMB, INC. COMMON 071707103 543 10400 SH DEFINED 01 5100 0 5300
D BAUSCH & LOMB, INC. COMMON 071707103 741 14200 SH DEFINED 02 4600 0 9600
D BAXTER INTERNATIONAL, INC. COMMON 071813109 113 1800 SH DEFINED 17 1800 0 0
D BAXTER INTERNATIONAL, INC. COMMON 071813109 150 2400 SH DEFINED 05 2400 0 0
D BAXTER INTERNATIONAL, INC. COMMON 071813109 5761 91905 SH DEFINED 01 75500 0 16405
D BAXTER INTERNATIONAL, INC. COMMON 071813109 7134 113800 SH DEFINED 02 96100 0 17700
D BAY VIEW CAPITAL CORP. COMMON 07262L101 131 17500 SH DEFINED 01 17500 0 0
D BAY VIEW CAPITAL CORP. COMMON 07262L101 251 33500 SH DEFINED 02 17900 0 15600
D BAYCORP HLDGS CORP COMMON 072728108 326 15000 SH DEFINED 01 15000 0 0
D BE AEROSPACE, INC. COMMON 073302101 50 8500 SH DEFINED 01 8500 0 0
D BE AEROSPACE, INC. COMMON 073302101 59 10100 SH DEFINED 02 1600 0 8500
D BEA SYSTEMS, INC. COMMON 073325102 1614 22000 SH DEFINED 18 22000 0 0
D BEA SYSTEMS, INC. COMMON 073325102 8818 120181 SH DEFINED 01 102820 0 17361
D BEA SYSTEMS, INC. COMMON 073325102 3493 47600 SH DEFINED 02 3400 0 44200
D BEA SYSTEMS, INC. COMMON 073325102 641 8736 SH OTHER 01 8736 0 0
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 1607 35225 SH DEFINED 17 35225 0 0
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 18286 400785 SH DEFINED 01 327981 0 72804
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 29749 652032 SH DEFINED 02 379532 0 272500
D BEAR STEARNS COMPANIES, INC. COMMON 073902108 50 1100 SH OTHER 01 1100 0 0
D BEAZER HOMES USA, INC. COMMON 07556Q105 287 15300 SH DEFINED 02 0 0 15300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BECKMAN COULTER INC COMMON 075811109 5944 92600 SH DEFINED 01 92600 0 0
D BECKMAN COULTER INC COMMON 075811109 982 15300 SH DEFINED 02 4200 0 11100
D BECTON DICKINSON & CO. COMMON 075887109 39 1500 SH DEFINED 17 1500 0 0
D BECTON DICKINSON & CO. COMMON 075887109 28296 1075350 SH DEFINED 01 581560 0 493790
D BECTON DICKINSON & CO. COMMON 075887109 19565 743565 SH DEFINED 02 439065 0 304500
D BECTON DICKINSON & CO. COMMON 075887109 176 6700 SH OTHER 01 6700 0 0
D BELCO OIL & GAS CORP. COMMON 077410108 52 5000 SH DEFINED 01 5000 0 0
D BELCO OIL & GAS CORP. COMMON 077410108 59 5700 SH DEFINED 02 0 0 5700
D BELL & HOWELL CO NEW COMMON 077852101 1531 49000 SH DEFINED 01 49000 0 0
D BELL & HOWELL CO NEW COMMON 077852101 572 18300 SH DEFINED 02 8700 0 9600
D BELL ATLANTIC CORP. COMMON 077853109 87131 1425458 SH DEFINED 17 1425458 0 0
D BELL ATLANTIC CORP. COMMON 077853109 3221 52702 SH DEFINED 05 24002 0 28700
D BELL ATLANTIC CORP. COMMON 077853109 176687 2890584 SH DEFINED 01 1963295 0 927289
D BELL ATLANTIC CORP. COMMON 077853109 302083 4942047 SH DEFINED 02 3256147 0 1685900
D BELL ATLANTIC CORP. COMMON 077853109 428 7000 SH OTHER 05 4600 2400 0
D BELL ATLANTIC CORP. COMMON 077853109 978 16000 SH OTHER 09 16000 0 0
D BELL ATLANTIC CORP. COMMON 077853109 14445 236327 SH OTHER 01 81972 154355 0
D BELLSOUTH CORP. COMMON 079860102 1622 34600 SH DEFINED 17 34600 0 0
D BELLSOUTH CORP. COMMON 079860102 689 14700 SH DEFINED 18 14700 0 0
D BELLSOUTH CORP. COMMON 079860102 4164 88840 SH DEFINED 05 55760 0 33080
D BELLSOUTH CORP. COMMON 079860102 63703 1359003 SH DEFINED 01 773323 0 585680
D BELLSOUTH CORP. COMMON 079860102 60000 1279990 SH DEFINED 02 738190 0 541800
D BELLSOUTH CORP. COMMON 079860102 891 19000 SH OTHER 05 19000 0 0
D BELLSOUTH CORP. COMMON 079860102 10330 220372 SH OTHER 01 42104 178268 0
D BELO (A. H.) CORP. CLASS "A" COMMON 080555105 1799 100638 SH DEFINED 01 98746 0 1892
D BELO (A. H.) CORP. CLASS "A" COMMON 080555105 281 15700 SH DEFINED 02 4400 0 11300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BELO (A. H.) CORP. CLASS "A" COMMON 080555105 6892 385560 SH OTHER 01 0 385560 0
D BENCHMARK ELECTRONICS, INC. COMMON 08160H101 736 19900 SH DEFINED 01 19900 0 0
D BENCHMARK ELECTRONICS, INC. COMMON 08160H101 111 3000 SH DEFINED 02 1500 0 1500
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 6 180 SH DEFINED 16 180 0 0
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 4050 112900 SH DEFINED 01 112900 0 0
D BERINGER WINE ESTATES HOLDIN COMMON 084102102 6224 173500 SH DEFINED 02 150100 0 23400
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 9364 162 SH DEFINED 18 162 0 0
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 1618 28 SH DEFINED 05 10 0 18
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 105832 1831 SH DEFINED 01 485 0 1346
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 4855 84 SH DEFINED 02 84 0 0
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 2312 40 SH OTHER 101112 0 40 0
D BERKSHIRE HATHAWAY, INC. COMMON 084670108 188197 3256 SH OTHER 01 39 3217 0
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 27 15 SH DEFINED 05 0 0 15
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 9328 5125 SH DEFINED 01 1866 0 3259
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 11937 6559 SH DEFINED 02 5494 0 1065
D BERKSHIRE HATHAWAY, INC. CL. " COMMON 084670207 703 386 SH OTHER 01 0 386 0
D BERLITZ INTERNATIONAL, INC. COMMON 08520F100 154 13500 SH DEFINED 02 0 0 13500
D BERRY PETROLEUM CO. CLASS "A" COMMON 085789105 1545 89900 SH DEFINED 02 0 0 89900
D BEST BUY, INC. COMMON 086516101 112 1300 SH DEFINED 17 1300 0 0
D BEST BUY, INC. COMMON 086516101 8882 103276 SH DEFINED 01 79876 0 23400
D BEST BUY, INC. COMMON 086516101 1772 20600 SH DEFINED 02 5500 0 15100
D BEST BUY, INC. COMMON 086516101 1229 14288 SH OTHER 01 5200 9088 0
D BESTFOODS COMMON 08658U101 80 1700 SH DEFINED 17 1700 0 0
D BESTFOODS COMMON 08658U101 1077 23000 SH DEFINED 06 23000 0 0
D BESTFOODS COMMON 08658U101 4693 100250 SH DEFINED 05 44850 0 55400
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BESTFOODS COMMON 08658U101 78671 1680533 SH DEFINED 01 1138836 0 541697
D BESTFOODS COMMON 08658U101 148521 3172640 SH DEFINED 02 2253240 0 919400
D BESTFOODS COMMON 08658U101 19 400 SH OTHER 05 400 0 0
D BESTFOODS COMMON 08658U101 1873 40000 SH OTHER 101112 0 40000 0
D BESTFOODS COMMON 08658U101 11407 243675 SH OTHER 01 88675 155000 0
D BESTFOODS COMMON 08658U101 2575 55000 SH OTHER 0304 55000 0 0
D BILLING INFORMATION CONCEPTS COMMON 090063108 80 11400 SH DEFINED 02 0 0 11400
D BINDLEY WESTERN INDUSTRIES, IN COMMON 090324104 113 8300 SH DEFINED 01 8300 0 0
D BINDLEY WESTERN INDUSTRIES, IN COMMON 090324104 213 15700 SH DEFINED 02 13000 0 2700
D BINDVIEW DEV CORP COMMON 090327107 75 2400 SH DEFINED 05 0 0 2400
D BINDVIEW DEV CORP COMMON 090327107 9247 297700 SH DEFINED 01 216600 0 81100
D BINDVIEW DEV CORP COMMON 090327107 6756 217500 SH DEFINED 02 165300 0 52200
D BIO-TECHNOLOGY GENERAL CORP. COMMON 090578105 85 5500 SH DEFINED 17 5500 0 0
D BIO-TECHNOLOGY GENERAL CORP. COMMON 090578105 8 500 SH DEFINED 01 500 0 0
D BIO-TECHNOLOGY GENERAL CORP. COMMON 090578105 583 37600 SH DEFINED 02 700 0 36900
D BIOGEN, INC. COMMON 090597105 7003 100220 SH DEFINED 17 100220 0 0
D BIOGEN, INC. COMMON 090597105 189 2929 SH DEFINED 16 2929 0 0
D BIOGEN, INC. COMMON 090597105 42 600 SH DEFINED 01 0 0 600
D BIOGEN, INC. COMMON 090597105 4926 70500 SH DEFINED 02 70500 0 0
D BIOMATRIX, INC. COMMON 09060P102 75 3100 SH DEFINED 01 3100 0 0
D BIOMATRIX, INC. COMMON 09060P102 391 16100 SH DEFINED 02 800 0 15300
D BIOMET, INC. COMMON 090613100 25 700 SH DEFINED 17 700 0 0
D BIOMET, INC. COMMON 090613100 175 4800 SH DEFINED 02 0 0 4800
D BITSTREAM INC. COMMON 091736108 163 13038 SH DEFINED 19 13038 0 0
D BLACK & DECKER CORP. COMMON 091797100 19 500 SH DEFINED 17 500 0 0
D BLACK & DECKER CORP. COMMON 091797100 1482 39450 SH DEFINED 05 13550 0 25900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BLACK & DECKER CORP. COMMON 091797100 10049 267520 SH DEFINED 01 195880 0 71640
D BLACK & DECKER CORP. COMMON 091797100 20881 555900 SH DEFINED 02 487100 0 68800
D BLACK & DECKER CORP. COMMON 091797100 49 1300 SH OTHER 05 0 1300 0
D BLACK & DECKER CORP. COMMON 091797100 1124 29925 SH OTHER 01 21625 8300 0
D BLACK BOX CORP. COMMON 091826107 5199 75100 SH DEFINED 02 700 0 74400
D BLACKROCK INC COMMON 09247X101 32 1600 SH DEFINED 05 0 0 1600
D BLACKROCK INC COMMON 09247X101 2747 135675 SH DEFINED 01 92000 0 43675
D BLACKROCK INC COMMON 09247X101 251 12400 SH DEFINED 02 9300 0 3100
D BLOCK (H&R), INC. COMMON 093671105 27 600 SH DEFINED 17 600 0 0
D BLOCK (H&R), INC. COMMON 093671105 81 1800 SH DEFINED 01 1800 0 0
D BLOCK (H&R), INC. COMMON 093671105 29 640 SH DEFINED 02 440 0 200
D BLOCK (H&R), INC. COMMON 093671105 1790 40000 SH OTHER 101112 0 40000 0
D BLYTH INDUSTRIES, INC. COMMON 09643P108 1781 65200 SH DEFINED 01 65200 0 0
D BLYTH INDUSTRIES, INC. COMMON 09643P108 636 23300 SH DEFINED 02 15800 0 7500
D BLYTH INDUSTRIES, INC. COMMON 09643P108 1366 50000 SH OTHER 01 0 50000 0
D BOB EVANS FARMS, INC. COMMON 096761101 1755 140383 SH DEFINED 01 109700 0 30683
D BOB EVANS FARMS, INC. COMMON 096761101 30 2400 SH DEFINED 02 2400 0 0
D BOCA RESORTS INC COMMON 09688T106 173 20200 SH DEFINED 01 20200 0 0
D BOCA RESORTS INC COMMON 09688T106 1135 132500 SH DEFINED 02 86100 0 46400
D BOEING COMPANY COMMON 097023105 6077 160700 SH DEFINED 18 160700 0 0
D BOEING COMPANY COMMON 097023105 72 1900 SH DEFINED 05 1900 0 0
D BOEING COMPANY COMMON 097023105 1060 28500 SH DEFINED 16 28500 0 0
D BOEING COMPANY COMMON 097023105 22065 583524 SH DEFINED 01 443974 0 139550
D BOEING COMPANY COMMON 097023105 86094 2276845 SH DEFINED 02 1635645 0 641200
D BOEING COMPANY COMMON 097023105 1095 28969 SH OTHER 01 13906 15063 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BOISE CASCADE CORP. COMMON 097383103 14 400 SH DEFINED 17 400 0 0
D BOISE CASCADE CORP. COMMON 097383103 292 8410 SH DEFINED 01 0 0 8410
D BOISE CASCADE CORP. COMMON 097383103 212 6100 SH DEFINED 02 6100 0 0
D BOISE CASCADE CORP. COMMON 097383103 39 1121 SH OTHER 01 0 1121 0
D BOLDER TECHNOLOGIES CORP. COMMON 097519102 1753 200299 SH DEFINED 01 200299 0 0
D BORDERS GROUP, INC. COMMON 099709107 265 15400 SH DEFINED 01 15400 0 0
D BORDERS GROUP, INC. COMMON 099709107 294 17100 SH DEFINED 02 500 0 16600
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 26675 677473 SH DEFINED 19 677473 0 0
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 2067 52500 SH DEFINED 01 52500 0 0
D BORG WARNER AUTOMOTIVE, INC. COMMON 099724106 571 14500 SH DEFINED 02 2200 0 12300
D BOSTON LIFE SCIENCES, INC COMMON 100843408 232 25600 SH DEFINED 01 0 0 25600
D BOSTON PROPERTIES INC COMMON 101121101 1314 41300 SH DEFINED 01 41300 0 0
D BOSTON PROPERTIES INC COMMON 101121101 2857 89800 SH DEFINED 02 81200 0 8600
D BOSTON SCIENTIFIC CORP. COMMON 101137107 9996 469000 SH DEFINED 17 469000 0 0
D BOSTON SCIENTIFIC CORP. COMMON 101137107 17 800 SH DEFINED 05 800 0 0
D BOSTON SCIENTIFIC CORP. COMMON 101137107 261 12600 SH DEFINED 16 12600 0 0
D BOSTON SCIENTIFIC CORP. COMMON 101137107 25091 1177260 SH DEFINED 01 840060 0 337200
D BOSTON SCIENTIFIC CORP. COMMON 101137107 46820 2196776 SH DEFINED 02 1201190 0 995586
D BOSTON SCIENTIFIC CORP. COMMON 101137107 256 12000 SH OTHER 01 4000 8000 0
D BOWATER, INC. COMMON 102183100 17865 334705 SH DEFINED 01 247365 0 87340
D BOWATER, INC. COMMON 102183100 18029 337782 SH DEFINED 02 203782 0 134000
D BOWATER, INC. COMMON 102183100 80 1495 SH OTHER 01 1495 0 0
D BOYD GAMING CORP. COMMON 103304101 322 65200 SH DEFINED 01 65200 0 0
D BOYD GAMING CORP. COMMON 103304101 486 98500 SH DEFINED 02 49600 0 48900
D BRADY (W. H.) & CO. CL. "A" NO COMMON 104674106 215 6900 SH DEFINED 01
D BRADY (W. H.) & CO. CL. "A" NO COMMON 104674106 349 11200 SH DEFINED 02
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BRIGGS & STRATTON CORPORATION COMMON 109043109 4 100 SH DEFINED 17 100 0 0
D BRIGGS & STRATTON CORPORATION COMMON 109043109 1283 31200 SH DEFINED 01 31200 0 0
D BRIGGS & STRATTON CORPORATION COMMON 109043109 218 5300 SH DEFINED 02 1400 0 3900
D BRIGHTPOINT, INC. COMMON 109473108 127 10400 SH DEFINED 01 10400 0 0
D BRIGHTPOINT, INC. COMMON 109473108 424 34600 SH DEFINED 02 5200 0 29400
D BRINKER INTERNATIONAL, INC. COMMON 109641100 4658 156900 SH DEFINED 01 156900 0 0
D BRINKER INTERNATIONAL, INC. COMMON 109641100 772 26000 SH DEFINED 02 7300 0 18700
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 6189 106700 SH DEFINED 17 106700 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 5968 102902 SH DEFINED 05 48828 0 54074
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 672 10900 SH DEFINED 16 10900 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 492183 8485907 SH DEFINED 01 5763396 0 2722511
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 978757 16875124 SH DEFINED 02 11835304 0 5039820
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 4640 80000 SH OTHER 1314 0 80000 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 70 1200 SH OTHER 05 1200 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 4640 80000 SH OTHER 101112 0 80000 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 3158 54450 SH OTHER 09 54450 0 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 32649 562908 SH OTHER 01 138295 424613 0
D BRISTOL-MYERS SQUIBB CO. COMMON 110122108 4408 76000 SH OTHER 0304 76000 0 0
D BRITISH TELECOM - A/D/R FINAL COMMON 111021408 96 510 SH DEFINED 05 0 0 510
D BRITISH TELECOM - A/D/R FINAL COMMON 111021408 183 975 SH DEFINED 01 275 0 700
D BROADCOM CORPORATION COMMON 111320107 2769 11400 SH DEFINED 02 0 0 11400
D BROADCOM CORPORATION COMMON 111320107 826 3400 SH OTHER 01 0 3400 0
D BROADVISION, INC. COMMON 111412102 1885 42000 SH DEFINED 18 42000 0 0
D BROADVISION, INC. COMMON 111412102 130 2900 SH DEFINED 05 0 0 2900
D BROADVISION, INC. COMMON 111412102 94 2095 SH DEFINED 16 2095 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BROADVISION, INC. COMMON 111412102 9944 221600 SH DEFINED 01 137200 0 84400
D BROADVISION, INC. COMMON 111412102 5394 120200 SH DEFINED 02 43200 0 77000
D BROADWING INC COMMON 111620100 848 22795 SH DEFINED 17 22795 0 0
D BROADWING INC COMMON 111620100 6820 183400 SH DEFINED 01 183400 0 0
D BROADWING INC COMMON 111620100 1509 40568 SH DEFINED 02 8400 0 32168
D BROCADE COMMUNICATIONS SYS I COMMON 111621108 4483 25000 SH DEFINED 18 25000 0 0
D BROCADE COMMUNICATIONS SYS I COMMON 111621108 466 2600 SH DEFINED 02 0 0 2600
D BROOKS AUTOMATION INC COMMON 11434A100 131 2100 SH DEFINED 05 0 0 2100
D BROOKS AUTOMATION INC COMMON 11434A100 10139 162225 SH DEFINED 01 108750 0 53475
D BROOKS AUTOMATION INC COMMON 11434A100 733 11725 SH DEFINED 02 7975 0 3750
D BROOKTROUT TECHNOLOGY, INC. COMMON 114580103 371 12800 SH DEFINED 01 12800 0 0
D BROOKTROUT TECHNOLOGY, INC. COMMON 114580103 67 2300 SH DEFINED 02 2300 0 0
D BROWN & BROWN INC COMMON 115236101 151 3900 SH DEFINED 01 3900 0 0
D BROWN & BROWN INC COMMON 115236101 162 4200 SH DEFINED 02 0 0 4200
D BROWN-FORMAN CORP. COMMON 115637209 22 400 SH DEFINED 17 400 0 0
D BROWN-FORMAN CORP. COMMON 115637209 250 4600 SH DEFINED 02 0 0 4600
D BROWN (TOM), INC. COMMON 115660201 344 18700 SH DEFINED 02 0 0 18700
D BROWN SHOE INC NEW COMMON 115736100 224 18700 SH DEFINED 02 6200 0 12500
D BRUNSWICK CORP. COMMON 117043109 11 600 SH DEFINED 17 600 0 0
D BRUNSWICK CORP. COMMON 117043109 1697 89600 SH DEFINED 01 89600 0 0
D BRUNSWICK CORP. COMMON 117043109 282 14900 SH DEFINED 02 4800 0 10100
D BUCKEYE TECHNOLOGIES INC. COMMON 118255108 9514 524900 SH DEFINED 01 524900 0 0
D BUCKEYE TECHNOLOGIES INC. COMMON 118255108 4892 269900 SH DEFINED 02 217000 0 52900
D BUFETE INDL S A COMMON 11942H100 34 67600 SH DEFINED 17 67600 0 0
D BUFETE INDL S A COMMON 11942H100 403 806000 SH DEFINED 18 806000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 BUFFETS, INC. COMMON 119882108 823 91100 SH DEFINED 01 91100 0 0
D BUFFETS, INC. COMMON 119882108 644 71300 SH DEFINED 02 53500 0 17800
D BUFFETS, INC. COMMON 119882108 81 9000 SH OTHER 01 0 9000 0
D BURLINGTON INDUSTRIES, INC. COMMON 121693105 132 30100 SH DEFINED 01 30100 0 0
D BURLINGTON INDUSTRIES, INC. COMMON 121693105 221 50500 SH DEFINED 02 50500 0 0
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 64 2800 SH DEFINED 17 2800 0 0
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 29800 1309893 SH DEFINED 01 1053800 0 256093
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 40389 1775340 SH DEFINED 02 1013440 0 761900
D BURLINGTON NORTHERN SANTA FE COMMON 12189T104 255 11200 SH OTHER 01 2200 9000 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 5783 156300 SH DEFINED 17 156300 0 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 661 17858 SH DEFINED 01 17858 0 0
D BURLINGTON RESOURCES, INC. COMMON 122014103 77 2091 SH OTHER 01 0 2091 0
D BURNHAM PAC PPTYS INC COMMON 12232C108 561 79400 SH DEFINED 02 79400 0 0
D BURNS INTL SVCS CORP COMMON 122374101 161 15300 SH DEFINED 02 0 0 15300
D BURR-BROWN CORP "CONV BOND" BOND 122574AD8 0 1000000 PRN DEFINED 16
D BURR-BROWN CORP. COMMON 122574106 627 11530 SH DEFINED 02 900 0 10630
D BUSH, BOAKE, ALLEN, INC. COMMON 123162109 4592 165100 SH DEFINED 01 165100 0 0
D BUSH, BOAKE, ALLEN, INC. COMMON 123162109 6706 241100 SH DEFINED 02 195000 0 46100
D BUSINESS OBJECTS S.A. COMMON 12328X107 129 1300 SH DEFINED 05 0 0 1300
D BUSINESS OBJECTS S.A. COMMON 12328X107 10890 109450 SH DEFINED 01 76125 0 33325
D BUSINESS OBJECTS S.A. COMMON 12328X107 7721 77600 SH DEFINED 02 62200 0 15400
D C&D TECHNOLOGIES INC COMMON 124661109 2460 41700 SH DEFINED 01 41700 0 0
D C&D TECHNOLOGIES INC COMMON 124661109 195 3300 SH DEFINED 02 3300 0 0
D CBL & ASSOCIATES PROPERTIES, I COMMON 124830100 4486 219500 SH DEFINED 01 219500 0 0
D CBL & ASSOCIATES PROPERTIES, I COMMON 124830100 6336 310000 SH DEFINED 02 279700 0 30300
D CCB FINANCIAL CORP. COMMON 124875105 4306 97300 SH DEFINED 01 91000 0 6300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CCB FINANCIAL CORP. COMMON 124875105 2757 62300 SH DEFINED 02 28900 0 33400
D CBS CORP COMMON 12490K107 18499 326700 SH DEFINED 17 326700 0 0
D CBS CORP COMMON 12490K107 1189 21000 SH DEFINED 06 21000 0 0
D CBS CORP COMMON 12490K107 376 6600 SH DEFINED 16 6600 0 0
D CBS CORP COMMON 12490K107 11284 199279 SH DEFINED 01 139177 0 60102
D CBS CORP COMMON 12490K107 52038 918987 SH DEFINED 02 604800 0 314187
D CBS CORP COMMON 12490K107 544 9610 SH OTHER 01 0 9610 0
D C-COR ELECTRONICS, INC. COMMON 125010108 88 1800 SH DEFINED 05 1800 0 0
D C-COR ELECTRONICS, INC. COMMON 125010108 872 17800 SH DEFINED 02 600 0 17200
D C-CUBE MICROSYSTEMS, INC. COMMON 125015107 291 4000 SH DEFINED 05 0 0 4000
D C-CUBE MICROSYSTEMS, INC. COMMON 125015107 2864 39329 SH DEFINED 16 39329 0 0
D C-CUBE MICROSYSTEMS, INC. COMMON 125015107 29558 405950 SH DEFINED 01 293000 0 112950
D C-CUBE MICROSYSTEMS, INC. COMMON 125015107 17672 242700 SH DEFINED 02 187400 0 55300
D CDW COMPUTER CENTERS, INC. COMMON 125129106 2043 24200 SH DEFINED 01 24200 0 0
D CDW COMPUTER CENTERS, INC. COMMON 125129106 566 6700 SH DEFINED 02 1100 0 5600
D CEC ENTERTAINMENT INC. COMMON 125137109 1432 52800 SH DEFINED 01 52800 0 0
D CEC ENTERTAINMENT INC. COMMON 125137109 752 27725 SH DEFINED 02 9500 0 18225
D CH ENERGY GROUP INC COMMON 12541M102 793 26100 SH DEFINED 01 26100 0 0
D CH ENERGY GROUP INC COMMON 12541M102 1555 51200 SH DEFINED 02 49900 0 1300
D C.H. ROBINSON WORLDWIDE, INC. COMMON 12541W100 5733 153900 SH DEFINED 01 139100 0 14800
D C.H. ROBINSON WORLDWIDE, INC. COMMON 12541W100 14192 381000 SH DEFINED 02 307200 0 73800
D C.H. ROBINSON WORLDWIDE, INC. COMMON 12541W100 7 200 SH OTHER 01 200 0 0
D CIGNA CORP. COMMON 125509109 83 1100 SH DEFINED 17 1100 0 0
D CIGNA CORP. COMMON 125509109 30 400 SH DEFINED 05 400 0 0
D CIGNA CORP. COMMON 125509109 64756 854864 SH DEFINED 01 620700 0 234164
D CIGNA CORP. COMMON 125509109 118197 1560350 SH DEFINED 02 938350 0 622000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CIGNA CORP. COMMON 125509109 583 7700 SH OTHER 01 4700 3000 0
D CIT GROUP, INC. CL A COMMON 125577106 46 2360 SH DEFINED 05 2360 0 0
D CIT GROUP, INC. CL A COMMON 125577106 57579 2952772 SH DEFINED 01 1780619 0 1172153
D CIT GROUP, INC. CL A COMMON 125577106 168529 8642530 SH DEFINED 02 6915970 0 1726560
D CIT GROUP, INC. CL A COMMON 125577106 654 33560 SH OTHER 09 33560 0 0
D CIT GROUP, INC. CL A COMMON 125577106 566 29047 SH OTHER 01 7295 21752 0
D CKE RESTAURANTS, INC. COMMON 12561E105 381 59700 SH DEFINED 01 59700 0 0
D CKE RESTAURANTS, INC. COMMON 12561E105 381 59812 SH DEFINED 02 11700 0 48112
D CLECO CORP NEW COMMON 12561W105 16053 482800 SH DEFINED 01 482800 0 0
D CLECO CORP NEW COMMON 12561W105 16532 497200 SH DEFINED 02 424700 0 72500
D CMG INFORMATION SERVICES, INC. COMMON 125750109 963 8500 SH DEFINED 17 8500 0 0
D CMG INFORMATION SERVICES, INC. COMMON 125750109 85 750 SH DEFINED 16 750 0 0
D CMG INFORMATION SERVICES, INC. COMMON 125750109 4702 41500 SH DEFINED 01 41500 0 0
D CMG INFORMATION SERVICES, INC. COMMON 125750109 4884 43100 SH DEFINED 02 2800 0 40300
D CMI CORP COMMON 125761304 67 14600 SH DEFINED 02 0 0 14600
D CMP GROUP INC COMMON 125887109 836 28700 SH DEFINED 01 28500 0 200
D CMP GROUP INC COMMON 125887109 868 29800 SH DEFINED 02 29800 0 0
D CMS ENERGY CORP. COMMON 125896100 13 700 SH DEFINED 17 700 0 0
D CMS ENERGY CORP. COMMON 125896100 16574 914450 SH DEFINED 01 732100 0 182350
D CMS ENERGY CORP. COMMON 125896100 26263 1448968 SH DEFINED 02 970868 0 478100
D CMS ENERGY CORP. COMMON 125896100 42 2300 SH OTHER 01 2300 0 0
D CMS ENERGY CORP. COMMON 125896100 906 50000 SH OTHER 0304 50000 0 0
D CNET INC BOND 125945AA3 0 5000000 PRN DEFINED 17
D CTG RES INC COMMON 125957100 257 6900 SH DEFINED 02 6900 0 0
D CNA FINANCIAL CORP. COMMON 126117100 1483 45900 SH DEFINED 02 0 0 45900
D CNA SURETY CORPORATION COMMON 12612L108 348 25000 SH DEFINED 01 0 0 25000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CNA SURETY CORPORATION COMMON 12612L108 874 62700 SH DEFINED 02 10900 0 51800
D CNF TR I PREFERRED 12612V205 1694 39856 SH DEFINED 16
D CNF TRANSN INC COMMON 12612W104 3 100 SH DEFINED 05 100 0 0
D CNF TRANSN INC COMMON 12612W104 7845 282685 SH DEFINED 01 240285 0 42400
D CNF TRANSN INC COMMON 12612W104 12388 446410 SH DEFINED 02 273210 0 173200
D CNF TRANSN INC COMMON 12612W104 94 3400 SH OTHER 01 200 3200 0
D CNET NETWORKS INC COMMON 12613R104 22 442 SH DEFINED 16 442 0 0
D CNET NETWORKS INC COMMON 12613R104 821 16200 SH DEFINED 01 16200 0 0
D CNET NETWORKS INC COMMON 12613R104 674 13300 SH DEFINED 02 700 0 12600
D CNET NETWORKS INC COMMON 12613R104 16828 332000 SH OTHER 01 0 332000 0
D CSG SYSTEMS INTERNATIONAL, INC COMMON 126349109 3602 73800 SH DEFINED 01 73800 0 0
D CSG SYSTEMS INTERNATIONAL, INC COMMON 126349109 2109 43200 SH DEFINED 02 3500 0 39700
D CSX CORP. COMMON 126408103 31 1300 SH DEFINED 17 1300 0 0
D CSX CORP. COMMON 126408103 251 10700 SH DEFINED 05 10700 0 0
D CSX CORP. COMMON 126408103 44420 1890206 SH DEFINED 01 1220326 0 669880
D CSX CORP. COMMON 126408103 97267 4139036 SH DEFINED 02 3118436 0 1020600
D CSX CORP. COMMON 126408103 1029 43800 SH OTHER 01 38700 5100 0
D CSX CORP. COMMON 126408103 1175 50000 SH OTHER 0304 50000 0 0
D CTC COMMUNICATIONS GROUP INC COMMON 126419100 145 3400 SH DEFINED 01 3400 0 0
D CTC COMMUNICATIONS GROUP INC COMMON 126419100 102 2400 SH DEFINED 02 2400 0 0
D CTS CORP. COMMON 126501105 1625 28500 SH DEFINED 01 27600 0 900
D CTS CORP. COMMON 126501105 365 6400 SH DEFINED 02 6400 0 0
D CUNO INC COMMON 126583103 244 9000 SH DEFINED 02 0 0 9000
D CVS CORP COMMON 126650100 90 2400 SH DEFINED 17 2400 0 0
D CVS CORP COMMON 126650100 19 500 SH DEFINED 05 500 0 0
D CVS CORP COMMON 126650100 16785 446858 SH DEFINED 01 296058 0 150800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CVS CORP COMMON 126650100 23388 622638 SH DEFINED 02 271400 0 351238
D CVS CORP COMMON 126650100 4838 128810 SH OTHER 01 43900 84910 0
D C V THERAPEUTICS BOND 126667AA2 0 9500000 PRN DEFINED 16
D CABLE & WIRELESS COMMUNICATION COMMON 12682P104 2142 25200 SH DEFINED 17 25200 0 0
D CABLE & WIRELESS PUB LTD CO COMMON 126830207 582 10400 SH DEFINED 01 10400 0 0
D CABLEVISION SYSTEM CORP. CLASS COMMON 12686C109 943 15528 SH DEFINED 01 14828 0 700
D CABLEVISION SYSTEM CORP. CLASS COMMON 12686C109 1379 22700 SH DEFINED 02 0 0 22700
D CABLETRON SYSTEMS, INC. COMMON 126920107 32 1100 SH DEFINED 17 1100 0 0
D CABLETRON SYSTEMS, INC. COMMON 126920107 15 500 SH DEFINED 05 500 0 0
D CABLETRON SYSTEMS, INC. COMMON 126920107 294 10000 SH DEFINED 16 10000 0 0
D CABLETRON SYSTEMS, INC. COMMON 126920107 2127 72420 SH DEFINED 01 72100 0 320
D CABLETRON SYSTEMS, INC. COMMON 126920107 6190 210720 SH DEFINED 02 149820 0 60900
D CABLETRON SYSTEMS, INC. COMMON 126920107 3 100 SH OTHER 01 100 0 0
D CABLE DESIGN TECHNOLOGIES COMMON 126924109 160 4700 SH DEFINED 01 4700 0 0
D CABLE DESIGN TECHNOLOGIES COMMON 126924109 499 14700 SH DEFINED 02 3400 0 11300
D CACHEFLOW INC COMMON 126946102 270 2275 SH DEFINED 01 1800 0 475
D CABOT CORP. COMMON 127055101 2928 96000 SH DEFINED 01 94100 0 1900
D CABOT CORP. COMMON 127055101 442 14500 SH DEFINED 02 4300 0 10200
D CABOT INDUSTRIAL TRUST COMMON 127072106 240 12900 SH DEFINED 02 0 0 12900
D CABOT OIL & GAS CORP. COMMON 127097103 258 14300 SH DEFINED 02 0 0 14300
D CACI INTL INC COMMON 127190304 314 10500 SH DEFINED 02 7200 0 3300
D CADENCE DESIGN SYSTEMS, INC. COMMON 127387108 90 4358 SH DEFINED 01 4358 0 0
D CADENCE DESIGN SYSTEMS, INC. COMMON 127387108 186 9000 SH OTHER 101112 0 9000 0
D CALGON CARBON CORP. COMMON 129603106 70 10700 SH DEFINED 02 0 0 10700
D CALIFORNIA FED BK FSB LOS AN COMMON 130209703 28 22500 SH DEFINED 16 22500 0 0
D CALIFORNIA FED BK FSB LOS AN COMMON 130209703 0 66 SH DEFINED 02 0 0 66
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CALIPER TECHNOLOGIES CORP COMMON 130876105 1965 24300 SH DEFINED 01 23425 0 875
D CALLON PETE CO DEL COMMON 13123X102 2654 218900 SH DEFINED 02 218900 0 0
D CAMBREX CORP. COMMON 132011107 1288 29600 SH DEFINED 01 29600 0 0
D CAMBREX CORP. COMMON 132011107 483 11100 SH DEFINED 02 11100 0 0
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 13 982 SH DEFINED 16 982 0 0
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 498 36700 SH DEFINED 01 36700 0 0
D CAMBRIDGE TECHNOLOGY PARTNERS COMMON 132524109 95 7000 SH DEFINED 02 7000 0 0
D CAMDEN PROPERTY TRUST S/B/I COMMON 133131102 3207 118500 SH DEFINED 01 118500 0 0
D CAMDEN PROPERTY TRUST S/B/I COMMON 133131102 7166 264800 SH DEFINED 02 237100 0 27700
D CAMPBELL SOUP CO. COMMON 134429109 80 2600 SH DEFINED 17 2600 0 0
D CAMPBELL SOUP CO. COMMON 134429109 340430 11070900 SH DEFINED 18 11070900 0 0
D CAMPBELL SOUP CO. COMMON 134429109 388 12650 SH DEFINED 16 12650 0 0
D CAMPBELL SOUP CO. COMMON 134429109 36529 1187934 SH DEFINED 01 1039714 0 148220
D CAMPBELL SOUP CO. COMMON 134429109 32653 1061900 SH DEFINED 02 452200 0 609700
D CAMPBELL SOUP CO. COMMON 134429109 978 31798 SH OTHER 01 300 31498 0
D CANADIAN PACIFIC LTD. COMMON 135923100 45 2000 SH DEFINED 05 2000 0 0
D CANADIAN PACIFIC LTD. COMMON 135923100 261 11650 SH DEFINED 01 0 0 11650
D CANANDAIGUA WINE, INC. COMMON 137219101 275 5850 SH DEFINED 02 0 0 5850
D CAPITAL AUTOMOTIVE REIT COMMON 139733109 8191 682600 SH DEFINED 01 682600 0 0
D CAPITAL AUTOMOTIVE REIT COMMON 139733109 353 29400 SH DEFINED 02 0 0 29400
D CAPITAL CROSSING BK COMMON 140071101 491 48800 SH DEFINED 01 48800 0 0
D CAPITAL CROSSING BK COMMON 140071101 1294 128600 SH DEFINED 02 107400 0 21200
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 58 1200 SH DEFINED 17 1200 0 0
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 42572 888070 SH DEFINED 01 665200 0 222870
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 177166 3695730 SH DEFINED 02 3169730 0 526000
D CAPITAL ONE FINANCIAL CORP. COMMON 14040H105 759 15825 SH OTHER 01 300 15525 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CAPITAL SR LIVING CORP COMMON 140475104 481 154000 SH DEFINED 02 26000 0 128000
D CAPROCK COMMUNICATIONS CORP COMMON 140667106 333 6800 SH DEFINED 05 0 0 6800
D CAPROCK COMMUNICATIONS CORP COMMON 140667106 33264 678850 SH DEFINED 01 499300 0 179550
D CAPROCK COMMUNICATIONS CORP COMMON 140667106 11362 231875 SH DEFINED 02 187500 0 44375
D CAPSTEAD MORTGAGE CORP. COMMON 14067E100 16 4000 SH DEFINED 01 4000 0 0
D CAPSTEAD MORTGAGE CORP. COMMON 14067E100 92 23850 SH DEFINED 02 18200 0 5650
D CARAUSTAR INDUSTRIES, INC. COMMON 140909102 3721 263400 SH DEFINED 01 263400 0 0
D CARAUSTAR INDUSTRIES, INC. COMMON 140909102 10098 714900 SH DEFINED 02 469500 0 245400
D CARDINAL HEALTH, INC. COMMON 14149Y108 353 7700 SH DEFINED 17 7700 0 0
D CARDINAL HEALTH, INC. COMMON 14149Y108 159 3461 SH DEFINED 01 0 0 3461
D CARDINAL HEALTH, INC. COMMON 14149Y108 8135 177337 SH DEFINED 02 142500 0 34837
D CAREINSITE INC COMMON 14170M106 14 600 SH DEFINED 05 0 0 600
D CAREINSITE INC COMMON 14170M106 19 800 SH DEFINED 16 800 0 0
D CAREINSITE INC COMMON 14170M106 914 39100 SH DEFINED 01 24200 0 14900
D CAREINSITE INC COMMON 14170M106 636 27200 SH DEFINED 02 15700 0 11500
D CAREMATRIX CORP COMMON 141706101 4 2800 SH DEFINED 01 2800 0 0
D CAREMATRIX CORP COMMON 141706101 19 14700 SH DEFINED 02 900 0 13800
D CARLISLE COMPANIES, INC. COMMON 142339100 1136 28400 SH DEFINED 02 0 0 28400
D CARLISLE COMPANIES, INC. COMMON 142339100 44 1100 SH OTHER 01 0 1100 0
D CARNIVAL CORP. CL. "A" COMMON 143658102 360 14500 SH DEFINED 17 14500 0 0
D CARNIVAL CORP. CL. "A" COMMON 143658102 1675 67500 SH DEFINED 06 67500 0 0
D CARNIVAL CORP. CL. "A" COMMON 143658102 63 2540 SH DEFINED 05 0 0 2540
D CARNIVAL CORP. CL. "A" COMMON 143658102 2524 101730 SH DEFINED 01 28630 0 73100
D CARNIVAL CORP. CL. "A" COMMON 143658102 2888 116400 SH DEFINED 02 0 0 116400
D CARNIVAL CORP. CL. "A" COMMON 143658102 891 35900 SH OTHER 01 33500 2400 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 32 1000 SH DEFINED 17 1000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CAROLINA POWER & LIGHT COMPANY COMMON 144141108 162 5000 SH DEFINED 05 5000 0 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 70103 2161126 SH DEFINED 01 1574220 0 586906
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 138472 4268817 SH DEFINED 02 2626650 0 1642167
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 967 29800 SH OTHER 09 29800 0 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 737 22734 SH OTHER 01 7400 15334 0
D CAROLINA POWER & LIGHT COMPANY COMMON 144141108 1622 50000 SH OTHER 0304 50000 0 0
D CARPENTER TECHNOLOGY CORP. COMMON 144285103 812 39000 SH DEFINED 02 35800 0 3200
D CARRIER ACCESS CORP COMMON 144460102 628 11800 SH DEFINED 01 11800 0 0
D CARRIER ACCESS CORP COMMON 144460102 682 12800 SH DEFINED 02 2400 0 10400
D CARSON INC. CLASS C COMMON 145845103 5195 1187482 SH DEFINED 01 1187482 0 0
D CARTER-WALLACE, INC. COMMON 146285101 19 1009 SH DEFINED 01 1009 0 0
D CARTER-WALLACE, INC. COMMON 146285101 272 14500 SH DEFINED 02 0 0 14500
D CASCADE NATURAL GAS CORP. COMMON 147339105 177 11000 SH DEFINED 02 11000 0 0
D CASCADE NATURAL GAS CORP. COMMON 147339105 55 3400 SH OTHER 01 0 3400 0
D CASEY'S GENERAL STORES, INC. COMMON 147528103 348 32000 SH DEFINED 02 0 0 32000
D CATALINA MARKETING CORP. COMMON 148867104 192 1900 SH DEFINED 05 0 0 1900
D CATALINA MARKETING CORP. COMMON 148867104 20840 205825 SH DEFINED 01 153050 0 52775
D CATALINA MARKETING CORP. COMMON 148867104 1929 19050 SH DEFINED 02 11875 0 7175
D CATELLUS DEVELOPMENT CORP. COMMON 149111106 28 2000 SH DEFINED 01 2000 0 0
D CATELLUS DEVELOPMENT CORP. COMMON 149111106 411 29600 SH DEFINED 02 0 0 29600
D CATERPILLAR, INC. COMMON 149123101 87 2200 SH DEFINED 17 2200 0 0
D CATERPILLAR, INC. COMMON 149123101 552 14000 SH DEFINED 05 6000 0 8000
D CATERPILLAR, INC. COMMON 149123101 46631 1182382 SH DEFINED 01 754846 0 427536
D CATERPILLAR, INC. COMMON 149123101 66115 1676430 SH DEFINED 02 984830 0 691600
D CATERPILLAR, INC. COMMON 149123101 288 7300 SH OTHER 05 5500 1800 0
D CATERPILLAR, INC. COMMON 149123101 2728 69177 SH OTHER 01 25740 43437 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CATO CORP. COMMON 149205106 256 21800 SH DEFINED 01 21800 0 0
D CATO CORP. COMMON 149205106 378 32200 SH DEFINED 02 12800 0 19400
D CEDAR FAIR L.P. - DEPOSITARY U UNIT 150185106 871 43800 SH OTHER 01
D CELL GENESYS, INC. COMMON 150921104 324 15200 SH DEFINED 02 0 0 15200
D CELLSTAR CORP. COMMON 150925105 354 44200 SH DEFINED 01 44200 0 0
D CELLSTAR CORP. COMMON 150925105 191 23900 SH DEFINED 02 2500 0 21400
D CELL PATHWAYS INC NEW COMMON 15114R101 498 14500 SH DEFINED 02 1100 0 13400
D CELLNET DATA SYSTEMS INC COMMON 15115M101 69 48100 SH DEFINED 02 0 0 48100
D CEMEX S A COMMON 151290889 115 5091 SH DEFINED 17 5091 0 0
D CEMEX S A COMMON 151290889 453 20000 SH DEFINED 18 20000 0 0
D CENDANT CORPORATION COMMON 151313103 81 4400 SH DEFINED 17 4400 0 0
D CENDANT CORPORATION COMMON 151313103 52 2800 SH DEFINED 05 2800 0 0
D CENDANT CORPORATION COMMON 151313103 130070 7030797 SH DEFINED 01 4785325 0 2245472
D CENDANT CORPORATION COMMON 151313103 294286 15907347 SH DEFINED 02 10640453 0 5266894
D CENDANT CORPORATION COMMON 151313103 464 25100 SH OTHER 01 18000 7100 0
D CENTENNIAL COMMUNCTNS CORP N COMMON 15133V208 1655 68082 SH DEFINED 02 0 0 68082
D CENTER TR INC COMMON 151845104 286 44800 SH DEFINED 02 0 0 44800
D CENTERPOINT PROPERTIES CORP. COMMON 151895109 4926 135200 SH DEFINED 01 135200 0 0
D CENTERPOINT PROPERTIES CORP. COMMON 151895109 10505 288300 SH DEFINED 02 250400 0 37900
D CENTEX CONSTRUCTION PRODUCTS COMMON 15231R109 318 12100 SH DEFINED 01 12100 0 0
D CENTEX CONSTRUCTION PRODUCTS COMMON 15231R109 2604 99200 SH DEFINED 02 3400 0 95800
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 22 1300 SH DEFINED 17 1300 0 0
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 5112 298500 SH DEFINED 16 298500 0 0
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 34626 2021960 SH DEFINED 01 1550960 0 471000
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 67314 3930720 SH DEFINED 02 2211220 0 1719500
D CENTRAL & SOUTH WEST CORP. COMMON 152357109 241 14050 SH OTHER 01 9400 4650 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CENTRAL GARDEN & PET COMPANY COMMON 153527106 198 20100 SH DEFINED 02 0 0 20100
D CENTRAL NEWSPAPERS, INC. CL. " COMMON 154647101 1455 43500 SH DEFINED 01 43300 0 200
D CENTRAL NEWSPAPERS, INC. CL. " COMMON 154647101 264 7900 SH DEFINED 02 1400 0 6500
D CENTURYTEL INC COMMON 156700106 33 900 SH DEFINED 17 900 0 0
D CENTURYTEL INC COMMON 156700106 551 14849 SH DEFINED 01 14624 0 225
D CERIDIAN CORP. COMMON 15677T106 17 900 SH DEFINED 17 900 0 0
D CERIDIAN CORP. COMMON 15677T106 58 3000 SH DEFINED 01 3000 0 0
D CERIDIAN CORP. COMMON 15677T106 120 6232 SH DEFINED 02 0 0 6232
D CERNER CORP. COMMON 156782104 994 36800 SH DEFINED 01 36800 0 0
D CERNER CORP. COMMON 156782104 659 24400 SH DEFINED 02 19100 0 5300
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 32 600 SH DEFINED 17 600 0 0
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 397 7452 SH DEFINED 05 7452 0 0
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 920 17285 SH DEFINED 01 4500 0 12785
D CHAMPION INTERNATIONAL CORP. COMMON 158525105 80 1500 SH OTHER 01 0 1500 0
D CHAMPS ENTMT INC DEL COMMON 158787101 254 58000 SH DEFINED 01 58000 0 0
D CHAMPS ENTMT INC DEL COMMON 158787101 20 4600 SH DEFINED 02 0 0 4600
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 35 1680 SH DEFINED 05 1680 0 0
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 45615 2172136 SH DEFINED 01 1458596 0 713540
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 127843 6087778 SH DEFINED 02 3690050 0 2397728
D CHARTER ONE FINANCIAL, INC. COMMON 160903100 53 2500 SH OTHER 01 2500 0 0
D CHARMING SHOPPES, INC. COMMON 161133103 476 83600 SH DEFINED 01 83600 0 0
D CHARMING SHOPPES, INC. COMMON 161133103 618 108700 SH DEFINED 02 98100 0 10600
D CHARTER COMMUNICATIONS INC D COMMON 16117M107 9868 688690 SH DEFINED 01 688690 0 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 23305 267300 SH DEFINED 18 267300 0 0
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 3646 41823 SH DEFINED 05 18343 0 23480
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CHASE MANHATTAN CORP. - NEW COMMON 16161A108 13755 157760 SH DEFINED 01 88854 0 68906
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 14939 171344 SH DEFINED 02 143300 0 28044
D CHASE MANHATTAN CORP. - NEW COMMON 16161A108 1992 22850 SH OTHER 01 2150 20700 0
D CHATEAU PROPERTIES, INC. COMMON 161726104 202 7919 SH DEFINED 02 0 0 7919
D CHATTEM, INC. COMMON 162456107 20 1400 SH DEFINED 01 1400 0 0
D CHATTEM, INC. COMMON 162456107 328 23200 SH DEFINED 02 0 0 23200
D CHECKFREE HLDGS CORP COMMON 162816102 99 1400 SH DEFINED 05 0 0 1400
D CHECKFREE HLDGS CORP COMMON 162816102 13363 189550 SH DEFINED 01 135625 0 53925
D CHECKFREE HLDGS CORP COMMON 162816102 18972 269100 SH DEFINED 02 204000 0 65100
D CHECKPOINT SYSTEMS, INC. COMMON 162825103 122 14600 SH DEFINED 02 5200 0 9400
D CHEESECAKE FACTORY, INC. COMMON 163072101 450 10800 SH DEFINED 02 0 0 10800
D CHEMED CORP. COMMON 163596109 1074 35800 SH DEFINED 01 35800 0 0
D CHEMED CORP. COMMON 163596109 129 4300 SH DEFINED 02 2800 0 1500
D CHEMFAB CORP. COMMON 16361L102 1258 86000 SH OTHER 01 0 86000 0
D CHESAPEAKE ENERGY CORP. COMMON 165167107 5110 1572200 SH DEFINED 17 1572200 0 0
D CHEVRON CORPORATION COMMON 166751107 370 4000 SH DEFINED 17 4000 0 0
D CHEVRON CORPORATION COMMON 166751107 2288 24754 SH DEFINED 05 18498 0 6256
D CHEVRON CORPORATION COMMON 166751107 408965 4424206 SH DEFINED 01 1491833 0 2932373
D CHEVRON CORPORATION COMMON 166751107 326044 3527160 SH DEFINED 02 2007360 0 1519800
D CHEVRON CORPORATION COMMON 166751107 462 5000 SH OTHER 05 4000 1000 0
D CHEVRON CORPORATION COMMON 166751107 9028 97667 SH OTHER 01 20011 77656 0
D CHEVRON CORPORATION COMMON 166751107 1387 15000 SH OTHER 0304 15000 0 0
D THE CHILDREN'S PLACE RETAIL ST COMMON 168905107 81 5691 SH DEFINED 16 5691 0 0
D THE CHILDREN'S PLACE RETAIL ST COMMON 168905107 318 22300 SH DEFINED 01 22300 0 0
D THE CHILDREN'S PLACE RETAIL ST COMMON 168905107 393 27600 SH DEFINED 02 3200 0 24400
D CHIREX, INC. COMMON 170038103 185 9600 SH DEFINED 01 9600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CHIREX, INC. COMMON 170038103 695 36100 SH DEFINED 02 3800 0 32300
D CHIRON CORP. COMMON 170040109 10514 210800 SH DEFINED 17 210800 0 0
D CHIRON CORP. COMMON 170040109 155 3112 SH DEFINED 01 3112 0 0
D CHITTENDEN CORP. COMMON 170228100 1030 34700 SH DEFINED 01 34700 0 0
D CHITTENDEN CORP. COMMON 170228100 684 23056 SH DEFINED 02 15000 0 8056
D CHOICE ONE COMMUNICATION INC COMMON 17038P104 101 2850 SH DEFINED 05 0 0 2850
D CHOICE ONE COMMUNICATION INC COMMON 17038P104 7603 214175 SH DEFINED 01 133675 0 80500
D CHOICE ONE COMMUNICATION INC COMMON 17038P104 4548 128100 SH DEFINED 02 103650 0 24450
D CHORDIANT SOFTWARE INC COMMON 170404107 19 1175 SH DEFINED 05 0 0 1175
D CHORDIANT SOFTWARE INC COMMON 170404107 1816 111725 SH DEFINED 01 82700 0 29025
D CHORDIANT SOFTWARE INC COMMON 170404107 1289 79325 SH DEFINED 02 62450 0 16875
D CHRIS CRAFT INDUSTRIES, INC COMMON 170520100 3395 53300 SH DEFINED 01 53300 0 0
D CHRIS CRAFT INDUSTRIES, INC COMMON 170520100 1503 23600 SH DEFINED 02 2600 0 21000
D CHUBB CORP. COMMON 171232101 74 1100 SH DEFINED 17 1100 0 0
D CHUBB CORP. COMMON 171232101 655 9700 SH DEFINED 05 3600 0 6100
D CHUBB CORP. COMMON 171232101 3204 47423 SH DEFINED 01 34911 0 12512
D CHUBB CORP. COMMON 171232101 1560 23096 SH OTHER 01 4364 18732 0
D CHURCH & DWIGHT, INC. COMMON 171340102 559 32544 SH DEFINED 01 32544 0 0
D CHURCH & DWIGHT, INC. COMMON 171340102 9596 558293 SH OTHER 01 0 558293 0
D CIBER, INC. COMMON 17163B102 437 21300 SH DEFINED 01 21300 0 0
D CIBER, INC. COMMON 17163B102 86 4200 SH DEFINED 02 4200 0 0
D CIENA CORP COMMON 171779101 22278 176634 SH DEFINED 17 176634 0 0
D CIENA CORP COMMON 171779101 140 1233 SH DEFINED 16 1233 0 0
D CIENA CORP COMMON 171779101 70976 562743 SH DEFINED 01 84500 0 478243
D CIENA CORP COMMON 171779101 2964 23500 SH DEFINED 02 3900 0 19600
D CINCINNATI FINANCIAL CORP. COMMON 172062101 38 1000 SH DEFINED 17 1000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CINCINNATI FINANCIAL CORP. COMMON 172062101 312 8300 SH DEFINED 02 8300 0 0
D CINERGY CORP. COMMON 172474108 22 1000 SH DEFINED 17 1000 0 0
D CINERGY CORP. COMMON 172474108 14041 653050 SH DEFINED 01 513800 0 139250
D CINERGY CORP. COMMON 172474108 23505 1093260 SH DEFINED 02 602160 0 491100
D CINERGY CORP. COMMON 172474108 26 1200 SH OTHER 01 1200 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 79 1300 SH DEFINED 17 1300 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 18 300 SH DEFINED 05 300 0 0
D CIRCUIT CITY STORES, INC. COMMON 172737108 41145 675890 SH DEFINED 01 459000 0 216890
D CIRCUIT CITY STORES, INC. COMMON 172737108 177039 2908242 SH DEFINED 02 2341334 0 566908
D CIRCUIT CITY STORES, INC. COMMON 172737108 37 600 SH OTHER 01 600 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 43671 564862 SH DEFINED 17 564862 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 2876 37200 SH DEFINED 18 37200 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 25792 333606 SH DEFINED 05 162962 0 170644
D CISCO SYSTEMS, INC. COMMON 17275R102 1984749 25671611 SH DEFINED 01 14837118 0 10834493
D CISCO SYSTEMS, INC. COMMON 17275R102 3186782 41219228 SH DEFINED 02 27371930 0 13847298
D CISCO SYSTEMS, INC. COMMON 17275R102 31 400 SH OTHER 05 0 400 0
D CISCO SYSTEMS, INC. COMMON 17275R102 2783 36000 SH OTHER 101112 0 36000 0
D CISCO SYSTEMS, INC. COMMON 17275R102 11218 145100 SH OTHER 09 145100 0 0
D CISCO SYSTEMS, INC. COMMON 17275R102 118889 1537762 SH OTHER 01 618806 918956 0
D CISCO SYSTEMS, INC. COMMON 17275R102 9278 120000 SH OTHER 0304 120000 0 0
D CIRRUS LOGIC INC. COMMON 172755100 6 373 SH DEFINED 16 373 0 0
D CIRRUS LOGIC INC. COMMON 172755100 920 50400 SH DEFINED 01 50400 0 0
D CIRRUS LOGIC INC. COMMON 172755100 1265 69300 SH DEFINED 02 39200 0 30100
D CINTAS CORP. COMMON 172908105 82 2100 SH DEFINED 01 2100 0 0
D CINTAS CORP. COMMON 172908105 988 25210 SH DEFINED 02 0 0 25210
D CINTAS CORP. COMMON 172908105 1076 27450 SH OTHER 01 0 27450 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CITIGROUP INC COMMON 172967101 18970 316825 SH DEFINED 17 316825 0 0
D CITIGROUP INC COMMON 172967101 49 825 SH DEFINED 18 825 0 0
D CITIGROUP INC COMMON 172967101 4983 83225 SH DEFINED 05 47050 0 36175
D CITIGROUP INC COMMON 172967101 31 500 SH DEFINED 16 500 0 0
D CITIGROUP INC COMMON 172967101 410541 6856637 SH DEFINED 01 4135282 0 2721355
D CITIGROUP INC COMMON 172967101 699270 11678834 SH DEFINED 02 8048790 0 3630044
D CITIGROUP INC COMMON 172967101 476 7942 SH OTHER 05 5400 2542 0
D CITIGROUP INC COMMON 172967101 2188 36549 SH OTHER 09 36549 0 0
D CITIGROUP INC COMMON 172967101 26519 442898 SH OTHER 01 181305 261593 0
D CITIGROUP INC COMMON 172967101 2147 35850 SH OTHER 0304 35850 0 0
D CITIZENS BANKING CORP. (MI) COMMON 174420109 410 21000 SH DEFINED 02 11400 0 9600
D CITIZENS UTILITIES CO. CLASS " COMMON 177342201 3479 212429 SH DEFINED 01 212429 0 0
D CITIZENS UTILITIES CO. CLASS " COMMON 177342201 526 32100 SH DEFINED 02 8200 0 23900
D CITRIX SYSTEMS, INC. COMMON 177376100 80 1200 SH DEFINED 17 1200 0 0
D CITRIX SYSTEMS, INC. COMMON 177376100 2120 32000 SH DEFINED 18 32000 0 0
D CITRIX SYSTEMS, INC. COMMON 177376100 1405 21200 SH DEFINED 05 8750 0 12450
D CITRIX SYSTEMS, INC. COMMON 177376100 60181 908390 SH DEFINED 01 564930 0 343460
D CITRIX SYSTEMS, INC. COMMON 177376100 145716 2199480 SH DEFINED 02 1653680 0 545800
D CITRIX SYSTEMS, INC. COMMON 177376100 20 300 SH OTHER 05 300 0 0
D CITRIX SYSTEMS, INC. COMMON 177376100 557 8400 SH OTHER 09 8400 0 0
D CITRIX SYSTEMS, INC. COMMON 177376100 1034 15600 SH OTHER 01 8100 7500 0
D CITY NATIONAL CORP. COMMON 178566105 44 1300 SH DEFINED 05 0 0 1300
D CITY NATIONAL CORP. COMMON 178566105 11894 353075 SH DEFINED 01 304800 0 48275
D CITY NATIONAL CORP. COMMON 178566105 6942 206075 SH DEFINED 02 177725 0 28350
D CLAIRE'S STORES, INC. COMMON 179584107 479 23850 SH DEFINED 02 0 0 23850
D CLARENT CORP DEL COMMON 180461105 144 1600 SH DEFINED 05 0 0 1600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CLARENT CORP DEL COMMON 180461105 15855 175800 SH DEFINED 01 132500 0 43300
D CLARENT CORP DEL COMMON 180461105 16108 178600 SH DEFINED 02 140200 0 38400
D CLAYTON HOMES, INC. COMMON 184190106 190 18750 SH DEFINED 01 18750 0 0
D CLEAN HARBORS, INC. COMMON 184496107 705 268488 SH DEFINED 01 268488 0 0
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 2279 33000 SH DEFINED 17 33000 0 0
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 264 3820 SH DEFINED 05 1900 0 1920
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 1003 14519 SH DEFINED 01 6000 0 8519
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 2758 39940 SH DEFINED 02 0 0 39940
D CLEAR CHANNEL COMMUNICATIONS, COMMON 184502102 235 3400 SH OTHER 01 0 3400 0
D CLOROX CO. COMMON 189054109 149210 4521500 SH DEFINED 18 4521500 0 0
D CLOROX CO. COMMON 189054109 1337 40500 SH DEFINED 06 40500 0 0
D CLOROX CO. COMMON 189054109 135 4100 SH DEFINED 05 1800 0 2300
D CLOROX CO. COMMON 189054109 43782 1326715 SH DEFINED 01 907580 0 419135
D CLOROX CO. COMMON 189054109 108264 3280730 SH DEFINED 02 2430030 0 850700
D CLOROX CO. COMMON 189054109 508 15400 SH OTHER 09 15400 0 0
D CLOROX CO. COMMON 189054109 656 19880 SH OTHER 01 6600 13280 0
D COACHMEN INDUSTRIES, INC. COMMON 189873102 266 19200 SH DEFINED 02 0 0 19200
D COAST FEDERAL LITIGATION TRUST COMMON 19034Q110 550 400000 SH DEFINED 17 400000 0 0
D COAST FEDERAL LITIGATION TRUST COMMON 19034Q110 48 31000 SH DEFINED 16 31000 0 0
D COAST FEDERAL LITIGATION TRUST COMMON 19034Q110 3 2400 SH DEFINED 02 0 0 2400
D COASTAL CORP. COMMON 190441105 60 1300 SH DEFINED 17 1300 0 0
D COASTAL CORP. COMMON 190441105 27 580 SH DEFINED 05 0 0 580
D COASTAL CORP. COMMON 190441105 513 11150 SH DEFINED 01 1950 0 9200
D COASTAL CORP. COMMON 190441105 1417 30800 SH DEFINED 02 0 0 30800
D COASTAL CORP. COMMON 190441105 299 6500 SH OTHER 01 0 6500 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COBALT NETWORKS INC COMMON 19074R101 47 1000 SH DEFINED 05 0 0 1000
D COBALT NETWORKS INC COMMON 19074R101 3176 67575 SH DEFINED 01 39725 0 27850
D COBALT NETWORKS INC COMMON 19074R101 2784 59225 SH DEFINED 02 47300 0 11925
D COCA-COLA BOTTLING CO. CONSOLI COMMON 191098102 217 4100 SH DEFINED 02 0 0 4100
D COCA COLA CO. COMMON 191216100 5206 110900 SH DEFINED 17 110900 0 0
D COCA COLA CO. COMMON 191216100 516 11000 SH DEFINED 18 11000 0 0
D COCA COLA CO. COMMON 191216100 4279 91169 SH DEFINED 05 40374 0 50795
D COCA COLA CO. COMMON 191216100 239194 5095948 SH DEFINED 01 3118075 0 1977873
D COCA COLA CO. COMMON 191216100 314383 6697834 SH DEFINED 02 3924011 0 2773823
D COCA COLA CO. COMMON 191216100 1004 21400 SH OTHER 05 20400 1000 0
D COCA COLA CO. COMMON 191216100 2253 48000 SH OTHER 101112 0 48000 0
D COCA COLA CO. COMMON 191216100 1427 30400 SH OTHER 09 30400 0 0
D COCA COLA CO. COMMON 191216100 63554 1353991 SH OTHER 01 367892 986099 0
D COCA COLA CO. COMMON 191216100 1173 25000 SH OTHER 0304 25000 0 0
D COCA COLA ENTERPRISES, INC. COMMON 191219104 56 2600 SH DEFINED 17 2600 0 0
D COCA COLA ENTERPRISES, INC. COMMON 191219104 317 14683 SH DEFINED 01 0 0 14683
D COCA COLA ENTERPRISES, INC. COMMON 191219104 35 1600 SH DEFINED 02 0 0 1600
D COGNEX CORP. COMMON 192422103 288 5000 SH DEFINED 02 0 0 5000
D COHERENT, INC. COMMON 192479103 796 15300 SH DEFINED 01 15300 0 0
D COHERENT, INC. COMMON 192479103 567 10900 SH DEFINED 02 10100 0 800
D COHU, INC. COMMON 192576106 980 23500 SH DEFINED 01 23500 0 0
D COHU, INC. COMMON 192576106 271 6500 SH DEFINED 02 6500 0 0
D COLE KENNETH PRODUCTIONS, INC. COMMON 193294105 612 15600 SH DEFINED 01 10950 0 4650
D COLE KENNETH PRODUCTIONS, INC. COMMON 193294105 524 13350 SH DEFINED 02 0 0 13350
D COLGATE-PALMOLIVE CO. COMMON 194162103 203 3600 SH DEFINED 17 3600 0 0
D COLGATE-PALMOLIVE CO. COMMON 194162103 1779 31556 SH DEFINED 05 20596 0 10960
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COLGATE-PALMOLIVE CO. COMMON 194162103 19422 344511 SH DEFINED 01 200869 0 143642
D COLGATE-PALMOLIVE CO. COMMON 194162103 6743 119610 SH OTHER 01 47310 72300 0
D COLLINS & AIKMAN CORP. COMMON 194830105 129 22600 SH DEFINED 02 6500 0 16100
D COLONIAL BANCGROUP, INC. COMMON 195493309 5680 528400 SH DEFINED 01 494800 0 33600
D COLONIAL BANCGROUP, INC. COMMON 195493309 10458 972840 SH DEFINED 02 671740 0 301100
D COLONIAL BANCGROUP, INC. COMMON 195493309 6 600 SH OTHER 01 600 0 0
D COLONIAL PROPERTIES TRUST S/B/ COMMON 195872106 1147 48300 SH DEFINED 01 48300 0 0
D COLONIAL PROPERTIES TRUST S/B/ COMMON 195872106 2629 110700 SH DEFINED 02 97300 0 13400
D COLUMBIA BANKING SYSTEMS, INC. COMMON 197236102 499 42500 SH DEFINED 01 42500 0 0
D COLUMBIA BANKING SYSTEMS, INC. COMMON 197236102 155 13200 SH DEFINED 02 13200 0 0
D COLUMBIA ENREGY GROUP COMMON 197648108 83 1400 SH DEFINED 17 1400 0 0
D COLUMBIA ENREGY GROUP COMMON 197648108 709 11960 SH DEFINED 05 3600 0 8360
D COLUMBIA ENREGY GROUP COMMON 197648108 2044 34500 SH DEFINED 16 34500 0 0
D COLUMBIA ENREGY GROUP COMMON 197648108 79159 1336022 SH DEFINED 01 833205 0 502817
D COLUMBIA ENREGY GROUP COMMON 197648108 242033 4084946 SH DEFINED 02 3136896 0 948050
D COLUMBIA ENREGY GROUP COMMON 197648108 3946 66600 SH OTHER 01 4900 61700 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 21858 863500 SH DEFINED 18 863500 0 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 1029 40648 SH DEFINED 19 40648 0 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 15 600 SH DEFINED 05 600 0 0
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 63047 2490695 SH DEFINED 01 1802575 0 688120
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 155850 6156935 SH DEFINED 02 4240135 0 1916800
D COLUMBIA/HCA HEALTHCARE CORP. COMMON 197677107 139 5500 SH OTHER 01 5500 0 0
D COLUMBIA LABORATORIES, INC. COMMON 197779101 201 17100 SH DEFINED 02 0 0 17100
D COLUMBIA SPORTSWEAR COMPANY COMMON 198516106 2634 107500 SH DEFINED 01 107500 0 0
D COLUMBIA SPORTSWEAR COMPANY COMMON 198516106 2822 115200 SH DEFINED 02 82900 0 32300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COLUMBUS MCKINNON CORP. COMMON 199333105 21 1600 SH DEFINED 01 1600 0 0
D COLUMBUS MCKINNON CORP. COMMON 199333105 318 24200 SH DEFINED 02 0 0 24200
D COMFORT SYS USA INC COMMON 199908104 296 46500 SH DEFINED 01 46500 0 0
D COMFORT SYS USA INC COMMON 199908104 44 6900 SH DEFINED 02 6900 0 0
D COMARCO, INC. COMMON 200080109 300 8800 SH DEFINED 02 0 0 8800
D COMCAST CORP. CLASS "A" COMMON 200300101 227 5500 SH DEFINED 01 0 0 5500
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 230 5300 SH DEFINED 17
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 364 8400 SH DEFINED 05
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 130920 3018330 SH DEFINED 01
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 259723 5987842 SH DEFINED 02
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 1084 25000 SH OTHER 09
D COMCAST CORP. CLASS "A" SPECIA COMMON 200300200 6467 149102 SH OTHER 01
D COMCAST CORP BOND 200300507 221 175000 PRN DEFINED 18
D COMCAST CORP BOND 200300507 252 200000 PRN DEFINED 16
D COMDISCO, INC. COMMON 200336105 349 7900 SH DEFINED 02 0 0 7900
D COMERICA, INC. COMMON 200340107 42 1000 SH DEFINED 17 1000 0 0
D COMERICA, INC. COMMON 200340107 13 300 SH DEFINED 05 300 0 0
D COMERICA, INC. COMMON 200340107 16876 403008 SH DEFINED 01 315600 0 87408
D COMERICA, INC. COMMON 200340107 25870 617796 SH DEFINED 02 317400 0 300396
D COMERICA, INC. COMMON 200340107 46 1100 SH OTHER 01 1100 0 0
D COMMERCE BANCORP, INC. (NJ) COMMON 200519106 3260 88102 SH DEFINED 01 52900 0 35202
D COMMERCE BANCORP, INC. (NJ) COMMON 200519106 503 13600 SH DEFINED 02 13600 0 0
D COMMERCE BANCSHARES, INC. COMMON 200525103 2604 83500 SH DEFINED 01 49900 0 33600
D COMMERCE BANCSHARES, INC. COMMON 200525103 3259 104510 SH DEFINED 02 48510 0 56000
D COMMERCE GROUP, INC. COMMON 200641108 519 17600 SH DEFINED 02 13400 0 4200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COMMERCE ONE INC DEL COMMON 200693109 60 400 SH DEFINED 17 400 0 0
D COMMERCE ONE INC DEL COMMON 200693109 6179 41400 SH DEFINED 18 41400 0 0
D COMMERCE ONE INC DEL COMMON 200693109 797 6753 SH DEFINED 19 6753 0 0
D COMMERCE ONE INC DEL COMMON 200693109 220 1474 SH DEFINED 05 1474 0 0
D COMMERCE ONE INC DEL COMMON 200693109 10 69 SH DEFINED 16 69 0 0
D COMMERCE ONE INC DEL COMMON 200693109 282 1887 SH DEFINED 01 887 0 1000
D COMMERCE ONE INC DEL COMMON 200693109 1313 8800 SH DEFINED 02 0 0 8800
D COMMERCE ONE INC DEL COMMON 200693109 249 1671 SH OTHER 01 1671 0 0
D COMMERCIAL FEDERAL CORP. COMMON 201647104 4903 294925 SH DEFINED 01 294025 0 900
D COMMERCIAL FEDERAL CORP. COMMON 201647104 8125 488724 SH DEFINED 02 332449 0 156275
D COMMERCIAL INTERTECH CORP. COMMON 201709102 465 23600 SH DEFINED 02 14600 0 9000
D COMMERCIAL METALS CO. COMMON 201723103 4130 149500 SH DEFINED 01 149500 0 0
D COMMERCIAL METALS CO. COMMON 201723103 1013 36666 SH DEFINED 02 22300 0 14366
D COMMONWEALTH INDS INC DEL COMMON 203004106 410 45200 SH DEFINED 01 45200 0 0
D COMMONWEALTH INDS INC DEL COMMON 203004106 430 47500 SH DEFINED 02 7800 0 39700
D COMMONWEALTH TELEPHONE ENTERPR COMMON 203349105 244 5200 SH DEFINED 01 5200 0 0
D COMMONWEALTH TELEPHONE ENTERPR COMMON 203349105 164 3500 SH DEFINED 02 1600 0 1900
D COMMSCOPE, INC. COMMON 203372107 2102 46000 SH DEFINED 01 46000 0 0
D COMMSCOPE, INC. COMMON 203372107 1645 36000 SH DEFINED 02 13200 0 22800
D COMMUNITY FIRST BANKSHARES, IN COMMON 203902101 3730 233100 SH DEFINED 01 233100 0 0
D COMMUNITY FIRST BANKSHARES, IN COMMON 203902101 7069 441838 SH DEFINED 02 351300 0 90538
D COMPANIA DE TELECOMUNICS CHI COMMON 204449300 1274 56000 SH DEFINED 17 56000 0 0
D COMPANIA DE TELECOMUNICS CHI COMMON 204449300 1820 80000 SH DEFINED 18 80000 0 0
D COMPASS BANCSHARES, INC. COMMON 20449H109 5 234 SH DEFINED 16 234 0 0
D COMPASS BANCSHARES, INC. COMMON 20449H109 7539 378100 SH DEFINED 01 312600 0 65500
D COMPASS BANCSHARES, INC. COMMON 20449H109 19520 979030 SH DEFINED 02 607730 0 371300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COMPASS BANCSHARES, INC. COMMON 20449H109 24 1200 SH OTHER 01 1200 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 5875 217600 SH DEFINED 17 217600 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 2122 78600 SH DEFINED 05 42800 0 35800
D COMPAQ COMPUTER CORP. COMMON 204493100 116175 4302792 SH DEFINED 01 3003642 0 1299150
D COMPAQ COMPUTER CORP. COMMON 204493100 271286 10047630 SH DEFINED 02 7101130 0 2946500
D COMPAQ COMPUTER CORP. COMMON 204493100 203 7500 SH OTHER 05 7500 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 853 31600 SH OTHER 09 31600 0 0
D COMPAQ COMPUTER CORP. COMMON 204493100 2474 91640 SH OTHER 01 70800 20840 0
D COMPLETE BUSINESS SOLUTIONS IN COMMON 20452F107 302 13500 SH DEFINED 01 13500 0 0
D COMPLETE BUSINESS SOLUTIONS IN COMMON 20452F107 190 8500 SH DEFINED 02 2200 0 6300
D COMPUCREDIT CORP COMMON 20478N100 6038 172500 SH DEFINED 19 172500 0 0
D COMPUCREDIT CORP COMMON 20478N100 2013 57500 SH DEFINED 19 57500 0 0
D COMPUCREDIT CORP COMMON 20478N100 43 1200 SH DEFINED 02 0 0 1200
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 7801 131800 SH DEFINED 17 131800 0 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 8878 150000 SH DEFINED 18 150000 0 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 47 800 SH DEFINED 05 800 0 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 138907 2346875 SH DEFINED 01 1588980 0 757895
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 376243 6356740 SH DEFINED 02 4715240 0 1641500
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 704 11900 SH OTHER 09 11900 0 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 887 14990 SH OTHER 01 7375 7615 0
D COMPUTER ASSOCIATES INT'L, INC COMMON 204912109 2072 35000 SH OTHER 0304 35000 0 0
D COMPUTER NETWORK TECHNOLOGY CO COMMON 204925101 462 26400 SH DEFINED 01 26400 0 0
D COMPUTER NETWORK TECHNOLOGY CO COMMON 204925101 238 13600 SH DEFINED 02 5100 0 8500
D COMPUTER SCIENCES CORP. COMMON 205363104 79 1000 SH DEFINED 17 1000 0 0
D COMPUTER SCIENCES CORP. COMMON 205363104 491 6200 SH DEFINED 01 6200 0 0
D COMPUTER SCIENCES CORP. COMMON 205363104 696 8802 SH DEFINED 02 0 0 8802
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COMPUTER TASK GROUP, INC. COMMON 205477102 14 1300 SH DEFINED 01 1300 0 0
D COMPUTER TASK GROUP, INC. COMMON 205477102 124 11300 SH DEFINED 02 0 0 11300
D COMSAT CORP. COMMON 20564D107 823 39900 SH DEFINED 16 39900 0 0
D COMSAT CORP. COMMON 20564D107 1 28 SH DEFINED 01 28 0 0
D COMVERSE TECHNOLOGY INC. COMMON 205862402 76 400 SH DEFINED 17 400 0 0
D COMVERSE TECHNOLOGY INC. COMMON 205862402 3497 18500 SH DEFINED 01 18500 0 0
D COMVERSE TECHNOLOGY INC. COMMON 205862402 10360 54817 SH DEFINED 02 43800 0 11017
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 6517 118493 SH DEFINED 16 118493 0 0
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 2232 40575 SH DEFINED 01 29175 0 11400
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 787 14300 SH DEFINED 02 9300 0 5000
D CONCENTRIC NETWORK CORPORATION COMMON 20589R107 1342 24400 SH OTHER 01 24400 0 0
D COMPUTER HORIZONS CORP COMMON 205908106 5170 301900 SH DEFINED 01 301900 0 0
D COMPUTER HORIZONS CORP COMMON 205908106 7730 451400 SH DEFINED 02 360900 0 90500
D CONCORD COMMUNICATIONS, INC. COMMON 206186108 405 11400 SH DEFINED 01 11400 0 0
D CONCORD COMMUNICATIONS, INC. COMMON 206186108 409 11500 SH DEFINED 02 2400 0 9100
D CONCORD EFS, INC. COMMON 206197105 174 7593 SH DEFINED 05 7593 0 0
D CONCORD EFS, INC. COMMON 206197105 1372 59805 SH DEFINED 02 0 0 59805
D CONECTIV INC COMMON 206829103 1318 75300 SH DEFINED 01 75300 0 0
D CONECTIV INC COMMON 206829103 250 14300 SH DEFINED 02 3400 0 10900
D CONECTIV INC COMMON 206829103 83 4750 SH OTHER 01 0 4750 0
D CONEXANT SYSTEMS INC "CONV BO BOND 207142AD2 0 3000000 PRN DEFINED 16
D CONEXANT SYSTEMS INC COMMON 207142100 8002 112700 SH DEFINED 01 111200 0 1500
D CONEXANT SYSTEMS INC COMMON 207142100 1640 23100 SH DEFINED 02 5200 0 17900
D CONMED CORP. COMMON 207410101 1055 42100 SH DEFINED 01 42100 0 0
D CONMED CORP. COMMON 207410101 556 22200 SH DEFINED 02 20600 0 1600
D CONOCO INC CLASS A COMMON 208251306 1056 42900 SH DEFINED 01 18200 0 24700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CONOCO INC CLASS A COMMON 208251306 5576 226450 SH DEFINED 02 82850 0 143600
D CONOCO INC CLASS A COMMON 208251306 12 500 SH OTHER 01 500 0 0
D CONOCO INC COMMON 208251405 100 3900 SH DEFINED 17 3900 0 0
D CONOCO INC COMMON 208251405 2481 96830 SH DEFINED 05 59054 0 37776
D CONOCO INC COMMON 208251405 50997 1990122 SH DEFINED 01 1214355 0 775767
D CONOCO INC COMMON 208251405 114260 4458923 SH DEFINED 02 3461123 0 997800
D CONOCO INC COMMON 208251405 296 11538 SH OTHER 05 10311 1227 0
D CONOCO INC COMMON 208251405 3369 131472 SH OTHER 01 51774 79698 0
D CONSECO, INC. COMMON 208464107 3674 321200 SH DEFINED 17 321200 0 0
D CONSECO, INC. COMMON 208464107 503 44000 SH DEFINED 06 44000 0 0
D CONSECO, INC. COMMON 208464107 188 20000 SH DEFINED 16 20000 0 0
D CONSECO, INC. COMMON 208464107 0 22 SH DEFINED 01 0 0 22
D CONSECO, INC. COMMON 208464107 283 24754 SH DEFINED 02 0 0 24754
D CONSOL ENERGY INC COMMON 20854P109 308 29000 SH DEFINED 01 29000 0 0
D CONSOLIDATED EDISON INC. COMMON 209115104 692 23750 SH DEFINED 17 23750 0 0
D CONSOLIDATED EDISON INC. COMMON 209115104 1806 62000 SH DEFINED 01 2000 0 60000
D CONSOLIDATED EDISON INC. COMMON 209115104 271 9300 SH DEFINED 02 5800 0 3500
D CONSOLIDATED EDISON INC. COMMON 209115104 186 6400 SH OTHER 01 0 6400 0
D CONSOLIDATED GRAPHICS, INC. COMMON 209341106 63 4900 SH DEFINED 01 4900 0 0
D CONSOLIDATED GRAPHICS, INC. COMMON 209341106 72 5600 SH DEFINED 02 700 0 4900
D CONSOLIDATED STORES CORP. COMMON 210149100 8 700 SH DEFINED 17 700 0 0
D CONSOLIDATED STORES CORP. COMMON 210149100 235 20625 SH DEFINED 02 0 0 20625
D CONSTELLATION ENERGY CORP COMMON 210371100 29 900 SH DEFINED 17 900 0 0
D CONSTELLATION ENERGY CORP COMMON 210371100 245 7698 SH DEFINED 01 7200 0 498
D CONSTELLATION ENERGY CORP COMMON 210371100 3243 101750 SH DEFINED 02 56250 0 45500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CONSTELLATION ENERGY CORP COMMON 210371100 956 30000 SH OTHER 01 2100 27900 0
D CONTINENTAL AIRLINES, INC. CL. COMMON 210795308 343 8400 SH DEFINED 02 0 0 8400
D CONVERGYS CORP COMMON 212485106 619 16000 SH DEFINED 01 16000 0 0
D CONVERGYS CORP COMMON 212485106 1269 32800 SH DEFINED 02 0 0 32800
D COOPER CAMERON CORP. COMMON 216640102 54 805 SH DEFINED 17 805 0 0
D COOPER CAMERON CORP. COMMON 216640102 100 1500 SH DEFINED 05 0 0 1500
D COOPER CAMERON CORP. COMMON 216640102 34919 522152 SH DEFINED 01 403911 0 118241
D COOPER CAMERON CORP. COMMON 216640102 105860 1582959 SH DEFINED 02 1342409 0 240550
D COOPER CAMERON CORP. COMMON 216640102 552 8260 SH OTHER 01 5836 2424 0
D COOPER COMPANIES, INC. COMMON 216648402 341 10600 SH DEFINED 01 10600 0 0
D COOPER COMPANIES, INC. COMMON 216648402 489 15200 SH DEFINED 02 12600 0 2600
D COOPER INDUSTRIES, INC. COMMON 216669101 21 600 SH DEFINED 17 600 0 0
D COOPER INDUSTRIES, INC. COMMON 216669101 25 700 SH DEFINED 05 700 0 0
D COOPER INDUSTRIES, INC. COMMON 216669101 60183 1719510 SH DEFINED 01 1218204 0 501306
D COOPER INDUSTRIES, INC. COMMON 216669101 183677 5247910 SH DEFINED 02 3603763 0 1644147
D COOPER INDUSTRIES, INC. COMMON 216669101 1580 45147 SH OTHER 01 36300 8847 0
D COOPER INDUSTRIES, INC. COMMON 216669101 1575 45000 SH OTHER 0304 45000 0 0
D COOPER TIRE & RUBBER CO. COMMON 216831107 6 500 SH DEFINED 17 500 0 0
D COOPER TIRE & RUBBER CO. COMMON 216831107 2931 233300 SH DEFINED 01 167100 0 66200
D COOPER TIRE & RUBBER CO. COMMON 216831107 3117 248100 SH DEFINED 02 92900 0 155200
D COOPER TIRE & RUBBER CO. COMMON 216831107 19 1500 SH OTHER 01 400 1100 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 10 200 SH DEFINED 17 200 0 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 451 9400 SH DEFINED 01 9400 0 0
D COORS (ADOLPH) CO. CLASS "B" COMMON 217016104 586 12200 SH DEFINED 02 9700 0 2500
D COPART, INC. COMMON 217204106 441 25200 SH DEFINED 02 0 0 25200
D COPPER MTN NETWORKS INC COMMON 217510106 147 1800 SH DEFINED 05 0 0 1800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COPPER MTN NETWORKS INC COMMON 217510106 4468 54525 SH DEFINED 01 5600 0 48925
D COPPER MTN NETWORKS INC COMMON 217510106 1524 18600 SH DEFINED 02 12200 0 6400
D COR THERAPEUTICS, INC. COMMON 217753102 173 2630 SH DEFINED 17 2630 0 0
D COR THERAPEUTICS, INC. COMMON 217753102 46 700 SH DEFINED 16 700 0 0
D CORDANT TECHNOLOGIES INC COMMON 218412104 3168 56000 SH DEFINED 16 56000 0 0
D CORDANT TECHNOLOGIES INC COMMON 218412104 1324 23400 SH DEFINED 02 0 0 23400
D CORDANT TECHNOLOGIES INC COMMON 218412104 109 1920 SH OTHER 01 1920 0 0
D CORIXA CORP COMMON 21887F100 21 500 SH DEFINED 05 0 0 500
D CORIXA CORP COMMON 21887F100 4695 113825 SH DEFINED 01 83850 0 29975
D CORIXA CORP COMMON 21887F100 3354 81300 SH DEFINED 02 64800 0 16500
D CORN PRODUCTS INTERNATIONAL, I COMMON 219023108 414 17203 SH DEFINED 01 16378 0 825
D CORN PRODUCTS INTERNATIONAL, I COMMON 219023108 1699 70600 SH DEFINED 02 17100 0 53500
D CORN PRODUCTS INTERNATIONAL, I COMMON 219023108 28 1162 SH OTHER 01 0 1162 0
D CORNELL CORRECTIONS, INC. COMMON 219141108 216 20300 SH DEFINED 02 0 0 20300
D CORNERSTONE PPTYS INC COMMON 21922H103 7931 454800 SH DEFINED 01 454800 0 0
D CORNERSTONE PPTYS INC COMMON 21922H103 14186 813500 SH DEFINED 02 727200 0 86300
D CORNERSTONE REALTY INCOME TRUS COMMON 21922V102 475 44200 SH DEFINED 02 0 0 44200
D CORNING, INC. COMMON 219350105 110522 569700 SH DEFINED 17 569700 0 0
D CORNING, INC. COMMON 219350105 18679 96282 SH DEFINED 01 89487 0 6795
D CORNING, INC. COMMON 219350105 2359 12161 SH DEFINED 02 400 0 11761
D CORNING, INC. COMMON 219350105 233 1200 SH OTHER 05 1200 0 0
D CORUS BANKSHARES, INC. COMMON 220873103 588 24900 SH DEFINED 02 0 0 24900
D COST PLUS, INC. COMMON 221485105 145 4300 SH DEFINED 05 0 0 4300
D COST PLUS, INC. COMMON 221485105 14919 441225 SH DEFINED 01 321425 0 119800
D COST PLUS, INC. COMMON 221485105 8986 265749 SH DEFINED 02 208112 0 57637
D COSTCO WHSL CORP NEW COMMON 22160K105 142 2700 SH DEFINED 17 2700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 COSTCO WHSL CORP NEW COMMON 22160K105 137 2600 SH DEFINED 05 0 0 2600
D COSTCO WHSL CORP NEW COMMON 22160K105 1 25 SH DEFINED 16 25 0 0
D COSTCO WHSL CORP NEW COMMON 22160K105 1450 27590 SH DEFINED 01 24830 0 2760
D COSTCO WHSL CORP NEW COMMON 22160K105 179 3400 SH DEFINED 02 500 0 2900
D COSTCO WHSL CORP NEW COMMON 22160K105 250 4760 SH OTHER 01 500 4260 0
D COSTAR GROUP INC COMMON 22160N109 1545 41900 SH DEFINED 01 41900 0 0
D COSTAR GROUP INC COMMON 22160N109 4274 115900 SH DEFINED 02 94800 0 21100
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 19 700 SH DEFINED 17 700 0 0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 8 300 SH DEFINED 05 300 0 0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 24133 885600 SH DEFINED 01 678200 0 207400
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 81956 3007570 SH DEFINED 02 2052470 0 955100
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON 222372104 27 1000 SH OTHER 01 1000 0 0
D COUSINS PROPERTIES, INC. COMMON 222795106 8644 234800 SH DEFINED 01 234800 0 0
D COUSINS PROPERTIES, INC. COMMON 222795106 19279 523700 SH DEFINED 02 441800 0 81900
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 6453 89000 SH DEFINED 18 89000 0 0
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 1463 20181 SH DEFINED 05 16531 0 3650
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 4 62 SH DEFINED 16 62 0 0
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 29854 411778 SH DEFINED 01 284375 0 127403
D COVAD COMMUNICATIONS GROUP I COMMON 222814204 9994 137850 SH DEFINED 02 99425 0 38425
D COVENANT TRANSPORT, INC. COMMON 22284P105 333 21000 SH DEFINED 02 0 0 21000
D COVENTRY HEALTH CARE INC COMMON 222862104 417 49100 SH DEFINED 01 49100 0 0
D COVENTRY HEALTH CARE INC COMMON 222862104 523 61500 SH DEFINED 02 24300 0 37200
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 97 2000 SH DEFINED 05 2000 0 0
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 1641 33830 SH DEFINED 01 15917 0 17913
D COX COMMUNICATIONS, INC. CL. " COMMON 224044107 1155 23806 SH OTHER 01 0 23806 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CREDENCE SYSTEMS CORP. COMMON 225302108 2290 18300 SH DEFINED 01 18300 0 0
D CREDENCE SYSTEMS CORP. COMMON 225302108 863 6900 SH DEFINED 02 6600 0 300
D CREDITRUST CORP COMMON 225429109 200 66800 SH DEFINED 01 66800 0 0
D CREDITRUST CORP COMMON 225429109 472 157300 SH DEFINED 02 117900 0 39400
D CREE INC COMMON 225447101 1321 11700 SH DEFINED 01 11700 0 0
D CREE INC COMMON 225447101 237 2100 SH DEFINED 02 1800 0 300
D CRESCENDO PHARMACEUTICALS CORP COMMON 225637107 6617 360093 SH DEFINED 01 337800 0 22293
D CRESCENDO PHARMACEUTICALS CORP COMMON 225637107 2 100 SH DEFINED 02 0 0 100
D CRESCENT OPER INC COMMON 22575M100 41 14160 SH DEFINED 02 0 0 14160
D CRESCENT REAL ESTATE EQUITIES COMMON 225756105 198 11100 SH DEFINED 16 11100 0 0
D CRESCENT REAL ESTATE EQUITIES COMMON 225756105 8346 476900 SH DEFINED 01 434600 0 42300
D CRESCENT REAL ESTATE EQUITIES COMMON 225756105 44198 2525610 SH DEFINED 02 2100310 0 425300
D CROSS TIMBERS ROYALTY TRUST - COMMON 22757R109 122 12100 SH DEFINED 05 0 0 12100
D CROSS TIMBERS OIL CO. COMMON 227573102 725 55500 SH DEFINED 01 55500 0 0
D CROSS TIMBERS OIL CO. COMMON 227573102 839 64200 SH DEFINED 02 9800 0 54400
D CROWN AMERICAN REALTY TRUST S/ COMMON 228186102 268 50400 SH DEFINED 02 0 0 50400
D CROWN CENTRAL PETROLEUM CORP. COMMON 228219101 102 11900 SH DEFINED 02 0 0 11900
D CROWN CASTLE INTL CORP COMMON 228227104 38 1000 SH DEFINED 16 1000 0 0
D CROWN CASTLE INTL CORP COMMON 228227104 799 21100 SH DEFINED 02 0 0 21100
D CROWN CORK & SEAL CO., INC. COMMON 228255105 11 700 SH DEFINED 17 700 0 0
D CROWN CORK & SEAL CO., INC. COMMON 228255105 40 2500 SH DEFINED 01 0 0 2500
D CROWN CORK & SEAL CO., INC. COMMON 228255105 474 29600 SH DEFINED 02 0 0 29600
D CUBIC CORP. COMMON 229669106 209 9300 SH DEFINED 02 1700 0 7600
D CULLEN FROST BANKERS, INC. COMMON 229899109 1082 40940 SH DEFINED 02 3100 0 37840
D CUMMINS ENGINE, INC. COMMON 231021106 11 300 SH DEFINED 17 300 0 0
D CUMMINS ENGINE, INC. COMMON 231021106 3324 88500 SH DEFINED 01 88500 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CUMMINS ENGINE, INC. COMMON 231021106 560 14900 SH DEFINED 02 4100 0 10800
D CYBERONICS, INC. COMMON 23251P102 28 1500 SH DEFINED 05 0 0 1500
D CYBERONICS, INC. COMMON 23251P102 5110 273425 SH DEFINED 01 231000 0 42425
D CYBERONICS, INC. COMMON 23251P102 2815 150650 SH DEFINED 02 126475 0 24175
D CYBEX COMPUTER PRODS CORP COMMON 232522102 1008 26800 SH DEFINED 01 26800 0 0
D CYBEX COMPUTER PRODS CORP COMMON 232522102 310 8250 SH DEFINED 02 4800 0 3450
D CYMER, INC. COMMON 232572107 2175 43500 SH DEFINED 01 35800 0 7700
D CYMER, INC. COMMON 232572107 680 13600 SH DEFINED 02 3400 0 10200
D CYPRESS SEMICONDUCTOR 6% DUE 0 BOND 232806AD1 23545 23140000 PRN DEFINED 17
D CYPRESS SEMICONDUCTOR CORP. COMMON 232806109 15828 323025 SH DEFINED 01 142125 0 180900
D CYPRESS SEMICONDUCTOR CORP. COMMON 232806109 6164 125800 SH DEFINED 02 69550 0 56250
D CYTEC INDUSTRIES, INC. COMMON 232820100 381 12438 SH DEFINED 01 12225 0 213
D CYTEC INDUSTRIES, INC. COMMON 232820100 1164 38000 SH DEFINED 02 24800 0 13200
D CYTEC INDUSTRIES, INC. COMMON 232820100 33 1065 SH OTHER 01 0 1065 0
D CYTOTHERAPEUTICS, INC. COMMON 232923102 1654 214257 SH DEFINED 01 214257 0 0
D CYTYC CORP. COMMON 232946103 106 2200 SH DEFINED 05 0 0 2200
D CYTYC CORP. COMMON 232946103 9935 205900 SH DEFINED 01 146900 0 59000
D CYTYC CORP. COMMON 232946103 9196 190600 SH DEFINED 02 148700 0 41900
D DII GROUP, INC. COMMON 232949107 7417 65600 SH DEFINED 16 65600 0 0
D DII GROUP, INC. COMMON 232949107 34 300 SH DEFINED 01 300 0 0
D DII GROUP, INC. COMMON 232949107 384 3400 SH DEFINED 02 0 0 3400
D D. R. HORTON, INC. COMMON 23331A109 2388 182800 SH DEFINED 01 182800 0 0
D D. R. HORTON, INC. COMMON 23331A109 2229 170618 SH DEFINED 02 102300 0 68318
D DST SYSTEMS, INC. COMMON 233326107 130 2000 SH DEFINED 05 2000 0 0
D DST SYSTEMS, INC. COMMON 233326107 1883 29000 SH DEFINED 01 29000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DST SYSTEMS, INC. COMMON 233326107 1691 26042 SH DEFINED 02 1300 0 24742
D DTE ENERGY COMPANY COMMON 233331107 26 900 SH DEFINED 17 900 0 0
D DTE ENERGY COMPANY COMMON 233331107 35 1200 SH DEFINED 05 1200 0 0
D DTE ENERGY COMPANY COMMON 233331107 33203 1137550 SH DEFINED 01 923300 0 214250
D DTE ENERGY COMPANY COMMON 233331107 100986 3459840 SH DEFINED 02 2637240 0 822600
D DTE ENERGY COMPANY COMMON 233331107 61 2100 SH OTHER 01 2100 0 0
D DAIN RAUSCHER CORPORATION COMMON 233856103 297 4500 SH DEFINED 02 4500 0 0
D DAL-TILE INTL INC COMMON 23426R108 252 31700 SH DEFINED 01 31700 0 0
D DAL-TILE INTL INC COMMON 23426R108 105 13200 SH DEFINED 02 13200 0 0
D DALLAS SEMICONDUCTOR CORP. COMMON 235204104 1825 50000 SH DEFINED 01 50000 0 0
D DALLAS SEMICONDUCTOR CORP. COMMON 235204104 2175 59600 SH DEFINED 02 10600 0 49000
D DANA CORP. COMMON 235811106 28 1000 SH DEFINED 17 1000 0 0
D DANA CORP. COMMON 235811106 39 1400 SH DEFINED 05 1400 0 0
D DANA CORP. COMMON 235811106 47416 1682141 SH DEFINED 01 1050171 0 631970
D DANA CORP. COMMON 235811106 83842 2974370 SH DEFINED 02 1974470 0 999900
D DANA CORP. COMMON 235811106 471 16700 SH OTHER 01 4700 12000 0
D DANA CORP. COMMON 235811106 2537 90000 SH OTHER 0304 90000 0 0
D DANAHER CORP. COMMON 235851102 46 900 SH DEFINED 17 900 0 0
D DANAHER CORP. COMMON 235851102 328 6439 SH DEFINED 01 4200 0 2239
D DANAHER CORP. COMMON 235851102 736 14423 SH DEFINED 02 0 0 14423
D DARDEN RESTAURANTS, INC. COMMON 237194105 14 800 SH DEFINED 17 800 0 0
D DARDEN RESTAURANTS, INC. COMMON 237194105 3301 185300 SH DEFINED 01 185300 0 0
D DARDEN RESTAURANTS, INC. COMMON 237194105 529 29700 SH DEFINED 02 8400 0 21300
D DARDEN RESTAURANTS, INC. COMMON 237194105 167 9400 SH OTHER 01 2200 7200 0
D DATASCOPE CORP. COMMON 238113104 143 4500 SH DEFINED 02 4500 0 0
D DAVOX CORP COMMON 239208101 257 9600 SH DEFINED 02 0 0 9600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DE BEERS CONSOLIDATED MINES LT COMMON 240253302 4 170 SH DEFINED 01 170 0 0
D DEAN FOODS CO. COMMON 242361103 677 25300 SH DEFINED 01 25300 0 0
D DEAN FOODS CO. COMMON 242361103 118 4400 SH DEFINED 02 1100 0 3300
D DEERE & CO. COMMON 244199105 832 21900 SH DEFINED 17 21900 0 0
D DEERE & CO. COMMON 244199105 95 2500 SH DEFINED 05 2500 0 0
D DEERE & CO. COMMON 244199105 22468 591265 SH DEFINED 01 402385 0 188880
D DEERE & CO. COMMON 244199105 94698 2492050 SH DEFINED 02 2146650 0 345400
D DEERE & CO. COMMON 244199105 1054 27725 SH OTHER 09 27725 0 0
D DEERE & CO. COMMON 244199105 782 20585 SH OTHER 01 5875 14710 0
D DEERE & CO. COMMON 244199105 760 20000 SH OTHER 0304 20000 0 0
D DELHAIZE AMER INC COMMON 246688105 324 18000 SH DEFINED 01 0 0 18000
D DELHAIZE AMER INC COMMON 246688105 396 22000 SH DEFINED 02 0 0 22000
D DELHAIZE AMER INC COMMON 246688204 358 18000 SH DEFINED 01 0 0 18000
D DELL COMPUTER CORP. COMMON 247025109 33389 619034 SH DEFINED 17 619034 0 0
D DELL COMPUTER CORP. COMMON 247025109 505 9360 SH DEFINED 05 5600 0 3760
D DELL COMPUTER CORP. COMMON 247025109 2640 49456 SH DEFINED 16 49456 0 0
D DELL COMPUTER CORP. COMMON 247025109 170437 3159860 SH DEFINED 01 2240630 0 919230
D DELL COMPUTER CORP. COMMON 247025109 281553 5219930 SH DEFINED 02 3581330 0 1638600
D DELL COMPUTER CORP. COMMON 247025109 1415 26235 SH OTHER 01 20585 5650 0
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 4056 253500 SH DEFINED 17 253500 0 0
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 14400 900000 SH DEFINED 18 900000 0 0
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 107 6705 SH DEFINED 05 5029 0 1676
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 31837 1989783 SH DEFINED 01 1472972 0 516811
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 53904 3369028 SH DEFINED 02 2143889 0 1225139
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 23 1466 SH OTHER 05 698 768 0
D DELPHI AUTOMOTIVE SYS CORP COMMON 247126105 1102 68895 SH OTHER 01 13558 55337 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DELPHI FINANCIAL GROUP, INC. C COMMON 247131105 1312 43200 SH DEFINED 01 43200 0 0
D DELPHI FINANCIAL GROUP, INC. C COMMON 247131105 3606 118700 SH DEFINED 02 26100 0 92600
D DELPHI FINANCIAL GROUP, INC. C COMMON 247131105 40 1326 SH OTHER 01 0 1326 0
D DELTA & PINE LAND CO. COMMON 247357106 9875 500000 SH DEFINED 17 500000 0 0
D DELTA & PINE LAND CO. COMMON 247357106 59 3000 SH DEFINED 05 0 0 3000
D DELTA & PINE LAND CO. COMMON 247357106 7431 376233 SH DEFINED 01 376233 0 0
D DELTA FINANCIAL CORP COMMON 247918105 31 15600 SH DEFINED 02 0 0 15600
D DELUXE CORP. COMMON 248019101 13 500 SH DEFINED 17 500 0 0
D DELUXE CORP. COMMON 248019101 1927 72700 SH DEFINED 01 72700 0 0
D DELUXE CORP. COMMON 248019101 368 13900 SH DEFINED 02 4100 0 9800
D DELUXE CORP. COMMON 248019101 164 6200 SH OTHER 01 0 6200 0
D DENDRITE INTERNATIONAL, INC. COMMON 248239105 184 8800 SH DEFINED 01 8800 0 0
D DENDRITE INTERNATIONAL, INC. COMMON 248239105 52 2500 SH DEFINED 02 2300 0 200
D DENTSPLY INTERNATIONAL, INC. COMMON 249030107 2738 96500 SH DEFINED 01 71500 0 25000
D DENTSPLY INTERNATIONAL, INC. COMMON 249030107 321 11300 SH DEFINED 02 3300 0 8000
D DESC S.A. DE C.V. - A/D/R COMMON 250309101 2212 147491 SH DEFINED 17 147491 0 0
D DETROIT DIESEL CORP. COMMON 250837101 266 13900 SH DEFINED 01 13900 0 0
D DETROIT DIESEL CORP. COMMON 250837101 98 5100 SH DEFINED 02 5100 0 0
D DEVELOPERS DIVERSIFIED REALTY COMMON 251591103 658 47400 SH DEFINED 01 47400 0 0
D DEVELOPERS DIVERSIFIED REALTY COMMON 251591103 1515 109200 SH DEFINED 02 93700 0 15500
D DEVON ENERGY CORP NEW COMMON 25179M103 170 3500 SH DEFINED 05 0 0 3500
D DEVON ENERGY CORP NEW COMMON 25179M103 6168 127000 SH DEFINED 16 127000 0 0
D DEVON ENERGY CORP NEW COMMON 25179M103 21589 444550 SH DEFINED 01 345000 0 99550
D DEVON ENERGY CORP NEW COMMON 25179M103 10786 222100 SH DEFINED 02 177000 0 45100
D DEVRY, INC. COMMON 251893103 92 3000 SH DEFINED 01 0 0 3000
D DEVRY, INC. COMMON 251893103 244 8000 SH DEFINED 02 0 0 8000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DIAGNOSTIC PRODUCTS CORP. COMMON 252450101 64 2600 SH DEFINED 01 2600 0 0
D DIAGNOSTIC PRODUCTS CORP. COMMON 252450101 618 25300 SH DEFINED 02 10000 0 15300
D DIAL CORP NEW COMMON 25247D101 220 15990 SH DEFINED 01 0 0 15990
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 1262 31600 SH DEFINED 16 31600 0 0
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 11518 288400 SH DEFINED 01 234600 0 53800
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 19341 484276 SH DEFINED 02 321576 0 162700
D DIAMOND OFFSHORE DRILLING, INC COMMON 25271C102 8 200 SH OTHER 01 200 0 0
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 163 2475 SH DEFINED 05 0 0 2475
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 15992 243225 SH DEFINED 01 170375 0 72850
D DIAMOND TECHNOLOGY PARTNERS COMMON 252762109 6923 105300 SH DEFINED 02 85700 0 19600
D DIEBOLD, INC. COMMON 253651103 319 11616 SH DEFINED 01 0 0 11616
D DIGEX INC DEL COMMON 253756100 2582 23275 SH DEFINED 05 10225 0 13050
D DIGEX INC DEL COMMON 253756100 16599 149625 SH DEFINED 01 106395 0 43230
D DIGEX INC DEL COMMON 253756100 32934 296868 SH DEFINED 02 264138 0 32730
D DIGEX INC DEL COMMON 253756100 178 1600 SH OTHER 05 300 1300 0
D DIGEX INC DEL COMMON 253756100 1179 10630 SH OTHER 01 5055 5575 0
D DIGITAL IMPACT INC DEL COMMON 25385G106 114 3200 SH DEFINED 05 0 0 3200
D DIGITAL IMPACT INC DEL COMMON 25385G106 11297 317675 SH DEFINED 01 203850 0 113825
D DIGITAL IMPACT INC DEL COMMON 25385G106 6448 181300 SH DEFINED 02 145000 0 36300
D DIGITAL IS INC DEL COMMON 25385N101 4327 71000 SH DEFINED 18 71000 0 0
D DIGITAL IS INC DEL COMMON 25385N101 1399 22950 SH DEFINED 01 21350 0 1600
D DIGITAL IS INC DEL COMMON 25385N101 2249 36900 SH DEFINED 02 27800 0 9100
D DIGITAL MICROWAVE CORP. COMMON 253859102 1372 40500 SH DEFINED 02 0 0 40500
D DIGITAS INC COMMON 25388K104 28 1125 SH DEFINED 05 0 0 1125
D DIGITAS INC COMMON 25388K104 2777 113350 SH DEFINED 01 82525 0 30825
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DIGITAS INC COMMON 25388K104 2019 82425 SH DEFINED 02 66075 0 16350
D DIGITALTHINK INC COMMON 25388M100 17 425 SH DEFINED 05 0 0 425
D DIGITALTHINK INC COMMON 25388M100 1675 42525 SH DEFINED 01 31425 0 11100
D DIGITALTHINK INC COMMON 25388M100 1184 30050 SH DEFINED 02 24075 0 5975
D DILLARD'S INC. CL A COMMON 254067101 12 700 SH DEFINED 17 700 0 0
D DILLARD'S INC. CL A COMMON 254067101 493 30000 SH DEFINED 06 30000 0 0
D DILLARD'S INC. CL A COMMON 254067101 444 27000 SH DEFINED 01 25700 0 1300
D DILLARD'S INC. CL A COMMON 254067101 82 5000 SH DEFINED 02 1300 0 3700
D DIME BANCORP, INC. COMMON 25429Q102 13 700 SH DEFINED 05 700 0 0
D DIME BANCORP, INC. COMMON 25429Q102 501 27100 SH DEFINED 16 27100 0 0
D DIME BANCORP, INC. COMMON 25429Q102 31805 1719184 SH DEFINED 01 1016984 0 702200
D DIME BANCORP, INC. COMMON 25429Q102 71267 3852272 SH DEFINED 02 2715636 0 1136636
D DIME BANCORP, INC. COMMON 25429Q102 26 1400 SH OTHER 01 1400 0 0
D DIMON, INC. COMMON 254394109 57 24100 SH DEFINED 02 0 0 24100
D DIONEX CORP. COMMON 254546104 711 21600 SH DEFINED 02 0 0 21600
D DISNEY (WALT) & CO. COMMON 254687106 730 17700 SH DEFINED 17 17700 0 0
D DISNEY (WALT) & CO. COMMON 254687106 5674 137553 SH DEFINED 05 54272 0 83281
D DISNEY (WALT) & CO. COMMON 254687106 142517 3454965 SH DEFINED 01 1248970 0 2205995
D DISNEY (WALT) & CO. COMMON 254687106 110121 2669600 SH DEFINED 02 2210300 0 459300
D DISNEY (WALT) & CO. COMMON 254687106 242 5857 SH OTHER 05 4857 1000 0
D DISNEY (WALT) & CO. COMMON 254687106 3895 94434 SH OTHER 101112 0 94434 0
D DISNEY (WALT) & CO. COMMON 254687106 40773 988443 SH OTHER 01 286216 702227 0
D DISNEY WALT CO "GO.COM" COMMON 254687205 284 13770 SH DEFINED 17 13770 0 0
D DISNEY WALT CO "GO.COM" COMMON 254687205 6 310 SH DEFINED 01 0 0 310
D DISNEY WALT CO "GO.COM" COMMON 254687205 9 460 SH DEFINED 02 0 0 460
D DITECH COMMUNICATIONS CORP COMMON 25500M103 74 700 SH DEFINED 05 0 0 700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DITECH COMMUNICATIONS CORP COMMON 25500M103 103 969 SH DEFINED 16 969 0 0
D DITECH COMMUNICATIONS CORP COMMON 25500M103 2270 21400 SH DEFINED 01 1400 0 20000
D DITECH COMMUNICATIONS CORP COMMON 25500M103 668 6300 SH DEFINED 02 4800 0 1500
D DIVERSA CORP COMMON 255064107 25 525 SH DEFINED 05 0 0 525
D DIVERSA CORP COMMON 255064107 5584 118800 SH DEFINED 01 60000 0 58800
D DIVERSA CORP COMMON 255064107 3768 80175 SH DEFINED 02 64850 0 15325
D DOBSON COMMUNICATIONS CORP COMMON 256069105 1265 55000 SH DEFINED 16 55000 0 0
D DOBSON COMMUNICATIONS CORP COMMON 256069105 2968 129050 SH DEFINED 01 129050 0 0
D DOLE FOOD COMPANY, INC. COMMON 256605106 315 16200 SH DEFINED 02 0 0 16200
D DOLLAR GENERAL CORP. COMMON 256669102 43 1600 SH DEFINED 17 1600 0 0
D DOLLAR GENERAL CORP. COMMON 256669102 5255 195525 SH DEFINED 01 195525 0 0
D DOLLAR GENERAL CORP. COMMON 256669102 1995 74241 SH DEFINED 02 0 0 74241
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON 256743105 847 49300 SH DEFINED 01 49300 0 0
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON 256743105 2776 161500 SH DEFINED 02 28500 0 133000
D DOLLAR TREE STORES INC COMMON 256747106 5635 108100 SH DEFINED 01 108100 0 0
D DOLLAR TREE STORES INC COMMON 256747106 57 1100 SH DEFINED 02 0 0 1100
D DOMINION RES INC VA NEW COMMON 25746U109 674 17525 SH DEFINED 17 17525 0 0
D DOMINION RES INC VA NEW COMMON 25746U109 83 2168 SH DEFINED 05 1200 0 968
D DOMINION RES INC VA NEW COMMON 25746U109 48705 1267115 SH DEFINED 01 925062 0 342053
D DOMINION RES INC VA NEW COMMON 25746U109 71306 1855101 SH DEFINED 02 1066459 0 788642
D DOMINION RES INC VA NEW COMMON 25746U109 857 22300 SH OTHER 09 22300 0 0
D DOMINION RES INC VA NEW COMMON 25746U109 1498 38976 SH OTHER 01 11800 27176 0
D DONALDSON, INC. COMMON 257651109 465 20600 SH DEFINED 02 0 0 20600
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 17 800 SH DEFINED 17 800 0 0
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 92 4400 SH DEFINED 05 0 0 4400
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 46 2200 SH DEFINED 01 0 0 2200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 2 100 SH DEFINED 02 0 0 100
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 65 3100 SH OTHER 01 0 3100 0
D DONNELLEY (R. R.) & SONS, CO. COMMON 257867101 838 40000 SH OTHER 0304 40000 0 0
D DORAL FINANCIAL CORPORATION COMMON 25811P100 4281 378400 SH DEFINED 01 378400 0 0
D DORAL FINANCIAL CORPORATION COMMON 25811P100 3268 288900 SH DEFINED 02 221200 0 67700
D DOUBLECLICK INC 4.75% PFD BOND 258609AA4 0 4000000 PRN DEFINED 17
D DOUBLECLICK INC. COMMON 258609304 19 200 SH DEFINED 05 200 0 0
D DOUBLECLICK INC. COMMON 258609304 73654 786695 SH DEFINED 01 341280 0 445415
D DOUBLECLICK INC. COMMON 258609304 94423 1008520 SH DEFINED 02 685620 0 322900
D DOUBLECLICK INC. COMMON 258609304 89 950 SH OTHER 01 950 0 0
D DOVER CORP. COMMON 260003108 13123 274100 SH DEFINED 17 274100 0 0
D DOVER CORP. COMMON 260003108 6699 139918 SH DEFINED 01 120700 0 19218
D DOVER CORP. COMMON 260003108 1417 29600 SH OTHER 01 0 29600 0
D DOVER DOWNS ENTMT INC COMMON 260086103 260 20400 SH DEFINED 02 0 0 20400
D DOW CHEMICAL CO. COMMON 260543103 23 200 SH DEFINED 05 200 0 0
D DOW CHEMICAL CO. COMMON 260543103 27369 240081 SH DEFINED 01 142125 0 97956
D DOW CHEMICAL CO. COMMON 260543103 48815 428200 SH DEFINED 02 121100 0 307100
D DOW CHEMICAL CO. COMMON 260543103 5939 52094 SH OTHER 01 9387 42707 0
D DOW CHEMICAL CO. COMMON 260543103 684 6000 SH OTHER 0304 6000 0 0
D DOW JONES & CO, INC. COMMON 260561105 43 600 SH DEFINED 17 600 0 0
D DOW JONES & CO, INC. COMMON 260561105 55 770 SH DEFINED 01 770 0 0
D DOW JONES & CO, INC. COMMON 260561105 1192 16600 SH DEFINED 02 0 0 16600
D DOW JONES & CO, INC. COMMON 260561105 987 13741 SH OTHER 01 0 13741 0
D DOWNEY FINANCIAL CORP. COMMON 261018105 174 8200 SH DEFINED 01 8200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DOWNEY FINANCIAL CORP. COMMON 261018105 334 15700 SH DEFINED 02 15700 0 0
D DREYER'S GRAND ICE CREAM, INC. COMMON 261878102 520 20200 SH DEFINED 02 0 0 20200
D DSL NET INC COMMON 262506108 49 2200 SH DEFINED 05 0 0 2200
D DSL NET INC COMMON 262506108 2914 132075 SH DEFINED 01 73375 0 58700
D DSL NET INC COMMON 262506108 406 18400 SH DEFINED 02 14000 0 4400
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 6154 116240 SH DEFINED 17 116240 0 0
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 2012 38000 SH DEFINED 06 38000 0 0
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 3673 69390 SH DEFINED 05 33798 0 35592
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 68377 1291634 SH DEFINED 01 784932 0 506702
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 6110 115420 SH DEFINED 02 15220 0 100200
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 559 10566 SH OTHER 05 4904 5662 0
D DU PONT (E. I.) DE NEMOURS & C COMMON 263534109 8504 160638 SH OTHER 01 36363 124275 0
D DUKE POWER CO. COMMON 264399106 4058 77300 SH DEFINED 17 77300 0 0
D DUKE POWER CO. COMMON 264399106 2391 45550 SH DEFINED 05 21450 0 24100
D DUKE POWER CO. COMMON 264399106 12267 233650 SH DEFINED 01 152835 0 80815
D DUKE POWER CO. COMMON 264399106 915 17427 SH DEFINED 02 0 0 17427
D DUKE POWER CO. COMMON 264399106 200 3800 SH OTHER 05 0 3800 0
D DUKE POWER CO. COMMON 264399106 5684 108259 SH OTHER 01 50784 57475 0
D DUKE REALTY INVESTMENTS, INC. COMMON 264411505 3159 165188 SH DEFINED 01 165188 0 0
D DUKE REALTY INVESTMENTS, INC. COMMON 264411505 8475 443160 SH DEFINED 02 408730 0 34430
D DUN & BRADSTREET CORPORATION COMMON 26483B106 29 1000 SH DEFINED 17 1000 0 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 17175 600000 SH DEFINED 18 600000 0 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 57 2000 SH DEFINED 05 2000 0 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 676 23616 SH DEFINED 01 11833 0 11783
D DUN & BRADSTREET CORPORATION COMMON 26483B106 956 33400 SH DEFINED 02 0 0 33400
D DUN & BRADSTREET CORPORATION COMMON 26483B106 57 2000 SH OTHER 05 0 2000 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 DUN & BRADSTREET CORPORATION COMMON 26483B106 286 10000 SH OTHER 101112 0 10000 0
D DUN & BRADSTREET CORPORATION COMMON 26483B106 1891 66069 SH OTHER 01 1782 64287 0
D DURA AUTOMOTIVE SYSTEMS CORP COMMON 265903104 465 27053 SH DEFINED 02 9000 0 18053
D DUPONT PHOTOMASKS, INC. COMMON 26613X101 568 9800 SH DEFINED 01 9800 0 0
D DUPONT PHOTOMASKS, INC. COMMON 26613X101 52 900 SH DEFINED 02 900 0 0
D DURA PHARMACEUTICALS, INC. COMMON 26632S109 2019 164000 SH DEFINED 17 164000 0 0
D DURA PHARMACEUTICALS, INC. COMMON 26632S109 90 7300 SH DEFINED 01 7300 0 0
D DURA PHARMACEUTICALS, INC. COMMON 26632S109 1325 107600 SH DEFINED 02 0 0 107600
D DYCOM INDUSTRIES, INC. COMMON 267475101 205 4200 SH DEFINED 05 0 0 4200
D DYCOM INDUSTRIES, INC. COMMON 267475101 18991 389550 SH DEFINED 01 274100 0 115450
D DYCOM INDUSTRIES, INC. COMMON 267475101 6590 135174 SH DEFINED 02 106787 0 28387
D DYNEGY INC NEW COMMON 26816Q101 13 200 SH DEFINED 05 200 0 0
D DYNEGY INC NEW COMMON 26816Q101 42524 677800 SH DEFINED 01 421700 0 256100
D DYNEGY INC NEW COMMON 26816Q101 150135 2393050 SH DEFINED 02 1837950 0 555100
D DYNEGY INC NEW COMMON 26816Q101 56 900 SH OTHER 01 900 0 0
D ECI TELECOMMUNICATIONS LTD. DE COMMON 268258100 94 3000 SH DEFINED 05 3000 0 0
D ECI TELECOMMUNICATIONS LTD. DE COMMON 268258100 257 8184 SH DEFINED 02 0 0 8184
D EMC CORP. COMMON 268648102 7159 56820 SH DEFINED 17 56820 0 0
D EMC CORP. COMMON 268648102 12036 95526 SH DEFINED 05 32826 0 62700
D EMC CORP. COMMON 268648102 5078 40300 SH DEFINED 16 40300 0 0
D EMC CORP. COMMON 268648102 769633 6108196 SH DEFINED 01 3686207 0 2421989
D EMC CORP. COMMON 268648102 885694 7029321 SH DEFINED 02 4750671 0 2278650
D EMC CORP. COMMON 268648102 227 1800 SH OTHER 05 1400 400 0
D EMC CORP. COMMON 268648102 2016 16000 SH OTHER 101112 0 16000 0
D EMC CORP. COMMON 268648102 4108 32600 SH OTHER 09 32600 0 0
D EMC CORP. COMMON 268648102 72824 577970 SH OTHER 01 285720 292250 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 EMC CORP. COMMON 268648102 3402 27000 SH OTHER 0304 27000 0 0
D ENSCO INTERNATIONAL, INC. COMMON 26874Q100 7083 196070 SH DEFINED 01 141500 0 54570
D ENSCO INTERNATIONAL, INC. COMMON 26874Q100 23655 654810 SH DEFINED 02 424510 0 230300
D EOG RES INC COMMON 26875P101 168 7950 SH DEFINED 01 0 0 7950
D EOG RES INC COMMON 26875P101 167 7900 SH DEFINED 02 0 0 7900
D E PIPHANY INC COMMON 26881V100 107 800 SH DEFINED 05 0 0 800
D E PIPHANY INC COMMON 26881V100 10124 75800 SH DEFINED 01 53125 0 22675
D E PIPHANY INC COMMON 26881V100 5977 44750 SH DEFINED 02 35500 0 9250
D ESS TECHNOLOGY, INC. COMMON 269151106 618 35300 SH DEFINED 01 35300 0 0
D ESS TECHNOLOGY, INC. COMMON 269151106 429 24500 SH DEFINED 02 24300 0 200
D E.SPIRE COMMUNICATIONS INC. COMMON 269153102 212 30200 SH DEFINED 17 30200 0 0
D ETEC SYS INC COMMON 26922C103 0 103618 SH DEFINED 16 103618 0 0
D E-TEK DYNAMICS INC COMMON 269240107 15409 65500 SH DEFINED 17 65500 0 0
D E-TEK DYNAMICS INC COMMON 269240107 141 600 SH DEFINED 05 0 0 600
D E-TEK DYNAMICS INC COMMON 269240107 5889 25034 SH DEFINED 16 25034 0 0
D E-TEK DYNAMICS INC COMMON 269240107 14704 62505 SH DEFINED 01 44950 0 17555
D E-TEK DYNAMICS INC COMMON 269240107 5752 24450 SH DEFINED 02 5850 0 18600
D E-TEK DYNAMICS INC COMMON 269240107 10304 43800 SH OTHER 01 3700 40100 0
D E'TOWN CORP. COMMON 269242103 6439 101800 SH DEFINED 01 101800 0 0
D E'TOWN CORP. COMMON 269242103 10942 173000 SH DEFINED 02 142700 0 30300
D E TRADE GROUP INC 'CONV BOND' BOND 269246AA2 0 1750000 PRN DEFINED 16
D E TRADE GROUP, INC. COMMON 269246104 16 517 SH DEFINED 16 517 0 0
D E TRADE GROUP, INC. COMMON 269246104 19325 641500 SH DEFINED 01 478800 0 162700
D E TRADE GROUP, INC. COMMON 269246104 54686 1815300 SH DEFINED 02 1103370 0 711930
D E TRADE GROUP, INC. COMMON 269246104 60 2000 SH OTHER 01 2000 0 0
D EARTHGRAINS CO. COMMON 270319106 919 61800 SH DEFINED 01 61800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 EARTHGRAINS CO. COMMON 270319106 1263 84900 SH DEFINED 02 20400 0 64500
D EARTHLINK INC COMMON 270321102 11 582 SH DEFINED 16 582 0 0
D EARTHLINK INC COMMON 270321102 276 14200 SH DEFINED 02 0 0 14200
D EAST WEST BANCORP INC COMMON 27579R104 9686 875500 SH DEFINED 01 875500 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 23 500 SH DEFINED 17 500 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 9 200 SH DEFINED 05 200 0 0
D EASTMAN CHEMICAL CO. COMMON 277432100 200 4405 SH DEFINED 01 520 0 3885
D EASTMAN CHEMICAL CO. COMMON 277432100 164 3599 SH OTHER 01 0 3599 0
D EASTMAN KODAK CO. COMMON 277461109 103 1900 SH DEFINED 17 1900 0 0
D EASTMAN KODAK CO. COMMON 277461109 92 1700 SH DEFINED 05 1700 0 0
D EASTMAN KODAK CO. COMMON 277461109 91668 1687774 SH DEFINED 01 1137408 0 550366
D EASTMAN KODAK CO. COMMON 277461109 174605 3214794 SH DEFINED 02 1956294 0 1258500
D EASTMAN KODAK CO. COMMON 277461109 2097 38610 SH OTHER 01 3000 35610 0
D EATON CORP. COMMON 278058102 39 500 SH DEFINED 17 500 0 0
D EATON CORP. COMMON 278058102 148 1900 SH DEFINED 05 1900 0 0
D EATON CORP. COMMON 278058102 60829 779860 SH DEFINED 01 473300 0 306560
D EATON CORP. COMMON 278058102 107136 1373540 SH DEFINED 02 943940 0 429600
D EATON CORP. COMMON 278058102 78 1000 SH OTHER 05 1000 0 0
D EATON CORP. COMMON 278058102 1624 20815 SH OTHER 01 2200 18615 0
D EATON CORP. COMMON 278058102 3276 42000 SH OTHER 0304 42000 0 0
D EATON VANCE CORP. COMMON 278265103 1305 30400 SH DEFINED 02 0 0 30400
D EBAY INC COMMON 278642103 545 3098 SH DEFINED 17 3098 0 0
D EBAY INC COMMON 278642103 3291 18700 SH DEFINED 02 0 0 18700
D EBOOKERS COM PLC COMMON 278725106 1167 50204 SH DEFINED 16 50204 0 0
D ECHELON CORP COMMON 27874N105 22435 342524 SH DEFINED 01 0 0 342524
D ECHOSTAR COMMUNICATIONS CL. "A COMMON 278762109 7726 97800 SH DEFINED 02 0 0 97800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ECLIPSE SURGICAL TECHNOLOGIES, COMMON 278849104 47 6300 SH DEFINED 05 0 0 6300
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON 278849104 6693 899800 SH DEFINED 01 722125 0 177675
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON 278849104 4220 567400 SH DEFINED 02 464100 0 103300
D ECLIPSYS CORP COMMON 278856109 58 3000 SH DEFINED 05 0 0 3000
D ECLIPSYS CORP COMMON 278856109 6486 334750 SH DEFINED 01 255950 0 78800
D ECLIPSYS CORP COMMON 278856109 4257 219700 SH DEFINED 02 172200 0 47500
D ECOLAB, INC. COMMON 278865100 29 800 SH DEFINED 17 800 0 0
D ECOLAB, INC. COMMON 278865100 73 2000 SH DEFINED 01 1600 0 400
D ECOLAB, INC. COMMON 278865100 899 24500 SH DEFINED 02 0 0 24500
D ECOLAB, INC. COMMON 278865100 183 5000 SH OTHER 01 5000 0 0
D EDISON INTERNATIONAL COMMON 281020107 1497 90400 SH DEFINED 17 90400 0 0
D EDISON INTERNATIONAL COMMON 281020107 718 43350 SH DEFINED 05 12050 0 31300
D EDISON INTERNATIONAL COMMON 281020107 390 23540 SH DEFINED 01 7200 0 16340
D EDISON INTERNATIONAL COMMON 281020107 197 11900 SH DEFINED 02 11900 0 0
D EDISON INTERNATIONAL COMMON 281020107 123 7400 SH OTHER 01 5000 2400 0
D EDISON SCHOOLS INC COMMON 281033100 2130 105171 SH DEFINED 19 105171 0 0
D EDUCATION MGMT CORP COMMON 28139T101 1253 86800 SH DEFINED 01 86800 0 0
D EDUCATION MGMT CORP COMMON 28139T101 562 38900 SH DEFINED 02 32300 0 6600
D EDWARDS (A. G.), INC. COMMON 281760108 5989 149725 SH DEFINED 01 109945 0 39780
D EDWARDS (A. G.), INC. COMMON 281760108 1310 32750 SH DEFINED 02 20900 0 11850
D EDWARDS (A. G.), INC. COMMON 281760108 1708 42700 SH OTHER 01 37650 5050 0
D EDWARDS (A. G.), INC. COMMON 281760108 800 20000 SH OTHER 0304 20000 0 0
D EFFICIENT NETWORKS INC BOND 282056AA8 0 2000000 PRN DEFINED 16
D EL PASO ELECTRIC COMPANY COMMON 283677854 1212 116800 SH DEFINED 02 77600 0 39200
D EL PASO ENERGY CORP DEL COMMON 283905107 57 1400 SH DEFINED 17 1400 0 0
D EL PASO ENERGY CORP DEL COMMON 283905107 22081 546900 SH DEFINED 01 350160 0 196740
FORM 13F INFORMATION TABLE MARCH 31 2000 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 EL PASO ENERGY CORP DEL COMMON 283905107 41442 1026430 SH DEFINED 02 643330 0 383100
D EL PASO ENERGY CORP DEL COMMON 283905107 744 18430 SH OTHER 01 1100 17330 0
D ELAN PLC A/D/R COMMON 284131208 859 18086 SH DEFINED 01 4290 0 13796
D ELAN PLC A/D/R COMMON 284131208 2000 42108 SH DEFINED 02 0 0 42108
D ELAN PLC WARRANT 284131802 8109 187500 SH DEFINED 01 187500 0 0
D ELCOR CORPORATION COMMON 284443108 1139 33000 SH DEFINED 01 33000 0 0
D ELCOR CORPORATION COMMON 284443108 3116 90325 SH DEFINED 02 71650 0 18675
D ELECTRIC LIGHTWAVE INC COMMON 284895109 224 9400 SH DEFINED 02 0 0 9400
D ELECTRO RENT CORP. COMMON 285218103 133 11400 SH DEFINED 02 0 0 11400
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON 285229100 232 4000 SH DEFINED 05 0 0 4000
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON 285229100 18802 324175 SH DEFINED 01 212100 0 112075
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON 285229100 3764 64900 SH DEFINED 02 42150 0 22750
D ELECTROGLAS, INC. COMMON 285324109 507 14800 SH DEFINED 01 14800 0 0
D ELECTROGLAS, INC. COMMON 285324109 562 16400 SH DEFINED 02 7300 0 9100
D ELECTRONIC ARTS, INC. COMMON 285512109 37 559 SH DEFINED 16 559 0 0
D ELECTRONIC ARTS, INC. COMMON 285512109 2673 37550 SH DEFINED 01 36670 0 880
D ELECTRONIC ARTS, INC. COMMON 285512109 1324 18600 SH DEFINED 02 2700 0 15900
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 186 2900 SH DEFINED 17 2900 0 0
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 2156 33595 SH DEFINED 05 17245 0 16350
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 83128 1295070 SH DEFINED 01 904620 0 390450
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 124560 1940550 SH DEFINED 02 1016250 0 924300
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 26 400 SH OTHER 05 400 0 0
D ELECTRONIC DATA SYSTEMS CORP. COMMON 285661104 2003 31201 SH OTHER 01 5012 26189 0
D ELECTRONICS FOR IMAGING, INC. COMMON 286082102 3768 62800 SH DEFINED 01 62800 0 0
D ELECTRONICS FOR IMAGING, INC. COMMON 286082102 900 15000 SH DEFINED 02 2900 0 12100
D ELOYALTY CORP COMMON 290151109 86 3600 SH DEFINED 05 0 0 3600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ELOYALTY CORP COMMON 290151109 8101 339325 SH DEFINED 01 245550 0 93775
D ELOYALTY CORP COMMON 290151109 5680 237900 SH DEFINED 02 188900 0 49000
D ELSEVIER N.V. SPONS. A/D/R COMMON 290259100 114 5500 SH DEFINED 05 500 0 5000
D ELSEVIER N.V. SPONS. A/D/R COMMON 290259100 291 14000 SH OTHER 01 0 14000 0
D EMBOTELLADORA ANDINA S.A. COMMON 29081P204 887 69900 SH DEFINED 17 69900 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 143 2700 SH DEFINED 17 2700 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 2168 40805 SH DEFINED 05 10300 0 30505
D EMERSON ELECTRIC CO. COMMON 291011104 80372 1512890 SH DEFINED 01 1125840 0 387050
D EMERSON ELECTRIC CO. COMMON 291011104 122745 2310490 SH DEFINED 02 1347790 0 962700
D EMERSON ELECTRIC CO. COMMON 291011104 96 1800 SH OTHER 05 1800 0 0
D EMERSON ELECTRIC CO. COMMON 291011104 3185 59962 SH OTHER 01 18058 41904 0
D EMMIS BROADCASTING CORP. CL. " COMMON 291525103 2962 63700 SH DEFINED 01 63700 0 0
D EMMIS BROADCASTING CORP. CL. " COMMON 291525103 944 20300 SH DEFINED 02 16500 0 3800
D EMPIRE DISTRICT ELECTRIC CO. COMMON 291641108 275 14000 SH DEFINED 02 0 0 14000
D EMPRESA NACIONAL DE ELCTRCID A COMMON 29244T101 715 65780 SH DEFINED 17 65780 0 0
D EMPRESAS ICA SOCIEDAD CONTRL BOND 292448AC1 366332 6441000 PRN DEFINED 16
D EMPRESAS ICA SOCIEDAD CONTRL BOND 292448AC1 99531 1750000 PRN DEFINED 02
D EMULEX CORP. COMMON 292475209 65 600 SH DEFINED 05 0 0 600
D EMULEX CORP. COMMON 292475209 4027 36900 SH DEFINED 01 21000 0 15900
D EMULEX CORP. COMMON 292475209 3525 32300 SH DEFINED 02 7400 0 24900
D ENCOMPASS SVCS CORP COMMON 29255U104 276 48000 SH DEFINED 02 0 0 48000
D ENERGEN CORP. COMMON 29265N108 1034 64900 SH DEFINED 01 64900 0 0
D ENERGEN CORP. COMMON 29265N108 1492 93600 SH DEFINED 02 49900 0 43700
D ENERGY EAST CORPORATION COMMON 29266M109 0 6 SH DEFINED 16 6 0 0
D ENERGY EAST CORPORATION COMMON 29266M109 119 6000 SH DEFINED 01 6000 0 0
D ENERGY EAST CORPORATION COMMON 29266M109 652 32900 SH DEFINED 02 0 0 32900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ENERSIS S.A. SPONS. A/D/R COMMON 29274F104 872 42920 SH DEFINED 17 42920 0 0
D ENGAGE TECHNOLOGIES INC COMMON 292827102 191 2500 SH DEFINED 01 0 0 2500
D ENGAGE TECHNOLOGIES INC COMMON 292827102 275 3600 SH DEFINED 02 0 0 3600
D ENGELHARD CORP. COMMON 292845104 12 800 SH DEFINED 17 800 0 0
D ENGELHARD CORP. COMMON 292845104 2505 165600 SH DEFINED 01 115400 0 50200
D ENGELHARD CORP. COMMON 292845104 482 31900 SH DEFINED 02 6000 0 25900
D ENGELHARD CORP. COMMON 292845104 256 16908 SH OTHER 01 0 16908 0
D ENGINEERING ANIMATION, INC. COMMON 292872108 557 42209 SH DEFINED 16 42209 0 0
D ENGINEERING ANIMATION, INC. COMMON 292872108 123 9300 SH DEFINED 02 0 0 9300
D ENESCO GROUP INC COMMON 292973104 132 18700 SH DEFINED 02 0 0 18700
D ENHANCE FINANCIAL SVCS GROUP, COMMON 293310108 620 43887 SH DEFINED 01 43887 0 0
D ENHANCE FINANCIAL SVCS GROUP, COMMON 293310108 2083 147500 SH DEFINED 02 25100 0 122400
D ENRON CORP. COMMON 293561106 2164 28900 SH DEFINED 17 28900 0 0
D ENRON CORP. COMMON 293561106 1614 21550 SH DEFINED 05 13420 0 8130
D ENRON CORP. COMMON 293561106 25406 339315 SH DEFINED 01 268190 0 71125
D ENRON CORP. COMMON 293561106 75402 1007034 SH DEFINED 02 875300 0 131734
D ENRON CORP. COMMON 293561106 7498 100134 SH OTHER 01 22540 77594 0
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 107 2100 SH DEFINED 05 0 0 2100
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 14089 276250 SH DEFINED 01 211775 0 64475
D ENTERCOM COMMUNICATIONS CORP COMMON 293639100 9877 193675 SH DEFINED 02 153450 0 40225
D ENTERGY CORP. COMMON 29364G103 457 22650 SH DEFINED 17 22650 0 0
D ENTERGY CORP. COMMON 29364G103 168 8300 SH DEFINED 18 8300 0 0
D ENTERGY CORP. COMMON 29364G103 19475 964700 SH DEFINED 01 632150 0 332550
D ENTERGY CORP. COMMON 29364G103 40854 2023700 SH DEFINED 02 1231200 0 792500
D ENTERGY CORP. COMMON 29364G103 1328 65800 SH OTHER 09 65800 0 0
D ENTERGY CORP. COMMON 29364G103 707 35000 SH OTHER 01 4600 30400 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ENTRUST TECHNOLOGIES INC COMMON 293848107 9549 112239 SH DEFINED 01 101287 0 10952
D ENTRUST TECHNOLOGIES INC COMMON 293848107 5385 63300 SH DEFINED 02 58800 0 4500
D ENZON, INC. COMMON 293904108 1361 36100 SH DEFINED 01 36100 0 0
D ENZON, INC. COMMON 293904108 332 8800 SH DEFINED 02 8800 0 0
D EQUANT NV-NY REGISTERED SHARE COMMON 294409107 2867 33700 SH DEFINED 01 33700 0 0
D EQUANT NV-NY REGISTERED SHARE COMMON 294409107 3726 43800 SH DEFINED 02 34400 0 9400
D EQUIFAX, INC. COMMON 294429105 23 900 SH DEFINED 17 900 0 0
D EQUIFAX, INC. COMMON 294429105 41853 1657532 SH DEFINED 01 1068832 0 588700
D EQUIFAX, INC. COMMON 294429105 90204 3572420 SH DEFINED 02 2401420 0 1171000
D EQUIFAX, INC. COMMON 294429105 73 2900 SH OTHER 01 2900 0 0
D EQUITY OFFICE PROPERTIES TRUST COMMON 294741103 10804 430003 SH DEFINED 01 412403 0 17600
D EQUITY OFFICE PROPERTIES TRUST COMMON 294741103 27457 1092810 SH DEFINED 02 963473 0 129337
D EQUITY OFFICE PROPERTIES TRU PREF-CONV 294741509 3800 100000 SH DEFINED 01
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 1057 26300 SH DEFINED 16 26300 0 0
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 9159 227893 SH DEFINED 01 227893 0 0
D EQUITY RESIDENTIAL PROPERTIES COMMON 29476L107 18022 448451 SH DEFINED 02 401478 0 46973
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 12863 137000 SH DEFINED 17 137000 0 0
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 1088 11600 SH DEFINED 01 10400 0 1200
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 188 2000 SH OTHER 05 0 2000 0
D ERICSSON (L.M.) TELEPHONE CO. COMMON 294821400 1238 13200 SH OTHER 01 7200 6000 0
D ERIE INDTY CO COMMON 29530P102 448 13800 SH DEFINED 02 0 0 13800
D ESPEED INC COMMON 296643109 199 3800 SH DEFINED 05 0 0 3800
D ESPEED INC COMMON 296643109 19546 373200 SH DEFINED 01 264525 0 108675
D ESPEED INC COMMON 296643109 15047 287300 SH DEFINED 02 227000 0 60300
D ESSEX PROPERTY TRUST, INC. COMMON 297178105 328 9100 SH DEFINED 02 9100 0 0
D ESTERLINE TECHNOLOGIES CORP. COMMON 297425100 451 34700 SH DEFINED 01 34700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ESTERLINE TECHNOLOGIES CORP. COMMON 297425100 337 25900 SH DEFINED 02 22500 0 3400
D ETHAN ALLEN INTERIORS, INC. COMMON 297602104 563 22500 SH DEFINED 02 4800 0 17700
D ETHYL CORP. COMMON 297659104 170 55400 SH DEFINED 01 55400 0 0
D ETHYL CORP. COMMON 297659104 108 35300 SH DEFINED 02 35300 0 0
D ETOYS INC CONV BOND BOND 297862AA2 0 2000000 PRN DEFINED 16
D ETOYS INC COMMON 297862104 22 2500 SH DEFINED 16 2500 0 0
D ETOYS INC COMMON 297862104 124 14000 SH DEFINED 02 0 0 14000
D EVERGREEN RES INC COMMON 299900308 220 9100 SH DEFINED 02 0 0 9100
D EXAR CORP. COMMON 300645108 311 4350 SH DEFINED 05 0 0 4350
D EXAR CORP. COMMON 300645108 34936 488187 SH DEFINED 01 368987 0 119200
D EXAR CORP. COMMON 300645108 25700 359125 SH DEFINED 02 283200 0 75925
D EXCALIBUR TECHNOLOGIES CORP. - COMMON 300651205 4347 109700 SH DEFINED 01 109700 0 0
D EXCALIBUR TECHNOLOGIES CORP. - COMMON 300651205 10818 273000 SH DEFINED 02 217500 0 55500
D EXCHANGE APPLICATIONS COMMON 300867108 296 5600 SH DEFINED 05 0 0 5600
D EXCHANGE APPLICATIONS COMMON 300867108 23008 434750 SH DEFINED 01 281600 0 153150
D EXCHANGE APPLICATIONS COMMON 300867108 13024 246100 SH DEFINED 02 192500 0 53600
D EXIDE CORP. COMMON 302051107 988 83600 SH DEFINED 01 83600 0 0
D EXIDE CORP. COMMON 302051107 684 57900 SH DEFINED 02 52700 0 5200
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 7868 56000 SH DEFINED 18 56000 0 0
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 976 6950 SH DEFINED 05 3750 0 3200
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 68 484 SH DEFINED 16 484 0 0
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 115150 819575 SH DEFINED 01 525905 0 293670
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 136393 970770 SH DEFINED 02 597370 0 373400
D EXODUS COMMUNICATIONS, INC. COMMON 302088109 5235 37260 SH OTHER 01 26435 10825 0
D EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 513 12900 SH DEFINED 01 12900 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 32 800 SH DEFINED 02 0 0 800
D EXPEDITORS INT'L OF WASHINGTON COMMON 302130109 318 8000 SH OTHER 01 0 8000 0
D EXTENDED STAY AMERICA, INC. COMMON 30224P101 5601 746800 SH DEFINED 01 679300 0 67500
D EXTENDED STAY AMERICA, INC. COMMON 30224P101 7198 959700 SH DEFINED 02 711700 0 248000
D EXTREME NETWORKS INC COMMON 30226D106 672 8500 SH DEFINED 01 8500 0 0
D EXTREME NETWORKS INC COMMON 30226D106 277 3500 SH DEFINED 02 400 0 3100
D EXXON MOBIL CORP COMMON 30231G102 9598 123147 SH DEFINED 17 123147 0 0
D EXXON MOBIL CORP COMMON 30231G102 1948 25000 SH DEFINED 06 25000 0 0
D EXXON MOBIL CORP COMMON 30231G102 33400 428552 SH DEFINED 05 361755 0 66797
D EXXON MOBIL CORP COMMON 30231G102 1828249 23457740 SH DEFINED 01 11035503 0 12422237
D EXXON MOBIL CORP COMMON 30231G102 1959185 25137739 SH DEFINED 02 17262755 0 7874984
D EXXON MOBIL CORP COMMON 30231G102 7148 91719 SH OTHER 05 9760 81959 0
D EXXON MOBIL CORP COMMON 30231G102 188672 2420800 SH OTHER 101112 0 2420800 0
D EXXON MOBIL CORP COMMON 30231G102 6361 81617 SH OTHER 09 81617 0 0
D EXXON MOBIL CORP COMMON 30231G102 142888 1833352 SH OTHER 01 352757 1480595 0
D EXXON MOBIL CORP COMMON 30231G102 4879 62604 SH OTHER 0304 62604 0 0
D EXXON MOBIL CORP COMMON 30231G102 140288 1800000 SH OTHER 15 1800000 0 0
D FBL FINL GROUP INC COMMON 30239F106 72 4800 SH DEFINED 01 4800 0 0
D FBL FINL GROUP INC COMMON 30239F106 587 39100 SH DEFINED 02 39100 0 0
D FMC CORP. COMMON 302491303 11 200 SH DEFINED 17 200 0 0
D FMC CORP. COMMON 302491303 2435 43100 SH DEFINED 01 43100 0 0
D FMC CORP. COMMON 302491303 401 7100 SH DEFINED 02 2000 0 5100
D FPIC INS GROUP INC COMMON 302563101 18 1000 SH DEFINED 01 1000 0 0
D FPIC INS GROUP INC COMMON 302563101 228 13000 SH DEFINED 02 5000 0 8000
D FPL GROUP, INC. COMMON 302571104 1702 36950 SH DEFINED 17 36950 0 0
D FPL GROUP, INC. COMMON 302571104 69 1500 SH DEFINED 05 0 0 1500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FPL GROUP, INC. COMMON 302571104 3172 70000 SH DEFINED 16 70000 0 0
D FPL GROUP, INC. COMMON 302571104 5066 109990 SH DEFINED 01 79340 0 30650
D FPL GROUP, INC. COMMON 302571104 3737 81130 SH DEFINED 02 63330 0 17800
D FPL GROUP, INC. COMMON 302571104 820 17800 SH OTHER 01 500 17300 0
D F Y I INC COMMON 302712104 282 10400 SH DEFINED 01 10400 0 0
D F Y I INC COMMON 302712104 49 1800 SH DEFINED 02 1800 0 0
D FAB INDUSTRIES, INC. COMMON 302747100 339 32700 SH DEFINED 02 0 0 32700
D FAIRCHILD CORP. CL. "A" COMMON 303698104 78 11400 SH DEFINED 02 11400 0 0
D FAIRCHILD SEMICONDUCTOR INTL COMMON 303726103 6447 176620 SH DEFINED 01 27600 0 149020
D FAIRCHILD SEMICONDUCTOR INTL COMMON 303726103 1683 46105 SH DEFINED 02 35780 0 10325
D FAIRFIELD COMMUNITIES, INC. COMMON 304231301 106 13300 SH DEFINED 01 13300 0 0
D FAIRFIELD COMMUNITIES, INC. COMMON 304231301 26 3300 SH DEFINED 02 3300 0 0
D FAIRMARKET INC COMMON 305158107 2 75 SH DEFINED 05 0 0 75
D FAIRMARKET INC COMMON 305158107 188 8275 SH DEFINED 01 5975 0 2300
D FAIRMARKET INC COMMON 305158107 144 6350 SH DEFINED 02 5100 0 1250
D FANTOM TECHNOLOGIES INC. COMMON 306906108 103 10000 SH OTHER 01 10000 0 0
D FAMILY DOLLAR STORES, INC. COMMON 307000109 1784 85718 SH DEFINED 01 85718 0 0
D FARGO ELECTRONICS INC COMMON 30744P102 1981 164200 SH DEFINED 01 164200 0 0
D FARGO ELECTRONICS INC COMMON 30744P102 1853 153600 SH DEFINED 02 125700 0 27900
D FARMER BROTHERS CO. COMMON 307675108 519 2900 SH DEFINED 02 0 0 2900
D FASTNET CORP COMMON 311877104 43 3550 SH DEFINED 05 0 0 3550
D FASTNET CORP COMMON 311877104 5672 467825 SH DEFINED 01 370575 0 97250
D FASTNET CORP COMMON 311877104 4177 344525 SH DEFINED 02 274200 0 70325
D FASTNET CORP COMMON 311877104 17 1400 SH OTHER 01 1400 0 0
D FASTENAL CO. COMMON 311900104 1388 29000 SH DEFINED 02 0 0 29000
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 243 5500 SH DEFINED 17 5500 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 137 3100 SH DEFINED 05 1250 0 1850
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 105593 2389630 SH DEFINED 01 1928220 0 461410
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 214067 4844450 SH DEFINED 02 3057750 0 1786700
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 1768 40000 SH OTHER 101112 0 40000 0
D FEDERAL HOME LOAN MORTGAGE COR COMMON 313400301 13822 312800 SH OTHER 01 5200 307600 0
D FEDERAL MOGUL CORP. COMMON 313549107 1048 62800 SH DEFINED 01 62800 0 0
D FEDERAL MOGUL CORP. COMMON 313549107 177 10600 SH DEFINED 02 3000 0 7600
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 356 6300 SH DEFINED 17 6300 0 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 3356 59330 SH DEFINED 05 24000 0 35330
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 4083 68200 SH DEFINED 16 68200 0 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 215243 3805364 SH DEFINED 01 2485660 0 1319704
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 370262 6546015 SH DEFINED 02 4159135 0 2386880
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 628 11100 SH OTHER 09 11100 0 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 17382 307303 SH OTHER 01 57030 250273 0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON 313586109 1980 35000 SH OTHER 0304 35000 0 0
D FEDERAL REALTY INVESTMENT TR. COMMON 313747206 3544 183500 SH DEFINED 01 183500 0 0
D FEDERAL REALTY INVESTMENT TR. COMMON 313747206 7893 408700 SH DEFINED 02 370500 0 38200
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 3866 91500 SH DEFINED 17 91500 0 0
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 46 1100 SH DEFINED 05 1100 0 0
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 89399 2115951 SH DEFINED 01 1414050 0 701901
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 220120 5209938 SH DEFINED 02 3768438 0 1441500
D FEDERATED DEPARTMENT STORES, I COMMON 31410H101 2331 55178 SH OTHER 01 40150 15028 0
D FIDELITY NATIONAL FINANCIAL, I COMMON 316326107 691 50023 SH DEFINED 16 50023 0 0
D FIDELITY NATIONAL FINANCIAL, I COMMON 316326107 1534 111085 SH DEFINED 01 109428 0 1657
D FIDELITY NATIONAL FINANCIAL, I COMMON 316326107 438 31732 SH DEFINED 02 14800 0 16932
D FIFTH THIRD BANCORP COMMON 316773100 120 1900 SH DEFINED 17 1900 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FIFTH THIRD BANCORP COMMON 316773100 378 6000 SH DEFINED 05 6000 0 0
D FIFTH THIRD BANCORP COMMON 316773100 18 262 SH DEFINED 16 262 0 0
D FIFTH THIRD BANCORP COMMON 316773100 6982 110829 SH DEFINED 01 110829 0 0
D FIFTH THIRD BANCORP COMMON 316773100 498 7901 SH DEFINED 02 0 0 7901
D FIFTH THIRD BANCORP COMMON 316773100 6357 100912 SH OTHER 01 0 100912 0
D FILENET CORP. COMMON 316869106 1122 37700 SH DEFINED 01 37700 0 0
D FILENET CORP. COMMON 316869106 518 17400 SH DEFINED 02 8300 0 9100
D FINANCIAL FEDERAL CORP. COMMON 317492106 105 5800 SH DEFINED 05 0 0 5800
D FINANCIAL FEDERAL CORP. COMMON 317492106 8916 490225 SH DEFINED 01 361075 0 129150
D FINANCIAL FEDERAL CORP. COMMON 317492106 445 24475 SH DEFINED 02 16525 0 7950
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 15833 215596 SH DEFINED 01 185095 0 30501
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 29816 406000 SH DEFINED 02 288500 0 117500
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 2299 31300 SH OTHER 09 31300 0 0
D FINANCIAL SECURITY ASSURN HLDG COMMON 31769P100 18247 248469 SH OTHER 01 6250 242219 0
D FINISH LINE, INC. CLASS "A" COMMON 317923100 353 36200 SH DEFINED 02 0 0 36200
D FINISH LINE, INC. CLASS "A" COMMON 317923100 195 20000 SH OTHER 01 0 20000 0
D FINOVA GROUP, INC. COMMON 317928109 20 1200 SH DEFINED 05 1200 0 0
D FINOVA GROUP, INC. COMMON 317928109 21709 1291200 SH DEFINED 01 760100 0 531100
D FINOVA GROUP, INC. COMMON 317928109 44087 2622218 SH DEFINED 02 1952818 0 669400
D FINOVA GROUP, INC. COMMON 317928109 8 500 SH OTHER 01 500 0 0
D FIREPOND INC COMMON 318224102 29 700 SH DEFINED 05 0 0 700
D FIREPOND INC COMMON 318224102 2922 71375 SH DEFINED 01 53375 0 18000
D FIREPOND INC COMMON 318224102 1810 44225 SH DEFINED 02 35325 0 8900
D FIRST AMERICAN FINANCIAL CORP. COMMON 318522307 1323 94900 SH DEFINED 01 94900 0 0
D FIRST AMERICAN FINANCIAL CORP. COMMON 318522307 776 55696 SH DEFINED 02 22000 0 33696
D FIRST CITIZENS BANCSHARES, INC COMMON 31946M103 954 16900 SH DEFINED 02 0 0 16900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FIRST COMMERCE BANCSHARES, INC COMMON 319777207 250 7200 SH DEFINED 02
D FIRST COMMONWEALTH FINANCIAL C COMMON 319829107 157 18214 SH DEFINED 05 18214 0 0
D FIRST DATA CORP. COMMON 319963104 115 2600 SH DEFINED 17 2600 0 0
D FIRST DATA CORP. COMMON 319963104 289 6504 SH DEFINED 05 6504 0 0
D FIRST DATA CORP. COMMON 319963104 65394 1473673 SH DEFINED 01 1097556 0 376117
D FIRST DATA CORP. COMMON 319963104 110365 2487090 SH DEFINED 02 1548410 0 938680
D FIRST DATA CORP. COMMON 319963104 2985 67266 SH OTHER 01 8600 58666 0
D FIRST MIDWEST BANCORP, INC. (D COMMON 320867104 390 16068 SH DEFINED 02 0 0 16068
D FIRST HEALTH GROUP CORP. COMMON 320960107 323 10200 SH DEFINED 02 0 0 10200
D FIRST STATE BANCORPORATION COMMON 336453105 137 12450 SH DEFINED 02 0 0 12450
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 394 19400 SH DEFINED 05 8200 0 11200
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 9394 462440 SH DEFINED 01 348340 0 114100
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 18493 910400 SH DEFINED 02 501800 0 408600
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 28 1400 SH OTHER 05 1400 0 0
D FIRST TENNESSEE NATIONAL CORP. COMMON 337162101 481 23700 SH OTHER 01 18500 5200 0
D FIRST UNION CORP. COMMON 337358105 13309 357302 SH DEFINED 17 357302 0 0
D FIRST UNION CORP. COMMON 337358105 522 14000 SH DEFINED 06 14000 0 0
D FIRST UNION CORP. COMMON 337358105 1521 40836 SH DEFINED 05 34076 0 6760
D FIRST UNION CORP. COMMON 337358105 275118 7385718 SH DEFINED 01 4958303 0 2427415
D FIRST UNION CORP. COMMON 337358105 652703 17522233 SH DEFINED 02 12523074 0 4999159
D FIRST UNION CORP. COMMON 337358105 264 7084 SH OTHER 05 0 7084 0
D FIRST UNION CORP. COMMON 337358105 2206 59225 SH OTHER 09 59225 0 0
D FIRST UNION CORP. COMMON 337358105 10952 294004 SH OTHER 01 150018 143986 0
D FIRST UNION CORP. COMMON 337358105 2999 80500 SH OTHER 0304 80500 0 0
D FIRST UNION REAL ESTATE INVEST COMMON 337400105 1420 567860 SH DEFINED 16 567860 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FIRST VIRGINIA BANKS, INC. COMMON 337477103 1687 44900 SH DEFINED 01 28400 0 16500
D FIRST VIRGINIA BANKS, INC. COMMON 337477103 2210 58834 SH DEFINED 02 23934 0 34900
D FIRST VIRGINIA BANKS, INC. COMMON 337477103 626 16675 SH OTHER 01 750 15925 0
D FIRST WASHINGTON REALTY TRUST, COMMON 337489504 236 12700 SH DEFINED 02 0 0 12700
D FIRSTAR CORPORATION COMMON 33763V109 138 6000 SH DEFINED 17 6000 0 0
D FIRSTAR CORPORATION COMMON 33763V109 235 10260 SH DEFINED 05 1140 0 9120
D FIRSTAR CORPORATION COMMON 33763V109 62798 2737719 SH DEFINED 01 2064841 0 672878
D FIRSTAR CORPORATION COMMON 33763V109 101660 4431964 SH DEFINED 02 2246850 0 2185114
D FIRSTAR CORPORATION COMMON 33763V109 478 20820 SH OTHER 01 9396 11424 0
D FISERV, INC. COMMON 337738108 1560 41948 SH DEFINED 16 41948 0 0
D FISERV, INC. COMMON 337738108 1209 32500 SH DEFINED 02 0 0 32500
D FIRSTFED FINANCIAL CORPORATION COMMON 337907109 1605 121100 SH DEFINED 01 121100 0 0
D FIRSTFED FINANCIAL CORPORATION COMMON 337907109 1128 85100 SH DEFINED 02 82500 0 2600
D FIRSTMERIT CORP. COMMON 337915102 6090 330300 SH DEFINED 01 279400 0 50900
D FIRSTMERIT CORP. COMMON 337915102 6742 365666 SH DEFINED 02 186866 0 178800
D FIRSTMERIT CORP. COMMON 337915102 11 600 SH OTHER 01 600 0 0
D FLAGSTAR BANCORP, INC. COMMON 337930101 1164 89500 SH DEFINED 01 89500 0 0
D FLAGSTAR BANCORP, INC. COMMON 337930101 706 54300 SH DEFINED 02 54300 0 0
D FIRSTENERGY CORP. COMMON 337932107 664 32200 SH DEFINED 17 32200 0 0
D FIRSTENERGY CORP. COMMON 337932107 85 4100 SH DEFINED 01 400 0 3700
D FIRSTENERGY CORP. COMMON 337932107 712 34500 SH DEFINED 02 0 0 34500
D FISHER SCIENTIFIC INTERNATIONA COMMON 338032204 280 6300 SH DEFINED 02 0 0 6300
D FLEETBOSTON FINL CORP COMMON 339030108 989 27100 SH DEFINED 17 27100 0 0
D FLEETBOSTON FINL CORP COMMON 339030108 75 2048 SH DEFINED 05 2048 0 0
D FLEETBOSTON FINL CORP COMMON 339030108 589 16126 SH DEFINED 16 16126 0 0
D FLEETBOSTON FINL CORP COMMON 339030108 119488 3273654 SH DEFINED 01 2359275 0 914379
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FLEETBOSTON FINL CORP COMMON 339030108 148990 4081911 SH DEFINED 02 2132260 0 1949651
D FLEETBOSTON FINL CORP COMMON 339030108 12452 341138 SH OTHER 01 64648 276490 0
D FLEETBOSTON FINL CORP WARRANT 339030116 456 13879 SH DEFINED 01 13879 0 0
D FLEETBOSTON FINL CORP WARRANT 339030116 190 5768 SH DEFINED 02 0 0 5768
D FLEETWOOD ENTERPRISES, INC. COMMON 339099103 3 200 SH DEFINED 17 200 0 0
D FLEETWOOD ENTERPRISES, INC. COMMON 339099103 66 4500 SH DEFINED 01 4500 0 0
D FLEETWOOD ENTERPRISES, INC. COMMON 339099103 108 7300 SH DEFINED 02 2800 0 4500
D FLEMING COMPANIES, INC. COMMON 339130106 520 34500 SH DEFINED 01 34500 0 0
D FLEMING COMPANIES, INC. COMMON 339130106 369 24500 SH DEFINED 02 24500 0 0
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 2668 55000 SH DEFINED 01 52000 0 3000
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 965 19900 SH DEFINED 02 0 0 19900
D FLORIDA EAST COAST INDUSTRIES COMMON 340632108 922 19000 SH OTHER 01 0 19000 0
D FLORIDA PROGRESS CORP. COMMON 341109106 28 600 SH DEFINED 17 600 0 0
D FLORIDA PROGRESS CORP. COMMON 341109106 103 2250 SH DEFINED 05 2250 0 0
D FLORIDA PROGRESS CORP. COMMON 341109106 1303 28400 SH DEFINED 16 28400 0 0
D FLORIDA PROGRESS CORP. COMMON 341109106 138 3000 SH DEFINED 01 3000 0 0
D FLORIDA PROGRESS CORP. COMMON 341109106 1184 25800 SH DEFINED 02 0 0 25800
D FLORIDA PROGRESS CORP. COMMON 341109106 413 9000 SH OTHER 01 0 9000 0
D FLORIDA ROCK INDUSTRIES, INC. COMMON 341140101 92 3300 SH DEFINED 01 3300 0 0
D FLORIDA ROCK INDUSTRIES, INC. COMMON 341140101 286 10200 SH DEFINED 02 10000 0 200
D FLOW INTERNATIONAL CORP. COMMON 343468104 128 10900 SH DEFINED 02 0 0 10900
D FLUOR CORP. COMMON 343861100 16 500 SH DEFINED 17 500 0 0
D FLUOR CORP. COMMON 343861100 1584 51100 SH DEFINED 01 51100 0 0
D FLUOR CORP. COMMON 343861100 245 7900 SH DEFINED 02 2200 0 5700
D FLUOR CORP. COMMON 343861100 558 18000 SH OTHER 01 0 18000 0
D FLUSHING FINANCIAL CORP. COMMON 343873105 210 15479 SH DEFINED 01 15479 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FLUSHING FINANCIAL CORP. COMMON 343873105 369 27200 SH DEFINED 02 27200 0 0
D FLUSHING FINANCIAL CORP. COMMON 343873105 11788 869097 SH OTHER 01 0 869097 0
D FOCAL COMMUNICATIONS CORP COMMON 344155106 504 9000 SH DEFINED 02 0 0 9000
D FOMENTO ECONOMICO MEXICANO, SA COMMON 344419106 948 21075 SH DEFINED 17 21075 0 0
D FOMENTO ECONOMICO MEXICANO, SA COMMON 344419106 900 20000 SH DEFINED 18 20000 0 0
D FOOTSTAR INC COMMON 344912100 388 13728 SH DEFINED 01 13728 0 0
D FOOTSTAR INC COMMON 344912100 585 20700 SH DEFINED 02 20700 0 0
D FOOTSTAR INC COMMON 344912100 14 506 SH OTHER 01 506 0 0
D FORD MOTOR CO. COMMON 345370100 11457 249400 SH DEFINED 18 249400 0 0
D FORD MOTOR CO. COMMON 345370100 1986 43241 SH DEFINED 05 17974 0 25267
D FORD MOTOR CO. COMMON 345370100 207392 4514615 SH DEFINED 01 3232388 0 1282227
D FORD MOTOR CO. COMMON 345370100 416088 9057610 SH DEFINED 02 5628960 0 3428650
D FORD MOTOR CO. COMMON 345370100 230 5000 SH OTHER 05 5000 0 0
D FORD MOTOR CO. COMMON 345370100 3656 79575 SH OTHER 01 25391 54184 0
D FOREST CITY ENTERPRISES, INC. COMMON 345550107 596 20300 SH DEFINED 02 0 0 20300
D FOREST LABORATORIES, INC. COMMON 345838106 279 3300 SH DEFINED 05 3300 0 0
D FOREST LABORATORIES, INC. COMMON 345838106 183848 2175717 SH DEFINED 01 1259650 0 916067
D FOREST LABORATORIES, INC. COMMON 345838106 263528 3118670 SH DEFINED 02 2154900 0 963770
D FOREST LABORATORIES, INC. COMMON 345838106 2138 25300 SH OTHER 09 25300 0 0
D FOREST LABORATORIES, INC. COMMON 345838106 2263 26780 SH OTHER 01 11120 15660 0
D FORT JAMES CORPORATION COMMON 347471104 29 1300 SH DEFINED 17 1300 0 0
D FORT JAMES CORPORATION COMMON 347471104 123 5600 SH DEFINED 05 5600 0 0
D FORT JAMES CORPORATION COMMON 347471104 61285 2785660 SH DEFINED 01 2524667 0 260993
D FORT JAMES CORPORATION COMMON 347471104 34376 1562550 SH DEFINED 02 883350 0 679200
D FORT JAMES CORPORATION COMMON 347471104 42 1900 SH OTHER 01 1900 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FORTUNE BRANDS, INC. COMMON 349631101 25 1000 SH DEFINED 17 1000 0 0
D FORTUNE BRANDS, INC. COMMON 349631101 284 11350 SH DEFINED 01 3200 0 8150
D FORTUNE BRANDS, INC. COMMON 349631101 1865 74600 SH DEFINED 02 0 0 74600
D FORTUNE BRANDS, INC. COMMON 349631101 80 3200 SH OTHER 01 0 3200 0
D FOUNDATION HEALTH SYS INC COMMON 350404109 498 62200 SH DEFINED 01 62200 0 0
D FOUNDATION HEALTH SYS INC COMMON 350404109 82 10200 SH DEFINED 02 2800 0 7400
D FOUNDRY NETWORKS INC COMMON 35063R100 1292 8990 SH DEFINED 01 5000 0 3990
D FOUR SEASONS HOTEL, INC. COMMON 35100E104 982 21800 SH DEFINED 01 21800 0 0
D FOUR SEASONS HOTEL, INC. COMMON 35100E104 707 15700 SH DEFINED 02 15700 0 0
D FOX ENTERTAINMENT GROUP, INC. COMMON 35138T107 31680 1058180 SH DEFINED 01 679800 0 378380
D FOX ENTERTAINMENT GROUP, INC. COMMON 35138T107 105197 3513830 SH DEFINED 02 2709330 0 804500
D FOX ENTERTAINMENT GROUP, INC. COMMON 35138T107 51 1700 SH OTHER 01 1700 0 0
D FRANCHISE FINANCE CORP. OF AME COMMON 351807102 3755 161500 SH DEFINED 01 161500 0 0
D FRANCHISE FINANCE CORP. OF AME COMMON 351807102 1088 46800 SH DEFINED 02 29500 0 17300
D FRANKLIN RESOURCES, INC. COMMON 354613101 54 1600 SH DEFINED 17 1600 0 0
D FRANKLIN RESOURCES, INC. COMMON 354613101 6563 196260 SH DEFINED 01 123300 0 72960
D FRANKLIN RESOURCES, INC. COMMON 354613101 11302 338000 SH DEFINED 02 122000 0 216000
D FREEDOM SECURITIES CORPORATION COMMON 35644K103 267 17100 SH DEFINED 01 17100 0 0
D FREEDOM SECURITIES CORPORATION COMMON 35644K103 19 1200 SH DEFINED 02 1200 0 0
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D105 653 58668 SH DEFINED 01 268 0 58400
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D105 1887 169600 SH DEFINED 02 19900 0 149700
D FREEPORT-MCMORAN COPPER 5% CV. PREF-CONV 35671D501 2963 200000 SH DEFINED 01
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 12 1000 SH DEFINED 17 1000 0 0
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 6487 537740 SH DEFINED 01 499800 0 37940
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 5316 440700 SH DEFINED 02 242700 0 198000
D FREEPORT-MCMORAN COPPER & GOLD COMMON 35671D857 1393 115446 SH OTHER 01 600 114846 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 FREMONT GENERAL CORP. COMMON 357288109 7360 1154500 SH DEFINED 01 1108400 0 46100
D FREMONT GENERAL CORP. COMMON 357288109 9685 1519294 SH DEFINED 02 1122760 0 396534
D FREMONT GENERAL CORP. COMMON 357288109 5 800 SH OTHER 01 800 0 0
D FRONTIER INSURANCE GROUP, INC. COMMON 359081106 12 12000 SH DEFINED 16 12000 0 0
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 5875 312300 SH DEFINED 01 292500 0 19800
D FURNITURE BRANDS INTERNATIONAL COMMON 360921100 7296 387800 SH DEFINED 02 300300 0 87500
D G & K SERVICES, INC. COMMON 361268105 252 12900 SH DEFINED 02 0 0 12900
D GATX CORP. COMMON 361448103 1490 39200 SH DEFINED 01 39200 0 0
D GATX CORP. COMMON 361448103 243 6400 SH DEFINED 02 1800 0 4600
D GATX CORP. COMMON 361448103 342 9000 SH OTHER 01 0 9000 0
D GBC BANCORP (CA) COMMON 361475106 2256 97300 SH DEFINED 01 97300 0 0
D GBC BANCORP (CA) COMMON 361475106 2187 94300 SH DEFINED 02 40100 0 54200
D GPU, INC. COMMON 36225X100 22 800 SH DEFINED 17 800 0 0
D GPU, INC. COMMON 36225X100 11550 421900 SH DEFINED 01 323800 0 98100
D GPU, INC. COMMON 36225X100 18823 687610 SH DEFINED 02 358910 0 328700
D GPU, INC. COMMON 36225X100 25 900 SH OTHER 01 900 0 0
D GTE CORP. COMMON 362320103 5914 83300 SH DEFINED 05 38570 0 44730
D GTE CORP. COMMON 362320103 5886 82900 SH DEFINED 16 82900 0 0
D GTE CORP. COMMON 362320103 326349 4596463 SH DEFINED 01 3199843 0 1396620
D GTE CORP. COMMON 362320103 687588 9684332 SH DEFINED 02 6697370 0 2986962
D GTE CORP. COMMON 362320103 724 10200 SH OTHER 05 5300 4900 0
D GTE CORP. COMMON 362320103 2103 29625 SH OTHER 09 29625 0 0
D GTE CORP. COMMON 362320103 18480 260288 SH OTHER 01 89766 170522 0
D GTE CORP. COMMON 362320103 4615 65000 SH OTHER 0304 65000 0 0
D GABELLI ASSET MGMT INC COMMON 36239Y102 45 2600 SH DEFINED 05 0 0 2600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GABELLI ASSET MGMT INC COMMON 36239Y102 7009 409275 SH DEFINED 01 318250 0 91025
D GABELLI ASSET MGMT INC COMMON 36239Y102 4735 276500 SH DEFINED 02 230500 0 46000
D GABLES RESIDENTIAL TRUST S/B/I COMMON 362418105 2286 101600 SH DEFINED 01 101600 0 0
D GABLES RESIDENTIAL TRUST S/B/I COMMON 362418105 3166 140700 SH DEFINED 02 128700 0 12000
D GALILEO INTERNATIONAL, INC. COMMON 363547100 180 7500 SH DEFINED 01 7500 0 0
D GALILEO INTERNATIONAL, INC. COMMON 363547100 282 11700 SH DEFINED 02 0 0 11700
D GALLAGHER (ARTHUR J.) & CO. COMMON 363576109 65 2000 SH DEFINED 01 2000 0 0
D GALLAGHER (ARTHUR J.) & CO. COMMON 363576109 572 17600 SH DEFINED 02 0 0 17600
D GANNETT, INC. COMMON 364730101 120 1700 SH DEFINED 17 1700 0 0
D GANNETT, INC. COMMON 364730101 556 7900 SH DEFINED 05 7900 0 0
D GANNETT, INC. COMMON 364730101 117296 1666724 SH DEFINED 01 1166610 0 500114
D GANNETT, INC. COMMON 364730101 234432 3331180 SH DEFINED 02 2139780 0 1191400
D GANNETT, INC. COMMON 364730101 11487 163224 SH OTHER 01 52140 111084 0
D GAP, INC. COMMON 364760108 2954 59300 SH DEFINED 17 59300 0 0
D GAP, INC. COMMON 364760108 2092 42000 SH DEFINED 06 42000 0 0
D GAP, INC. COMMON 364760108 489 9825 SH DEFINED 05 9825 0 0
D GAP, INC. COMMON 364760108 280722 5635512 SH DEFINED 01 3942730 0 1692782
D GAP, INC. COMMON 364760108 388736 7803900 SH DEFINED 02 5253700 0 2550200
D GAP, INC. COMMON 364760108 2012 40400 SH OTHER 09 40400 0 0
D GAP, INC. COMMON 364760108 11888 238662 SH OTHER 01 127665 110997 0
D GARDNER DENVER MACHINERY, INC. COMMON 365558105 173 9200 SH DEFINED 01 9200 0 0
D GARDNER DENVER MACHINERY, INC. COMMON 365558105 284 15100 SH DEFINED 02 8200 0 6900
D GARTNER GROUP, INC. CLASS "A" COMMON 366651107 68 4300 SH DEFINED 05 0 0 4300
D GARTNER GROUP, INC. CLASS "A" COMMON 366651107 7976 506400 SH DEFINED 01 392500 0 113900
D GARTNER GROUP, INC. CLASS "A" COMMON 366651107 6749 428500 SH DEFINED 02 339600 0 88900
D GARTNER GROUP INC NEW COMMON 366651206 27 2049 SH DEFINED 01 1529 0 520
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GARTNER GROUP INC NEW COMMON 366651206 7 520 SH OTHER 05 0 520 0
D GARTNER GROUP INC NEW COMMON 366651206 35 2604 SH OTHER 101112 0 2604 0
D GARTNER GROUP INC NEW COMMON 366651206 226 17001 SH OTHER 01 0 17001 0
D GASONICS INTERNATIONAL CORP. COMMON 367278108 198 5000 SH DEFINED 05 0 0 5000
D GASONICS INTERNATIONAL CORP. COMMON 367278108 18264 460550 SH DEFINED 01 301600 0 158950
D GASONICS INTERNATIONAL CORP. COMMON 367278108 2251 56775 SH DEFINED 02 44275 0 12500
D GATEWAY INC COMMON 367626108 101 1900 SH DEFINED 17 1900 0 0
D GATEWAY INC COMMON 367626108 21 400 SH DEFINED 05 400 0 0
D GATEWAY INC COMMON 367626108 14191 267520 SH DEFINED 01 212460 0 55060
D GATEWAY INC COMMON 367626108 21383 403100 SH DEFINED 02 211800 0 191300
D GATEWAY INC COMMON 367626108 11 200 SH OTHER 01 200 0 0
D GAYLORD CONTAINER CORP. CLASS COMMON 368145108 295 46200 SH DEFINED 01 46200 0 0
D GAYLORD CONTAINER CORP. CLASS COMMON 368145108 372 58400 SH DEFINED 02 31100 0 27300
D GENCORP, INC. COMMON 368682100 82 10611 SH DEFINED 01 10611 0 0
D GENCORP, INC. COMMON 368682100 401 51800 SH DEFINED 02 16900 0 34900
D GENE LOGIC INC COMMON 368689105 26 625 SH DEFINED 05 0 0 625
D GENE LOGIC INC COMMON 368689105 3188 75800 SH DEFINED 01 58350 0 17450
D GENE LOGIC INC COMMON 368689105 2500 59425 SH DEFINED 02 47700 0 11725
D GENENTECH INC COMMON 368710406 4271 28100 SH DEFINED 17 28100 0 0
D GENENTECH INC COMMON 368710406 1535 10100 SH DEFINED 05 5750 0 4350
D GENENTECH INC COMMON 368710406 17344 114102 SH DEFINED 01 54815 0 59287
D GENENTECH INC COMMON 368710406 21082 138700 SH DEFINED 02 118700 0 20000
D GENENTECH INC COMMON 368710406 1270 8355 SH OTHER 01 5905 2450 0
D GENER S A COMMON 368731105 720 53300 SH DEFINED 17 53300 0 0
D GENER S A COMMON 368731105 3 235 SH DEFINED 01 235 0 0
D GENERAL BINDING CORP. COMMON 369154109 43 4500 SH DEFINED 01 4500 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GENERAL BINDING CORP. COMMON 369154109 216 22600 SH DEFINED 02 0 0 22600
D GENERAL CABLE CORP COMMON 369300108 210 26900 SH DEFINED 01 26900 0 0
D GENERAL CABLE CORP COMMON 369300108 549 70300 SH DEFINED 02 6200 0 64100
D GENERAL CIGAR HOLDINGS, INC. C COMMON 36933P100 717 47400 SH DEFINED 02 0 0 47400
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 14 6600 SH DEFINED 05 0 0 6600
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 1902 895100 SH DEFINED 01 733950 0 161150
D GENERAL CHEMICAL GROUP, INC. COMMON 369332101 1184 557200 SH DEFINED 02 464700 0 92500
D GENERAL COMMUNICATION, INC. CL COMMON 369385109 178 33100 SH DEFINED 02 14700 0 18400
D GENERAL DATACOMM INDUSTRIES, I COMMON 369487103 98 10600 SH DEFINED 02 0 0 10600
D GENERAL DYNAMICS CORP. COMMON 369550108 60 1200 SH DEFINED 17 1200 0 0
D GENERAL DYNAMICS CORP. COMMON 369550108 861 17300 SH DEFINED 01 6100 0 11200
D GENERAL DYNAMICS CORP. COMMON 369550108 1413 28400 SH DEFINED 02 0 0 28400
D GENERAL DYNAMICS CORP. COMMON 369550108 2557 51400 SH OTHER 01 0 51400 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 1198 7700 SH DEFINED 17 7700 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 11205 72000 SH DEFINED 18 72000 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 19122 122873 SH DEFINED 05 89415 0 33458
D GENERAL ELECTRIC COMPANY COMMON 369604103 1874 11805 SH DEFINED 16 11805 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 1668106 10718753 SH DEFINED 01 6473375 0 4245378
D GENERAL ELECTRIC COMPANY COMMON 369604103 2158111 13867380 SH DEFINED 02 8892965 0 4974415
D GENERAL ELECTRIC COMPANY COMMON 369604103 3735 24000 SH OTHER 1314 0 24000 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 2941 18900 SH OTHER 05 9700 9200 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 4996 32100 SH OTHER 09 32100 0 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 312276 2006594 SH OTHER 01 467011 1539583 0
D GENERAL ELECTRIC COMPANY COMMON 369604103 2334 15000 SH OTHER 0304 15000 0 0
D GENERAL GROWTH PROPERTIES, INC COMMON 370021107 7110 233600 SH DEFINED 01 233600 0 0
D GENERAL GROWTH PROPERTIES, INC COMMON 370021107 9478 311400 SH DEFINED 02 285400 0 26000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GENERAL MAGIC, INC. COMMON 370253106 274 30600 SH DEFINED 02 0 0 30600
D GENERAL MILLS, INC. COMMON 370334104 69 1900 SH DEFINED 17 1900 0 0
D GENERAL MILLS, INC. COMMON 370334104 199 5500 SH DEFINED 05 2900 0 2600
D GENERAL MILLS, INC. COMMON 370334104 33301 920212 SH DEFINED 01 678272 0 241940
D GENERAL MILLS, INC. COMMON 370334104 49767 1375234 SH DEFINED 02 765034 0 610200
D GENERAL MILLS, INC. COMMON 370334104 376 10400 SH OTHER 05 0 10400 0
D GENERAL MILLS, INC. COMMON 370334104 4055 112050 SH OTHER 01 9400 102650 0
D GENERAL MILLS, INC. COMMON 370334104 2678 74000 SH OTHER 0304 74000 0 0
D GENERAL MOTORS CORP. COMMON 370442105 32239 389300 SH DEFINED 18 389300 0 0
D GENERAL MOTORS CORP. COMMON 370442105 731 8832 SH DEFINED 05 5982 0 2850
D GENERAL MOTORS CORP. COMMON 370442105 39891 481700 SH DEFINED 16 481700 0 0
D GENERAL MOTORS CORP. COMMON 370442105 23604 285025 SH DEFINED 01 169050 0 115975
D GENERAL MOTORS CORP. COMMON 370442105 42679 515360 SH DEFINED 02 328060 0 187300
D GENERAL MOTORS CORP. COMMON 370442105 174 2100 SH OTHER 05 1000 1100 0
D GENERAL MOTORS CORP. COMMON 370442105 7369 88981 SH OTHER 01 15470 73511 0
D GENERAL MOTORS CORPORATION CL COMMON 370442832 25 200 SH DEFINED 05 200 0 0
D GENERAL MOTORS CORPORATION CL COMMON 370442832 542 4354 SH DEFINED 01 900 0 3454
D GENERAL MOTORS CORPORATION CL COMMON 370442832 10 78 SH OTHER 01 78 0 0
D GENERAL SEMICONDUCTOR, INC. COMMON 370787103 1668 96700 SH DEFINED 01 96700 0 0
D GENERAL SEMICONDUCTOR, INC. COMMON 370787103 640 37100 SH DEFINED 02 13900 0 23200
D GENESCO, INC. COMMON 371532102 482 36700 SH DEFINED 01 36700 0 0
D GENESCO, INC. COMMON 371532102 194 14800 SH DEFINED 02 14800 0 0
D GENTEX CORP. COMMON 371901109 4 104 SH DEFINED 16 104 0 0
D GENTEX CORP. COMMON 371901109 1186 32000 SH DEFINED 02 0 0 32000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GENRAD, INC. COMMON 372447102 27 2200 SH DEFINED 01 2200 0 0
D GENRAD, INC. COMMON 372447102 142 11500 SH DEFINED 02 1400 0 10100
D GENTEK INC COMMON 37245X104 127 9100 SH DEFINED 05 0 0 9100
D GENTEK INC COMMON 37245X104 18769 1340625 SH DEFINED 01 1045550 0 295075
D GENTEK INC COMMON 37245X104 10846 774740 SH DEFINED 02 639535 0 135205
D GEON COMPANY COMMON 37246W105 77 3600 SH DEFINED 05 0 0 3600
D GEON COMPANY COMMON 37246W105 17388 808725 SH DEFINED 01 696075 0 112650
D GEON COMPANY COMMON 37246W105 16430 764175 SH DEFINED 02 560050 0 204125
D GENUINE PARTS CO. COMMON 372460105 26 1100 SH DEFINED 17 1100 0 0
D GENUINE PARTS CO. COMMON 372460105 15860 664275 SH DEFINED 01 460800 0 203475
D GENUINE PARTS CO. COMMON 372460105 28294 1185096 SH DEFINED 02 638896 0 546200
D GENUINE PARTS CO. COMMON 372460105 528 22098 SH OTHER 01 14386 7712 0
D GENZYME CORP. COMMON 372917104 3 65 SH DEFINED 16 65 0 0
D GENZYME CORP. COMMON 372917104 6960 138850 SH DEFINED 01 100950 0 37900
D GENZYME CORP. COMMON 372917104 9423 187982 SH DEFINED 02 134682 0 53300
D GENZYME CORP. COMMON 372917104 281 5600 SH OTHER 01 600 5000 0
D GEORGIA GULF CORP. COMMON 373200203 200 7700 SH DEFINED 05 0 0 7700
D GEORGIA GULF CORP. COMMON 373200203 33391 1284250 SH DEFINED 01 1037475 0 246775
D GEORGIA GULF CORP. COMMON 373200203 23925 920200 SH DEFINED 02 736200 0 184000
D GEORGIA PACIFIC CORP. COMMON 373298108 44 1100 SH DEFINED 17 1100 0 0
D GEORGIA PACIFIC CORP. COMMON 373298108 7869 198900 SH DEFINED 01 65900 0 133000
D GEORGIA PACIFIC CORP. COMMON 373298108 19385 489980 SH DEFINED 02 275480 0 214500
D GEORGIA PACIFIC CORP. COMMON 373298108 239 6050 SH OTHER 01 2000 4050 0
D GEORGIA PACIFIC CORPORATION COMMON 373298702 3518 137300 SH DEFINED 01 136300 0 1000
D GEORGIA PACIFIC CORPORATION COMMON 373298702 556 21700 SH DEFINED 02 7100 0 14600
D GERALD STEVENS INC COMMON 37369G101 862 107800 SH DEFINED 02 107800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GERBER SCIENTIFIC, INC. COMMON 373730100 77 4000 SH DEFINED 01 3000 0 1000
D GERBER SCIENTIFIC, INC. COMMON 373730100 259 13400 SH DEFINED 02 5100 0 8300
D GETTY IMAGES INC BOND 374276AD5 0 2000000 PRN DEFINED 16
D GETTY IMAGES INC COMMON 374276103 356 9900 SH DEFINED 01 9900 0 0
D GETTY IMAGES INC COMMON 374276103 424 11800 SH DEFINED 02 1900 0 9900
D GETTY RLTY CORP NEW COMMON 374297109 234 20800 SH DEFINED 02 0 0 20800
D GIANT INDUSTRIES, INC. COMMON 374508109 137 15200 SH DEFINED 02 0 0 15200
D GILEAD SCIENCES, INC. COMMON 375558103 82 1300 SH DEFINED 17 1300 0 0
D GILEAD SCIENCES, INC. COMMON 375558103 215 3400 SH DEFINED 05 0 0 3400
D GILEAD SCIENCES, INC. COMMON 375558103 4 58 SH DEFINED 16 58 0 0
D GILEAD SCIENCES, INC. COMMON 375558103 10305 162600 SH DEFINED 01 61675 0 100925
D GILEAD SCIENCES, INC. COMMON 375558103 4892 77199 SH DEFINED 02 42350 0 34849
D GILLETTE CO. COMMON 375766102 73548 1951500 SH DEFINED 18 1951500 0 0
D GILLETTE CO. COMMON 375766102 3510 93128 SH DEFINED 05 49428 0 43700
D GILLETTE CO. COMMON 375766102 815 20900 SH DEFINED 16 20900 0 0
D GILLETTE CO. COMMON 375766102 213896 5675428 SH DEFINED 01 3632373 0 2043055
D GILLETTE CO. COMMON 375766102 416407 11048786 SH DEFINED 02 7521186 0 3527600
D GILLETTE CO. COMMON 375766102 302 8000 SH OTHER 05 8000 0 0
D GILLETTE CO. COMMON 375766102 2412 64000 SH OTHER 101112 0 64000 0
D GILLETTE CO. COMMON 375766102 1406 37300 SH OTHER 09 37300 0 0
D GILLETTE CO. COMMON 375766102 33824 897485 SH OTHER 01 67390 830095 0
D GILLETTE CO. COMMON 375766102 2261 60000 SH OTHER 0304 60000 0 0
D GLAXO WELLCOME PLC SPONSRD. A/ COMMON 37733W105 364 6000 SH DEFINED 16 6000 0 0
D GLAXO WELLCOME PLC SPONSRD. A/ COMMON 37733W105 779 13600 SH DEFINED 01 500 0 13100
D GLENAYRE TECHNOLOGIES, INC. COMMON 377899109 475 27050 SH DEFINED 02 900 0 26150
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GLENBOROUGH REALTY TRUST, INC. COMMON 37803P105 447 30800 SH DEFINED 02 0 0 30800
D GLIMCHER REALTY TRUST S/B/I COMMON 379302102 267 19800 SH DEFINED 02 0 0 19800
D GLOBAL INDUSTRIES LTD. COMMON 379336100 638 43600 SH DEFINED 01 43600 0 0
D GLOBAL INDUSTRIES LTD. COMMON 379336100 126 8600 SH DEFINED 02 8600 0 0
D GLOBAL MARINE, INC. COMMON 379352404 3091 121805 SH DEFINED 17 121805 0 0
D GLOBAL MARINE, INC. COMMON 379352404 109 4300 SH DEFINED 05 900 0 3400
D GLOBAL MARINE, INC. COMMON 379352404 58132 2290925 SH DEFINED 01 1643180 0 647745
D GLOBAL MARINE, INC. COMMON 379352404 135990 5359220 SH DEFINED 02 4108920 0 1250300
D GLOBAL MARINE, INC. COMMON 379352404 117 4595 SH OTHER 01 3895 700 0
D GLOBAL TELESYSTEMS GROUP, INC. COMMON 37936U104 316 15400 SH DEFINED 16 15400 0 0
D GLOBAL TELESYSTEMS GROUP, INC. COMMON 37936U104 886 43200 SH DEFINED 02 0 0 43200
D GLOBO CABO S A SPONS ADR PREFERRED 37957X102 1564 83400 SH DEFINED 17
D GOLD BANC CORP INC COMMON 379907108 396 59700 SH DEFINED 01 59700 0 0
D GOLD BANC CORP INC COMMON 379907108 231 34800 SH DEFINED 02 25400 0 9400
D GOLDEN STATE BANCORP INC. COMMON 381197102 2286 153000 SH DEFINED 01 153000 0 0
D GOLDEN STATE BANCORP INC. COMMON 381197102 480 32140 SH DEFINED 02 8200 0 23940
D GOLDEN ST BANCORP INC WARRANT 381197136 15 11500 SH DEFINED 01
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 31 1000 SH DEFINED 17 1000 0 0
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 13832 443500 SH DEFINED 01 346300 0 97200
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 21976 704614 SH DEFINED 02 375514 0 329100
D GOLDEN WEST FINANCIAL CORP. COMMON 381317106 37 1200 SH OTHER 01 1200 0 0
D GOLDMAN SACHS GROUP INC COMMON 38141G104 5268 50052 SH DEFINED 05 19300 0 30752
D GOLDMAN SACHS GROUP INC COMMON 38141G104 97691 928176 SH DEFINED 01 583748 0 344428
D GOLDMAN SACHS GROUP INC COMMON 38141G104 322306 3062290 SH DEFINED 02 2394890 0 667400
D GOLDMAN SACHS GROUP INC COMMON 38141G104 274 2600 SH OTHER 05 2600 0 0
D GOLDMAN SACHS GROUP INC COMMON 38141G104 2000 19000 SH OTHER 09 19000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GOLDMAN SACHS GROUP INC COMMON 38141G104 3454 32814 SH OTHER 01 14780 18034 0
D GOODRICH (B. F.) CO. COMMON 382388106 20 700 SH DEFINED 17 700 0 0
D GOODRICH (B. F.) CO. COMMON 382388106 11 400 SH DEFINED 05 400 0 0
D GOODRICH (B. F.) CO. COMMON 382388106 38734 1350176 SH DEFINED 01 956168 0 394008
D GOODRICH (B. F.) CO. COMMON 382388106 80557 2808043 SH DEFINED 02 2054770 0 753273
D GOODRICH (B. F.) CO. COMMON 382388106 29 1000 SH OTHER 01 1000 0 0
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 2401 103000 SH DEFINED 17 103000 0 0
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 33 1400 SH DEFINED 05 1400 0 0
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 33414 1433270 SH DEFINED 01 937400 0 495870
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 72976 3130270 SH DEFINED 02 2141970 0 988300
D GOODYEAR TIRE & RUBBER CO. COMMON 382550101 110 4700 SH OTHER 01 2700 2000 0
D GOTO COM INC COMMON 38348T107 218 5300 SH DEFINED 02 0 0 5300
D GOTTSCHALKS, INC. COMMON 383485109 221 42000 SH OTHER 01 0 42000 0
D GO2NET INC COMMON 383486107 32 400 SH DEFINED 05 0 0 400
D GO2NET INC COMMON 383486107 7625 94650 SH DEFINED 01 80225 0 14425
D GO2NET INC COMMON 383486107 4769 59200 SH DEFINED 02 36450 0 22750
D GRACE W R & CO COMMON 38388F108 5 400 SH DEFINED 17 400 0 0
D GRACE W R & CO COMMON 38388F108 3075 238800 SH DEFINED 01 238800 0 0
D GRACE W R & CO COMMON 38388F108 510 39600 SH DEFINED 02 38800 0 800
D GRACE W R & CO COMMON 38388F108 26 2000 SH OTHER 01 0 2000 0
D GRACO, INC. COMMON 384109104 174 6000 SH DEFINED 01 6000 0 0
D GRACO, INC. COMMON 384109104 738 25462 SH DEFINED 02 4200 0 21262
D GRAINGER (W. W.), INC. COMMON 384802104 33 600 SH DEFINED 17 600 0 0
D GRAINGER (W. W.), INC. COMMON 384802104 2436 44900 SH DEFINED 05 15100 0 29800
D GRAINGER (W. W.), INC. COMMON 384802104 11541 212730 SH DEFINED 01 136380 0 76350
D GRAINGER (W. W.), INC. COMMON 384802104 14275 263128 SH DEFINED 02 242800 0 20328
FORM 13F INFORMATION TABLE MARCH 31 2000 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 GRAINGER (W. W.), INC. COMMON 384802104 3300 60832 SH OTHER 01 43950 16882 0
D GRAND UN CO COMMON 386532402 353 120000 SH DEFINED 16 120000 0 0
D GRANITE CONSTRUCTION, INC. COMMON 387328107 589 21825 SH DEFINED 02 0 0 21825
D GREAT ATLANTIC & PACIFIC TEA, COMMON 390064103 4 200 SH DEFINED 17 200 0 0
D GREAT ATLANTIC & PACIFIC TEA, COMMON 390064103 275 14100 SH DEFINED 01 14100 0 0
D GREAT ATLANTIC & PACIFIC TEA, COMMON 390064103 291 14900 SH DEFINED 02 14900 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 14 400 SH DEFINED 17 400 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 748 22000 SH DEFINED 06 22000 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 102 3000 SH DEFINED 01 3000 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 54 1600 SH DEFINED 02 1600 0 0
D GREAT LAKES CHEMICAL CORP. COMMON 390568103 303 8900 SH OTHER 01 0 8900 0
D GREAT LAKES REIT INC COMMON 390752103 41 2700 SH DEFINED 16 2700 0 0
D GREAT LAKES REIT INC COMMON 390752103 280 18500 SH DEFINED 02 0 0 18500
D GREAT PLAINS SOFTWARE, INC. COMMON 39119E105 587 11000 SH DEFINED 01 11000 0 0
D GREAT PLAINS SOFTWARE, INC. COMMON 39119E105 37 700 SH DEFINED 02 700 0 0
D GREENBRIER COS INC COMMON 393657101 4732 605600 SH DEFINED 17 605600 0 0
D GREENPOINT FINANCIAL CORP. COMMON 395384100 33 1700 SH DEFINED 05 1700 0 0
D GREENPOINT FINANCIAL CORP. COMMON 395384100 33375 1700642 SH DEFINED 01 1152242 0 548400
D GREENPOINT FINANCIAL CORP. COMMON 395384100 69278 3530100 SH DEFINED 02 2252600 0 1277500
D GREENPOINT FINANCIAL CORP. COMMON 395384100 16 800 SH OTHER 01 800 0 0
D GREIF BROTHERS CORP. CLASS A COMMON 397624107 360 11300 SH DEFINED 02 5500 0 5800
D GREY ADVERTISING, INC. COMMON 397838103 110 270 SH DEFINED 01 270 0 0
D GREY ADVERTISING, INC. COMMON 397838103 409 1000 SH DEFINED 02 0 0 1000
D GREY WOLF INC COMMON 397888108 42 10600 SH DEFINED 02 0 0 10600
D GRIFFON CORP. COMMON 398433102 131 16800 SH DEFINED 02 7600 0 9200
D GROUP 1 AUTOMOTIVE INC COMMON 398905109 186 16000 SH DEFINED 02 1800 0 14200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 CGI GROUP, INC. COMMON 39945C109 168 12000 SH DEFINED 01 0 0 12000
D GRUPO TELEVISA SA DE CV ADR COMMON 40049J206 1020 15000 SH DEFINED 18 15000 0 0
D GRUPO TELEVISA SA DE CV ADR COMMON 40049J206 143 2100 SH DEFINED 16 2100 0 0
D GRUPO TELEVISA SA DE CV ADR COMMON 40049J206 340 5000 SH OTHER 01 0 5000 0
D GTECH HOLDINGS CORP. COMMON 400518106 1615 87000 SH DEFINED 01 87000 0 0
D GTECH HOLDINGS CORP. COMMON 400518106 2409 129800 SH DEFINED 02 35000 0 94800
D GUIDANT CORP. COMMON 401698105 112 1900 SH DEFINED 17 1900 0 0
D GUIDANT CORP. COMMON 401698105 183 3100 SH DEFINED 05 1100 0 2000
D GUIDANT CORP. COMMON 401698105 13757 233662 SH DEFINED 01 158800 0 74862
D GUIDANT CORP. COMMON 401698105 31265 531047 SH DEFINED 02 361500 0 169547
D GUIDANT CORP. COMMON 401698105 18 300 SH OTHER 01 300 0 0
D GUITAR CTR MGMT INC COMMON 402040109 255 22300 SH DEFINED 01 22300 0 0
D GUITAR CTR MGMT INC COMMON 402040109 152 13300 SH DEFINED 02 3600 0 9700
D GULF CANADA RESOURCES LTD. - O COMMON 40218L305 1892 513000 SH DEFINED 01 513000 0 0
D HNC SOFTWARE, INC. COMMON 40425P107 22 300 SH DEFINED 01 300 0 0
D HNC SOFTWARE, INC. COMMON 40425P107 411 5700 SH DEFINED 02 400 0 5300
D HS RESOURCES, INC. COMMON 404297103 944 44700 SH DEFINED 02 26200 0 18500
D HADCO CORP. COMMON 404681108 1453 22400 SH DEFINED 01 22400 0 0
D HADCO CORP. COMMON 404681108 934 14400 SH DEFINED 02 5400 0 9000
D HALLIBURTON COMPANY COMMON 406216101 144 3505 SH DEFINED 17 3505 0 0
D HALLIBURTON COMPANY COMMON 406216101 2319 56400 SH DEFINED 05 28900 0 27500
D HALLIBURTON COMPANY COMMON 406216101 5060 123034 SH DEFINED 01 89001 0 34033
D HALLIBURTON COMPANY COMMON 406216101 38 918 SH DEFINED 02 0 0 918
D HALLIBURTON COMPANY COMMON 406216101 2364 57491 SH OTHER 01 9205 48286 0
D HAMILTON BANCORP, INC. COMMON 407013101 17 1100 SH DEFINED 05 0 0 1100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HAMILTON BANCORP, INC. COMMON 407013101 3514 224875 SH DEFINED 01 192400 0 32475
D HAMILTON BANCORP, INC. COMMON 407013101 3678 235400 SH DEFINED 02 189900 0 45500
D JOHN HANCOCK BK &THRIFT OPP COMMON 409735107 374 53881 SH DEFINED 01 53881 0 0
D HANCOCK JOHN FINL SVCS INC COMMON 41014S106 25 1400 SH DEFINED 05 1400 0 0
D HANCOCK JOHN FINL SVCS INC COMMON 41014S106 30955 1713710 SH DEFINED 01 1277700 0 436010
D HANCOCK JOHN FINL SVCS INC COMMON 41014S106 62585 3464820 SH DEFINED 02 2179920 0 1284900
D HANCOCK JOHN FINL SVCS INC COMMON 41014S106 76 4200 SH OTHER 01 4200 0 0
D HANDLEMAN CO. COMMON 410252100 190 21400 SH DEFINED 01 21400 0 0
D HANDLEMAN CO. COMMON 410252100 313 35300 SH DEFINED 02 35300 0 0
D HANNA (M. A.) CO. COMMON 410522106 295 26100 SH DEFINED 02 26100 0 0
D HANOVER COMPRESSOR COMPANY COMMON 410768105 410 7200 SH OTHER 01 0 7200 0
D HARCOURT GENERAL, INC. COMMON 41163G101 15 400 SH DEFINED 17 400 0 0
D HARCOURT GENERAL, INC. COMMON 41163G101 15 400 SH DEFINED 01 0 0 400
D HARCOURT GENERAL, INC. COMMON 41163G101 1863 50000 SH OTHER 01 0 50000 0
D HARKEN ENERGY CORP. COMMON 412552101 1 1000 SH DEFINED 01 1000 0 0
D HARKEN ENERGY CORP. COMMON 412552101 32 31700 SH DEFINED 02 0 0 31700
D HARLAND (JOHN H.) CO. COMMON 412693103 680 50400 SH DEFINED 01 39600 0 10800
D HARLAND (JOHN H.) CO. COMMON 412693103 366 27100 SH DEFINED 02 27100 0 0
D HARLEY DAVIDSON, INC. COMMON 412822108 254 3200 SH DEFINED 01 0 0 3200
D HARLEY DAVIDSON, INC. COMMON 412822108 960 12100 SH DEFINED 02 0 0 12100
D HARMAN INTERNATIONAL INDUSTRIE COMMON 413086109 221 3675 SH DEFINED 02 0 0 3675
D HARMONIC LIGHTWAVES, INC. COMMON 413160102 1274 15300 SH DEFINED 01 15300 0 0
D HARMONIC LIGHTWAVES, INC. COMMON 413160102 941 11300 SH DEFINED 02 2200 0 9100
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 15 800 SH DEFINED 17 800 0 0
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 4006 215800 SH DEFINED 01 215800 0 0
D HARRAH'S ENTERTAINMENT, INC. COMMON 413619107 631 34000 SH DEFINED 02 7900 0 26100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HARRIS CORP. COMMON 413875105 3210 92860 SH DEFINED 01 27660 0 65200
D HARRIS CORP. COMMON 413875105 16366 473500 SH DEFINED 02 466500 0 7000
D HARRIS CORP. COMMON 413875105 7 200 SH OTHER 05 0 200 0
D HARRIS CORP. COMMON 413875105 726 21000 SH OTHER 01 6000 15000 0
D HARSCO CORP. COMMON 415864107 359 12400 SH DEFINED 01 12400 0 0
D HARSCO CORP. COMMON 415864107 52 1800 SH DEFINED 02 1800 0 0
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 224 9876 SH DEFINED 05 9876 0 0
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 903 39800 SH DEFINED 01 39800 0 0
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 1168 51500 SH DEFINED 02 1800 0 49700
D HARTE-HANKS COMMUNICATIONS, IN COMMON 416196103 1089 48000 SH OTHER 01 15000 33000 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 1129 21400 SH DEFINED 17 21400 0 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 63 1200 SH DEFINED 05 1200 0 0
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 101669 1927374 SH DEFINED 01 1354612 0 572762
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 178533 3384510 SH DEFINED 02 2126310 0 1258200
D HARTFORD FINANCIAL SVCS GROUP COMMON 416515104 1969 37322 SH OTHER 01 31300 6022 0
D HARTFORD LIFE, INC. COMMON 416592103 253 5400 SH DEFINED 02 5400 0 0
D HASBRO, INC. COMMON 418056107 7366 441393 SH DEFINED 01 340353 0 101040
D HASBRO, INC. COMMON 418056107 14198 850818 SH DEFINED 02 511718 0 339100
D HASBRO, INC. COMMON 418056107 15 900 SH OTHER 01 900 0 0
D HAVERTY FURNITURE, INC. COMMON 419596101 248 23300 SH DEFINED 02 12200 0 11100
D HEARME COMMON 421903105 346 13700 SH DEFINED 01 13700 0 0
D HEARME COMMON 421903105 58 2300 SH DEFINED 02 2300 0 0
D HEALTHSOUTH CORPORATION 3.25% BOND 421924AF8 1505 2000000 PRN DEFINED 16
D HEALTHSOUTH CORPORATION 3.25% BOND 421924AF8 3010 4000000 PRN DEFINED 01
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 14 2400 SH DEFINED 17 2400 0 0
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 569 100000 SH DEFINED 16 100000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HEALTHSOUTH REHABILITATION COR COMMON 421924101 3 500 SH DEFINED 01 0 0 500
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 3242 569886 SH DEFINED 02 511000 0 58886
D HEALTHSOUTH REHABILITATION COR COMMON 421924101 5 900 SH OTHER 01 0 900 0
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 6 450 SH DEFINED 05 450 0 0
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 3693 259144 SH DEFINED 01 32677 0 226467
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 1045 73343 SH DEFINED 02 0 0 73343
D HEALTH MANAGEMENT ASSOCIATES, COMMON 421933102 438 30728 SH OTHER 01 13518 17210 0
D HEALTHCARE REALTY TRUST, INC. COMMON 421946104 648 38700 SH DEFINED 02 38700 0 0
D HEALTHEON WEBMD CORP COMMON 422209106 276 12000 SH DEFINED 16 12000 0 0
D HEALTHEON WEBMD CORP COMMON 422209106 285 12400 SH DEFINED 02 0 0 12400
D HEALTHEXTRAS INC COMMON 422211102 574 127500 SH DEFINED 01 125500 0 2000
D HEALTHEXTRAS INC COMMON 422211102 1427 317200 SH DEFINED 02 256400 0 60800
D HEALTHGATE DATA CORP COMMON 42222H106 24 4250 SH DEFINED 05 0 0 4250
D HEALTHGATE DATA CORP COMMON 42222H106 2746 488175 SH DEFINED 01 378025 0 110150
D HEALTHGATE DATA CORP COMMON 42222H106 2325 413250 SH DEFINED 02 331200 0 82050
D HEARST-ARGYLE TELEVISION INC COMMON 422317107 3948 168900 SH DEFINED 01 168900 0 0
D HEARST-ARGYLE TELEVISION INC COMMON 422317107 3394 145200 SH DEFINED 02 120600 0 24600
D HEINZ (H.J.) CO. COMMON 423074103 3069 88000 SH DEFINED 17 88000 0 0
D HEINZ (H.J.) CO. COMMON 423074103 105 3000 SH DEFINED 06 3000 0 0
D HEINZ (H.J.) CO. COMMON 423074103 364 10450 SH DEFINED 05 2200 0 8250
D HEINZ (H.J.) CO. COMMON 423074103 49939 1431930 SH DEFINED 01 996409 0 435521
D HEINZ (H.J.) CO. COMMON 423074103 90647 2599200 SH DEFINED 02 1430300 0 1168900
D HEINZ (H.J.) CO. COMMON 423074103 174 5000 SH OTHER 05 0 5000 0
D HEINZ (H.J.) CO. COMMON 423074103 2527 72450 SH OTHER 01 8300 64150 0
D HELIX TECHNOLOGY CORP. COMMON 423319102 913 15200 SH DEFINED 01 15200 0 0
D HELIX TECHNOLOGY CORP. COMMON 423319102 913 15200 SH DEFINED 02 2700 0 12500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HELLENIC TELECOMMUNCIATION ORG COMMON 423325307 4200 300000 SH DEFINED 16 300000 0 0
D HELLER FINANCIAL INC COMMON 423328103 90 3900 SH DEFINED 05 0 0 3900
D HELLER FINANCIAL INC COMMON 423328103 13775 598900 SH DEFINED 01 496850 0 102050
D HELLER FINANCIAL INC COMMON 423328103 12138 527725 SH DEFINED 02 425100 0 102625
D HELMERICH & PAYNE, INC. COMMON 423452101 1705 55000 SH DEFINED 01 55000 0 0
D HELMERICH & PAYNE, INC. COMMON 423452101 818 26400 SH DEFINED 02 26400 0 0
D HERCULES, INC. COMMON 427056106 11 700 SH DEFINED 17 700 0 0
D HERCULES, INC. COMMON 427056106 232 14400 SH DEFINED 01 14400 0 0
D HERCULES, INC. COMMON 427056106 35 2200 SH DEFINED 02 700 0 1500
D HERSHEY FOODS CORP. COMMON 427866108 44 900 SH DEFINED 17 900 0 0
D HERSHEY FOODS CORP. COMMON 427866108 502 10300 SH DEFINED 05 4300 0 6000
D HERSHEY FOODS CORP. COMMON 427866108 20364 417732 SH DEFINED 01 309900 0 107832
D HERSHEY FOODS CORP. COMMON 427866108 28989 594640 SH DEFINED 02 336640 0 258000
D HERSHEY FOODS CORP. COMMON 427866108 132 2700 SH OTHER 01 700 2000 0
D HERTZ CORPORATION CL A COMMON 428040109 4653 136600 SH OTHER 01 0 136600 0
D HEWLETT-PACKARD CO BOND BOND 428236AA1 4283 8100000 PRN DEFINED 17
D HEWLETT PACKARD CO BOND BOND 428236AC7 7631 14500000 PRN DEFINED 16
D HEWLETT-PACKARD CO. COMMON 428236103 34056 256300 SH DEFINED 17 256300 0 0
D HEWLETT-PACKARD CO. COMMON 428236103 2561 19273 SH DEFINED 05 16363 0 2910
D HEWLETT-PACKARD CO. COMMON 428236103 319 2400 SH DEFINED 16 2400 0 0
D HEWLETT-PACKARD CO. COMMON 428236103 161622 1216345 SH DEFINED 01 651585 0 564760
D HEWLETT-PACKARD CO. COMMON 428236103 178496 1343340 SH DEFINED 02 783340 0 560000
D HEWLETT-PACKARD CO. COMMON 428236103 558 4200 SH OTHER 05 2000 2200 0
D HEWLETT-PACKARD CO. COMMON 428236103 18211 137055 SH OTHER 01 26169 110886 0
D HIBERNIA CORP. CLASS "A" COMMON 428656102 5 500 SH DEFINED 05 500 0 0
D HIBERNIA CORP. CLASS "A" COMMON 428656102 9714 925100 SH DEFINED 01 687500 0 237600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HIBERNIA CORP. CLASS "A" COMMON 428656102 27214 2591786 SH DEFINED 02 1975286 0 616500
D HIBERNIA CORP. CLASS "A" COMMON 428656102 11 1000 SH OTHER 01 1000 0 0
D HIGH SPEED ACCESS CORP COMMON 42979U102 133 10153 SH DEFINED 16 10153 0 0
D HIGHWOODS PROPERTIES, INC. COMMON 431284108 214 10000 SH DEFINED 16 10000 0 0
D HILB, ROGAL & HAMILTON CO. COMMON 431294107 593 21700 SH DEFINED 02 0 0 21700
D HILLENBRAND INDUSTRIES, INC. COMMON 431573104 275 8100 SH DEFINED 02 0 0 8100
D HILTON HOTELS CORP. 5% CSD 6/1 BOND 432848AL3 5812 6950000 PRN DEFINED 16
D HILTON HOTELS CORP. COMMON 432848109 251 32048 SH DEFINED 17 32048 0 0
D HILTON HOTELS CORP. COMMON 432848109 10928 1410100 SH DEFINED 01 1199800 0 210300
D HILTON HOTELS CORP. COMMON 432848109 29616 3821458 SH DEFINED 02 2750856 0 1070602
D HILTON HOTELS CORP. COMMON 432848109 29 3800 SH OTHER 01 3800 0 0
D HISPANIC BROADCASTING CORP COMMON 43357B104 1687 14900 SH DEFINED 02 0 0 14900
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 617 57400 SH DEFINED 01 57400 0 0
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 198 18400 SH DEFINED 02 3200 0 15200
D HOLLINGER INTERNATIONAL, INC. COMMON 435569108 81 7500 SH OTHER 01 0 7500 0
D HOLLYWOOD ENTERTAINMENT CORP. COMMON 436141105 273 33900 SH DEFINED 01 33900 0 0
D HOLLYWOOD ENTERTAINMENT CORP. COMMON 436141105 128 15900 SH DEFINED 02 2100 0 13800
D HOME DEPOT, INC. COMMON 437076102 26716 414200 SH DEFINED 17 414200 0 0
D HOME DEPOT, INC. COMMON 437076102 6178 95790 SH DEFINED 05 61200 0 34590
D HOME DEPOT, INC. COMMON 437076102 365164 5661465 SH DEFINED 01 3059455 0 2602010
D HOME DEPOT, INC. COMMON 437076102 416621 6459239 SH DEFINED 02 4045489 0 2413750
D HOME DEPOT, INC. COMMON 437076102 1364 21150 SH OTHER 05 21150 0 0
D HOME DEPOT, INC. COMMON 437076102 1542 23900 SH OTHER 09 23900 0 0
D HOME DEPOT, INC. COMMON 437076102 22264 345185 SH OTHER 01 136290 208895 0
D HOME PROPERTIES OF NEW YORK, I COMMON 437306103 1153 43100 SH DEFINED 01 43100 0 0
D HOME PROPERTIES OF NEW YORK, I COMMON 437306103 2386 89200 SH DEFINED 02 80200 0 9000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HOMESTORE COM INC COMMON 437852106 541 11100 SH DEFINED 02 0 0 11100
D HONDA MOTOR LTD COMMON 438128308 325 4000 SH OTHER 01 0 4000 0
D HONEYWELL INTL INC COMMON 438516106 29505 560000 SH DEFINED 18 560000 0 0
D HONEYWELL INTL INC COMMON 438516106 6149 116700 SH DEFINED 05 62250 0 54450
D HONEYWELL INTL INC COMMON 438516106 353449 6708338 SH DEFINED 01 4249284 0 2459054
D HONEYWELL INTL INC COMMON 438516106 574834 10910159 SH DEFINED 02 7462150 0 3448009
D HONEYWELL INTL INC COMMON 438516106 817 15500 SH OTHER 05 12000 3500 0
D HONEYWELL INTL INC COMMON 438516106 2756 52300 SH OTHER 09 52300 0 0
D HONEYWELL INTL INC COMMON 438516106 32229 611687 SH OTHER 01 272210 339477 0
D HONEYWELL INTL INC COMMON 438516106 4742 90000 SH OTHER 0304 90000 0 0
D HOOPER HOLMES, INC. COMMON 439104100 74 2150 SH DEFINED 05 0 0 2150
D HOOPER HOLMES, INC. COMMON 439104100 8083 235575 SH DEFINED 01 174400 0 61175
D HOOPER HOLMES, INC. COMMON 439104100 5477 159625 SH DEFINED 02 128475 0 31150
D HORMEL (GEORGE A.) & CO. COMMON 440452100 562 34200 SH DEFINED 01 34200 0 0
D HORMEL (GEORGE A.) & CO. COMMON 440452100 579 35200 SH DEFINED 02 1800 0 33400
D HOST MARRIOTT CORP NEW COMMON 44107P104 1917 216000 SH DEFINED 01 216000 0 0
D HOST MARRIOTT CORP NEW COMMON 44107P104 273 30800 SH DEFINED 02 10300 0 20500
D HOUGHTON MIFFLIN CO. COMMON 441560109 221 5200 SH DEFINED 02 0 0 5200
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 108 2900 SH DEFINED 17 2900 0 0
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 507 13600 SH DEFINED 06 13600 0 0
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 549 14700 SH DEFINED 05 0 0 14700
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 3332 89300 SH DEFINED 16 89300 0 0
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 52720 1412909 SH DEFINED 01 1079886 0 333023
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 95552 2560810 SH DEFINED 02 1464910 0 1095900
D HOUSEHOLD INTERNATIONAL, INC. COMMON 441815107 272 7300 SH OTHER 01 3100 4200 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HOUSTON EXPL CO COMMON 442120101 139 7700 SH DEFINED 01 7700 0 0
D HOUSTON EXPL CO COMMON 442120101 488 27100 SH DEFINED 02 12900 0 14200
D HOVNANIAN ENTERPRISES, INC. CL COMMON 442487203 146 23800 SH DEFINED 02 0 0 23800
D HOWMET INTERNATIONAL COMMON 443208103 1098 54400 SH DEFINED 01 54400 0 0
D HOWMET INTERNATIONAL COMMON 443208103 184 9100 SH DEFINED 02 2700 0 6400
D HUBBELL, INC. CLASS "B" COMMON 443510201 7557 276060 SH DEFINED 01 192030 0 84030
D HUBBELL, INC. CLASS "B" COMMON 443510201 11912 435150 SH DEFINED 02 279350 0 155800
D HUBBELL, INC. CLASS "B" COMMON 443510201 11 400 SH OTHER 01 400 0 0
D HUDSON CITY BANCORP COMMON 443683107 1060 72500 SH OTHER 01 0 72500 0
D HUDSON UNITED BANCORP COMMON 444165104 3010 138775 SH DEFINED 01 138775 0 0
D HUDSON UNITED BANCORP COMMON 444165104 2434 112208 SH DEFINED 02 56253 0 55955
D HUGHES SUPPLY, INC. COMMON 444482103 549 35450 SH DEFINED 02 7100 0 28350
D HUMANA, INC. COMMON 444859102 7 1000 SH DEFINED 17 1000 0 0
D HUMANA, INC. COMMON 444859102 15 2000 SH DEFINED 01 0 0 2000
D HUMANA, INC. COMMON 444859102 1761 240800 SH DEFINED 02 225100 0 15700
D HUMAN GENOME SCIENCES INCORPOR BOND 444903AG3 0 4000000 PRN DEFINED 16
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 440 5300 SH DEFINED 05 200 0 5100
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 56331 678175 SH DEFINED 01 514775 0 163400
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 68676 826790 SH DEFINED 02 654090 0 172700
D HUMAN GENOME SCIENCES, INC. COMMON 444903108 615 7400 SH OTHER 01 5000 2400 0
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 31 1400 SH DEFINED 17 1400 0 0
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 18 800 SH DEFINED 05 800 0 0
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 15517 693500 SH DEFINED 01 540000 0 153500
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 37828 1690649 SH DEFINED 02 996150 0 694499
D HUNTINGTON BANCSHARES, INC. COMMON 446150104 54 2400 SH OTHER 01 2400 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 HUSSMAN INTERNATIONAL, INC. COMMON 448110106 414 32600 SH DEFINED 01 32600 0 0
D HUSSMAN INTERNATIONAL, INC. COMMON 448110106 34 2700 SH DEFINED 02 2700 0 0
D HUTCHINSON TECHNOLOGY, INC. COMMON 448407106 9 500 SH DEFINED 01 500 0 0
D HUTCHINSON TECHNOLOGY, INC. COMMON 448407106 1616 91700 SH DEFINED 02 0 0 91700
D ICN PHARMACEUTICALS, INC. COMMON 448924100 15560 571000 SH DEFINED 17 571000 0 0
D ICN PHARMACEUTICALS, INC. COMMON 448924100 4172 153100 SH DEFINED 18 153100 0 0
D ICN PHARMACEUTICALS, INC. COMMON 448924100 1087 39900 SH DEFINED 01 39900 0 0
D ICN PHARMACEUTICALS, INC. COMMON 448924100 496 18197 SH DEFINED 02 1800 0 16397
D IDT CORP. COMMON 448947101 1257 30300 SH DEFINED 16 30300 0 0
D IDT CORP. COMMON 448947101 718 17300 SH DEFINED 02 0 0 17300
D HYPERCOM CORPORATION COMMON 44913M105 241 14100 SH DEFINED 02 0 0 14100
D HYPERION SOLUTIONS CORP COMMON 44914M104 6 178 SH DEFINED 16 178 0 0
D HYPERION SOLUTIONS CORP COMMON 44914M104 666 20500 SH DEFINED 01 20500 0 0
D HYPERION SOLUTIONS CORP COMMON 44914M104 670 20610 SH DEFINED 02 5300 0 15310
D HYPERION SOLUTIONS CORP COMMON 44914M104 163 5000 SH OTHER 101112 0 5000 0
D IBP, INC. COMMON 449223106 2703 171600 SH DEFINED 01 171600 0 0
D IBP, INC. COMMON 449223106 405 25700 SH DEFINED 02 8600 0 17100
D ICOS CORP. COMMON 449295104 205 5661 SH DEFINED 16 5661 0 0
D ICOS CORP. COMMON 449295104 50 1375 SH DEFINED 01 0 0 1375
D ICOS CORP. COMMON 449295104 802 22200 SH DEFINED 02 0 0 22200
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 62 630 SH DEFINED 17 630 0 0
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 617 6278 SH DEFINED 05 5278 0 1000
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 14398 146540 SH DEFINED 01 117740 0 28800
D IDEC PHARMACEUTICALS CORP. COMMON 449370105 28964 294800 SH DEFINED 02 253300 0 41500
D IHOP CORP. COMMON 449623107 186 13300 SH DEFINED 02 0 0 13300
D IMC GLOBAL INC COMMON 449669100 79315 5400000 SH DEFINED 18 5400000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 IMC GLOBAL INC COMMON 449669100 2778 189100 SH DEFINED 01 96100 0 93000
D IMC GLOBAL INC COMMON 449669100 5868 399530 SH DEFINED 02 130530 0 269000
D IMC GLOBAL INC COMMON 449669100 457 31088 SH OTHER 01 0 31088 0
D IMC GLOBAL INC COMMON 449669118 0 3 SH DEFINED 01 3 0 0
D IMC GLOBAL INC COMMON 449669118 0 1966 SH DEFINED 02 0 0 1966
D IMC GLOBAL INC COMMON 449669118 0 6810 SH OTHER 01 630 6180 0
D IMCO RECYCLING, INC. COMMON 449681105 166 15000 SH DEFINED 02 14100 0 900
D IPC COMMUNICATIONS INC COMMON 44980K206 206 1000 SH DEFINED 02 100 0 900
D IMS HEALTH INCORPORATED COMMON 449934108 32 1900 SH DEFINED 17 1900 0 0
D IMS HEALTH INCORPORATED COMMON 449934108 330 19504 SH DEFINED 01 14054 0 5450
D IMS HEALTH INCORPORATED COMMON 449934108 183 10800 SH DEFINED 02 0 0 10800
D IMS HEALTH INCORPORATED COMMON 449934108 68 4000 SH OTHER 05 0 4000 0
D IMS HEALTH INCORPORATED COMMON 449934108 339 20000 SH OTHER 101112 0 20000 0
D IMS HEALTH INCORPORATED COMMON 449934108 2597 153312 SH OTHER 01 8000 145312 0
D IRT PROPERTY CO. COMMON 450058102 1210 151200 SH DEFINED 01 151200 0 0
D IRT PROPERTY CO. COMMON 450058102 2664 333000 SH DEFINED 02 301500 0 31500
D ISS GROUP INC COMMON 450306105 117 1000 SH DEFINED 05 0 0 1000
D ISS GROUP INC COMMON 450306105 14050 120600 SH DEFINED 01 94000 0 26600
D ISS GROUP INC COMMON 450306105 9273 79600 SH DEFINED 02 58700 0 20900
D ITC DELTACOM, INC. COMMON 45031T104 3694 103700 SH DEFINED 01 103700 0 0
D ITC DELTACOM, INC. COMMON 45031T104 6263 175800 SH DEFINED 02 140600 0 35200
D I-STAT CORP. COMMON 450312103 1519 95300 SH DEFINED 01 95300 0 0
D I-STAT CORP. COMMON 450312103 3946 247600 SH DEFINED 02 195200 0 52400
D ITLA CAP CORP COMMON 450565106 140 11000 SH DEFINED 02 11000 0 0
D IXL ENTERPRISES INC COMMON 450718101 218 7800 SH DEFINED 02 0 0 7800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 IBASIS INC BOND 450732AA0 6000 6000000 PRN DEFINED 01
D IBASIS INC COMMON 450732102 87 2125 SH DEFINED 05 0 0 2125
D IBASIS INC COMMON 450732102 4690 114225 SH DEFINED 01 53350 0 60875
D IBASIS INC COMMON 450732102 4294 104575 SH DEFINED 02 84475 0 20100
D ITT INDUSTRIES, INC. COMMON 450911102 16 500 SH DEFINED 17 500 0 0
D ITT INDUSTRIES, INC. COMMON 450911102 16 500 SH DEFINED 05 500 0 0
D ITT INDUSTRIES, INC. COMMON 450911102 22314 718341 SH DEFINED 01 454480 0 263861
D ITT INDUSTRIES, INC. COMMON 450911102 57576 1853522 SH DEFINED 02 1199122 0 654400
D ITT INDUSTRIES, INC. COMMON 450911102 33 1061 SH OTHER 01 1000 61 0
D IDEX CORP. COMMON 45167R104 3243 119000 SH DEFINED 01 116600 0 2400
D IDEX CORP. COMMON 45167R104 5599 205475 SH DEFINED 02 163500 0 41975
D IDEXX LABORATORIES, INC. COMMON 45168D104 1578 67700 SH DEFINED 01 67700 0 0
D IDEXX LABORATORIES, INC. COMMON 45168D104 760 32600 SH DEFINED 02 11900 0 20700
D IKON OFFICE SOLUTIONS INC COMMON 451713101 6 900 SH DEFINED 17 900 0 0
D IKON OFFICE SOLUTIONS INC COMMON 451713101 538 86900 SH DEFINED 01 86900 0 0
D IKON OFFICE SOLUTIONS INC COMMON 451713101 311 50200 SH DEFINED 02 40200 0 10000
D ILEX ONCOLOGY INC COMMON 451923106 45 1075 SH DEFINED 05 0 0 1075
D ILEX ONCOLOGY INC COMMON 451923106 5381 128125 SH DEFINED 01 96875 0 31250
D ILEX ONCOLOGY INC COMMON 451923106 3646 86800 SH DEFINED 02 70000 0 16800
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 99 1800 SH DEFINED 17 1800 0 0
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 1782 32251 SH DEFINED 01 13551 0 18700
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 11846 214400 SH DEFINED 02 55300 0 159100
D ILLINOIS TOOL WORKS, INC. COMMON 452308109 514 9312 SH OTHER 01 0 9312 0
D ILLUMINET HLDGS INC COMMON 452334105 50 1025 SH DEFINED 05 0 0 1025
D ILLUMINET HLDGS INC COMMON 452334105 4058 82425 SH DEFINED 01 55225 0 27200
D ILLUMINET HLDGS INC COMMON 452334105 354 7200 SH DEFINED 02 5250 0 1950
FORM 13F INFORMATION TABLE MARCH 31 2000 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 IMATION CORP. COMMON 45245A107 2268 84980 SH DEFINED 01 84424 0 556
D IMATION CORP. COMMON 45245A107 1148 43000 SH DEFINED 02 38800 0 4200
D IMATION CORP. COMMON 45245A107 4 160 SH OTHER 01 0 160 0
D IMCLONE SYSTEMS, INC. COMMON 45245W109 638 8300 SH DEFINED 02 600 0 7700
D IMMUNEX CORP. COMMON 452528102 1036 16330 SH DEFINED 17 16330 0 0
D IMMUNEX CORP. COMMON 452528102 38 600 SH DEFINED 01 600 0 0
D IMPERIAL BANCORP COMMON 452556103 2784 89800 SH DEFINED 01 89800 0 0
D IMPERIAL BANCORP COMMON 452556103 2667 86035 SH DEFINED 02 49800 0 36235
D IN FOCUS SYSTEMS, INC. COMMON 452919103 935 26100 SH DEFINED 01 26100 0 0
D IN FOCUS SYSTEMS, INC. COMMON 452919103 1064 29700 SH DEFINED 02 14300 0 15400
D IMPERIAL SUGAR CO NEW COMMON 453096109 76 43200 SH DEFINED 02 0 0 43200
D INCYTE PHARMACEUTICALS, INC. COMMON 45337C102 3567 40800 SH DEFINED 01 40800 0 0
D INCYTE PHARMACEUTICALS, INC. COMMON 45337C102 1416 16200 SH DEFINED 02 6700 0 9500
D INDIANA ENERGY, INC. COMMON 454707100 1422 72900 SH DEFINED 01 72900 0 0
D INDIANA ENERGY, INC. COMMON 454707100 696 35700 SH DEFINED 02 25700 0 10000
D INMC MORTGAGE HOLDINGS, INC. COMMON 456607100 176 11800 SH DEFINED 02 0 0 11800
D INFERENCE CORP. CLASS "A" COMMON 45662K109 164 77606 SH DEFINED 19 77606 0 0
D INFINITY BROADCASTING CP NEW COMMON 45662S102 1557 48100 SH DEFINED 01 48100 0 0
D INFINITY BROADCASTING CP NEW COMMON 45662S102 949 29300 SH DEFINED 02 0 0 29300
D INET TECHNOLOGIES INC COMMON 45662V105 5 100 SH DEFINED 01 100 0 0
D INET TECHNOLOGIES INC COMMON 45662V105 201 3800 SH DEFINED 02 200 0 3600
D INFOCURE CORP COMMON 45665A108 653 37600 SH DEFINED 01 37600 0 0
D INFOCURE CORP COMMON 45665A108 212 12200 SH DEFINED 02 7600 0 4600
D INFORMATICA CORP COMMON 45666Q102 154 2000 SH DEFINED 05 0 0 2000
D INFORMATICA CORP COMMON 45666Q102 18297 238200 SH DEFINED 01 183400 0 54800
D INFORMATICA CORP COMMON 45666Q102 15862 206500 SH DEFINED 02 164400 0 42100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INFORMATION ARCHITECTS CORP COMMON 45669R107 266 15300 SH DEFINED 02 0 0 15300
D INFORTE CORP COMMON 45677R107 20 400 SH DEFINED 05 0 0 400
D INFORTE CORP COMMON 45677R107 1987 40550 SH DEFINED 01 30160 0 10390
D INFORTE CORP COMMON 45677R107 1314 26825 SH DEFINED 02 21225 0 5600
D INFORMIX CORP. COMMON 456779107 130 7700 SH DEFINED 05 0 0 7700
D INFORMIX CORP. COMMON 456779107 21640 1277600 SH DEFINED 01 1071900 0 205700
D INFORMIX CORP. COMMON 456779107 14624 863400 SH DEFINED 02 642900 0 220500
D INFOSPACE COM INC COMMON 45678T102 3869 26600 SH DEFINED 01 26600 0 0
D INFOSPACE COM INC COMMON 45678T102 1542 10600 SH DEFINED 02 1300 0 9300
D INFOUSA INC NEW COMMON 456818301 214 23500 SH DEFINED 02 2200 0 21300
D ING GROEP N.V. COMMON 456837103 186263 3386595 SH DEFINED 01 3373298 0 13297
D ING GROEP N.V. COMMON 456837103 726 13208 SH DEFINED 02 0 0 13208
D ING GROEP N.V. COMMON 456837103 3290 59825 SH OTHER 01 0 59825 0
D INGERSOLL-RAND CO. COMMON 456866102 44 1000 SH DEFINED 17 1000 0 0
D INGERSOLL-RAND CO. COMMON 456866102 185 4188 SH DEFINED 05 4188 0 0
D INGERSOLL-RAND CO. COMMON 456866102 23629 533990 SH DEFINED 01 413770 0 120220
D INGERSOLL-RAND CO. COMMON 456866102 36448 823680 SH DEFINED 02 464980 0 358700
D INGERSOLL-RAND CO. COMMON 456866102 44 1000 SH OTHER 05 0 1000 0
D INGERSOLL-RAND CO. COMMON 456866102 49 1100 SH OTHER 01 1100 0 0
D INGLES MARKETS, INC. COMMON 457030104 576 55200 SH DEFINED 01 50700 0 4500
D INGLES MARKETS, INC. COMMON 457030104 521 49900 SH DEFINED 02 29300 0 20600
D INHALE THERAPEUTIC SYS 'CONV BOND 457191AD6 0 6000000 PRN DEFINED 16
D INHALE THERAPEUTIC SYSTEMS COMMON 457191104 328 4400 SH DEFINED 02 0 0 4400
D INKTOMI CORPORATION COMMON 457277101 2048 10500 SH DEFINED 02 0 0 10500
D INNKEEPERS USA TR COMMON 4576J0104 1056 130000 SH DEFINED 01 130000 0 0
D INNKEEPERS USA TR COMMON 4576J0104 924 113700 SH DEFINED 02 60400 0 53300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INNOVEX, INC. COMMON 457647105 194 19800 SH DEFINED 02 0 0 19800
D INSIGHT ENTERPRISES, INC. COMMON 45765U103 1068 29300 SH DEFINED 01 29300 0 0
D INSIGHT ENTERPRISES, INC. COMMON 45765U103 211 5800 SH DEFINED 02 5800 0 0
D INPUT/OUTPUT, INC. COMMON 457652105 394 64300 SH DEFINED 01 50700 0 13600
D INPUT/OUTPUT, INC. COMMON 457652105 1104 180300 SH DEFINED 02 81900 0 98400
D INPRISE CORPORATION COMMON 45766C102 750 110100 SH DEFINED 16 110100 0 0
D INSITUFORM TECHNOLOGIES, INC. COMMON 457667103 355 11600 SH DEFINED 01 11600 0 0
D INSITUFORM TECHNOLOGIES, INC. COMMON 457667103 15 500 SH DEFINED 02 500 0 0
D INSIGHT COMMUNICATIONS INC COMMON 45768V108 72 3475 SH DEFINED 05 0 0 3475
D INSIGHT COMMUNICATIONS INC COMMON 45768V108 8008 388275 SH DEFINED 01 292375 0 95900
D INSIGHT COMMUNICATIONS INC COMMON 45768V108 4907 237900 SH DEFINED 02 189150 0 48750
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 238 6000 SH DEFINED 05 0 0 6000
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 13504 340800 SH DEFINED 01 178350 0 162450
D INTEGRATED DEVICE TECHNOLOGY, COMMON 458118106 7164 180800 SH DEFINED 02 123800 0 57000
D INTEGRATED SURGICAL SYS INC COMMON 45812Y108 153 50000 SH DEFINED 02 0 0 50000
D INTEGRATED SURGICAL SYS INC WARRANT 45812Y116 106 50000 SH DEFINED 02
D INTEL CORP. COMMON 458140100 123595 936768 SH DEFINED 17 936768 0 0
D INTEL CORP. COMMON 458140100 18983 143880 SH DEFINED 05 67000 0 76880
D INTEL CORP. COMMON 458140100 456 3490 SH DEFINED 16 3490 0 0
D INTEL CORP. COMMON 458140100 1609002 12195139 SH DEFINED 01 7127348 0 5067791
D INTEL CORP. COMMON 458140100 2672658 20256923 SH DEFINED 02 13163607 0 7093316
D INTEL CORP. COMMON 458140100 950 7200 SH OTHER 05 6000 1200 0
D INTEL CORP. COMMON 458140100 6346 48100 SH OTHER 09 48100 0 0
D INTEL CORP. COMMON 458140100 72445 549082 SH OTHER 01 146750 402332 0
D INTEL CORP. COMMON 458140100 5278 40000 SH OTHER 0304 40000 0 0
D INTELLIGENT SYSTEMS CORPORATIO COMMON 45816D100 141 15000 SH DEFINED 01 0 0 15000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INTER-TEL INCORPORATED&SUBSIDI COMMON 458372109 41 1500 SH DEFINED 05 0 0 1500
D INTER-TEL INCORPORATED&SUBSIDI COMMON 458372109 2686 98125 SH DEFINED 01 57775 0 40350
D INTER-TEL INCORPORATED&SUBSIDI COMMON 458372109 1722 62900 SH DEFINED 02 49175 0 13725
D INTERDIGITAL COMMUNICATIONS CO COMMON 45866A105 1458 58300 SH DEFINED 01 58300 0 0
D INTERDIGITAL COMMUNICATIONS CO COMMON 45866A105 563 22500 SH DEFINED 02 11200 0 11300
D INTERFACE, INC. CLASS "A" COMMON 458665106 60 14000 SH DEFINED 01 14000 0 0
D INTERFACE, INC. CLASS "A" COMMON 458665106 43 10000 SH DEFINED 02 0 0 10000
D INTERIM SERVICES, INC. COMMON 45868P100 1390 74900 SH DEFINED 01 74900 0 0
D INTERIM SERVICES, INC. COMMON 45868P100 566 30500 SH DEFINED 02 25500 0 5000
D INTERLEAF INC COMMON 458729209 19 400 SH DEFINED 05 0 0 400
D INTERLEAF INC COMMON 458729209 2421 51500 SH DEFINED 16 51500 0 0
D INTERLEAF INC COMMON 458729209 3348 71225 SH DEFINED 01 58800 0 12425
D INTERLEAF INC COMMON 458729209 3831 81500 SH DEFINED 02 65200 0 16300
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 411 8500 SH DEFINED 17 8500 0 0
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 82 1700 SH DEFINED 05 0 0 1700
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 56 1156 SH DEFINED 16 1156 0 0
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 2348 48600 SH DEFINED 01 3300 0 45300
D INTERMEDIA COMMUNICATIONS, INC COMMON 458801107 1459 30200 SH DEFINED 02 10600 0 19600
D INTERMET CORP. COMMON 45881K104 1468 160900 SH DEFINED 01 160900 0 0
D INTERMET CORP. COMMON 45881K104 540 59200 SH DEFINED 02 50500 0 8700
D INTERNAP NETWORK SVCS CORP COMMON 45885A102 653 14200 SH DEFINED 01 14200 0 0
D INTERNAP NETWORK SVCS CORP COMMON 45885A102 11491 249800 SH DEFINED 02 249800 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 1165 9876 SH DEFINED 17 9876 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 27680 234580 SH DEFINED 18 234580 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 9695 82164 SH DEFINED 05 38214 0 43950
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 726 6000 SH DEFINED 16 6000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INTERNATIONAL BUSINESS MACHINE COMMON 459200101 714632 6056206 SH DEFINED 01 3766824 0 2289382
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 626402 5308492 SH DEFINED 02 3319044 0 1989448
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 1078 9136 SH OTHER 05 0 9136 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 3570 30250 SH OTHER 09 30250 0 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 203599 1725417 SH OTHER 01 203670 1521747 0
D INTERNATIONAL BUSINESS MACHINE COMMON 459200101 3422 29000 SH OTHER 0304 29000 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 21 600 SH DEFINED 17 600 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 175 5000 SH DEFINED 06 5000 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 10619 302858 SH DEFINED 01 302858 0 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 190840 5442762 SH OTHER 1314 0 5442762 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 526 15000 SH OTHER 101112 0 15000 0
D INT'L FLAVORS & FRAGRANCES, IN COMMON 459506101 150 4284 SH OTHER 01 4284 0 0
D INTERNATIONAL HOME FOODS, INC. COMMON 459655106 1958 122400 SH DEFINED 01 122400 0 0
D INTERNATIONAL HOME FOODS, INC. COMMON 459655106 320 20000 SH DEFINED 02 20000 0 0
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 25005 1152945 SH DEFINED 01 971514 0 181431
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 52243 2408852 SH DEFINED 02 1799924 0 608928
D INTERNATIONAL GAME TECHNOLOGY COMMON 459902102 152 7009 SH OTHER 01 2160 4849 0
D INTERNATIONAL PAPER CO. COMMON 460146103 107 2500 SH DEFINED 17 2500 0 0
D INTERNATIONAL PAPER CO. COMMON 460146103 4938 115500 SH DEFINED 06 115500 0 0
D INTERNATIONAL PAPER CO. COMMON 460146103 517 12100 SH DEFINED 05 5800 0 6300
D INTERNATIONAL PAPER CO. COMMON 460146103 59546 1392894 SH DEFINED 01 1070389 0 322505
D INTERNATIONAL PAPER CO. COMMON 460146103 111102 2598880 SH DEFINED 02 1648080 0 950800
D INTERNATIONAL PAPER CO. COMMON 460146103 86 2000 SH OTHER 05 2000 0 0
D INTERNATIONAL PAPER CO. COMMON 460146103 6238 145918 SH OTHER 01 39500 106418 0
D INTERNATIONAL RECTIFIER CORP. COMMON 460254105 1632 42800 SH DEFINED 01 41800 0 1000
D INTERNATIONAL RECTIFIER CORP. COMMON 460254105 2150 56400 SH DEFINED 02 28300 0 28100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INTERNATIONAL SPEEDWAY CORP COMMON 460335201 252 5600 SH DEFINED 02 0 0 5600
D INTERNET CAPITAL GROUP INCORPO BOND 46059CAA4 0 5250000 PRN DEFINED 16
D INTERNET CAP GROUP INC COMMON 46059C106 66 734 SH DEFINED 16 734 0 0
D INTERNET CAP GROUP INC COMMON 46059C106 634 7020 SH DEFINED 01 6080 0 940
D INTERNET CAP GROUP INC COMMON 46059C106 677 7500 SH OTHER 01 0 7500 0
D INTERNET PICTURES CORP COMMON 46059S101 2637 77702 SH DEFINED 16 77702 0 0
D INTERNET PICTURES CORP COMMON 46059S101 1681 49520 SH DEFINED 01 0 0 49520
D INTERPOOL, INC. COMMON 46062R108 80 12200 SH DEFINED 02 0 0 12200
D INTERSIL HLDG CORP COMMON 46069S109 72 1400 SH DEFINED 05 0 0 1400
D INTERSIL HLDG CORP COMMON 46069S109 7359 142375 SH DEFINED 01 105350 0 37025
D INTERSIL HLDG CORP COMMON 46069S109 5372 103925 SH DEFINED 02 83750 0 20175
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 80 1700 SH DEFINED 17 1700 0 0
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 220 4650 SH DEFINED 05 0 0 4650
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 5607 118660 SH DEFINED 01 111660 0 7000
D INTERPUBLIC GROUP COMPANY, INC COMMON 460690100 1673 35400 SH OTHER 01 0 35400 0
D INTERSTATE BAKERIES CORP. COMMON 46072H108 1362 95600 SH DEFINED 01 95600 0 0
D INTERSTATE BAKERIES CORP. COMMON 46072H108 1255 88100 SH DEFINED 02 4400 0 83700
D INTERTRUST TECHNOLOGIES CORP COMMON 46113Q109 26 600 SH DEFINED 01 0 0 600
D INTERTRUST TECHNOLOGIES CORP COMMON 46113Q109 9958 234300 SH DEFINED 02 203100 0 31200
D INTERVU INC COMMON 46114R106 3276 36400 SH DEFINED 16 36400 0 0
D INTERVU INC COMMON 46114R106 531 5900 SH DEFINED 01 5900 0 0
D INTERVU INC COMMON 46114R106 99 1100 SH DEFINED 02 1100 0 0
D INTERVOICE, INC. COMMON 461142101 497 17200 SH DEFINED 01 17200 0 0
D INTERVOICE, INC. COMMON 461142101 595 20600 SH DEFINED 02 6200 0 14400
D INTIMATE BRANDS, INC. CL. "A" COMMON 461156101 3019 73300 SH DEFINED 02 0 0 73300
D INTRAWARE INC COMMON 46118M103 264 6400 SH DEFINED 01 6400 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 INTRAWARE INC COMMON 46118M103 83 2000 SH DEFINED 02 1300 0 700
D INTUIT, INC. COMMON 461202103 152 2792 SH DEFINED 16 2792 0 0
D INTUIT, INC. COMMON 461202103 2953 54300 SH DEFINED 01 54300 0 0
D INTUIT, INC. COMMON 461202103 33 600 SH DEFINED 02 600 0 0
D INTUIT, INC. COMMON 461202103 979 18000 SH OTHER 101112 0 18000 0
D INVACARE CORP. COMMON 461203101 508 18500 SH DEFINED 02 7100 0 11400
D INVESTMENT TECHNOLOGY GRP NE COMMON 46145F105 381 10800 SH DEFINED 02 0 0 10800
D INVITROGEN CORP COMMON 46185R100 296 5100 SH DEFINED 01 5100 0 0
D INVITROGEN CORP COMMON 46185R100 128 2200 SH DEFINED 02 2200 0 0
D INVESTORS FINANCIAL SERVICES C COMMON 461915100 298 5070 SH DEFINED 02 0 0 5070
D IONICS, INC. COMMON 462218108 212 8300 SH DEFINED 02 7200 0 1100
D IONICS, INC. COMMON 462218108 77 3000 SH OTHER 01 3000 0 0
D IRON MTN INC PA COMMON 462846106 705 20700 SH DEFINED 01 20700 0 0
D IRON MTN INC PA COMMON 462846106 952 27950 SH DEFINED 02 3600 0 24350
D IRWIN FINANCIAL CORP. COMMON 464119106 251 16700 SH DEFINED 01 16700 0 0
D IRWIN FINANCIAL CORP. COMMON 464119106 48 3200 SH DEFINED 02 3200 0 0
D ISIS PHARMACEUTICALS, INC. COMMON 464330109 347 24700 SH DEFINED 02 500 0 24200
D I2 TECHNOLOGIES, INC. COMMON 465754109 73 600 SH DEFINED 16 600 0 0
D I2 TECHNOLOGIES, INC. COMMON 465754109 5331 43650 SH DEFINED 01 42900 0 750
D I2 TECHNOLOGIES, INC. COMMON 465754109 8378 68600 SH DEFINED 02 43400 0 25200
D IVAX CORP. COMMON 465823102 3434 126000 SH DEFINED 01 126000 0 0
D IVAX CORP. COMMON 465823102 1381 50683 SH DEFINED 02 5850 0 44833
D IVAX CORP. COMMON 465823102 6 225 SH OTHER 01 0 225 0
D IVEX PACKAGING CORPORATION COMMON 465855104 521 68900 SH DEFINED 01 68900 0 0
D IVEX PACKAGING CORPORATION COMMON 465855104 339 44800 SH DEFINED 02 19200 0 25600
D JDN REALTY CORP. COMMON 465917102 106 10200 SH DEFINED 02 0 0 10200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 IXNET INC COMMON 46601C109 303 6600 SH DEFINED 16 6600 0 0
D IXNET INC COMMON 46601C109 2408 52500 SH DEFINED 01 52500 0 0
D IXNET INC COMMON 46601C109 3918 85400 SH DEFINED 02 60000 0 25400
D JDS UNIPHASE CORP COMMON 46612J101 84 700 SH DEFINED 17 700 0 0
D JDS UNIPHASE CORP COMMON 46612J101 9 81 SH DEFINED 16 81 0 0
D JDS UNIPHASE CORP COMMON 46612J101 4809 39890 SH DEFINED 01 33470 0 6420
D JDS UNIPHASE CORP COMMON 46612J101 53391 442848 SH DEFINED 02 264500 0 178348
D JDS UNIPHASE CORP COMMON 46612J101 60 500 SH OTHER 01 0 500 0
D JDA SOFTWARE GROUP INC COMMON 46612K108 771 52700 SH DEFINED 01 52700 0 0
D JDA SOFTWARE GROUP INC COMMON 46612K108 417 28500 SH DEFINED 02 26600 0 1900
D JLG INDUSTRIES, INC. COMMON 466210101 266 29000 SH DEFINED 02 0 0 29000
D JNI CORP COMMON 46622G105 55 1075 SH DEFINED 05 0 0 1075
D JNI CORP COMMON 46622G105 4354 85575 SH DEFINED 01 57100 0 28475
D JNI CORP COMMON 46622G105 472 9275 SH DEFINED 02 7175 0 2100
D JP REALTY, INC. COMMON 46624A106 251 14100 SH DEFINED 02 2200 0 11900
D JABIL CIRCUIT, INC. COMMON 466313103 675 15600 SH DEFINED 02 0 0 15600
D JACK IN THE BOX INC COMMON 466367109 1657 77740 SH DEFINED 01 77200 0 540
D JACK IN THE BOX INC COMMON 466367109 1528 71700 SH DEFINED 02 17000 0 54700
D JAKKS PAC INC COMMON 47012E106 6577 305000 SH DEFINED 01 305000 0 0
D JAKKS PAC INC COMMON 47012E106 4686 217300 SH DEFINED 02 179800 0 37500
D JEFFERIES GROUP INC NEW COMMON 472319102 327 14300 SH DEFINED 02 0 0 14300
D JEFFERSON PILOT CORP. COMMON 475070108 1165 17500 SH DEFINED 17 17500 0 0
D JEFFERSON PILOT CORP. COMMON 475070108 529 7950 SH DEFINED 01 6800 0 1150
D JEFFERSON PILOT CORP. COMMON 475070108 3022 45400 SH DEFINED 02 13700 0 31700
D JEFFERSON PILOT CORP. COMMON 475070108 1677 25200 SH OTHER 101112 0 25200 0
D JOHNS MANVILLE CORP. COMMON 478129109 14193 1335851 SH DEFINED 01 1295500 0 40351
FORM 13F INFORMATION TABLE MARCH 31 2000 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 JOHNS MANVILLE CORP. COMMON 478129109 308 29000 SH DEFINED 02 12100 0 16900
D JOHNSON & JOHNSON COMMON 478160104 1757 25008 SH DEFINED 18 25008 0 0
D JOHNSON & JOHNSON COMMON 478160104 7095 101000 SH DEFINED 06 101000 0 0
D JOHNSON & JOHNSON COMMON 478160104 3969 56494 SH DEFINED 05 22769 0 33725
D JOHNSON & JOHNSON COMMON 478160104 62 889 SH DEFINED 16 889 0 0
D JOHNSON & JOHNSON COMMON 478160104 172245 2451885 SH DEFINED 01 1259085 0 1192800
D JOHNSON & JOHNSON COMMON 478160104 212934 3031090 SH DEFINED 02 1958080 0 1073010
D JOHNSON & JOHNSON COMMON 478160104 1686 24000 SH OTHER 1314 0 24000 0
D JOHNSON & JOHNSON COMMON 478160104 1253 17832 SH OTHER 05 6000 11832 0
D JOHNSON & JOHNSON COMMON 478160104 69999 996421 SH OTHER 01 324233 672188 0
D JOHNSON CONTROLS, INC. COMMON 478366107 27 500 SH DEFINED 17 500 0 0
D JOHNSON CONTROLS, INC. COMMON 478366107 1744 32250 SH DEFINED 05 9750 0 22500
D JOHNSON CONTROLS, INC. COMMON 478366107 28083 519455 SH DEFINED 01 332135 0 187320
D JOHNSON CONTROLS, INC. COMMON 478366107 10829 200300 SH DEFINED 02 192600 0 7700
D JOHNSON CONTROLS, INC. COMMON 478366107 1308 24200 SH OTHER 09 24200 0 0
D JOHNSON CONTROLS, INC. COMMON 478366107 6185 114405 SH OTHER 01 40725 73680 0
D JOHNSON CONTROLS, INC. COMMON 478366107 1081 20000 SH OTHER 0304 20000 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 7906 250000 SH DEFINED 17 250000 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 7906 250000 SH DEFINED 18 250000 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 35 1100 SH DEFINED 05 1100 0 0
D JONES APPAREL GROUP, INC. COMMON 480074103 51521 1629110 SH DEFINED 01 1104400 0 524710
D JONES APPAREL GROUP, INC. COMMON 480074103 121342 3836891 SH DEFINED 02 2768191 0 1068700
D JONES APPAREL GROUP, INC. COMMON 480074103 1325 41900 SH OTHER 01 1900 40000 0
D JONES MEDICAL INDUSTRIES, INC. COMMON 480236108 929 30600 SH DEFINED 01 30600 0 0
D JONES MEDICAL INDUSTRIES, INC. COMMON 480236108 251 8250 SH DEFINED 02 6750 0 1500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 JOSTENS, INC. COMMON 481088102 5 200 SH DEFINED 17 200 0 0
D JOSTENS, INC. COMMON 481088102 274 11200 SH DEFINED 16 11200 0 0
D JOSTENS, INC. COMMON 481088102 42 1729 SH DEFINED 02 0 0 1729
D JOURNAL REGISTER CO COMMON 481138105 133 9000 SH DEFINED 01 9000 0 0
D JOURNAL REGISTER CO COMMON 481138105 140 9500 SH DEFINED 02 9500 0 0
D JUNIPER NETWORKS INC BOND 48203RAA2 0 3033000 PRN DEFINED 16
D JUNIPER NETWORKS COMMON 48203R104 2926 11100 SH DEFINED 02 0 0 11100
D KLA INSTRUMENTS CORP. COMMON 482480100 93 1100 SH DEFINED 17 1100 0 0
D KLA INSTRUMENTS CORP. COMMON 482480100 11 130 SH DEFINED 16 130 0 0
D KLA INSTRUMENTS CORP. COMMON 482480100 2325 27600 SH DEFINED 02 0 0 27600
D K MART CORP. COMMON 482584109 29 3000 SH DEFINED 17 3000 0 0
D K MART CORP. COMMON 482584109 15357 1585200 SH DEFINED 01 1201000 0 384200
D K MART CORP. COMMON 482584109 27188 2806360 SH DEFINED 02 1338560 0 1467800
D K MART CORP. COMMON 482584109 39 4000 SH OTHER 01 4000 0 0
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 6 300 SH DEFINED 17 300 0 0
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 1100 51300 SH DEFINED 01 51300 0 0
D KAUFMAN & BROAD HOME CORP. COMMON 486168107 5055 235800 SH DEFINED 02 38500 0 197300
D KEANE, INC. COMMON 486665102 947 37500 SH DEFINED 02 0 0 37500
D KEEBLER FOODS CO COMMON 487256109 60 2100 SH DEFINED 05 0 0 2100
D KEEBLER FOODS CO COMMON 487256109 14052 489825 SH DEFINED 01 423900 0 65925
D KEEBLER FOODS CO COMMON 487256109 9651 336425 SH DEFINED 02 271175 0 65250
D KELLOGG CO. COMMON 487836108 889 34520 SH DEFINED 17 34520 0 0
D KELLOGG CO. COMMON 487836108 41 1600 SH DEFINED 05 800 0 800
D KELLOGG CO. COMMON 487836108 21938 851980 SH DEFINED 01 680500 0 171480
D KELLOGG CO. COMMON 487836108 24243 941472 SH DEFINED 02 466372 0 475100
D KELLOGG CO. COMMON 487836108 93 3600 SH OTHER 05 0 3600 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 KELLOGG CO. COMMON 487836108 1017 39486 SH OTHER 01 8028 31458 0
D KELLSTROM INDUSTRIES INC COMMON 488035106 22 3900 SH DEFINED 01 3900 0 0
D KELLSTROM INDUSTRIES INC COMMON 488035106 88 15400 SH DEFINED 02 0 0 15400
D KEMET CORP. COMMON 488360108 2726 43100 SH DEFINED 01 43100 0 0
D KEMET CORP. COMMON 488360108 2201 34800 SH DEFINED 02 34800 0 0
D KENAN TRANSPORT COMPANY COMMON 488539107 405 22100 SH DEFINED 01 1200 0 20900
D KENAN TRANSPORT COMPANY COMMON 488539107 5494 300000 SH OTHER 15 300000 0 0
D KENNAMETAL, INC. COMMON 489170100 4666 155200 SH DEFINED 01 155200 0 0
D KENNAMETAL, INC. COMMON 489170100 3015 100300 SH DEFINED 02 68000 0 32300
D KENT ELECTRONICS CORP. COMMON 490553104 598 20500 SH DEFINED 01 20500 0 0
D KENT ELECTRONICS CORP. COMMON 490553104 306 10500 SH DEFINED 02 900 0 9600
D KERR-MCGEE CORP. COMMON 492386107 4412 76400 SH DEFINED 17 76400 0 0
D KERR-MCGEE CORP. COMMON 492386107 170 2950 SH DEFINED 01 2950 0 0
D KERR-MCGEE CORP. COMMON 492386107 2 36 SH DEFINED 02 0 0 36
D KEYCORP COMMON 493267108 53 2800 SH DEFINED 17 2800 0 0
D KEYCORP COMMON 493267108 899 47300 SH DEFINED 06 47300 0 0
D KEYCORP COMMON 493267108 146 7700 SH DEFINED 05 7700 0 0
D KEYCORP COMMON 493267108 96047 5055119 SH DEFINED 01 3573699 0 1481420
D KEYCORP COMMON 493267108 243085 12793950 SH DEFINED 02 9620050 0 3173900
D KEYCORP COMMON 493267108 933 49100 SH OTHER 09 49100 0 0
D KEYCORP COMMON 493267108 1523 80170 SH OTHER 01 24710 55460 0
D KEYCORP COMMON 493267108 2945 155000 SH OTHER 0304 155000 0 0
D KEYNOTE SYS INC COMMON 493308100 107 1050 SH DEFINED 05 0 0 1050
D KEYNOTE SYS INC COMMON 493308100 12377 121050 SH DEFINED 01 89820 0 31230
D KEYNOTE SYS INC COMMON 493308100 8052 78750 SH DEFINED 02 62500 0 16250
D KILROY RLTY CORP COMMON 49427F108 200 9500 SH DEFINED 16 9500 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 KIMBERLY-CLARK CORP. COMMON 494368103 5791 103300 SH DEFINED 17 103300 0 0
D KIMBERLY-CLARK CORP. COMMON 494368103 1052 18760 SH DEFINED 05 500 0 18260
D KIMBERLY-CLARK CORP. COMMON 494368103 44538 794425 SH DEFINED 01 520230 0 274195
D KIMBERLY-CLARK CORP. COMMON 494368103 102343 1825500 SH DEFINED 02 1326100 0 499400
D KIMBERLY-CLARK CORP. COMMON 494368103 434 7744 SH OTHER 05 0 7744 0
D KIMBERLY-CLARK CORP. COMMON 494368103 16734 298486 SH OTHER 01 23340 275146 0
D KIMCO REALTY CORP. COMMON 49446R109 4748 126600 SH DEFINED 01 126600 0 0
D KIMCO REALTY CORP. COMMON 49446R109 6019 160500 SH DEFINED 02 138100 0 22400
D KINDER MORGAN INC KANS COMMON 49455P101 8144 236070 SH DEFINED 17 236070 0 0
D KINDER MORGAN INC KANS COMMON 49455P101 16422 476000 SH DEFINED 18 476000 0 0
D KINDER MORGAN INC KANS COMMON 49455P101 11937 346000 SH DEFINED 01 346000 0 0
D KINDER MORGAN INC KANS COMMON 49455P101 12137 351800 SH DEFINED 02 268400 0 83400
D KING PHARMACEUTICALS INC COMMON 495582108 586 18600 SH DEFINED 01 18600 0 0
D KING PHARMACEUTICALS INC COMMON 495582108 520 16500 SH DEFINED 02 7800 0 8700
D K MART FINANCING 7.75% CV. PFD PREF-CONV 498778208 4539 105400 SH DEFINED 01
D KNIGHT RIDDER, INC. COMMON 499040103 26 500 SH DEFINED 17 500 0 0
D KNIGHT RIDDER, INC. COMMON 499040103 1102 21500 SH DEFINED 06 21500 0 0
D KNIGHT RIDDER, INC. COMMON 499040103 21 400 SH DEFINED 05 400 0 0
D KNIGHT RIDDER, INC. COMMON 499040103 31911 622650 SH DEFINED 01 443100 0 179550
D KNIGHT RIDDER, INC. COMMON 499040103 62854 1226414 SH DEFINED 02 841914 0 384500
D KNIGHT RIDDER, INC. COMMON 499040103 5084 99200 SH OTHER 01 1400 97800 0
D KNIGHT/TRIMARK GROUP INC NEW COMMON 499068104 26 500 SH DEFINED 01 0 0 500
D KNIGHT/TRIMARK GROUP INC NEW COMMON 499068104 1413 27700 SH DEFINED 02 0 0 27700
D KOHL'S CORP. COMMON 500255104 103 1000 SH DEFINED 17 1000 0 0
D KOHL'S CORP. COMMON 500255104 154 1500 SH DEFINED 05 0 0 1500
D KOHL'S CORP. COMMON 500255104 299 2920 SH DEFINED 01 2920 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 KOHL'S CORP. COMMON 500255104 800 7800 SH DEFINED 02 2600 0 5200
D KONINKLIJKE PHILIPS ELECTRS COMMON 500472204 343 2000 SH DEFINED 17 2000 0 0
D KONINKLIJKE PHILIPS ELECTRS COMMON 500472204 840 4904 SH DEFINED 01 82 0 4822
D KOPIN CORP. COMMON 500600101 7508 109200 SH DEFINED 01 109200 0 0
D KOPIN CORP. COMMON 500600101 19064 277300 SH DEFINED 02 220000 0 57300
D KOPIN CORP. COMMON 500600101 138 2000 SH OTHER 01 0 2000 0
D KROGER COMPANY COMMON 501044101 90 5100 SH DEFINED 17 5100 0 0
D KROGER COMPANY COMMON 501044101 19 1100 SH DEFINED 05 1100 0 0
D KROGER COMPANY COMMON 501044101 61416 3496920 SH DEFINED 01 2489820 0 1007100
D KROGER COMPANY COMMON 501044101 114639 6527306 SH DEFINED 02 3766106 0 2761200
D KROGER COMPANY COMMON 501044101 153 8700 SH OTHER 01 8700 0 0
D KULICKE & SOFFA INDUSTRIES, IN COMMON 501242101 19 300 SH DEFINED 16 300 0 0
D KULICKE & SOFFA INDUSTRIES, IN COMMON 501242101 974 15200 SH DEFINED 01 15200 0 0
D KULICKE & SOFFA INDUSTRIES, IN COMMON 501242101 1646 25700 SH DEFINED 02 12600 0 13100
D LCA-VISION INC COMMON 501803209 468 91800 SH DEFINED 01 91800 0 0
D LCA-VISION INC COMMON 501803209 133 26089 SH DEFINED 02 16600 0 9489
D LCC INTERNATIONAL, INC. COMMON 501810105 618 15600 SH DEFINED 02 0 0 15600
D LG&E ENERGY CORP. COMMON 501917108 338 15000 SH DEFINED 16 15000 0 0
D LG&E ENERGY CORP. COMMON 501917108 324 14158 SH OTHER 01 10484 3674 0
D LTV CORP. COMMON 501921100 50 14100 SH DEFINED 02 14100 0 0
D LHS GROUP INC COMMON 501938104 1583 35185 SH DEFINED 01 0 0 35185
D LHS GROUP INC COMMON 501938104 2223 49400 SH DEFINED 02 49400 0 0
D LNR PPTY CORP COMMON 501940100 193 10100 SH DEFINED 01 10100 0 0
D LNR PPTY CORP COMMON 501940100 566 29700 SH DEFINED 02 7200 0 22500
D LSI INDUSTRIES, INC. COMMON 50216C108 337 17325 SH DEFINED 02 0 0 17325
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LSI LOGIC CORP 'CONV BOND' BOND 502161AE2 0432085000 PRN DEFINED 16
D LSI LOGIC CORP. COMMON 502161102 349 4800 SH DEFINED 17 4800 0 0
D LSI LOGIC CORP. COMMON 502161102 11041 169700 SH DEFINED 16 169700 0 0
D LTC PROPERTIES, INC. COMMON 502175102 189 35200 SH DEFINED 01 35200 0 0
D LTC PROPERTIES, INC. COMMON 502175102 38 7100 SH DEFINED 02 7100 0 0
D LTX CORP. COMMON 502392103 294 6500 SH DEFINED 05 0 0 6500
D LTX CORP. COMMON 502392103 19840 439050 SH DEFINED 01 307450 0 131600
D LTX CORP. COMMON 502392103 2788 61700 SH DEFINED 02 39100 0 22600
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 47 900 SH DEFINED 05 0 0 900
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 7091 136525 SH DEFINED 01 110300 0 26225
D L-3 COMMUNICATIONS HOLDINGS IN COMMON 502424104 5438 104700 SH DEFINED 02 82900 0 21800
D LA-Z-BOY CHAIR CO. COMMON 505336107 833 54200 SH DEFINED 01 54200 0 0
D LA-Z-BOY CHAIR CO. COMMON 505336107 573 37300 SH DEFINED 02 37300 0 0
D LABORATORY CORP. OF AMERICA HL COMMON 50540R102 266 62700 SH DEFINED 02 1800 0 60900
D LAFARGE CORP. COMMON 505862102 594 25000 SH DEFINED 01 0 0 25000
D LAFARGE CORP. COMMON 505862102 2 100 SH DEFINED 02 100 0 0
D LAM RESEARCH CORP. COMMON 512807108 365 8100 SH DEFINED 05 0 0 8100
D LAM RESEARCH CORP. COMMON 512807108 36686 814100 SH DEFINED 01 577075 0 237025
D LAM RESEARCH CORP. COMMON 512807108 19042 422575 SH DEFINED 02 303375 0 119200
D LAMAR ADVERTISIN BOND 512815AF8 0 275000 PRN DEFINED 16
D LAMAR ADVERTISING CO COMMON 512815101 1658 36450 SH DEFINED 02 0 0 36450
D LANCASTER COLONY CORP. COMMON 513847103 636 20799 SH DEFINED 02 0 0 20799
D LANDAMERICA FINANCIAL GROUP IN COMMON 514936103 209 10800 SH DEFINED 01 10800 0 0
D LANDAMERICA FINANCIAL GROUP IN COMMON 514936103 688 35500 SH DEFINED 02 1400 0 34100
D LANDRY'S SEAFOOD RESTAURANTS, COMMON 51508L103 741 116300 SH DEFINED 01 116300 0 0
D LANDRY'S SEAFOOD RESTAURANTS, COMMON 51508L103 585 91800 SH DEFINED 02 58900 0 32900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LANDSTAR SYSTEM, INC. COMMON 515098101 241 4400 SH DEFINED 02 700 0 3700
D LANIER WORLDWIDE INC COMMON 51589L105 15 7300 SH DEFINED 01 4400 0 2900
D LANIER WORLDWIDE INC COMMON 51589L105 0 200 SH OTHER 05 0 200 0
D LANIER WORLDWIDE INC COMMON 51589L105 25 12300 SH OTHER 01 0 12300 0
D LASALLE HOTEL PROPERITIES COMMON 517942108 1171 93700 SH DEFINED 01 93700 0 0
D LASALLE HOTEL PROPERITIES COMMON 517942108 221 17700 SH DEFINED 02 17700 0 0
D LASER VISION CTRS INC COMMON 51807H100 246 35400 SH DEFINED 02 0 0 35400
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 61 900 SH DEFINED 05 0 0 900
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 175 2585 SH DEFINED 16 2585 0 0
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 7554 111600 SH DEFINED 01 86000 0 25600
D LATTICE SEMICONDUCTOR CORP. COMMON 518415104 5117 75600 SH DEFINED 02 46400 0 29200
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 210 4200 SH DEFINED 05 2000 0 2200
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 656 13100 SH DEFINED 16 13100 0 0
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 15774 315078 SH DEFINED 01 314078 0 1000
D LAUDER (ESTEE) COMPANIES, INC. COMMON 518439104 300 6000 SH OTHER 01 6000 0 0
D LEAP WIRELESS INTERNATIONAL, I COMMON 521863100 2916 29550 SH DEFINED 01 29550 0 0
D LEAP WIRELESS INTERNATIONAL, I COMMON 521863100 513 5200 SH DEFINED 02 5200 0 0
D LEAR CORP. COMMON 521865105 17 600 SH DEFINED 05 600 0 0
D LEAR CORP. COMMON 521865105 32518 1156200 SH DEFINED 01 823600 0 332600
D LEAR CORP. COMMON 521865105 121647 4325216 SH DEFINED 02 3408216 0 917000
D LEAR CORP. COMMON 521865105 31 1100 SH OTHER 01 1100 0 0
D LEE ENTERPRISES, INC. COMMON 523768109 201 7700 SH DEFINED 01 7700 0 0
D LEE ENTERPRISES, INC. COMMON 523768109 496 19000 SH OTHER 01 0 19000 0
D LEGATO SYSTEMS, INC. COMMON 524651106 1941 43500 SH DEFINED 01 43500 0 0
D LEGATO SYSTEMS, INC. COMMON 524651106 1696 38000 SH DEFINED 02 2100 0 35900
D LEGGETT & PLATT, INC. COMMON 524660107 26 1200 SH DEFINED 17 1200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LEGGETT & PLATT, INC. COMMON 524660107 26 1200 SH DEFINED 05 1200 0 0
D LEGGETT & PLATT, INC. COMMON 524660107 9906 460725 SH DEFINED 01 328075 0 132650
D LEGGETT & PLATT, INC. COMMON 524660107 31887 1483130 SH DEFINED 02 1117330 0 365800
D LEGG MASON, INC. COMMON 524901105 822 19000 SH DEFINED 02 0 0 19000
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 68 700 SH DEFINED 17 700 0 0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 97 1000 SH DEFINED 16 1000 0 0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 7768 80080 SH DEFINED 01 76930 0 3150
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 19 200 SH OTHER 05 0 200 0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON 524908100 60 620 SH OTHER 01 0 620 0
D LENDINGTREE INC COMMON 52602Q105 6 425 SH DEFINED 05 0 0 425
D LENDINGTREE INC COMMON 52602Q105 576 42650 SH DEFINED 01 31700 0 10950
D LENDINGTREE INC COMMON 52602Q105 424 31425 SH DEFINED 02 25475 0 5950
D LENNAR CORP. COMMON 526057104 2930 135093 SH DEFINED 01 135093 0 0
D LENNAR CORP. COMMON 526057104 646 29800 SH DEFINED 02 16600 0 13200
D LEUCADIA NATIONAL CORP. COMMON 527288104 48 2000 SH DEFINED 05 2000 0 0
D LEUCADIA NATIONAL CORP. COMMON 527288104 19 800 SH DEFINED 01 800 0 0
D LEUCADIA NATIONAL CORP. COMMON 527288104 209 8800 SH DEFINED 02 0 0 8800
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 159 1500 SH DEFINED 17 1500 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 6980 66000 SH DEFINED 18 66000 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 180 1700 SH DEFINED 05 1700 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 6895 65200 SH DEFINED 16 65200 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 52783 499134 SH DEFINED 01 264145 0 234989
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 192812 1823285 SH DEFINED 02 1573135 0 250150
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 635 6000 SH OTHER 101112 0 6000 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 1354 12800 SH OTHER 09 12800 0 0
D LEVEL 3 COMMUNICATIONS INC COMMON 52729N100 4380 41420 SH OTHER 01 18180 23240 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 85 800 SH DEFINED 17 800 0 0
D LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 21 200 SH DEFINED 05 200 0 0
D LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 30170 285300 SH DEFINED 01 218600 0 66700
D LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 59061 558500 SH DEFINED 02 332000 0 226500
D LEXMARK INTERNATIONAL GROUP, I COMMON 529771107 74 700 SH OTHER 01 700 0 0
D LIBBEY, INC. COMMON 529898108 134 4900 SH DEFINED 01 4900 0 0
D LIBBEY, INC. COMMON 529898108 350 12800 SH DEFINED 02 9800 0 3000
D LIBERATE TECHNOLOGIES COMMON 530129105 163 2600 SH DEFINED 05 0 0 2600
D LIBERATE TECHNOLOGIES COMMON 530129105 15956 254275 SH DEFINED 01 173850 0 80425
D LIBERATE TECHNOLOGIES COMMON 530129105 5622 89600 SH DEFINED 02 60950 0 28650
D LIBERTY DIGITAL INC COMMON 530436104 685 17800 SH DEFINED 01 17800 0 0
D LIBERTY DIGITAL INC COMMON 530436104 116 3000 SH DEFINED 02 900 0 2100
D LIBERTY FINANCIAL COMPANIES, I COMMON 530512102 283 14300 SH DEFINED 01 14300 0 0
D LIBERTY FINANCIAL COMPANIES, I COMMON 530512102 129 6519 SH DEFINED 02 1500 0 5019
D LIBERTY PROPERTY TRUST S/B/I COMMON 531172104 1922 80300 SH DEFINED 01 80300 0 0
D LIBERTY PROPERTY TRUST S/B/I COMMON 531172104 4948 206700 SH DEFINED 02 189000 0 17700
D LIFEMINDERS COM INC COMMON 53219H108 56 825 SH DEFINED 05 0 0 825
D LIFEMINDERS COM INC COMMON 53219H108 5834 85950 SH DEFINED 01 64725 0 21225
D LIFEMINDERS COM INC COMMON 53219H108 4224 62225 SH DEFINED 02 50050 0 12175
D LIFEPOINT HOSPITALS INC COMMON 53219L109 764 45952 SH DEFINED 18 45952 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 18411 1107402 SH DEFINED 19 1107402 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 3 168 SH DEFINED 16 168 0 0
D LIFEPOINT HOSPITALS INC COMMON 53219L109 11 653 SH DEFINED 01 414 0 239
D LIFEPOINT HOSPITALS INC COMMON 53219L109 3 152 SH DEFINED 02 0 0 152
D LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 178 10000 SH DEFINED 05 0 0 10000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 21451 1208514 SH DEFINED 01 930750 0 277764
D LIGAND PHARMACEUTICALS, INC. C COMMON 53220K207 26286 1480900 SH DEFINED 02 1321200 0 159700
D LIGHTSPAN PARTNERSHIP INC COMMON 532262102 21 1200 SH DEFINED 05 0 0 1200
D LIGHTSPAN PARTNERSHIP INC COMMON 532262102 2355 132650 SH DEFINED 01 99450 0 33200
D LIGHTSPAN PARTNERSHIP INC COMMON 532262102 1591 89625 SH DEFINED 02 72075 0 17550
D LILLY (ELI) & CO. COMMON 532457108 5458 87150 SH DEFINED 17 87150 0 0
D LILLY (ELI) & CO. COMMON 532457108 2786 44484 SH DEFINED 05 27904 0 16580
D LILLY (ELI) & CO. COMMON 532457108 2023 32300 SH DEFINED 16 32300 0 0
D LILLY (ELI) & CO. COMMON 532457108 324302 5178483 SH DEFINED 01 3614908 0 1563575
D LILLY (ELI) & CO. COMMON 532457108 757061 12088802 SH DEFINED 02 8416002 0 3672800
D LILLY (ELI) & CO. COMMON 532457108 31 500 SH OTHER 05 0 500 0
D LILLY (ELI) & CO. COMMON 532457108 1872 29900 SH OTHER 09 29900 0 0
D LILLY (ELI) & CO. COMMON 532457108 76446 1220691 SH OTHER 01 1088792 131899 0
D LILLY (ELI) & CO. COMMON 532457108 2818 45000 SH OTHER 0304 45000 0 0
D LIMITED, INC. COMMON 532716107 55 1300 SH DEFINED 17 1300 0 0
D LIMITED, INC. COMMON 532716107 77910 1849500 SH DEFINED 01 1847500 0 2000
D LIMITED, INC. COMMON 532716107 792 18800 SH DEFINED 02 10000 0 8800
D LINCARE HOLDINGS, INC. COMMON 532791100 2225 78400 SH DEFINED 01 78400 0 0
D LINCARE HOLDINGS, INC. COMMON 532791100 795 28000 SH DEFINED 02 4100 0 23900
D LINCOLN ELECTRIC HOLDINGS COMMON 533900106 385 15900 SH DEFINED 01 15900 0 0
D LINCOLN ELECTRIC HOLDINGS COMMON 533900106 747 30900 SH DEFINED 02 14900 0 16000
D LINCOLN NATIONAL CORP. COMMON 534187109 1243 37100 SH DEFINED 17 37100 0 0
D LINCOLN NATIONAL CORP. COMMON 534187109 29891 892260 SH DEFINED 01 652700 0 239560
D LINCOLN NATIONAL CORP. COMMON 534187109 58877 1757532 SH DEFINED 02 910032 0 847500
D LINCOLN NATIONAL CORP. COMMON 534187109 104 3100 SH OTHER 01 3100 0 0
D LINEAR TECHNOLOGY CORP. COMMON 535678106 90391 1816904 SH DEFINED 16 1816904 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LINEAR TECHNOLOGY CORP. COMMON 535678106 1122 20400 SH DEFINED 01 20400 0 0
D LIPOSOME CO., INC. COMMON 536310105 164 9300 SH DEFINED 16 9300 0 0
D LIPOSOME CO., INC. COMMON 536310105 273 15600 SH DEFINED 01 15600 0 0
D LIPOSOME CO., INC. COMMON 536310105 458 26200 SH DEFINED 02 4400 0 21800
D LITHIA MOTORS,INC. "A" COMMON 536797103 2582 169300 SH DEFINED 01 169300 0 0
D LITHIA MOTORS,INC. "A" COMMON 536797103 4308 282500 SH DEFINED 02 236200 0 46300
D LITTELFUSE INC COMMON 537008104 209 5700 SH DEFINED 01 5700 0 0
D LITTON INDUSTRIES, INC. COMMON 538021106 1436 32500 SH DEFINED 01 32500 0 0
D LITTON INDUSTRIES, INC. COMMON 538021106 477 10800 SH DEFINED 02 1400 0 9400
D LIZ CLAIBORNE, INC. COMMON 539320101 18 400 SH DEFINED 17 400 0 0
D LIZ CLAIBORNE, INC. COMMON 539320101 6872 150000 SH DEFINED 18 150000 0 0
D LIZ CLAIBORNE, INC. COMMON 539320101 7035 153557 SH DEFINED 01 153557 0 0
D LO-JACK CORP. COMMON 539451104 98 12700 SH DEFINED 02 0 0 12700
D LOCAL FINL CORP COMMON 539553107 165 19300 SH DEFINED 02 19300 0 0
D LOCKHEED MARTIN CORP. COMMON 539830109 49 2400 SH DEFINED 17 2400 0 0
D LOCKHEED MARTIN CORP. COMMON 539830109 2 100 SH DEFINED 05 100 0 0
D LOCKHEED MARTIN CORP. COMMON 539830109 46153 2258207 SH DEFINED 01 1650097 0 608110
D LOCKHEED MARTIN CORP. COMMON 539830109 113631 5559780 SH DEFINED 02 3532980 0 2026800
D LOCKHEED MARTIN CORP. COMMON 539830109 253 12400 SH OTHER 01 3400 9000 0
D LOCKHEED MARTIN CORP. COMMON 539830109 1022 50000 SH OTHER 0304 50000 0 0
D LODGIAN INC COMMON 54021P106 146 38800 SH DEFINED 02 38800 0 0
D LOEWS CORP. COMMON 540424108 35 700 SH DEFINED 17 700 0 0
D LOEWS CORP. COMMON 540424108 2045 40900 SH DEFINED 01 39500 0 1400
D LONE STAR STEAKHOUSE & SALOON, COMMON 542307103 609 59800 SH DEFINED 01 59800 0 0
D LONE STAR STEAKHOUSE & SALOON, COMMON 542307103 602 59100 SH DEFINED 02 59100 0 0
D LONE STAR TECHNOLOGIES, INC. COMMON 542312103 606 13000 SH DEFINED 02 0 0 13000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LOOKSMART LTD COMMON 543442107 2455 55800 SH DEFINED 01 55800 0 0
D LOOKSMART LTD COMMON 543442107 6156 139900 SH DEFINED 02 109000 0 30900
D LOUIS DREYFUS NATURAL GAS CORP COMMON 546011107 1584 46600 SH DEFINED 01 46600 0 0
D LOUIS DREYFUS NATURAL GAS CORP COMMON 546011107 381 11200 SH DEFINED 02 4400 0 6800
D LOUISIANA PACIFIC CORP. COMMON 546347105 10 700 SH DEFINED 17 700 0 0
D LOUISIANA PACIFIC CORP. COMMON 546347105 234 16900 SH DEFINED 01 0 0 16900
D LOUISIANA PACIFIC CORP. COMMON 546347105 1394 100458 SH DEFINED 02 53858 0 46600
D LOWE'S COMPANIES, INC. COMMON 548661107 140 2400 SH DEFINED 17 2400 0 0
D LOWE'S COMPANIES, INC. COMMON 548661107 18 300 SH DEFINED 05 300 0 0
D LOWE'S COMPANIES, INC. COMMON 548661107 44693 765625 SH DEFINED 01 475690 0 289935
D LOWE'S COMPANIES, INC. COMMON 548661107 53676 919500 SH DEFINED 02 462200 0 457300
D LOWE'S COMPANIES, INC. COMMON 548661107 1059 18145 SH OTHER 01 5945 12200 0
D LUBRIZOL CORP. COMMON 549271104 14 500 SH DEFINED 05 500 0 0
D LUBRIZOL CORP. COMMON 549271104 17 600 SH DEFINED 01 600 0 0
D LUBRIZOL CORP. COMMON 549271104 576 20000 SH OTHER 101112 0 20000 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 9641 157400 SH DEFINED 17 157400 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 13934 227500 SH DEFINED 18 227500 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 9636 157330 SH DEFINED 05 73047 0 84283
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 2876 46950 SH DEFINED 16 46950 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 751 12266 SH DEFINED 19 12266 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 489161 7986310 SH DEFINED 01 5102402 0 2883908
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 839944 13713375 SH DEFINED 02 8500129 0 5213246
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 754 12316 SH OTHER 05 7124 5192 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 1588 25920 SH OTHER 101112 0 25920 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 2181 35600 SH OTHER 09 35600 0 0
D LUCENT TECHNOLOGIES, INC. COMMON 549463107 20312 331625 SH OTHER 01 110512 221113 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 LUCENT TECHNOLOGIES, INC. COMMON 549463107 3369 55000 SH OTHER 0304 55000 0 0
D LYCOS, INC. COMMON 550818108 1022 14554 SH DEFINED 17 14554 0 0
D LYCOS, INC. COMMON 550818108 7 105 SH DEFINED 16 105 0 0
D LYCOS, INC. COMMON 550818108 20966 298448 SH DEFINED 01 26700 0 271748
D LYCOS, INC. COMMON 550818108 1652 23519 SH DEFINED 02 1300 0 22219
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 22125 1500000 SH DEFINED 19 1500000 0 0
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 28 1900 SH DEFINED 05 1900 0 0
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 7375 500000 SH DEFINED 19 500000 0 0
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 24563 1665260 SH DEFINED 01 1422560 0 242700
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 39144 2653860 SH DEFINED 02 1495560 0 1158300
D LYONDELL PETROCHEMICAL CO. COMMON 552078107 37 2500 SH OTHER 01 2500 0 0
D M & T BANK CORPORATION COMMON 55261F104 9510 21300 SH DEFINED 01 17000 0 4300
D M & T BANK CORPORATION COMMON 55261F104 16360 36640 SH DEFINED 02 16740 0 19900
D M & T BANK CORPORATION COMMON 55261F104 45 100 SH OTHER 01 100 0 0
D MBIA, INC. COMMON 55262C100 31 600 SH DEFINED 17 600 0 0
D MBIA, INC. COMMON 55262C100 2343 45000 SH DEFINED 05 15500 0 29500
D MBIA, INC. COMMON 55262C100 72609 1394634 SH DEFINED 01 999885 0 394749
D MBIA, INC. COMMON 55262C100 197619 3795772 SH DEFINED 02 2702172 0 1093600
D MBIA, INC. COMMON 55262C100 3310 63573 SH OTHER 01 36100 27473 0
D MBIA, INC. COMMON 55262C100 4425 85000 SH OTHER 0304 85000 0 0
D MBNA CORP. COMMON 55262L100 125 4900 SH DEFINED 17 4900 0 0
D MBNA CORP. COMMON 55262L100 511 20025 SH DEFINED 05 16875 0 3150
D MBNA CORP. COMMON 55262L100 1873 70000 SH DEFINED 16 70000 0 0
D MBNA CORP. COMMON 55262L100 1654 64855 SH DEFINED 01 47550 0 17305
D MBNA CORP. COMMON 55262L100 120 4700 SH DEFINED 02 0 0 4700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MCN CORP. COMMON 55267J100 1893 75700 SH DEFINED 01 75700 0 0
D MCN CORP. COMMON 55267J100 275 11000 SH DEFINED 02 3600 0 7400
D MCN CORP. COMMON 55267J100 9 368 SH OTHER 01 0 368 0
D M. D. C. HOLDINGS, INC. COMMON 552676108 563 31400 SH DEFINED 01 31400 0 0
D M. D. C. HOLDINGS, INC. COMMON 552676108 807 45000 SH DEFINED 02 33600 0 11400
D MCI WORLDCOM INC COMMON 55268B106 241101 5320783 SH DEFINED 18 5320783 0 0
D MCI WORLDCOM INC COMMON 55268B106 9604 211949 SH DEFINED 05 90193 0 121756
D MCI WORLDCOM INC COMMON 55268B106 341 7510 SH DEFINED 16 7510 0 0
D MCI WORLDCOM INC COMMON 55268B106 670762 14802865 SH DEFINED 01 8226185 0 6576680
D MCI WORLDCOM INC COMMON 55268B106 1028452 22696623 SH DEFINED 02 14460463 0 8236160
D MCI WORLDCOM INC COMMON 55268B106 170 3750 SH OTHER 05 2550 1200 0
D MCI WORLDCOM INC COMMON 55268B106 2395 52850 SH OTHER 09 52850 0 0
D MCI WORLDCOM INC COMMON 55268B106 44114 973531 SH OTHER 01 377489 596042 0
D MCI WORLDCOM INC COMMON 55268B106 3738 82500 SH OTHER 0304 82500 0 0
D MFS MULTIMARKET INCOME TRUST - COMMON 552737108 174 30000 SH DEFINED 01
D MGC COMMUNICATIONS INC COMMON 552763302 57 800 SH DEFINED 05 0 0 800
D MGC COMMUNICATIONS INC COMMON 552763302 8071 112875 SH DEFINED 01 90400 0 22475
D MGC COMMUNICATIONS INC COMMON 552763302 5727 80100 SH DEFINED 02 56900 0 23200
D MGIC INVESTMENT CORP. COMMON 552848103 654 15000 SH DEFINED 16 15000 0 0
D MGIC INVESTMENT CORP. COMMON 552848103 432 9900 SH DEFINED 02 0 0 9900
D MGM GRAND, INC. COMMON 552953101 64 2658 SH DEFINED 01 2054 0 604
D MGM GRAND, INC. COMMON 552953101 171 7108 SH DEFINED 02 0 0 7108
D MKS INSTRUMENT INC COMMON 55306N104 227 4500 SH DEFINED 05 0 0 4500
D MKS INSTRUMENT INC COMMON 55306N104 25963 514125 SH DEFINED 01 384575 0 129550
D MKS INSTRUMENT INC COMMON 55306N104 13011 257650 SH DEFINED 02 204300 0 53350
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MMC NETWORKS INC COMMON 55308N102 805 24400 SH DEFINED 01 24400 0 0
D MMC NETWORKS INC COMMON 55308N102 142 4300 SH DEFINED 02 4300 0 0
D MRV COMMUNICATIONS, INC. COMMON 553477100 2336 25500 SH DEFINED 16 25500 0 0
D MRV COMMUNICATIONS, INC. COMMON 553477100 1704 18600 SH DEFINED 01 18600 0 0
D MRV COMMUNICATIONS, INC. COMMON 553477100 1649 18000 SH DEFINED 02 12200 0 5800
D MSC INDUSTRIAL DIRECT CO., INC COMMON 553530106 90 5000 SH DEFINED 01 0 0 5000
D MSC INDUSTRIAL DIRECT CO., INC COMMON 553530106 99 5500 SH DEFINED 02 0 0 5500
D M T S SYSTEMS CORP. COMMON 553777103 226 29700 SH DEFINED 02 0 0 29700
D MTI TECHNOLOGY CORP COMMON 553903105 675 25600 SH DEFINED 01 25600 0 0
D MTI TECHNOLOGY CORP COMMON 553903105 768 29100 SH DEFINED 02 6100 0 23000
D MACDERMID, INC. COMMON 554273102 74 2800 SH DEFINED 01 2800 0 0
D MACDERMID, INC. COMMON 554273102 501 18900 SH DEFINED 02 0 0 18900
D MACDERMID, INC. COMMON 554273102 795 30000 SH OTHER 01 0 30000 0
D MACERICH CO. COMMON 554382101 7070 342800 SH DEFINED 01 342800 0 0
D MACERICH CO. COMMON 554382101 14916 723200 SH DEFINED 02 643600 0 79600
D MACK CALI RLTY CORP COMMON 554489104 204 8000 SH DEFINED 16 8000 0 0
D MACK CALI RLTY CORP COMMON 554489104 4330 169800 SH DEFINED 01 169800 0 0
D MACK CALI RLTY CORP COMMON 554489104 9483 371900 SH DEFINED 02 334400 0 37500
D MACROVISION CORP COMMON 555904101 1774 20600 SH DEFINED 01 20600 0 0
D MACROVISION CORP COMMON 555904101 319 3700 SH DEFINED 02 3700 0 0
D MACROMEDIA, INC. COMMON 556100105 217 2400 SH DEFINED 17 2400 0 0
D MACROMEDIA, INC. COMMON 556100105 3342 37000 SH DEFINED 18 37000 0 0
D MACROMEDIA, INC. COMMON 556100105 63 702 SH DEFINED 16 702 0 0
D MACROMEDIA, INC. COMMON 556100105 5699 63100 SH DEFINED 01 62500 0 600
D MACROMEDIA, INC. COMMON 556100105 23531 260554 SH DEFINED 02 223274 0 37280
FORM 13F INFORMATION TABLE MARCH 31 2000 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 STEVEN MADDEN, LTD. COMMON 556269108 156 8200 SH DEFINED 01 8200 0 0
D STEVEN MADDEN, LTD. COMMON 556269108 61 3200 SH DEFINED 02 3200 0 0
D MAGELLAN HEALTH SVCS INC COMMON 559079108 106 22000 SH DEFINED 02 4900 0 17100
D MAGNA ENTMT CORP COMMON 559211107 69 20000 SH DEFINED 02 0 0 20000
D MATAV RT COMMON 559776109 1901 42600 SH DEFINED 17 42600 0 0
D MAIL WELL INC "CONV BOND" BOND 560321AD3 0 3500000 PRN DEFINED 16
D MALLINCKRODT INC NEW COMMON 561232109 12 400 SH DEFINED 17 400 0 0
D MALLINCKRODT INC NEW COMMON 561232109 173 6000 SH DEFINED 05 0 0 6000
D MALLINCKRODT INC NEW COMMON 561232109 2214 77000 SH DEFINED 01 77000 0 0
D MALLINCKRODT INC NEW COMMON 561232109 555 19300 SH DEFINED 02 3400 0 15900
D MANDALAY RESORT GROUP COMMON 562567107 3660 216900 SH DEFINED 01 193900 0 23000
D MANDALAY RESORT GROUP COMMON 562567107 8385 496900 SH DEFINED 02 242400 0 254500
D MANDALAY RESORT GROUP COMMON 562567107 15 900 SH OTHER 01 900 0 0
D MANITOWOC, INC. COMMON 563571108 2659 96700 SH DEFINED 01 96700 0 0
D MANITOWOC, INC. COMMON 563571108 3518 127937 SH DEFINED 02 95400 0 32537
D MANOR CARE INC NEW COMMON 564055101 8 600 SH DEFINED 17 600 0 0
D MANOR CARE INC NEW COMMON 564055101 235 17400 SH DEFINED 01 2550 0 14850
D MANOR CARE INC NEW COMMON 564055101 1166 86400 SH DEFINED 02 51600 0 34800
D MANOR CARE INC NEW COMMON 564055101 128 9450 SH OTHER 01 9000 450 0
D MANPOWER, INC. COMMON 56418H100 912 25700 SH DEFINED 01 25700 0 0
D MANPOWER, INC. COMMON 56418H100 167 4700 SH DEFINED 02 1200 0 3500
D MANSUR INDUSTRIES, INC. COMMON 564491108 198 31700 SH DEFINED 01 31700 0 0
D MANUFACTURED HOME COMMUNITIES, COMMON 564682102 4257 184100 SH DEFINED 01 184100 0 0
D MANUFACTURED HOME COMMUNITIES, COMMON 564682102 7712 333500 SH DEFINED 02 276400 0 57100
D MAPICS, INC. COMMON 564910107 159 10000 SH DEFINED 02 1900 0 8100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MANUGISTICS GROUP, INC. COMMON 565011103 122 2400 SH DEFINED 05 0 0 2400
D MANUGISTICS GROUP, INC. COMMON 565011103 1 17 SH DEFINED 16 17 0 0
D MANUGISTICS GROUP, INC. COMMON 565011103 12501 245125 SH DEFINED 01 172050 0 73075
D MANUGISTICS GROUP, INC. COMMON 565011103 1112 21800 SH DEFINED 02 16500 0 5300
D MAPQUEST COM INC COMMON 565644101 2067 99600 SH DEFINED 16 99600 0 0
D MARCUS CORP. COMMON 566330106 167 12887 SH DEFINED 02 8500 0 4387
D MARK IV INDUSTRIES, INC. COMMON 570387100 1864 84500 SH DEFINED 01 81500 0 3000
D MARK IV INDUSTRIES, INC. COMMON 570387100 1516 68700 SH DEFINED 02 49900 0 18800
D MARKEL CORP. COMMON 570535104 247 1700 SH DEFINED 02 0 0 1700
D MARKEL CORP. COMMON 570535104 444 3053 SH OTHER 01 0 3053 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 177 1600 SH DEFINED 17 1600 0 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 684 6200 SH DEFINED 05 4300 0 1900
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 88538 802611 SH DEFINED 01 429834 0 372777
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 69817 632900 SH DEFINED 02 560350 0 72550
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 2636 23900 SH OTHER 09 23900 0 0
D MARSH & MCLENNAN COMPANIES, IN COMMON 571748102 19932 180685 SH OTHER 01 44195 136490 0
D MARSHALL & ILSLEY CORP. COMMON 571834100 27106 469370 SH DEFINED 01 375900 0 93470
D MARSHALL & ILSLEY CORP. COMMON 571834100 73079 1265431 SH DEFINED 02 821090 0 444341
D MARSHALL & ILSLEY CORP. COMMON 571834100 64 1100 SH OTHER 01 1100 0 0
D MARRIOTT INTERNATIONAL INC COMMON 571903202 47 1500 SH DEFINED 17 1500 0 0
D MARRIOTT INTERNATIONAL INC COMMON 571903202 21244 674425 SH DEFINED 01 503585 0 170840
D MARRIOTT INTERNATIONAL INC COMMON 571903202 40352 1281000 SH DEFINED 02 916400 0 364600
D MARRIOTT INTERNATIONAL INC COMMON 571903202 110 3500 SH OTHER 01 3500 0 0
D MASCO CORP. COMMON 574599106 55 2700 SH DEFINED 17 2700 0 0
D MASCO CORP. COMMON 574599106 53 2600 SH DEFINED 05 0 0 2600
D MASCO CORP. COMMON 574599106 11840 577576 SH DEFINED 01 361200 0 216376
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MASCO CORP. COMMON 574599106 19104 931920 SH DEFINED 02 541820 0 390100
D MASCO CORP. COMMON 574599106 318 15500 SH OTHER 01 500 15000 0
D MASCOTECH, INC. COMMON 574670105 3 240 SH DEFINED 01 240 0 0
D MASCOTECH, INC. COMMON 574670105 435 35300 SH DEFINED 02 0 0 35300
D MASTEC INC COMMON 576323109 694 7800 SH DEFINED 01 7800 0 0
D MASTEC INC COMMON 576323109 917 10300 SH DEFINED 02 1800 0 8500
D MATRITECH INC COMMON 576818108 203 20000 SH DEFINED 01 20000 0 0
D MATRIXONE INC COMMON 57685P304 9 225 SH DEFINED 05 0 0 225
D MATRIXONE INC COMMON 57685P304 951 23800 SH DEFINED 01 17525 0 6275
D MATRIXONE INC COMMON 57685P304 626 15675 SH DEFINED 02 12475 0 3200
D MATTEL, INC. COMMON 577081102 27 2600 SH DEFINED 17 2600 0 0
D MATTEL, INC. COMMON 577081102 2 200 SH DEFINED 05 200 0 0
D MATTEL, INC. COMMON 577081102 33810 3219997 SH DEFINED 01 2347000 0 872997
D MATTEL, INC. COMMON 577081102 117412 11182110 SH DEFINED 02 8630610 0 2551500
D MATTEL, INC. COMMON 577081102 105 9960 SH OTHER 01 8978 982 0
D MATTHEWS INTL CORP COMMON 577128101 262 11600 SH DEFINED 02 0 0 11600
D MAXIM INTEGRATED PRODUCTS, INC COMMON 57772K101 5173 72800 SH DEFINED 02 0 0 72800
D MAXIM PHARMACEUTICALS INC WARRANT 57772M107 981 20900 SH DEFINED 17 20900 0 0
D MAXIM PHARMACEUTICALS INC WARRANT 57772M107 169 3590 SH DEFINED 01 0 0 3590
D MAXTOR CORP COMMON 577729205 1511 116781 SH DEFINED 16 116781 0 0
D MAXTOR CORP COMMON 577729205 26 2000 SH DEFINED 01 2000 0 0
D MAXWELL TECHNOLOGIES INC COMMON 577767106 238 17300 SH DEFINED 02 0 0 17300
D MAY DEPARTMENT STORES CO. COMMON 577778103 60 2100 SH DEFINED 17 2100 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 3015 105800 SH DEFINED 06 105800 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 46 1600 SH DEFINED 05 1600 0 0
D MAY DEPARTMENT STORES CO. COMMON 577778103 52539 1843470 SH DEFINED 01 1308600 0 534870
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MAY DEPARTMENT STORES CO. COMMON 577778103 107818 3783093 SH DEFINED 02 2354516 0 1428577
D MAY DEPARTMENT STORES CO. COMMON 577778103 816 28638 SH OTHER 01 9002 19636 0
D MAXXAM, INC. COMMON 577913106 276 9700 SH DEFINED 02 2300 0 7400
D MAVERICK TUBE CORP. COMMON 577914104 373 11500 SH DEFINED 01 11500 0 0
D MAVERICK TUBE CORP. COMMON 577914104 607 18700 SH DEFINED 02 0 0 18700
D MAYTAG CORP. COMMON 578592107 17 500 SH DEFINED 17 500 0 0
D MAYTAG CORP. COMMON 578592107 13 400 SH DEFINED 01 0 0 400
D MAYTAG CORP. COMMON 578592107 679 20500 SH DEFINED 02 4700 0 15800
D MCDERMOTT INTERNATIONAL, INC. COMMON 580037109 4 400 SH DEFINED 17 400 0 0
D MCDERMOTT INTERNATIONAL, INC. COMMON 580037109 9205 1001900 SH DEFINED 01 1001900 0 0
D MCDERMOTT INTERNATIONAL, INC. COMMON 580037109 8002 870900 SH DEFINED 02 720500 0 150400
D MCDONALD'S CORP. COMMON 580135101 14020 375108 SH DEFINED 18 375108 0 0
D MCDONALD'S CORP. COMMON 580135101 2437 65200 SH DEFINED 05 22700 0 42500
D MCDONALD'S CORP. COMMON 580135101 92118 2464686 SH DEFINED 01 1342850 0 1121836
D MCDONALD'S CORP. COMMON 580135101 131280 3512506 SH DEFINED 02 2241206 0 1271300
D MCDONALD'S CORP. COMMON 580135101 16229 434225 SH OTHER 01 59875 374350 0
D MCGRATH RENT CORP. COMMON 580589109 260 16400 SH DEFINED 02 0 0 16400
D MCGRAW-HILL, INC. COMMON 580645109 55 1200 SH DEFINED 17 1200 0 0
D MCGRAW-HILL, INC. COMMON 580645109 3999 87900 SH DEFINED 06 87900 0 0
D MCGRAW-HILL, INC. COMMON 580645109 4718 103692 SH DEFINED 01 94392 0 9300
D MCGRAW-HILL, INC. COMMON 580645109 1684 37000 SH DEFINED 02 0 0 37000
D MCGRAW-HILL, INC. COMMON 580645109 2677 58828 SH OTHER 01 0 58828 0
D MCKESSON HBOC INC COMMON 58155Q103 36 1700 SH DEFINED 17 1700 0 0
D MCKESSON HBOC INC COMMON 58155Q103 499 23774 SH DEFINED 02 0 0 23774
D MCLEOD INC COMMON 582266102 6471 76300 SH DEFINED 01 75700 0 600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MCLEOD INC COMMON 582266102 24129 284500 SH DEFINED 02 219800 0 64700
D MEAD CORP. COMMON 582834107 21 600 SH DEFINED 17 600 0 0
D MEAD CORP. COMMON 582834107 1413 40450 SH DEFINED 05 10650 0 29800
D MEAD CORP. COMMON 582834107 1137 32550 SH DEFINED 01 29750 0 2800
D MEAD CORP. COMMON 582834107 154 4400 SH DEFINED 02 2300 0 2100
D MEAD CORP. COMMON 582834107 2857 81784 SH OTHER 01 12300 69484 0
D MEADE INSTRUMENTS CORP COMMON 583062104 4844 70200 SH DEFINED 01 70200 0 0
D MEADE INSTRUMENTS CORP COMMON 583062104 4188 60700 SH DEFINED 02 48300 0 12400
D MEDAREX INC COMMON 583916101 452 9000 SH DEFINED 16 9000 0 0
D MEDALLION FINANCIAL CORP. COMMON 583928106 368 21900 SH DEFINED 01 21900 0 0
D MEDALLION FINANCIAL CORP. COMMON 583928106 128 7600 SH DEFINED 02 7600 0 0
D MEDIAONE GROUP INC COMMON 58440J104 308 3800 SH DEFINED 17 3800 0 0
D MEDIAONE GROUP INC COMMON 58440J104 6075 75000 SH DEFINED 18 75000 0 0
D MEDIAONE GROUP INC COMMON 58440J104 2365 29200 SH DEFINED 05 14800 0 14400
D MEDIAONE GROUP INC COMMON 58440J104 20548 250200 SH DEFINED 16 250200 0 0
D MEDIAONE GROUP INC COMMON 58440J104 282671 3489762 SH DEFINED 01 2392553 0 1097209
D MEDIAONE GROUP INC COMMON 58440J104 514863 6356330 SH DEFINED 02 3933130 0 2423200
D MEDIAONE GROUP INC COMMON 58440J104 365 4500 SH OTHER 05 4500 0 0
D MEDIAONE GROUP INC COMMON 58440J104 29726 366990 SH OTHER 01 75010 291980 0
D MEDIA METRIX INC COMMON 58440X103 113 2700 SH DEFINED 05 0 0 2700
D MEDIA METRIX INC COMMON 58440X103 14723 350557 SH DEFINED 01 191625 0 158932
D MEDIA METRIX INC COMMON 58440X103 5757 137075 SH DEFINED 02 107575 0 29500
D MEDIA GENERAL, INC. CLASS "A" COMMON 584404107 3143 60000 SH OTHER 101112 0 60000 0
D MEDIA GENERAL, INC. CLASS "A" COMMON 584404107 262 5000 SH OTHER 01 0 5000 0
D MEDIAPLEX INC COMMON 58446B105 146 2800 SH DEFINED 05 0 0 2800
D MEDIAPLEX INC COMMON 58446B105 14118 271500 SH DEFINED 01 189050 0 82450
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MEDIAPLEX INC COMMON 58446B105 8991 172900 SH DEFINED 02 138100 0 34800
D MEDICAL MANAGER CORP NEW COMMON 58461U103 210 6000 SH DEFINED 01 0 0 6000
D MEDICAL MANAGER CORP NEW COMMON 58461U103 666 19000 SH DEFINED 02 0 0 19000
D MEDICIS PHARMACEUTICAL CORP. COMMON 584690309 752 18800 SH DEFINED 01 18800 0 0
D MEDICIS PHARMACEUTICAL CORP. COMMON 584690309 1520 38000 SH DEFINED 02 3000 0 35000
D MEDIMMUNE, INC. COMMON 584699102 839 4820 SH DEFINED 17 4820 0 0
D MEDIMMUNE, INC. COMMON 584699102 154 882 SH DEFINED 16 882 0 0
D MEDIMMUNE, INC. COMMON 584699102 10226 58730 SH DEFINED 01 57315 0 1415
D MEDIMMUNE, INC. COMMON 584699102 17267 99165 SH DEFINED 02 80750 0 18415
D MEDIMMUNE, INC. COMMON 584699102 358 2055 SH OTHER 01 2055 0 0
D MEDQUIST, INC. COMMON 584949101 1272 46800 SH DEFINED 01 46800 0 0
D MEDQUIST, INC. COMMON 584949101 258 9500 SH DEFINED 02 7000 0 2500
D MEDITRUST COMPANIES COMMON 58501T306 97 53600 SH DEFINED 02 26950 0 26650
D MEDTRONIC, INC. COMMON 585055106 11392 221472 SH DEFINED 18 221472 0 0
D MEDTRONIC, INC. COMMON 585055106 638 12400 SH DEFINED 05 6800 0 5600
D MEDTRONIC, INC. COMMON 585055106 2983 58000 SH DEFINED 16 58000 0 0
D MEDTRONIC, INC. COMMON 585055106 95765 1861747 SH DEFINED 01 1355007 0 506740
D MEDTRONIC, INC. COMMON 585055106 189834 3690532 SH DEFINED 02 2652000 0 1038532
D MEDTRONIC, INC. COMMON 585055106 8619 167570 SH OTHER 01 3950 163620 0
D MELLON FINL CORP COMMON 58551A108 94 3150 SH DEFINED 17 3150 0 0
D MELLON FINL CORP COMMON 58551A108 357 12000 SH DEFINED 05 12000 0 0
D MELLON FINL CORP COMMON 58551A108 13383 449837 SH DEFINED 01 164954 0 284883
D MELLON FINL CORP COMMON 58551A108 14943 502300 SH DEFINED 02 171200 0 331100
D MELLON FINL CORP COMMON 58551A108 1268 42636 SH OTHER 01 8156 34480 0
D MENTOR CORP. COMMON 587188103 500 18500 SH DEFINED 02 300 0 18200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MENTOR GRAPHICS CORP. COMMON 587200106 558 36900 SH DEFINED 02 0 0 36900
D MERCANTILE BANKSHARES CORP. COMMON 587405101 2 57 SH DEFINED 16 57 0 0
D MERCANTILE BANKSHARES CORP. COMMON 587405101 6322 206856 SH DEFINED 01 163900 0 42956
D MERCANTILE BANKSHARES CORP. COMMON 587405101 13770 450556 SH DEFINED 02 271156 0 179400
D MERCANTILE BANKSHARES CORP. COMMON 587405101 84 2750 SH OTHER 01 500 2250 0
D MERCK & CO., INC. COMMON 589331107 31746 511000 SH DEFINED 18 511000 0 0
D MERCK & CO., INC. COMMON 589331107 4318 69500 SH DEFINED 06 69500 0 0
D MERCK & CO., INC. COMMON 589331107 7420 119442 SH DEFINED 05 67276 0 52166
D MERCK & CO., INC. COMMON 589331107 8858 132700 SH DEFINED 16 132700 0 0
D MERCK & CO., INC. COMMON 589331107 508493 8185000 SH DEFINED 01 3567529 0 4617471
D MERCK & CO., INC. COMMON 589331107 507961 8176439 SH DEFINED 02 5543039 0 2633400
D MERCK & CO., INC. COMMON 589331107 1066 17158 SH OTHER 05 5458 11700 0
D MERCK & CO., INC. COMMON 589331107 3231 52000 SH OTHER 101112 0 52000 0
D MERCK & CO., INC. COMMON 589331107 146725 2361774 SH OTHER 01 384193 1977581 0
D MERCURY COMPUTER SYS COMMON 589378108 1891 38700 SH DEFINED 01 38700 0 0
D MERCURY COMPUTER SYS COMMON 589378108 1153 23600 SH DEFINED 02 6600 0 17000
D MERCURY COMPUTER SYS COMMON 589378108 1593 32600 SH OTHER 01 0 32600 0
D MERCURY GENERAL CORP. COMMON 589400100 5770 195600 SH DEFINED 01 153200 0 42400
D MERCURY GENERAL CORP. COMMON 589400100 19588 663988 SH DEFINED 02 549688 0 114300
D MERCURY GENERAL CORP. COMMON 589400100 18 600 SH OTHER 01 600 0 0
D MERCURY INTERACTIVE CORPORATIO COMMON 589405109 206 2600 SH DEFINED 05 0 0 2600
D MERCURY INTERACTIVE CORPORATIO COMMON 589405109 21065 265800 SH DEFINED 01 189400 0 76400
D MERCURY INTERACTIVE CORPORATIO COMMON 589405109 11388 143700 SH DEFINED 02 92700 0 51000
D MEREDITH CORP. COMMON 589433101 8 300 SH DEFINED 17 300 0 0
D MEREDITH CORP. COMMON 589433101 266 9600 SH DEFINED 01 9600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MEREDITH CORP. COMMON 589433101 78 2800 SH OTHER 01 2800 0 0
D MERISTAR HOSPITALITY CORP COMMON 58984Y103 5793 332200 SH DEFINED 01 332200 0 0
D MERISTAR HOSPITALITY CORP COMMON 58984Y103 11401 653785 SH DEFINED 02 604285 0 49500
D MERIDIAN GOLD INC COMMON 589975101 97 16800 SH DEFINED 02 0 0 16800
D MERITOR AUTOMOTIVE, INC. COMMON 59000G100 1621 102499 SH DEFINED 01 102499 0 0
D MERITOR AUTOMOTIVE, INC. COMMON 59000G100 266 16800 SH DEFINED 02 4900 0 11900
D MERRILL LYNCH & CO., INC. COMMON 590188108 38976 371200 SH DEFINED 17 371200 0 0
D MERRILL LYNCH & CO., INC. COMMON 590188108 116 1100 SH DEFINED 05 1100 0 0
D MERRILL LYNCH & CO., INC. COMMON 590188108 86358 822460 SH DEFINED 01 624390 0 198070
D MERRILL LYNCH & CO., INC. COMMON 590188108 143015 1362050 SH DEFINED 02 717550 0 644500
D MERRILL LYNCH & CO., INC. COMMON 590188108 1622 15450 SH OTHER 01 5750 9700 0
D MESA AIR GROUP INC COMMON 590479101 48 7607 SH DEFINED 01 7607 0 0
D MESA AIR GROUP INC COMMON 590479101 34 5400 SH DEFINED 02 0 0 5400
D MESSAGEMEDIA INC COMMON 590787107 1944 153200 SH DEFINED 01 153200 0 0
D MESSAGEMEDIA INC COMMON 590787107 1684 132700 SH DEFINED 02 106200 0 26500
D METAMOR WORLDWIDE, INC. COMMON 59133P100 425 15000 SH DEFINED 01 15000 0 0
D METAMOR WORLDWIDE, INC. COMMON 59133P100 130 4600 SH DEFINED 02 0 0 4600
D METAMOR WORLDWIDE, INC. COMMON 59133P100 127 4500 SH OTHER 01 0 4500 0
D METASOLV SOFTWARE INC COMMON 591393103 24 400 SH DEFINED 05 0 0 400
D METASOLV SOFTWARE INC COMMON 591393103 3347 56675 SH DEFINED 01 46600 0 10075
D METASOLV SOFTWARE INC COMMON 591393103 3491 59100 SH DEFINED 02 47500 0 11600
D METHODE ELECTRONICS, INC. COMMON 591520200 768 15200 SH DEFINED 01 15200 0 0
D METHODE ELECTRONICS, INC. COMMON 591520200 621 12300 SH DEFINED 02 2700 0 9600
D METRICOM, INC. COMMON 591596101 133 2876 SH DEFINED 16 2876 0 0
D METRICOM, INC. COMMON 591596101 264 5700 SH DEFINED 01 5700 0 0
D METRICOM, INC. COMMON 591596101 42 900 SH DEFINED 02 900 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 METRIS COMPANIES, INC COMMON 591598107 1096 28200 SH DEFINED 01 28200 0 0
D METRIS COMPANIES, INC COMMON 591598107 3930 101100 SH DEFINED 02 6100 0 95000
D METRO INFORMATION SERVICES I COMMON 59162P104 286 19900 SH DEFINED 01 19900 0 0
D METRO INFORMATION SERVICES I COMMON 59162P104 47 3300 SH DEFINED 02 3300 0 0
D METROMEDIA FIBER NETWORK INC COMMON 591689104 5147 53200 SH DEFINED 02 0 0 53200
D METROMEDIA INTERNATIONAL GROUP COMMON 591695101 59 10400 SH DEFINED 02 10400 0 0
D METTLER TOLEDO INTERNATIONAL COMMON 592688105 8466 206810 SH DEFINED 01 206810 0 0
D METTLER TOLEDO INTERNATIONAL COMMON 592688105 16404 400700 SH DEFINED 02 324000 0 76700
D MICHAEL FOODS, INC. COMMON 594079105 697 33200 SH DEFINED 02 0 0 33200
D MICHAELS STORES, INC. COMMON 594087108 1455 35700 SH DEFINED 01 35700 0 0
D MICHAELS STORES, INC. COMMON 594087108 974 23900 SH DEFINED 02 10200 0 13700
D MICREL, INC. COMMON 594793101 29 300 SH DEFINED 01 300 0 0
D MICREL, INC. COMMON 594793101 374 3900 SH DEFINED 02 0 0 3900
D MICROS SYSTEMS, INC. COMMON 594901100 69 1100 SH DEFINED 01 1100 0 0
D MICROS SYSTEMS, INC. COMMON 594901100 290 4600 SH DEFINED 02 800 0 3800
D MICROSOFT CORP. COMMON 594918104 16585 156092 SH DEFINED 05 78720 0 77372
D MICROSOFT CORP. COMMON 594918104 7 75 SH DEFINED 16 75 0 0
D MICROSOFT CORP. COMMON 594918104 1676548 15779272 SH DEFINED 01 10189426 0 5589846
D MICROSOFT CORP. COMMON 594918104 3041452 28625435 SH DEFINED 02 18640485 0 9984950
D MICROSOFT CORP. COMMON 594918104 2624 24700 SH OTHER 05 19500 5200 0
D MICROSOFT CORP. COMMON 594918104 8195 77125 SH OTHER 09 77125 0 0
D MICROSOFT CORP. COMMON 594918104 133687 1258231 SH OTHER 01 301714 956517 0
D MICROSOFT CORP. COMMON 594918104 7013 66000 SH OTHER 0304 66000 0 0
D MICROSTRATEGY INC COMMON 594972101 24456 280905 SH DEFINED 01 269605 0 11300
D MICROSTRATEGY INC COMMON 594972101 17543 201500 SH DEFINED 02 140500 0 61000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MICROCHIP TECHNOLOGY, INC. COMMON 595017104 128 1950 SH DEFINED 05 0 0 1950
D MICROCHIP TECHNOLOGY, INC. COMMON 595017104 16673 253575 SH DEFINED 01 187775 0 65800
D MICROCHIP TECHNOLOGY, INC. COMMON 595017104 2922 44437 SH DEFINED 02 20887 0 23550
D MICROFINANCIAL INC COMMON 595072109 1132 109100 SH DEFINED 01 109100 0 0
D MICROFINANCIAL INC COMMON 595072109 1533 147800 SH DEFINED 02 115700 0 32100
D MICROMUSE INC. COMMON 595094103 42 300 SH DEFINED 05 0 0 300
D MICROMUSE INC. COMMON 595094103 5421 39050 SH DEFINED 01 29400 0 9650
D MICROMUSE INC. COMMON 595094103 25329 182466 SH DEFINED 02 146436 0 36030
D MICRON ELECTRONICS INC COMMON 595100108 459 32800 SH DEFINED 01 32800 0 0
D MICRON ELECTRONICS INC COMMON 595100108 77 5500 SH DEFINED 02 5300 0 200
D MICRON TECHNOLOGY, INC. COMMON 595112103 214 1700 SH DEFINED 17 1700 0 0
D MICRON TECHNOLOGY, INC. COMMON 595112103 3173 25180 SH DEFINED 01 11200 0 13980
D MICRON TECHNOLOGY, INC. COMMON 595112103 7484 59400 SH DEFINED 02 46400 0 13000
D MICROWAVE POWER DEVICES, INC. COMMON 59517M103 430 48450 SH DEFINED 16 48450 0 0
D MID-AMERICA APT. COMMUNITIES, COMMON 59522J103 218 9600 SH DEFINED 02 0 0 9600
D MID ATLANTIC MEDICAL SERVICES, COMMON 59523C107 134 14500 SH DEFINED 02 0 0 14500
D MIDCAP SPDR TR COMMON 595635103 913 10000 SH DEFINED 01 10000 0 0
D MIDWAY GAMES INC COMMON 598148104 2596 195918 SH DEFINED 02 20900 0 175018
D MIKASA, INC. COMMON 59862T109 162 21800 SH DEFINED 02 11100 0 10700
D MIIX GROUP INC COMMON 59862V104 295 21200 SH DEFINED 01 21200 0 0
D MIIX GROUP INC COMMON 59862V104 772 55400 SH DEFINED 02 44800 0 10600
D MILACRON INC COMMON 598709103 3 200 SH DEFINED 17 200 0 0
D MILACRON INC COMMON 598709103 2580 178700 SH DEFINED 01 170600 0 8100
D MILACRON INC COMMON 598709103 988 68400 SH DEFINED 02 54400 0 14000
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 886 6820 SH DEFINED 17 6820 0 0
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 208 1600 SH DEFINED 05 0 0 1600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 13 100 SH DEFINED 16 100 0 0
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 21147 162825 SH DEFINED 01 121350 0 41475
D MILLENNIUM PHARMACEUTICALS, IN COMMON 599902103 14806 114000 SH DEFINED 02 60500 0 53500
D MILLER (HERMAN), INC. COMMON 600544100 297 10600 SH DEFINED 01 7800 0 2800
D MILLER (HERMAN), INC. COMMON 600544100 1700 60700 SH DEFINED 02 50600 0 10100
D MILLER (HERMAN), INC. COMMON 600544100 112 4000 SH OTHER 01 4000 0 0
D MILLIPORE CORP. COMMON 601073109 17 300 SH DEFINED 17 300 0 0
D MILLS CORP. COMMON 601148109 7985 443600 SH DEFINED 01 443600 0 0
D MILLS CORP. COMMON 601148109 10957 608700 SH DEFINED 02 534500 0 74200
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 90 1300 SH DEFINED 05 1300 0 0
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 118 1700 SH DEFINED 02 1700 0 0
D MINE SAFETY APPLIANCES, CO. COMMON 602720104 166 2400 SH OTHER 01 0 2400 0
D MINERALS TECHNOLOGIES, INC. COMMON 603158106 111 2500 SH DEFINED 05 0 0 2500
D MINERALS TECHNOLOGIES, INC. COMMON 603158106 19610 440050 SH DEFINED 01 361550 0 78500
D MINERALS TECHNOLOGIES, INC. COMMON 603158106 13302 298500 SH DEFINED 02 243200 0 55300
D MINIMED, INC. COMMON 60365K108 51535 397950 SH DEFINED 01 397950 0 0
D MINIMED, INC. COMMON 60365K108 544 4200 SH DEFINED 02 0 0 4200
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 3250 36700 SH DEFINED 17 36700 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 248 2800 SH DEFINED 05 2800 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 30153 340470 SH DEFINED 01 156443 0 184027
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 7665 86550 SH DEFINED 02 81950 0 4600
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 53 600 SH OTHER 05 600 0 0
D MINNESOTA MINING & MANUFACTURI COMMON 604059105 13516 152615 SH OTHER 01 31044 121571 0
D MINNESOTA POWER & LIGHT CO. COMMON 604110106 3305 198800 SH DEFINED 01 198800 0 0
D MINNESOTA POWER & LIGHT CO. COMMON 604110106 653 39300 SH DEFINED 02 11800 0 27500
D MIPS TECHNOLOGIES INC COMMON 604567107 1652 29700 SH DEFINED 01 25100 0 4600
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MIPS TECHNOLOGIES INC COMMON 604567107 195 3500 SH DEFINED 02 2700 0 800
D MIRAGE RESORTS, INC. COMMON 60462E104 1188 61300 SH DEFINED 17 61300 0 0
D MIRAGE RESORTS, INC. COMMON 60462E104 436 22500 SH DEFINED 16 22500 0 0
D MIRAGE RESORTS, INC. COMMON 60462E104 29936 1545100 SH DEFINED 01 1466500 0 78600
D MIRAGE RESORTS, INC. COMMON 60462E104 110548 5705728 SH DEFINED 02 4636328 0 1069400
D MIRAGE RESORTS, INC. COMMON 60462E104 91 4700 SH OTHER 01 4700 0 0
D MISSION CRITICAL SOFTWARE IN COMMON 605047109 165 2700 SH DEFINED 05 0 0 2700
D MISSION CRITICAL SOFTWARE IN COMMON 605047109 14415 235825 SH DEFINED 01 159735 0 76090
D MISSION CRITICAL SOFTWARE IN COMMON 605047109 1462 23925 SH DEFINED 02 18250 0 5675
D MISSION WEST PPTYS INC COMMON 605203108 1634 190800 SH DEFINED 01 190800 0 0
D MISSION WEST PPTYS INC COMMON 605203108 3683 430100 SH DEFINED 02 354500 0 75600
D MITCHELL ENERGY & DEV. CORP. C COMMON 606592202 785 35900 SH DEFINED 02 5900 0 30000
D MODINE MANUFACTURING CO. COMMON 607828100 7728 307600 SH DEFINED 01 184000 0 123600
D MODINE MANUFACTURING CO. COMMON 607828100 10321 410800 SH DEFINED 02 294100 0 116700
D MODIS PROFESSIONAL SERVICES, I COMMON 607830106 2986 241300 SH DEFINED 01 241300 0 0
D MODIS PROFESSIONAL SERVICES, I COMMON 607830106 3962 320200 SH DEFINED 02 250700 0 69500
D MOHAWK INDUSTRIES, INC. COMMON 608190104 1783 79700 SH DEFINED 01 79700 0 0
D MOHAWK INDUSTRIES, INC. COMMON 608190104 437 19538 SH DEFINED 02 3300 0 16238
D MOLEX, INC. COMMON 608554101 296 5032 SH DEFINED 01 1220 0 3812
D MOLEX, INC. COMMON 608554101 672 11440 SH OTHER 01 0 11440 0
D MOLEX, INC. CLASS "A" COMMON 608554200 1209 27246 SH DEFINED 01
D MOLEX, INC. CLASS "A" COMMON 608554200 508 11440 SH OTHER 01
D MONACO COACH CORP. COMMON 60886R103 10062 529600 SH DEFINED 01 529600 0 0
D MONACO COACH CORP. COMMON 60886R103 4940 260025 SH DEFINED 02 206900 0 53125
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 122 3500 SH DEFINED 05 0 0 3500
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 27 775 SH DEFINED 16 775 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MONDAVI (ROBERT) CORPORATION C COMMON 609200100 201 3900 SH DEFINED 01 247900 0 106350
D MONDAVI (ROBERT) CORPORATION C COMMON 609200100 1246 35725 SH DEFINED 02 28200 0 7525
D MONSANTO CO. COMMON 611662107 201 3900 SH DEFINED 17 3900 0 0
D MONSANTO CO. COMMON 611662107 155515 3019700 SH DEFINED 18 3019700 0 0
D MONSANTO CO. COMMON 611662107 582 11300 SH DEFINED 05 11300 0 0
D MONSANTO CO. COMMON 611662107 306569 5952794 SH DEFINED 01 4016141 0 1936653
D MONSANTO CO. COMMON 611662107 879617 17079941 SH DEFINED 02 12658687 0 4421254
D MONSANTO CO. COMMON 611662107 3909 75900 SH OTHER 09 75900 0 0
D MONSANTO CO. COMMON 611662107 9754 189404 SH OTHER 01 84960 104444 0
D MONSANTO CO. COMMON 611662107 2833 55000 SH OTHER 0304 55000 0 0
D MONSANTO CO PREF-CONV 611662305 16013 350000 SH DEFINED 01
D MONTANA POWER CO. COMMON 612085100 29 450 SH DEFINED 01 450 0 0
D MONTANA POWER CO. COMMON 612085100 909 14200 SH DEFINED 02 0 0 14200
D MONTANA POWER CO. COMMON 612085100 538 8400 SH OTHER 01 0 8400 0
D MONY GROUP INC COMMON 615337102 620 19200 SH DEFINED 02 19200 0 0
D MONY GROUP INC COMMON 615337102 200 6192 SH OTHER 01 0 6192 0
D MORGAN (J. P.) & CO. COMMON 616880100 1525 11575 SH DEFINED 05 5675 0 5900
D MORGAN (J. P.) & CO. COMMON 616880100 34855 264556 SH DEFINED 01 116836 0 147720
D MORGAN (J. P.) & CO. COMMON 616880100 13 100 SH DEFINED 02 100 0 0
D MORGAN (J. P.) & CO. COMMON 616880100 2255 17116 SH OTHER 05 600 16516 0
D MORGAN (J. P.) & CO. COMMON 616880100 29472 223700 SH OTHER 01 12000 211700 0
D MORGAN (J. P.) & CO. COMMON 616880100 4216 32000 SH OTHER 0304 32000 0 0
D MORGAN KEEGAN, INC. COMMON 617410105 262 15187 SH DEFINED 02 0 0 15187
D MORGAN STANLEY D WITTER EMG COMMON 61744H105 14731 1931922 SH DEFINED 01 0 0 1931922
D MORGN ST D WITTR DISCV COMMON 617446448 4766 57508 SH DEFINED 18 57508 0 0
D MORGN ST D WITTR DISCV COMMON 617446448 635 7660 SH DEFINED 05 3600 0 4060
FORM 13F INFORMATION TABLE MARCH 31 2000 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 MORGN ST D WITTR DISCV COMMON 617446448 74969 904602 SH DEFINED 01 537276 0 367326
D MORGN ST D WITTR DISCV COMMON 617446448 66370 800840 SH DEFINED 02 543300 0 257540
D MORGN ST D WITTR DISCV COMMON 617446448 13560 163618 SH OTHER 01 83160 80458 0
D MORGAN STANLEY DEAN WITTER CLO COMMON 61745P106 7144 885997 SH DEFINED 18 885997 0 0
D MORRISON KNUDSEN CORP. COMMON 61844A109 137 18600 SH DEFINED 02 18600 0 0
D MORRISON MGMT SPECIALISTS IN COMMON 618459101 835 30100 SH DEFINED 02 14500 0 15600
D MORTON'S RESTAURANT GROUP, INC COMMON 619429103 19 1000 SH DEFINED 01 1000 0 0
D MORTON'S RESTAURANT GROUP, INC COMMON 619429103 225 11800 SH DEFINED 02 0 0 11800
D MOTOROLA, INC. COMMON 620076109 1767 12100 SH DEFINED 17 12100 0 0
D MOTOROLA, INC. COMMON 620076109 5307 36350 SH DEFINED 05 20450 0 15900
D MOTOROLA, INC. COMMON 620076109 440121 3014527 SH DEFINED 01 1675844 0 1338683
D MOTOROLA, INC. COMMON 620076109 720234 4933110 SH DEFINED 02 3403310 0 1529800
D MOTOROLA, INC. COMMON 620076109 1694 11600 SH OTHER 05 7600 4000 0
D MOTOROLA, INC. COMMON 620076109 1110 7600 SH OTHER 09 7600 0 0
D MOTOROLA, INC. COMMON 620076109 41344 283178 SH OTHER 01 68844 214334 0
D MOTOROLA, INC. COMMON 620076109 1372 9400 SH OTHER 15 9400 0 0
D MUELLER INDUSTRIES, INC. COMMON 624756102 12164 400456 SH DEFINED 01 400456 0 0
D MUELLER INDUSTRIES, INC. COMMON 624756102 27629 909600 SH DEFINED 02 576300 0 333300
D MUELLER INDUSTRIES, INC. COMMON 624756102 152 5000 SH OTHER 01 0 5000 0
D MURPHY OIL CORP. COMMON 626717102 2726 47300 SH DEFINED 01 47300 0 0
D MURPHY OIL CORP. COMMON 626717102 455 7900 SH DEFINED 02 2400 0 5500
D MUSICLAND STORES CORP. COMMON 62758B109 247 38800 SH DEFINED 01 38800 0 0
D MUSICLAND STORES CORP. COMMON 62758B109 102 16000 SH DEFINED 02 9800 0 6200
D MYLAN LABORATORIES, INC. COMMON 628530107 3007 109350 SH DEFINED 01 109350 0 0
D MYLAN LABORATORIES, INC. COMMON 628530107 437 15900 SH DEFINED 02 4600 0 11300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NBC INTERNET INC COMMON 62873D105 9 200 SH DEFINED 05 0 0 200
D NBC INTERNET INC COMMON 62873D105 764 17750 SH DEFINED 01 13050 0 4700
D NBC INTERNET INC COMMON 62873D105 521 12100 SH DEFINED 02 9600 0 2500
D NBTY, INC. COMMON 628782104 427 31200 SH DEFINED 02 28200 0 3000
D NPC INTERNATIONAL, INC. COMMON 629360306 123 16100 SH DEFINED 01 16100 0 0
D NPC INTERNATIONAL, INC. COMMON 629360306 526 69000 SH DEFINED 02 3500 0 65500
D NPC INTERNATIONAL, INC. COMMON 629360306 27 3600 SH OTHER 01 0 3600 0
D NTL INCORPORATED COMMON 629407107 151 1625 SH DEFINED 01 1625 0 0
D NTL INCORPORATED COMMON 629407107 8575 92385 SH DEFINED 02 0 0 92385
D NUI CORP. COMMON 629430109 699 27000 SH DEFINED 01 27000 0 0
D NUI CORP. COMMON 629430109 554 21400 SH DEFINED 02 18600 0 2800
D NVR, INC. COMMON 62944T105 1015 18800 SH DEFINED 01 18800 0 0
D NVR, INC. COMMON 62944T105 5022 93000 SH DEFINED 02 3700 0 89300
D NABISCO GROUP HLDG CORP COMMON 62952P102 24 2000 SH DEFINED 17 2000 0 0
D NABISCO GROUP HLDG CORP COMMON 62952P102 302 25000 SH DEFINED 16 25000 0 0
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 3945 122325 SH DEFINED 01 95300 0 27025
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 6768 209854 SH DEFINED 02 119254 0 90600
D NABISCO HOLDINGS CORP. CL. "A" COMMON 629526104 23 700 SH OTHER 01 0 700 0
D NABORS INDUSTRIES, INC. COMMON 629568106 854 22000 SH DEFINED 01 22000 0 0
D NABORS INDUSTRIES, INC. COMMON 629568106 1696 43700 SH DEFINED 02 0 0 43700
D NABORS INDUSTRIES, INC. COMMON 629568106 563 14500 SH OTHER 01 0 14500 0
D NACCO INDUSTRIES, INC. CLASS " COMMON 629579103 1544 32200 SH DEFINED 02 4500 0 27700
D NATIONAL AUSTRALIA BK LTD PREF-CONV 632525309 1708 71000 SH DEFINED 01
D NATIONAL BANCORP OF ALASKA, IN COMMON 632587101 695 18400 SH DEFINED 02 9200 0 9200
D NATIONAL CITY BANCSHARES, INC. COMMON 635313109 264 13900 SH DEFINED 02 0 0 13900
D NATIONAL CITY CORP. COMMON 635405103 78 3800 SH DEFINED 17 3800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NATIONAL CITY CORP. COMMON 635405103 536 26000 SH DEFINED 06 26000 0 0
D NATIONAL CITY CORP. COMMON 635405103 330 16000 SH DEFINED 05 16000 0 0
D NATIONAL CITY CORP. COMMON 635405103 35779 1734718 SH DEFINED 01 1371718 0 363000
D NATIONAL CITY CORP. COMMON 635405103 49241 2387420 SH DEFINED 02 1180440 0 1206980
D NATIONAL CITY CORP. COMMON 635405103 747 36200 SH OTHER 01 27400 8800 0
D NATIONAL COMMERCE BANCORP COMMON 635449101 68 3700 SH DEFINED 05 0 0 3700
D NATIONAL COMMERCE BANCORP COMMON 635449101 9 494 SH DEFINED 16 494 0 0
D NATIONAL COMMERCE BANCORP COMMON 635449101 22860 1235680 SH DEFINED 01 1100280 0 135400
D NATIONAL COMMERCE BANCORP COMMON 635449101 10893 588800 SH DEFINED 02 338500 0 250300
D NATIONAL COMPUTER SYSTEMS, INC COMMON 635519101 2516 49575 SH DEFINED 01 47475 0 2100
D NATIONAL COMPUTER SYSTEMS, INC COMMON 635519101 315 6200 SH DEFINED 02 6200 0 0
D NATIONAL DATA CORP. COMMON 635621105 445 17100 SH DEFINED 02 0 0 17100
D NATIONAL GOLF PROPERTIES, INC. COMMON 63623G109 5268 250100 SH DEFINED 01 250100 0 0
D NATIONAL GOLF PROPERTIES, INC. COMMON 63623G109 9295 441300 SH DEFINED 02 401300 0 40000
D NATIONAL HEALTH INVESTORS, INC COMMON 63633D104 129 10800 SH DEFINED 02 0 0 10800
D NATIONAL INFO CONSORTIUM INC COMMON 636491102 179 5150 SH DEFINED 05 0 0 5150
D NATIONAL INFO CONSORTIUM INC COMMON 636491102 16902 486375 SH DEFINED 01 342050 0 144325
D NATIONAL INFO CONSORTIUM INC COMMON 636491102 4663 134175 SH DEFINED 02 105325 0 28850
D NATIONAL-OILWELL INC COMMON 637071101 182 5900 SH DEFINED 05 0 0 5900
D NATIONAL-OILWELL INC COMMON 637071101 23162 750175 SH DEFINED 01 585575 0 164600
D NATIONAL-OILWELL INC COMMON 637071101 13316 431275 SH DEFINED 02 352275 0 79000
D NATIONAL-OILWELL INC COMMON 637071101 3088 100000 SH OTHER 01 0 100000 0
D NATIONAL R V HLDGS INC COMMON 637277104 2228 140900 SH DEFINED 01 140900 0 0
D NATIONAL R V HLDGS INC COMMON 637277104 4349 275000 SH DEFINED 02 203500 0 71500
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 67 1100 SH DEFINED 17 1100 0 0
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 12 200 SH DEFINED 05 200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 43102 709490 SH DEFINED 01 566100 0 143390
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 77778 1280290 SH DEFINED 02 844790 0 435500
D NATIONAL SEMICONDUCTOR CORP. COMMON 637640103 73 1200 SH OTHER 01 1200 0 0
D NATIONAL STEEL CORP. CLASS "B" COMMON 637844309 374 50700 SH DEFINED 02 9500 0 41200
D NATIONAL WESTMINSTER BANK PLC COMMON 638539403 297 2424 SH DEFINED 02 0 0 2424
D NATIONAL WESTMINSTER BK PLC PREFERRED 638539700 25101 1150740 SH DEFINED 06
D NATIONAL WESTMINSTER PFD 8.625 PREFERRED 638539882 10305 458000 SH DEFINED 06
D NATIONWIDE FINANCIAL SERVICES, COMMON 638612101 6423 219600 SH DEFINED 01 219600 0 0
D NATIONWIDE FINANCIAL SERVICES, COMMON 638612101 9673 330700 SH DEFINED 02 273600 0 57100
D NATIONWIDE HEALTH PROPERTIES, COMMON 638620104 553 53000 SH DEFINED 02 14200 0 38800
D NATURE'S SUNSHINE PRODUCTS, IN COMMON 639027101 6 800 SH DEFINED 01 800 0 0
D NATURE'S SUNSHINE PRODUCTS, IN COMMON 639027101 1536 191969 SH DEFINED 02 0 0 191969
D NAUTICA ENTERPRISES, INC. COMMON 639089101 77 6582 SH DEFINED 16 6582 0 0
D NAUTICA ENTERPRISES, INC. COMMON 639089101 217 18450 SH DEFINED 02 0 0 18450
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 16 400 SH DEFINED 17 400 0 0
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 2022 50000 SH DEFINED 16 50000 0 0
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 3792 94500 SH DEFINED 01 94500 0 0
D NAVISTAR INTERNATIONAL CORP. COMMON 63934E108 1047 26100 SH DEFINED 02 4300 0 21800
D NAVIGANT CONSULTING INC COMMON 63935N107 715 65000 SH DEFINED 01 65000 0 0
D NAVIGANT CONSULTING INC COMMON 63935N107 472 42900 SH DEFINED 02 10500 0 32400
D NEIMAN MARCUS GROUP INC COMMON 640204202 2976 107000 SH DEFINED 01 107000 0 0
D NEIMAN MARCUS GROUP INC COMMON 640204202 490 17600 SH DEFINED 02 5000 0 12600
D NEIMAN MARCUS GROUP INC COMMON 640204301 414 15065 SH OTHER 01 0 15065 0
D NEOMAGIC CORP COMMON 640497103 488 98200 SH DEFINED 01 98200 0 0
D NEOMAGIC CORP COMMON 640497103 165 33300 SH DEFINED 02 14200 0 19100
D NETWORK ASSOCIATES INC 0% 2/13 BOND 640938AB2 6773 18000000 PRN DEFINED 16
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NETWORKS ASSOCIATES, INC. COMMON 640938106 1277 39600 SH DEFINED 16 39600 0 0
D NETWORKS ASSOCIATES, INC. COMMON 640938106 787 24400 SH DEFINED 01 24400 0 0
D NETWORKS ASSOCIATES, INC. COMMON 640938106 7108 220400 SH DEFINED 02 150600 0 69800
D NETWORKS ASSOCIATES, INC. COMMON 640938106 258 8000 SH OTHER 101112 0 8000 0
D NET PERCEPTIONS INC COMMON 64107U101 170 4600 SH DEFINED 05 0 0 4600
D NET PERCEPTIONS INC COMMON 64107U101 18946 512925 SH DEFINED 01 375575 0 137350
D NET PERCEPTIONS INC COMMON 64107U101 8221 222575 SH DEFINED 02 180875 0 41700
D NET2PHONE COMMON 64108N106 132 2225 SH DEFINED 05 0 0 2225
D NET2PHONE COMMON 64108N106 9 150 SH DEFINED 16 150 0 0
D NET2PHONE COMMON 64108N106 14758 249600 SH DEFINED 01 185125 0 64475
D NET2PHONE COMMON 64108N106 7513 127075 SH DEFINED 02 101200 0 25875
D NETOBJECTS INC COMMON 64114L102 2134 93818 SH DEFINED 01 0 0 93818
D NETRO CORP COMMON 64114R109 68 1050 SH DEFINED 05 0 0 1050
D NETRO CORP COMMON 64114R109 2357 36250 SH DEFINED 01 7775 0 28475
D NETRO CORP COMMON 64114R109 7009 107800 SH DEFINED 02 105700 0 2100
D NETOPTIX CORP COMMON 64116F103 2113 12300 SH DEFINED 16 12300 0 0
D NETOPTIX CORP COMMON 64116F103 344 2000 SH DEFINED 01 0 0 2000
D NETRATINGS INC COMMON 64116M108 85 3400 SH DEFINED 05 0 0 3400
D NETRATINGS INC COMMON 64116M108 8688 348400 SH DEFINED 01 259475 0 88925
D NETRATINGS INC COMMON 64116M108 6246 250475 SH DEFINED 02 197900 0 52575
D NETWORK APPLIANCE, INC. COMMON 64120L104 149 1800 SH DEFINED 17 1800 0 0
D NETWORK APPLIANCE, INC. COMMON 64120L104 9456 114270 SH DEFINED 01 112400 0 1870
D NETWORK APPLIANCE, INC. COMMON 64120L104 5875 71000 SH DEFINED 02 10200 0 60800
D NETWORK APPLIANCE, INC. COMMON 64120L104 17 200 SH OTHER 01 200 0 0
D NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 33 213 SH DEFINED 16 213 0 0
D NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 2498 16255 SH DEFINED 01 13110 0 3145
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NETWORK SOLUTIONS, INC. CL A COMMON 64121Q102 1445 9400 SH DEFINED 02 600 0 8800
D NETZERO INC COMMON 64122R109 21 1375 SH DEFINED 05 0 0 1375
D NETZERO INC COMMON 64122R109 1750 114775 SH DEFINED 01 74250 0 40525
D NETZERO INC COMMON 64122R109 700 45900 SH DEFINED 02 33150 0 12750
D NEW ERA OF NETWORKS INC COMMON 644312100 4900 124838 SH DEFINED 01 0 0 124838
D NEW JERSEY RESOURCES CORP. COMMON 646025106 1385 32400 SH DEFINED 02 0 0 32400
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 3706 86300 SH DEFINED 17 86300 0 0
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 133 3100 SH DEFINED 05 100 0 3000
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 15229 354664 SH DEFINED 01 200500 0 154164
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 34259 797870 SH DEFINED 02 468470 0 329400
D NEW YORK TIMES CO. CLASS "A" COMMON 650111107 86 2000 SH OTHER 01 0 2000 0
D NEWBRIDGE NETWORKS CORP. COMMON 650901101 3961 122100 SH DEFINED 16 122100 0 0
D NEWELL RUBBERMAID INC COMMON 651229106 50 2000 SH DEFINED 05 2000 0 0
D NEWELL RUBBERMAID INC COMMON 651229106 1038 41820 SH DEFINED 01 41820 0 0
D NEWELL RUBBERMAID INC COMMON 651229106 279 11264 SH DEFINED 02 0 0 11264
D NEWELL RUBBERMAID INC COMMON 651229106 59 2364 SH OTHER 01 2364 0 0
D NEWFIELD EXPLORATION COMPANY COMMON 651290108 14932 423600 SH DEFINED 01 423600 0 0
D NEWFIELD EXPLORATION COMPANY COMMON 651290108 13783 391000 SH DEFINED 02 318800 0 72200
D NEWFIELD FINL TR I PREF-CONV 651291205 7984 138100 SH DEFINED 17
D NEWMONT MINING CORP. COMMON 651639106 22 1000 SH DEFINED 17 1000 0 0
D NEWMONT MINING CORP. COMMON 651639106 30 1350 SH DEFINED 01 102 0 1248
D NEWMONT MINING CORP. COMMON 651639106 561 25000 SH OTHER 01 0 25000 0
D NEWPARK RESOURCES, INC. COMMON 651718504 91 11340 SH DEFINED 02 0 0 11340
D NEWS CORP., LTD. A/D/R COMMON 652487703 1744 31000 SH DEFINED 17 31000 0 0
D NEWS CORP., LTD. A/D/R COMMON 652487703 349 6200 SH DEFINED 05 6200 0 0
D NEWS CORP., LTD. A/D/R COMMON 652487703 67390 1198038 SH DEFINED 01 638000 0 560038
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NEWS CORP., LTD. A/D/R COMMON 652487703 107973 1919520 SH DEFINED 02 1620020 0 299500
D NEWS CORP., LTD. A/D/R COMMON 652487703 3015 53600 SH OTHER 09 53600 0 0
D NEWS CORP., LTD. A/D/R COMMON 652487703 6122 108835 SH OTHER 01 47265 61570 0
D NEWS CORP LTD. COMMON 652487802 272 5700 SH DEFINED 01 1400 0 4300
D NEWS CORP LTD. COMMON 652487802 1007 21083 SH DEFINED 02 0 0 21083
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 44801 302200 SH DEFINED 17 302200 0 0
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 30 200 SH DEFINED 05 200 0 0
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 26 180 SH DEFINED 16 180 0 0
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 5777 38965 SH DEFINED 01 35215 0 3750
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 248 1674 SH DEFINED 02 0 0 1674
D NEXTEL COMMUNICATIONS, INC. CL COMMON 65332V103 15 100 SH OTHER 01 100 0 0
D NEXTEL PARTNERS INC COMMON 65333F107 316 10900 SH DEFINED 01 10900 0 0
D NEXTEL PARTNERS INC COMMON 65333F107 5542 191100 SH DEFINED 02 191100 0 0
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 7384 59700 SH DEFINED 18 59700 0 0
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 46 368 SH DEFINED 16 368 0 0
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 8571 69292 SH DEFINED 01 66642 0 2650
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 4564 36900 SH DEFINED 02 7400 0 29500
D NEXTLINK COMMUNICATIONS, INC. COMMON 65333H707 1064 8600 SH OTHER 01 8600 0 0
D NIKE, INC. CLASS "B" COMMON 654106103 67 1700 SH DEFINED 17 1700 0 0
D NIKE, INC. CLASS "B" COMMON 654106103 7818 197300 SH DEFINED 01 174800 0 22500
D NIKE, INC. CLASS "B" COMMON 654106103 8896 224500 SH DEFINED 02 137800 0 86700
D NIKU CORP COMMON 654113109 38 800 SH DEFINED 05 0 0 800
D NIKU CORP COMMON 654113109 4147 87650 SH DEFINED 01 64675 0 22975
D NIKU CORP COMMON 654113109 2799 59150 SH DEFINED 02 47450 0 11700
D NISOURCE INC COMMON 65473P105 261 15480 SH DEFINED 05 14000 0 1480
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NISOURCE INC COMMON 65473P105 7574 448800 SH DEFINED 01 336900 0 111900
D NISOURCE INC COMMON 65473P105 12607 747105 SH DEFINED 02 441210 0 305895
D NISOURCE INC COMMON 65473P105 393 23300 SH OTHER 01 1100 22200 0
D NOBLE AFFILIATES, INC. COMMON 654894104 2097 63900 SH DEFINED 01 63900 0 0
D NOBLE AFFILIATES, INC. COMMON 654894104 348 10600 SH DEFINED 02 3100 0 7500
D NOKIA CORP. A/D/R COMMON 654902204 7393 33300 SH DEFINED 17 33300 0 0
D NOKIA CORP. A/D/R COMMON 654902204 33 150 SH DEFINED 05 150 0 0
D NOKIA CORP. A/D/R COMMON 654902204 3483 15691 SH DEFINED 01 15391 0 300
D NOKIA CORP. A/D/R COMMON 654902204 111 500 SH OTHER 01 0 500 0
D NOBLE DRILLING CORP. COMMON 655042109 33 805 SH DEFINED 17 805 0 0
D NOBLE DRILLING CORP. COMMON 655042109 2387 57700 SH DEFINED 01 57700 0 0
D NOBLE DRILLING CORP. COMMON 655042109 1410 34075 SH DEFINED 02 2900 0 31175
D NORDSTROM, INC. COMMON 655664100 27 900 SH DEFINED 17 900 0 0
D NORDSTROM, INC. COMMON 655664100 13145 445600 SH DEFINED 01 343700 0 101900
D NORDSTROM, INC. COMMON 655664100 23287 789400 SH DEFINED 02 406800 0 382600
D NORDSTROM, INC. COMMON 655664100 581 19700 SH OTHER 01 1100 18600 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 33 2300 SH DEFINED 17 2300 0 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 58 4050 SH DEFINED 05 4050 0 0
D NORFOLK SOUTHERN CORP. COMMON 655844108 15117 1060827 SH DEFINED 01 863720 0 197107
D NORFOLK SOUTHERN CORP. COMMON 655844108 16142 1132800 SH DEFINED 02 569700 0 563100
D NORFOLK SOUTHERN CORP. COMMON 655844108 718 50368 SH OTHER 01 4900 45468 0
D NORSK HYDRO A S COMMON 656531605 416 10940 SH DEFINED 01 190 0 10750
D NORTEK, INC. COMMON 656559101 429 19400 SH DEFINED 01 19400 0 0
D NORTEK, INC. COMMON 656559101 1215 54900 SH DEFINED 02 15800 0 39100
D NORTEL INVERSORA S A ADR PFD B PREFERRED 656567401 21 1000 SH DEFINED 17
D NORTEL INVERSORA S A ADR PFD B PREFERRED 656567401 15920 771860 SH DEFINED 19
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NORTEL INVERSORA S A ADR PFD B PREFERRED 656567401 928 45000 SH DEFINED 16
D NORTEL NETWORKS CORP COMMON 656569100 2591 20540 SH DEFINED 18 20540 0 0
D NORTEL NETWORKS CORP COMMON 656569100 189 1500 SH DEFINED 05 1500 0 0
D NORTEL NETWORKS CORP COMMON 656569100 254556 2018281 SH DEFINED 01 1371864 0 646417
D NORTEL NETWORKS CORP COMMON 656569100 369421 2929010 SH DEFINED 02 1667570 0 1261440
D NORTEL NETWORKS CORP COMMON 656569100 492 3900 SH OTHER 01 3100 800 0
D NORTH FORK BANCORPORATION NY COMMON 659424105 13312 744740 SH DEFINED 01 635400 0 109340
D NORTH FORK BANCORPORATION NY COMMON 659424105 26005 1454840 SH DEFINED 02 990280 0 464560
D NORTH FORK BANCORPORATION NY COMMON 659424105 27 1500 SH OTHER 01 1500 0 0
D NORTHEAST OPTIC NETWORK INC COMMON 664334109 947 11200 SH DEFINED 01 11200 0 0
D NORTHEAST OPTIC NETWORK INC COMMON 664334109 169 2000 SH DEFINED 02 2000 0 0
D NORTHEAST UTILITIES COMMON 664397106 3636 169100 SH DEFINED 01 168900 0 200
D NORTHEAST UTILITIES COMMON 664397106 931 43292 SH DEFINED 02 8900 0 34392
D NORTHERN STATES POWER CO. MINN COMMON 665772109 20 1000 SH DEFINED 17 1000 0 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 367 18450 SH DEFINED 05 9950 0 8500
D NORTHERN STATES POWER CO. MINN COMMON 665772109 17377 874320 SH DEFINED 01 520050 0 354270
D NORTHERN STATES POWER CO. MINN COMMON 665772109 26764 1346620 SH DEFINED 02 579820 0 766800
D NORTHERN STATES POWER CO. MINN COMMON 665772109 64 3200 SH OTHER 05 3200 0 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 1083 54500 SH OTHER 01 11600 42900 0
D NORTHERN STATES POWER CO. MINN COMMON 665772109 998 50200 SH OTHER 0304 50200 0 0
D NORTHERN TRUST CORP. COMMON 665859104 95 1400 SH DEFINED 17 1400 0 0
D NORTHERN TRUST CORP. COMMON 665859104 4054 60000 SH DEFINED 01 0 0 60000
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 10 428 SH DEFINED 16 428 0 0
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 1940 84100 SH DEFINED 01 84100 0 0
D NORTHPOINT COMMUNICATIONS HL COMMON 666610100 16571 718500 SH DEFINED 02 668500 0 50000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NORTHROP CORP. COMMON 666807102 21 400 SH DEFINED 17 400 0 0
D NORTHROP CORP. COMMON 666807102 810 15310 SH DEFINED 02 0 0 15310
D NORTHROP CORP. COMMON 666807102 212 4000 SH OTHER 01 0 4000 0
D NORTHWEST AIRLINES CORP. COMMON 667280101 4763 210500 SH DEFINED 01 183600 0 26900
D NORTHWEST AIRLINES CORP. COMMON 667280101 3269 144500 SH DEFINED 02 66900 0 77600
D NORTHWEST AIRLINES CORP. COMMON 667280101 7 300 SH OTHER 01 300 0 0
D NORTHWEST NATURAL GAS CO. COMMON 667655104 393 20150 SH DEFINED 02 0 0 20150
D NORTHWESTERN CORPORATION COMMON 668074107 217 10500 SH DEFINED 02 0 0 10500
D NOVA CORP. COMMON 669784100 1515 52000 SH DEFINED 01 52000 0 0
D NOVA CORP. COMMON 669784100 383 13159 SH DEFINED 02 2400 0 10759
D NOVELL, INC. COMMON 670006105 57 2000 SH DEFINED 17 2000 0 0
D NOVELL, INC. COMMON 670006105 9 300 SH DEFINED 05 300 0 0
D NOVELL, INC. COMMON 670006105 22620 790210 SH DEFINED 01 577300 0 212910
D NOVELL, INC. COMMON 670006105 40848 1427000 SH DEFINED 02 820900 0 606100
D NOVELL, INC. COMMON 670006105 175 6100 SH OTHER 01 4100 2000 0
D NOVELLUS SYSTEMS, INC. COMMON 670008101 127 2257 SH DEFINED 16 2257 0 0
D NOVELLUS SYSTEMS, INC. COMMON 670008101 5006 89200 SH DEFINED 01 89200 0 0
D NOVELLUS SYSTEMS, INC. COMMON 670008101 3064 54600 SH DEFINED 02 2700 0 51900
D NOVOSTE CORP COMMON 67010C100 18 441 SH DEFINED 16 441 0 0
D NOVOSTE CORP COMMON 67010C100 360 9000 SH DEFINED 02 600 0 8400
D NUCOR CORP. COMMON 670346105 5230 104600 SH DEFINED 17 104600 0 0
D NUCOR CORP. COMMON 670346105 766 15320 SH DEFINED 01 13820 0 1500
D NUCOR CORP. COMMON 670346105 165 3300 SH DEFINED 02 0 0 3300
D NUEVO ENERGY CO. COMMON 670509108 346 16100 SH DEFINED 02 4500 0 11600
D NUEVO GROUP IUSACELL SA DE D COMMON 670512102 2167 107000 SH DEFINED 17 107000 0 0
D NUEVO GROUP IUSACELL SA DE D COMMON 670512102 142 7000 SH DEFINED 18 7000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 NVIDIA CORP COMMON 67066G104 3320 39300 SH DEFINED 01 39300 0 0
D NVIDIA CORP COMMON 67066G104 6294 74500 SH DEFINED 02 6900 0 67600
D OAO TECHNOLOGY SOLUTIONS, INC. COMMON 67082B105 83 10800 SH DEFINED 01 10800 0 0
D O'CHARLEY'S, INC. COMMON 670823103 218 16800 SH DEFINED 02 0 0 16800
D OM GROUP INC COMMON 670872100 455 10000 SH DEFINED 01 10000 0 0
D OM GROUP INC COMMON 670872100 5 100 SH DEFINED 02 0 0 100
D OTG SOFTWARE INC COMMON 671059103 7 175 SH DEFINED 05 0 0 175
D OTG SOFTWARE INC COMMON 671059103 676 16775 SH DEFINED 01 12225 0 4550
D OTG SOFTWARE INC COMMON 671059103 482 11950 SH DEFINED 02 9625 0 2325
D OAK TECHNOLOGY, INC. COMMON 671802106 208 10800 SH DEFINED 02 0 0 10800
D OBIE MEDIA CORP COMMON 674391107 476 53250 SH DEFINED 01 53250 0 0
D OBIE MEDIA CORP COMMON 674391107 1116 124870 SH DEFINED 02 98890 0 25980
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 48 2300 SH DEFINED 17 2300 0 0
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 1805 87000 SH DEFINED 01 1100 0 85900
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 1206 58100 SH DEFINED 02 32000 0 26100
D OCCIDENTAL PETROLEUM CORP. COMMON 674599105 519 25000 SH OTHER 01 0 25000 0
D OCEAN ENERGY INC TEX COMMON 67481E106 5253 365400 SH DEFINED 01 365400 0 0
D OCEAN ENERGY INC TEX COMMON 67481E106 861 59900 SH DEFINED 02 17200 0 42700
D OCULAR SCIENCES, INC. COMMON 675744106 906 57600 SH DEFINED 01 57600 0 0
D OCULAR SCIENCES, INC. COMMON 675744106 332 21100 SH DEFINED 02 8700 0 12400
D OCWEN FINL CORP COMMON 675746101 5629 703600 SH DEFINED 01 503200 0 200400
D OCWEN FINL CORP COMMON 675746101 12214 1526800 SH DEFINED 02 1134400 0 392400
D OCWEN FINL CORP COMMON 675746101 2 300 SH OTHER 01 300 0 0
D OFFICEMAX, INC. COMMON 67622M108 269 41400 SH DEFINED 01 41400 0 0
D OFFICEMAX, INC. COMMON 67622M108 428 65900 SH DEFINED 02 27600 0 38300
D OFFICE DEPOT O% LYON DUE 12/01 BOND 676220AA4 2937 4567000 PRN DEFINED 16
FORM 13F INFORMATION TABLE MARCH 31 2000 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 OFFICE DEPOT 0% CPN LYON 11/01 BOND 676220AB2 3072 4876000 PRN DEFINED 16
D OFFICE DEPOT, INC. COMMON 676220106 23 2000 SH DEFINED 17 2000 0 0
D OFFICE DEPOT, INC. COMMON 676220106 208 18000 SH DEFINED 01 0 0 18000
D OFFICE DEPOT, INC. COMMON 676220106 389 33600 SH DEFINED 02 0 0 33600
D OGDEN CORP. COMMON 676346109 8 700 SH DEFINED 01 700 0 0
D OGDEN CORP. COMMON 676346109 296 24800 SH DEFINED 02 17100 0 7700
D OHIO CASUALTY CORP. COMMON 677240103 236 13200 SH DEFINED 02 13200 0 0
D OHIO CASUALTY CORP. COMMON 677240103 1073 60000 SH OTHER 0304 60000 0 0
D OLD KENT FINANCIAL CORP. COMMON 679833103 22 700 SH DEFINED 17 700 0 0
D OLD KENT FINANCIAL CORP. COMMON 679833103 4381 136900 SH DEFINED 01 92100 0 44800
D OLD KENT FINANCIAL CORP. COMMON 679833103 5510 172200 SH DEFINED 02 67900 0 104300
D OLD REPUBLIC INTERNATIONAL COR COMMON 680223104 53 3850 SH DEFINED 01 0 0 3850
D OLIN CORP. COMMON 680665205 1097 61825 SH DEFINED 01 47625 0 14200
D OLIN CORP. COMMON 680665205 7 400 SH DEFINED 02 400 0 0
D OMNICARE INC. 5% 12/01/07 BOND 681904AD0 0 2000000 PRN DEFINED 16
D OMNICARE, INC. COMMON 681904108 431 35700 SH DEFINED 16 35700 0 0
D OMNICARE, INC. COMMON 681904108 48 4000 SH DEFINED 02 0 0 4000
D OMNICOM GROUP, INC. COMMON 681919106 103 1100 SH DEFINED 17 1100 0 0
D OMNICOM GROUP, INC. COMMON 681919106 178 1900 SH DEFINED 05 0 0 1900
D OMNICOM GROUP, INC. COMMON 681919106 1652 17641 SH DEFINED 01 13141 0 4500
D OMNICOM GROUP, INC. COMMON 681919106 461 4920 SH OTHER 05 0 4920 0
D OMNICOM GROUP, INC. COMMON 681919106 2331 24900 SH OTHER 01 0 24900 0
D OMNOVA SOLUTIONS INC COMMON 682129101 0 11 SH DEFINED 01 11 0 0
D OMNOVA SOLUTIONS INC COMMON 682129101 190 33800 SH DEFINED 02 16400 0 17400
D ON ASSIGNMENT, INC. COMMON 682159108 3933 87400 SH DEFINED 01 87400 0 0
D ON ASSIGNMENT, INC. COMMON 682159108 11120 247100 SH DEFINED 02 193200 0 53900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ONE VALLEY BANCORP OF WEST VA. COMMON 682419106 287 8296 SH DEFINED 02 0 0 8296
D ONEMAIN COM INC COMMON 68267P109 261 23100 SH DEFINED 01 23100 0 0
D ONEMAIN COM INC COMMON 68267P109 54 4800 SH DEFINED 02 4800 0 0
D ONEOK INC NEW COMMON 682680103 5 200 SH DEFINED 17 200 0 0
D ONEOK INC NEW COMMON 682680103 263 10500 SH DEFINED 01 10500 0 0
D ONEOK INC NEW COMMON 682680103 5338 213500 SH DEFINED 02 24700 0 188800
D ONEOK INC NEW COMMON 682680103 150 6000 SH OTHER 05 0 6000 0
D OPEN MARKET, INC. COMMON 68370M100 206 8000 SH DEFINED 16 8000 0 0
D OPEN MARKET, INC. COMMON 68370M100 237 9200 SH DEFINED 02 0 0 9200
D OPTIMAL ROBOTICS CORP COMMON 68388R208 2176 46300 SH DEFINED 01 46300 0 0
D OPTIMAL ROBOTICS CORP COMMON 68388R208 5217 111000 SH DEFINED 02 88500 0 22500
D ORACLE SYSTEMS CORP. COMMON 68389X105 1113 14260 SH DEFINED 17 14260 0 0
D ORACLE SYSTEMS CORP. COMMON 68389X105 6870 88000 SH DEFINED 18 88000 0 0
D ORACLE SYSTEMS CORP. COMMON 68389X105 937 12000 SH DEFINED 05 3000 0 9000
D ORACLE SYSTEMS CORP. COMMON 68389X105 1 7 SH DEFINED 16 7 0 0
D ORACLE SYSTEMS CORP. COMMON 68389X105 297866 3815718 SH DEFINED 01 2411544 0 1404174
D ORACLE SYSTEMS CORP. COMMON 68389X105 638043 8173442 SH DEFINED 02 5737942 0 2435500
D ORACLE SYSTEMS CORP. COMMON 68389X105 8819 112974 SH OTHER 01 37650 75324 0
D ORBITAL SCIENCES CORPORATION BOND 685564AC0 0 20744000 PRN DEFINED 17
D ORBITAL SCIENCES CORP. COMMON 685564106 332 22100 SH DEFINED 16 22100 0 0
D ORBITAL SCIENCES CORP. COMMON 685564106 492 32800 SH DEFINED 02 19900 0 12900
D ORTEL CORP. COMMON 68749W102 2740 14600 SH DEFINED 16 14600 0 0
D OSHKOSH B'GOSH, INC. CLASS "A" COMMON 688222207 14 800 SH DEFINED 01 800 0 0
D OSHKOSH B'GOSH, INC. CLASS "A" COMMON 688222207 252 14000 SH DEFINED 02 0 0 14000
D OSHKOSH TRUCK CORP. CLASS "B" COMMON 688239201 1112 35800 SH DEFINED 01 35800 0 0
D OSHKOSH TRUCK CORP. CLASS "B" COMMON 688239201 812 26150 SH DEFINED 02 14600 0 11550
FORM 13F INFORMATION TABLE MARCH 31 2000 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 OSHKOSH TRUCK CORP. CLASS "B" COMMON 688239201 217 7000 SH OTHER 01 0 7000 0
D OUTBACK STEAKHOUSE, INC. COMMON 689899102 2863 89300 SH DEFINED 01 89300 0 0
D OUTBACK STEAKHOUSE, INC. COMMON 689899102 471 14700 SH DEFINED 02 4200 0 10500
D OWENS CORNING COMMON 69073F103 6 300 SH DEFINED 17 300 0 0
D OWENS CORNING COMMON 69073F103 4208 217200 SH DEFINED 01 151300 0 65900
D OWENS CORNING COMMON 69073F103 4935 254706 SH DEFINED 02 126506 0 128200
D OWENS CORNING COMMON 69073F103 14 700 SH OTHER 01 700 0 0
D OWENS & MINOR, INC. COMMON 690732102 248 23300 SH DEFINED 01 23300 0 0
D OWENS & MINOR, INC. COMMON 690732102 1347 126775 SH DEFINED 02 2000 0 124775
D OWENS-ILLINOIS INC 4.75% 12/31 PREF-CONV 690768502 3383 125000 SH DEFINED 01
D OXFORD HEALTH PLANS, INC. COMMON 691471106 3828 251000 SH DEFINED 01 251000 0 0
D OXFORD HEALTH PLANS, INC. COMMON 691471106 5940 389500 SH DEFINED 02 301400 0 88100
D P C CONNECTION COMMON 69318J100 746 26400 SH DEFINED 01 26400 0 0
D P C CONNECTION COMMON 69318J100 153 5400 SH DEFINED 02 5400 0 0
D PC HLDGS S A COMMON 693200107 884 51616 SH DEFINED 17 51616 0 0
D PC HLDGS S A COMMON 693200107 95 5570 SH DEFINED 18 5570 0 0
D PC HLDGS S A COMMON 693200107 4 231 SH DEFINED 01 231 0 0
D PC-TEL INC COMMON 69325Q105 102 1350 SH DEFINED 05 0 0 1350
D PC-TEL INC COMMON 69325Q105 8990 119475 SH DEFINED 01 80175 0 39300
D PC-TEL INC COMMON 69325Q105 993 13200 SH DEFINED 02 10350 0 2850
D P-COM, INC. COMMON 693262107 56 3000 SH DEFINED 01 3000 0 0
D P-COM, INC. COMMON 693262107 455 24600 SH DEFINED 02 0 0 24600
D PECO ENERGY CO. COMMON 693304107 4727 128200 SH DEFINED 17 128200 0 0
D PECO ENERGY CO. COMMON 693304107 4 100 SH DEFINED 01 100 0 0
D PG&E CORP COMMON 69331C108 657 31300 SH DEFINED 17 31300 0 0
D PG&E CORP COMMON 69331C108 120 5700 SH DEFINED 05 5700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PG&E CORP COMMON 69331C108 44768 2131811 SH DEFINED 01 1459851 0 671960
D PG&E CORP COMMON 69331C108 90313 4300601 SH DEFINED 02 2987900 0 1312700
D PG&E CORP COMMON 69331C108 733 34919 SH OTHER 01 11700 23219 0
D PG&E CORP COMMON 69331C108 1050 50000 SH OTHER 0304 50000 0 0
D PE CORP COMMON 69332S102 116 1200 SH DEFINED 17 1200 0 0
D PE CORP COMMON 69332S102 12670 131300 SH DEFINED 05 38000 0 93300
D PE CORP COMMON 69332S102 83885 869270 SH DEFINED 01 560670 0 308600
D PE CORP COMMON 69332S102 261588 2710752 SH DEFINED 02 2175160 0 535592
D PE CORP COMMON 69332S102 811 8400 SH OTHER 05 6400 2000 0
D PE CORP COMMON 69332S102 13553 140444 SH OTHER 01 27200 113244 0
D PE CORP COMMON 69332S201 2077 22550 SH DEFINED 05 8250 0 14300
D PE CORP COMMON 69332S201 4844 52580 SH DEFINED 01 37930 0 14650
D PE CORP COMMON 69332S201 4812 52228 SH DEFINED 02 21000 0 31228
D PE CORP COMMON 69332S201 193 2100 SH OTHER 05 1600 500 0
D PE CORP COMMON 69332S201 2043 22172 SH OTHER 01 3300 18872 0
D PIMCO ADVISORS HOLDINGS L.P. COMMON 69338P102 574 14988 SH DEFINED 01 14988 0 0
D PIMCO ADVISORS HOLDINGS L.P. COMMON 69338P102 100 2600 SH DEFINED 02 0 0 2600
D PMC-SIERRA INC COMMON 69344F106 16234 79700 SH DEFINED 01 79700 0 0
D PMC-SIERRA INC COMMON 69344F106 2526 12400 SH DEFINED 02 3600 0 8800
D PMI GROUP, INC. COMMON 69344M101 2287 48200 SH DEFINED 01 48200 0 0
D PMI GROUP, INC. COMMON 69344M101 389 8200 SH DEFINED 02 2300 0 5900
D PNC FINANCIAL CORP. COMMON 693475105 81 1800 SH DEFINED 17 1800 0 0
D PNC FINANCIAL CORP. COMMON 693475105 9 200 SH DEFINED 05 200 0 0
D PNC FINANCIAL CORP. COMMON 693475105 49802 1105167 SH DEFINED 01 847667 0 257500
D PNC FINANCIAL CORP. COMMON 693475105 111485 2473990 SH DEFINED 02 1598770 0 875220
D PNC FINANCIAL CORP. COMMON 693475105 1559 34587 SH OTHER 01 15420 19167 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PNV INC COMMON 69348A103 546 121400 SH DEFINED 01 121400 0 0
D PNV INC COMMON 69348A103 1283 285200 SH DEFINED 02 227700 0 57500
D PPG INDUSTRIES, INC. COMMON 693506107 58 1100 SH DEFINED 17 1100 0 0
D PPG INDUSTRIES, INC. COMMON 693506107 1726 33000 SH DEFINED 06 33000 0 0
D PPG INDUSTRIES, INC. COMMON 693506107 10 200 SH DEFINED 05 200 0 0
D PPG INDUSTRIES, INC. COMMON 693506107 43726 835860 SH DEFINED 01 650300 0 185560
D PPG INDUSTRIES, INC. COMMON 693506107 80939 1547210 SH DEFINED 02 983110 0 564100
D PPG INDUSTRIES, INC. COMMON 693506107 398 7600 SH OTHER 01 1600 6000 0
D PPL CORP COMMON 69351T106 19 900 SH DEFINED 17 900 0 0
D PPL CORP COMMON 69351T106 23 1100 SH DEFINED 05 1100 0 0
D PPL CORP COMMON 69351T106 25676 1226280 SH DEFINED 01 1015030 0 211250
D PPL CORP COMMON 69351T106 54783 2616430 SH DEFINED 02 1660130 0 956300
D PPL CORP COMMON 69351T106 325 15520 SH OTHER 01 7520 8000 0
D PRI AUTOMATION, INC. COMMON 69357H106 86 1400 SH DEFINED 05 0 0 1400
D PRI AUTOMATION, INC. COMMON 69357H106 2583 42250 SH DEFINED 01 4250 0 38000
D PRI AUTOMATION, INC. COMMON 69357H106 1131 18500 SH DEFINED 02 9100 0 9400
D PSS WORLD MEDICAL, INC COMMON 69366A100 110 16200 SH DEFINED 01 3200 0 13000
D PSS WORLD MEDICAL, INC COMMON 69366A100 33 4800 SH DEFINED 02 2400 0 2400
D PTEK HLDGS INC COMMON 69366M104 441 66500 SH DEFINED 01 66500 0 0
D PTEK HLDGS INC COMMON 69366M104 107 16100 SH DEFINED 02 13900 0 2200
D PACCAR, INC. COMMON 693718108 25 500 SH DEFINED 17 500 0 0
D PACCAR, INC. COMMON 693718108 10 200 SH DEFINED 05 200 0 0
D PACCAR, INC. COMMON 693718108 3 69 SH DEFINED 16 69 0 0
D PACCAR, INC. COMMON 693718108 16910 338200 SH DEFINED 01 259100 0 79100
D PACCAR, INC. COMMON 693718108 25320 506400 SH DEFINED 02 294600 0 211800
D PACCAR, INC. COMMON 693718108 40 800 SH OTHER 01 800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PACIFIC CENTY FINL CORP COMMON 694058108 49 2400 SH DEFINED 05 0 0 2400
D PACIFIC CENTY FINL CORP COMMON 694058108 15651 770475 SH DEFINED 01 666400 0 104075
D PACIFIC CENTY FINL CORP COMMON 694058108 28693 1412525 SH DEFINED 02 974250 0 438275
D PACIFIC CENTY FINL CORP COMMON 694058108 714 35140 SH OTHER 01 7924 27216 0
D PACIFIC GATEWAY EXCHANGE, INC. COMMON 694327107 88 6000 SH DEFINED 16 6000 0 0
D PACIFIC GATEWAY EXCHANGE, INC. COMMON 694327107 26 1800 SH DEFINED 01 1800 0 0
D PACIFIC GATEWAY EXCHANGE, INC. COMMON 694327107 32 2200 SH DEFINED 02 400 0 1800
D PACIFIC GULF PROPERTIES, INC. COMMON 694396102 257 13100 SH DEFINED 02 0 0 13100
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON 694873100 1263 32800 SH DEFINED 01 32800 0 0
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON 694873100 258 6700 SH DEFINED 02 6700 0 0
D PACKETEER INC COMMON 695210104 88 2500 SH DEFINED 05 0 0 2500
D PACKETEER INC COMMON 695210104 7568 216225 SH DEFINED 01 149925 0 66300
D PACKETEER INC COMMON 695210104 5985 171000 SH DEFINED 02 134800 0 36200
D PAINE WEBBER GROUP, INC. COMMON 695629105 40 900 SH DEFINED 17 900 0 0
D PAINE WEBBER GROUP, INC. COMMON 695629105 10267 233330 SH DEFINED 01 143400 0 89930
D PAINE WEBBER GROUP, INC. COMMON 695629105 21241 482750 SH DEFINED 02 278750 0 204000
D PAINE WEBBER GROUP, INC. COMMON 695629105 35 800 SH OTHER 01 800 0 0
D PAIRGAIN TECHNOLOGIES, INC. COMMON 695934109 1378 77616 SH DEFINED 16 77616 0 0
D PALL CORP. COMMON 696429307 18 800 SH DEFINED 17 800 0 0
D PALL CORP. COMMON 696429307 458 20400 SH DEFINED 02 0 0 20400
D PALL CORP. COMMON 696429307 673 30000 SH OTHER 01 0 30000 0
D PALM INC COMMON 696642107 902 20100 SH DEFINED 05 9250 0 10850
D PALM INC COMMON 696642107 403 10000 SH DEFINED 16 10000 0 0
D PALM INC COMMON 696642107 3026 67434 SH DEFINED 01 45365 0 22069
D PALM INC COMMON 696642107 2747 61215 SH DEFINED 02 38997 0 22218
D PALM INC COMMON 696642107 53 1180 SH OTHER 05 320 860 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PALM INC COMMON 696642107 310 6917 SH OTHER 01 3337 3580 0
D PAN PACIFIC RETAIL PROPERTIES, COMMON 69806L104 339 18400 SH DEFINED 02 0 0 18400
D PAPA JOHN'S INTERNATIONAL, INC COMMON 698813102 1815 55000 SH DEFINED 01 55000 0 0
D PAPA JOHN'S INTERNATIONAL, INC COMMON 698813102 290 8800 SH DEFINED 02 8800 0 0
D PARACELCUS HEALTHCARE CORP. COMMON 698891108 13 60210 SH DEFINED 01 59465 0 745
D PARACELCUS HEALTHCARE CORP. COMMON 698891108 1 3761 SH DEFINED 02 3761 0 0
D PARACELCUS HEALTHCARE CORP. COMMON 698891108 0 993 SH OTHER 01 993 0 0
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 36 1700 SH DEFINED 17 1700 0 0
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 2 149 SH DEFINED 16 149 0 0
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 20461 971400 SH DEFINED 01 706700 0 264700
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 82962 3938764 SH DEFINED 02 3113280 0 825484
D PARAMETRIC TECHNOLOGY CORP. COMMON 699173100 40 1900 SH OTHER 01 1900 0 0
D PARK ELECTROCHEM. 5.5% CSN 3/0 BOND 700416AB6 750 1005000 PRN OTHER 01
D PARK ELECTROCHEMICAL CORP. COMMON 700416209 412 16800 SH DEFINED 02 1800 0 15000
D PARK PLACE ENTERTAINMENT CORP COMMON 700690100 2011 173900 SH DEFINED 01 173900 0 0
D PARK PLACE ENTERTAINMENT CORP COMMON 700690100 722 62400 SH DEFINED 02 8000 0 54400
D PARKER DRILLING CO. COMMON 701081101 68 13500 SH DEFINED 02 13500 0 0
D PARKER-HANNIFIN CORP. COMMON 701094104 29 700 SH DEFINED 17 700 0 0
D PARKER-HANNIFIN CORP. COMMON 701094104 4577 110800 SH DEFINED 01 94400 0 16400
D PARKER-HANNIFIN CORP. COMMON 701094104 4052 98070 SH DEFINED 02 56270 0 41800
D PARKERVISION, INC. COMMON 701354102 245 8300 SH DEFINED 02 0 0 8300
D PAXAR CORP. COMMON 704227107 197 20516 SH DEFINED 02 2400 0 18116
D PAYCHEX, INC. COMMON 704326107 79 1500 SH DEFINED 17 1500 0 0
D PAYCHEX, INC. COMMON 704326107 9 164 SH DEFINED 16 164 0 0
D PAYCHEX, INC. COMMON 704326107 1416 27045 SH DEFINED 01 27045 0 0
D PAYCHEX, INC. COMMON 704326107 2804 53533 SH DEFINED 02 0 0 53533
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PEDIATRIX MEDICAL GROUP, INC. COMMON 705324101 315 43500 SH DEFINED 01 43500 0 0
D PEDIATRIX MEDICAL GROUP, INC. COMMON 705324101 228 31400 SH DEFINED 02 8500 0 22900
D PEGASYSTEMS INC COMMON 705573103 203 16900 SH DEFINED 02 15300 0 1600
D PEGASUS SYSTEMS, INC. COMMON 705906105 942 59600 SH DEFINED 01 59600 0 0
D PEGASUS SYSTEMS, INC. COMMON 705906105 302 19100 SH DEFINED 02 10400 0 8700
D PENN ENGR & MFG CORP COMMON 707389102 613 28700 SH DEFINED 02 0 0 28700
D PENN TREATY AMERICAN CORP. COMMON 707874103 209 12500 SH DEFINED 02 0 0 12500
D PENNEY (J. C.), INC. COMMON 708160106 9786 657863 SH DEFINED 17 657863 0 0
D PENNEY (J. C.), INC. COMMON 708160106 25415 1708579 SH DEFINED 19 1708579 0 0
D PENNEY (J. C.), INC. COMMON 708160106 11403 766564 SH DEFINED 01 573425 0 193139
D PENNEY (J. C.), INC. COMMON 708160106 19705 1324722 SH DEFINED 02 727922 0 596800
D PENNEY (J. C.), INC. COMMON 708160106 314 21128 SH OTHER 01 1400 19728 0
D PENNEY (J. C.), INC. COMMON 708160106 744 50000 SH OTHER 0304 50000 0 0
D PENNSYLVANIA REAL ESTATE INV. COMMON 709102107 242 14900 SH DEFINED 02 0 0 14900
D PENNZOIL-QUAKER STATE COMPAN COMMON 709323109 31 3000 SH OTHER 01 0 3000 0
D PENTAIR, INC. COMMON 709631105 1975 53300 SH DEFINED 01 53300 0 0
D PENTAIR, INC. COMMON 709631105 1060 28600 SH DEFINED 02 2200 0 26400
D PENTON MEDIA INC COMMON 709668107 806 30984 SH DEFINED 01 24200 0 6784
D PENTON MEDIA INC COMMON 709668107 73 2800 SH DEFINED 02 2800 0 0
D PEOPLES BANCORP, INC. COMMON 709789101 181 10890 SH DEFINED 02 0 0 10890
D PEOPLES ENERGY CORP. COMMON 711030106 5 200 SH DEFINED 17 200 0 0
D PEOPLES ENERGY CORP. COMMON 711030106 317 11560 SH DEFINED 01 0 0 11560
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 51 3400 SH DEFINED 05 3400 0 0
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 23423 1561500 SH DEFINED 01 922300 0 639200
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 54647 3643128 SH DEFINED 02 2854820 0 788308
D PEOPLES HERITAGE FIN'L GROUP, COMMON 711147108 9 600 SH OTHER 01 600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PEOPLESOFT, INC. COMMON 712713106 34 1700 SH DEFINED 17 1700 0 0
D PEOPLESOFT, INC. COMMON 712713106 0 16 SH DEFINED 16 16 0 0
D PEOPLESOFT, INC. COMMON 712713106 13460 673000 SH DEFINED 01 511800 0 161200
D PEOPLESOFT, INC. COMMON 712713106 31159 1557949 SH DEFINED 02 1112204 0 445745
D PEOPLESOFT, INC. COMMON 712713106 32 1600 SH OTHER 01 1600 0 0
D PEP BOYS-MANNY, MOE & JACK COMMON 713278109 2 300 SH DEFINED 17 300 0 0
D PEP BOYS-MANNY, MOE & JACK COMMON 713278109 408 68670 SH DEFINED 01 68670 0 0
D PEP BOYS-MANNY, MOE & JACK COMMON 713278109 30 5000 SH OTHER 01 0 5000 0
D PEPSI BOTTLING GROUP INC COMMON 713409100 3562 178100 SH DEFINED 01 178100 0 0
D PEPSI BOTTLING GROUP INC COMMON 713409100 580 29000 SH DEFINED 02 8300 0 20700
D PEPSICO, INC. COMMON 713448108 3821 109550 SH DEFINED 17 109550 0 0
D PEPSICO, INC. COMMON 713448108 5276 151270 SH DEFINED 05 64350 0 86920
D PEPSICO, INC. COMMON 713448108 161312 4625420 SH DEFINED 01 1252089 0 3373331
D PEPSICO, INC. COMMON 713448108 47032 1348600 SH DEFINED 02 1277900 0 70700
D PEPSICO, INC. COMMON 713448108 167 4800 SH OTHER 05 2400 2400 0
D PEPSICO, INC. COMMON 713448108 1276 36600 SH OTHER 09 36600 0 0
D PEPSICO, INC. COMMON 713448108 26109 748643 SH OTHER 01 191484 557159 0
D PEREGRINE SYSTEMS INC COMMON 71366Q101 7739 115400 SH DEFINED 01 115400 0 0
D PEREGRINE SYSTEMS INC COMMON 71366Q101 12729 189800 SH DEFINED 02 110500 0 79300
D PERKINELMER INC COMMON 714046109 20 300 SH DEFINED 17 300 0 0
D PERKINELMER INC COMMON 714046109 2673 40200 SH DEFINED 01 40200 0 0
D PERKINELMER INC COMMON 714046109 1257 18900 SH DEFINED 02 18900 0 0
D PERKINELMER INC COMMON 714046109 1663 25000 SH OTHER 01 0 25000 0
D PEROT SYS CORP COMMON 714265105 350 17500 SH DEFINED 02 0 0 17500
D PERRIGO CO. COMMON 714290103 1 80 SH DEFINED 16 80 0 0
D PERRIGO CO. COMMON 714290103 273 36000 SH DEFINED 02 36000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PERSONNEL GROUP OF AMERICA, IN COMMON 715338109 551 89900 SH DEFINED 01 89900 0 0
D PERSONNEL GROUP OF AMERICA, IN COMMON 715338109 532 86800 SH DEFINED 02 35700 0 51100
D PETCO ANIMAL SUPPLIES, INC. COMMON 716016100 419 35300 SH DEFINED 01 35300 0 0
D PETCO ANIMAL SUPPLIES, INC. COMMON 716016100 566 47700 SH DEFINED 02 22400 0 25300
D PETROLEUM & RESOURCES CORP. COMMON 716549100 395 10959 SH DEFINED 01 10959 0 0
D PETSMART, INC. COMMON 716768106 0 31 SH DEFINED 16 31 0 0
D PETSMART, INC. COMMON 716768106 139 46400 SH DEFINED 02 0 0 46400
D PHARMACYCLICS INC COMMON 716933106 507 9100 SH DEFINED 02 0 0 9100
D PHARMACIA & UPJOHN, INC. COMMON 716941109 6277 105000 SH DEFINED 17 105000 0 0
D PHARMACIA & UPJOHN, INC. COMMON 716941109 38442 646090 SH DEFINED 01 474290 0 171800
D PHARMACIA & UPJOHN, INC. COMMON 716941109 98316 1652366 SH DEFINED 02 1435430 0 216936
D PHARMACIA & UPJOHN, INC. COMMON 716941109 357 6000 SH OTHER 01 2400 3600 0
D PFIZER, INC. COMMON 717081103 5614 153550 SH DEFINED 17 153550 0 0
D PFIZER, INC. COMMON 717081103 9141 250000 SH DEFINED 18 250000 0 0
D PFIZER, INC. COMMON 717081103 2854 78065 SH DEFINED 05 29180 0 48885
D PFIZER, INC. COMMON 717081103 183844 5028147 SH DEFINED 01 3163454 0 1864693
D PFIZER, INC. COMMON 717081103 283121 7743378 SH DEFINED 02 5435200 0 2308178
D PFIZER, INC. COMMON 717081103 3510 96000 SH OTHER 1314 0 96000 0
D PFIZER, INC. COMMON 717081103 43331 1185092 SH OTHER 01 523453 661639 0
D PFSWEB INC COMMON 717098107 37 2300 SH DEFINED 05 0 0 2300
D PFSWEB INC COMMON 717098107 2862 178850 SH DEFINED 01 117900 0 60950
D PFSWEB INC COMMON 717098107 1842 115125 SH DEFINED 02 91100 0 24025
D PHELPS DODGE CORP. COMMON 717265102 24 500 SH DEFINED 17 500 0 0
D PHELPS DODGE CORP. COMMON 717265102 14836 313160 SH DEFINED 01 237400 0 75760
D PHELPS DODGE CORP. COMMON 717265102 46282 976920 SH DEFINED 02 649320 0 327600
D PHELPS DODGE CORP. COMMON 717265102 33 700 SH OTHER 01 700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PHILIP MORRIS COMPANIES, INC. COMMON 718154107 308 14600 SH DEFINED 17 14600 0 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 1687 79850 SH DEFINED 05 40250 0 39600
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 290808 13766067 SH DEFINED 01 9535562 0 4230505
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 663269 31397339 SH DEFINED 02 23180603 0 8216736
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 135 6400 SH OTHER 05 5400 1000 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 1586 75075 SH OTHER 09 75075 0 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 7248 343118 SH OTHER 01 147455 195663 0
D PHILIP MORRIS COMPANIES, INC. COMMON 718154107 4014 190000 SH OTHER 0304 190000 0 0
D PHILIPPINE LONG DISTANCE TELEP PREFERRED 718252703 3976 95800 SH DEFINED 16
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 74 1600 SH DEFINED 17 1600 0 0
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 15009 324516 SH DEFINED 01 211016 0 113500
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 31657 684470 SH DEFINED 02 459370 0 225100
D PHILLIPS PETROLEUM COMPANY COMMON 718507106 254 5500 SH OTHER 01 500 5000 0
D PHILLIPS-VAN HEUSEN CORP. COMMON 718592108 98 12700 SH DEFINED 02 0 0 12700
D PHOENIX TECHNOLOGY LTD. COMMON 719153108 1223 57900 SH DEFINED 01 57900 0 0
D PHOENIX TECHNOLOGY LTD. COMMON 719153108 611 28900 SH DEFINED 02 22700 0 6200
D PHONE COM INC COMMON 71920Q100 375 2300 SH DEFINED 17 2300 0 0
D PHONE COM INC COMMON 71920Q100 3752 23000 SH DEFINED 18 23000 0 0
D PHONE COM INC COMMON 71920Q100 783 4800 SH DEFINED 02 0 0 4800
D PHONE COM INC COMMON 71920Q100 16 100 SH OTHER 01 0 100 0
D PHOTOWORKS INC COMMON 71940B109 159 23287 SH DEFINED 02 0 0 23287
D PHYCOR, INC. 4.5% CSD DUE 2/15 BOND 71940FAB6 6432 16283000 PRN DEFINED 01
D PHOTRONICS, INC. COMMON 719405102 265 7500 SH DEFINED 02 0 0 7500
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 10 400 SH DEFINED 01 0 0 400
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 1149 44100 SH DEFINED 02 0 0 44100
D PIEDMONT NATURAL GAS, INC. COMMON 720186105 104 4000 SH OTHER 01 0 4000 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PIER 1 IMPORTS, INC. COMMON 720279108 1021 99600 SH DEFINED 01 99600 0 0
D PIER 1 IMPORTS, INC. COMMON 720279108 637 62100 SH DEFINED 02 27400 0 34700
D PILGRIM'S PRIDE CORP. COMMON 721467108 86 13600 SH DEFINED 01 13600 0 0
D PILGRIM'S PRIDE CORP. COMMON 721467108 115 18200 SH DEFINED 02 8500 0 9700
D PILLOWTEX CORP. COMMON 721501104 44 11100 SH DEFINED 01 11100 0 0
D PILLOWTEX CORP. COMMON 721501104 61 15300 SH DEFINED 02 1200 0 14100
D PINNACLE ENTMT INC COMMON 723456109 1217 59900 SH DEFINED 01 59900 0 0
D PINNACLE ENTMT INC COMMON 723456109 1755 86400 SH DEFINED 02 28500 0 57900
D PINNACLE SYSTEMS, INC. COMMON 723481107 259 7800 SH DEFINED 05 0 0 7800
D PINNACLE SYSTEMS, INC. COMMON 723481107 21021 632225 SH DEFINED 01 459750 0 172475
D PINNACLE SYSTEMS, INC. COMMON 723481107 3731 112200 SH DEFINED 02 61700 0 50500
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 14 500 SH DEFINED 17 500 0 0
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 163 5800 SH DEFINED 05 4300 0 1500
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 28231 1001527 SH DEFINED 01 718020 0 283507
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 52355 1857350 SH DEFINED 02 1324950 0 532400
D PINNACLE WEST CAPITAL CORP. COMMON 723484101 1305 46287 SH OTHER 01 31850 14437 0
D PIONEER NATURAL RESOURCES COMP COMMON 723787107 475 45200 SH DEFINED 02 45200 0 0
D PIONEER-STANDARD ELECTRONICS, COMMON 723877106 416 26400 SH DEFINED 01 26400 0 0
D PIONEER-STANDARD ELECTRONICS, COMMON 723877106 2244 142475 SH DEFINED 02 35500 0 106975
D PITNEY BOWES, INC. COMMON 724479100 72 1600 SH DEFINED 17 1600 0 0
D PITNEY BOWES, INC. COMMON 724479100 447 10000 SH DEFINED 05 8000 0 2000
D PITNEY BOWES, INC. COMMON 724479100 988 22104 SH DEFINED 01 13120 0 8984
D PITNEY BOWES, INC. COMMON 724479100 2716 60784 SH DEFINED 02 0 0 60784
D PITNEY BOWES, INC. COMMON 724479100 1175 26300 SH OTHER 01 0 26300 0
D PITT-DESMOINES, INC. COMMON 724508106 330 14600 SH DEFINED 02 6900 0 7700
D PITTSTON CO. COMMON 725701106 190 11200 SH DEFINED 01 11200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PITTSTON CO. COMMON 725701106 245 14400 SH DEFINED 02 12300 0 2100
D PIXAR, INC. COMMON 725811103 942 26400 SH DEFINED 01 26400 0 0
D PIXAR, INC. COMMON 725811103 153 4300 SH DEFINED 02 1200 0 3100
D PLACER DOME, INC. COMMON 725906101 16 2000 SH DEFINED 17 2000 0 0
D PLACER DOME, INC. COMMON 725906101 2 200 SH DEFINED 01 200 0 0
D PLACER DOME, INC. COMMON 725906101 541 66598 SH DEFINED 02 0 0 66598
D PLAINS RESOURCES, INC. COMMON 726540503 404 32306 SH DEFINED 01 32306 0 0
D PLANTRONICS, INC. COMMON 727493108 503 5400 SH DEFINED 01 5400 0 0
D PLANTRONICS, INC. COMMON 727493108 1072 11500 SH DEFINED 02 6100 0 5400
D PLANTRONICS, INC. COMMON 727493108 1249 13400 SH OTHER 01 0 13400 0
D PLAYBOY ENTERPRISES, INC. "B" COMMON 728117300 344 17300 SH DEFINED 02
D POGO PRODUCING CO BOND 730448AE7 869 1200000 PRN OTHER 01
D POGO PRODUCING CO. COMMON 730448107 481 16846 SH DEFINED 02 0 0 16846
D POLARIS INDS INC COMMON 731068102 437 14500 SH DEFINED 02 14500 0 0
D POLYCOM INC COMMON 73172K104 277 3500 SH DEFINED 05 0 0 3500
D POLYCOM INC COMMON 73172K104 29874 377250 SH DEFINED 01 270500 0 106750
D POLYCOM INC COMMON 73172K104 9259 116925 SH DEFINED 02 84800 0 32125
D PORTAL SOFTWARE INC COMMON 736126103 2403 42200 SH DEFINED 01 42200 0 0
D PORTAL SOFTWARE INC COMMON 736126103 6764 118800 SH DEFINED 02 84000 0 34800
D POST PROPERTIES, INC. COMMON 737464107 10480 259968 SH DEFINED 01 259968 0 0
D POST PROPERTIES, INC. COMMON 737464107 22512 558419 SH DEFINED 02 466288 0 92131
D POTLATCH CORP. COMMON 737628107 9 200 SH DEFINED 17 200 0 0
D POTLATCH CORP. COMMON 737628107 409 9500 SH OTHER 01 9500 0 0
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 1075 47500 SH DEFINED 01 47500 0 0
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 1475 65200 SH DEFINED 02 17800 0 47400
D POTOMAC ELECTRIC POWER CO. COMMON 737679100 294 13000 SH OTHER 01 0 13000 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 POWER-ONE, INC. COMMON 739308104 5385 89200 SH DEFINED 01 89200 0 0
D POWER-ONE, INC. COMMON 739308104 13723 227300 SH DEFINED 02 169100 0 58200
D POWERTEL INC COMMON 73936C109 1039 15013 SH DEFINED 16 15013 0 0
D POWERTEL INC COMMON 73936C109 761 11000 SH DEFINED 01 11000 0 0
D POWERTEL INC COMMON 73936C109 3155 45600 SH DEFINED 02 3400 0 42200
D POWERWAVE TECHNOLOGIES INC COMMON 739363109 1838 14700 SH DEFINED 01 14700 0 0
D POWERWAVE TECHNOLOGIES INC COMMON 739363109 1175 9400 SH DEFINED 02 2700 0 6700
D PRAXAIR, INC. COMMON 74005P104 42 1000 SH DEFINED 17 1000 0 0
D PRAXAIR, INC. COMMON 74005P104 34948 839600 SH DEFINED 01 605350 0 234250
D PRAXAIR, INC. COMMON 74005P104 85909 2063870 SH DEFINED 02 1557170 0 506700
D PRAXAIR, INC. COMMON 74005P104 154 3700 SH OTHER 01 3700 0 0
D PRE PAID LEGAL SERVICES, INC. COMMON 740065107 576 19400 SH DEFINED 01 19400 0 0
D PRE PAID LEGAL SERVICES, INC. COMMON 740065107 196 6600 SH DEFINED 02 4700 0 1900
D PRECISION CASTPARTS CORP. COMMON 740189105 894 24500 SH DEFINED 02 8600 0 15900
D PREMIER PARKS, INC. COMMON 740540208 1825 86900 SH DEFINED 01 85900 0 1000
D PREMIER PARKS, INC. COMMON 740540208 485 23100 SH DEFINED 02 0 0 23100
D PRESIDENTIAL LIFE CORP. COMMON 740884101 171 12400 SH DEFINED 02 0 0 12400
D PREVIEW SYS INC COMMON 741379101 28 600 SH DEFINED 05 0 0 600
D PREVIEW SYS INC COMMON 741379101 7378 155950 SH DEFINED 01 121950 0 34000
D PREVIEW SYS INC COMMON 741379101 4272 90300 SH DEFINED 02 71700 0 18600
D PRICE ENTERPRISES, INC. COMMON 741444202 293 38900 SH DEFINED 02 0 0 38900
D PRICE (T.) ROWE ASSOCIATES, IN COMMON 741477103 28 700 SH DEFINED 17 700 0 0
D PRICE (T.) ROWE ASSOCIATES, IN COMMON 741477103 241 6100 SH DEFINED 02 0 0 6100
D PRICELINE COM INC COMMON 741503106 6424 80300 SH DEFINED 16 80300 0 0
D PRICELINE COM INC COMMON 741503106 1384 17300 SH DEFINED 02 0 0 17300
D PRICESMART, INC. COMMON 741511109 449 10975 SH DEFINED 02 0 0 10975
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PRIME GROUP REALTY TRUST COMMON 74158J103 399 27900 SH DEFINED 02 0 0 27900
D PRIMEX TECHNOLOGIES INC COMMON 741597108 271 12700 SH DEFINED 01 12700 0 0
D PRIMEX TECHNOLOGIES INC COMMON 741597108 375 17600 SH DEFINED 02 11700 0 5900
D PRIMARK CORP. COMMON 741903108 121 5000 SH DEFINED 01 5000 0 0
D PRIMARK CORP. COMMON 741903108 232 9600 SH DEFINED 02 1400 0 8200
D PRIMARK CORP. COMMON 741903108 4 186 SH OTHER 01 0 186 0
D PRIME HOSPITALITY CORP. COMMON 741917108 482 66500 SH DEFINED 01 66500 0 0
D PRIME HOSPITALITY CORP. COMMON 741917108 288 39700 SH DEFINED 02 28500 0 11200
D PRIMUS TELECOMMUNICATIONS GROU COMMON 741929103 581 11234 SH DEFINED 02 0 0 11234
D PRIDE INTL INC COMMON 741932107 252 11000 SH DEFINED 01 0 0 11000
D PRIDE INTL INC COMMON 741932107 512 22400 SH DEFINED 02 0 0 22400
D PRISON RLTY TR COMMON 74264N105 46 15050 SH DEFINED 02 0 0 15050
D PRIORITY HEALTHCARE CORP CLASS COMMON 74264T102 1098 21850 SH DEFINED 02 400 0 21450
D PRIVATE BUSINESS INC COMMON 74267D104 34 11300 SH DEFINED 02 11300 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 537 9500 SH DEFINED 17 9500 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 3966 70200 SH DEFINED 06 70200 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 3925 69470 SH DEFINED 05 34150 0 35320
D PROCTER & GAMBLE CO. COMMON 742718109 740 12440 SH DEFINED 16 12440 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 362325 6412827 SH DEFINED 01 4036645 0 2376182
D PROCTER & GAMBLE CO. COMMON 742718109 590571 10452582 SH DEFINED 02 7001331 0 3451251
D PROCTER & GAMBLE CO. COMMON 742718109 192 3400 SH OTHER 05 2000 1400 0
D PROCTER & GAMBLE CO. COMMON 742718109 1797 31800 SH OTHER 09 31800 0 0
D PROCTER & GAMBLE CO. COMMON 742718109 37464 663088 SH OTHER 01 175225 487863 0
D PROCTER & GAMBLE CO. COMMON 742718109 2373 42000 SH OTHER 0304 42000 0 0
D PRODIGY COMMUNICATIONS CORP COMMON 74283P107 459 30475 SH DEFINED 16 30475 0 0
D PROGRESS SOFTWARE CORP. COMMON 743312100 1 46 SH DEFINED 16 46 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PROGRESS SOFTWARE CORP. COMMON 743312100 1554 66300 SH DEFINED 01 66300 0 0
D PROGRESS SOFTWARE CORP. COMMON 743312100 347 14800 SH DEFINED 02 12000 0 2800
D PROGRESSIVE CORP. COMMON 743315103 30 400 SH DEFINED 17 400 0 0
D PROGRESSIVE CORP. COMMON 743315103 1715 22550 SH DEFINED 01 22550 0 0
D PROGRESSIVE CORP. COMMON 743315103 23 300 SH DEFINED 02 300 0 0
D PROGRESSIVE CORP. COMMON 743315103 289 3800 SH OTHER 01 0 3800 0
D PROJECT SOFTWARE & DEVELOPMENT COMMON 74339P101 11 200 SH DEFINED 02 200 0 0
D PROMOTIONS COM INC COMMON 74341U106 473 55600 SH DEFINED 01 55600 0 0
D PROMOTIONS COM INC COMMON 74341U106 1130 132900 SH DEFINED 02 106600 0 26300
D PROLOGIS TRUST COMMON 743410102 11646 605000 SH DEFINED 01 600700 0 4300
D PROLOGIS TRUST COMMON 743410102 35471 1842670 SH DEFINED 02 1581570 0 261100
D PROSOFTTRAINING COM INC COMMON 743477101 2601 115258 SH DEFINED 01 115258 0 0
D PROTECTIVE LIFE CORP. COMMON 743674103 1553 48928 SH DEFINED 01 48928 0 0
D PROTECTIVE LIFE CORP. COMMON 743674103 1832 57700 SH DEFINED 02 0 0 57700
D PROTEIN DESIGN LABS INC 'CONV BOND 74369LAA1 0 4000000 PRN DEFINED 16
D PROTEIN DESIGN LABS COMMON 74369L103 72 900 SH DEFINED 17 900 0 0
D PROTEIN DESIGN LABS COMMON 74369L103 811 10200 SH DEFINED 02 600 0 9600
D PROVIDENT BANKSHARES CORP. COMMON 743859100 40 2550 SH DEFINED 01 0 0 2550
D PROVIDENT BANKSHARES CORP. COMMON 743859100 145 9200 SH DEFINED 02 9200 0 0
D PROVIDENT FINL GROUP INC COMMON 743866105 14 400 SH DEFINED 05 400 0 0
D PROVIDENT FINL GROUP INC COMMON 743866105 13986 410600 SH DEFINED 01 360500 0 50100
D PROVIDENT FINL GROUP INC COMMON 743866105 26192 768915 SH DEFINED 02 587340 0 181575
D PROVIDENT FINL GROUP INC COMMON 743866105 10 300 SH OTHER 01 300 0 0
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 78 900 SH DEFINED 17 900 0 0
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 21368 246673 SH DEFINED 01 170616 0 76057
D PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 17091 197300 SH DEFINED 02 94000 0 103300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 PROVIDIAN FINANCIAL CORPORATIO COMMON 74406A102 299 3450 SH OTHER 01 0 3450 0
D PROXICOM INC COMMON 744282104 2840 64100 SH DEFINED 01 64100 0 0
D PROXICOM INC COMMON 744282104 6682 150800 SH DEFINED 02 119900 0 30900
D PROXIM INC COMMON 744284100 1089 9100 SH DEFINED 02 0 0 9100
D PSINET, INC. COMMON 74437C101 4211 123800 SH DEFINED 17 123800 0 0
D PSINET, INC. COMMON 74437C101 5480 161100 SH DEFINED 18 161100 0 0
D PSINET, INC. COMMON 74437C101 342 10049 SH DEFINED 16 10049 0 0
D PSINET, INC. COMMON 74437C101 1364 40100 SH DEFINED 01 39300 0 800
D PSINET, INC. COMMON 74437C101 14900 438026 SH DEFINED 02 312734 0 125292
D PUBLIC SERVICE COMPANY OF NEW COMMON 744499104 6656 422600 SH DEFINED 02 59400 0 363200
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 652 22000 SH DEFINED 17 22000 0 0
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 74 2500 SH DEFINED 05 0 0 2500
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 1633 55129 SH DEFINED 01 36229 0 18900
D PUBLIC SERVICE ENTERPRISE GROU COMMON 744573106 4056 136900 SH DEFINED 02 64300 0 72600
D PUBLIC STORAGE, INC. COMMON 74460D109 11000 523800 SH DEFINED 01 519200 0 4600
D PUBLIC STORAGE, INC. COMMON 74460D109 25742 1225820 SH DEFINED 02 1048020 0 177800
D PUGET SOUND POWER & LIGHT CO. COMMON 745332106 1846 83200 SH DEFINED 01 80900 0 2300
D PUGET SOUND POWER & LIGHT CO. COMMON 745332106 313 14100 SH DEFINED 02 3500 0 10600
D PULTE CORP. COMMON 745867101 6 300 SH DEFINED 17 300 0 0
D PULTE CORP. COMMON 745867101 355 17000 SH DEFINED 02 1000 0 16000
D PURCHASEPRO COM COMMON 746144104 67 925 SH DEFINED 05 0 0 925
D PURCHASEPRO COM COMMON 746144104 7912 109125 SH DEFINED 01 83300 0 25825
D PURCHASEPRO COM COMMON 746144104 6047 83400 SH DEFINED 02 67125 0 16275
D QLOGIC CORP. COMMON 747277101 6721 49600 SH DEFINED 01 49600 0 0
D QLOGIC CORP. COMMON 747277101 7290 53800 SH DEFINED 02 2200 0 51600
D QUADRAMED CORPORATION 5.25% BOND 74730WAC5 1432 1650000 PRN DEFINED 16
FORM 13F INFORMATION TABLE MARCH 31 2000 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 QUADRAMED CORP COMMON 74730W101 143 24900 SH DEFINED 02 1300 0 23600
D QUAKER OATS CO. COMMON 747402105 49 800 SH DEFINED 17 800 0 0
D QUAKER OATS CO. COMMON 747402105 30 500 SH DEFINED 05 500 0 0
D QUAKER OATS CO. COMMON 747402105 45251 746415 SH DEFINED 01 495045 0 251370
D QUAKER OATS CO. COMMON 747402105 94734 1562620 SH DEFINED 02 1049620 0 513000
D QUAKER OATS CO. COMMON 747402105 3832 63200 SH OTHER 01 40000 23200 0
D QUALCOMM, INC. COMMON 747525103 16424 110000 SH DEFINED 17 110000 0 0
D QUALCOMM, INC. COMMON 747525103 985 6600 SH DEFINED 05 6600 0 0
D QUALCOMM, INC. COMMON 747525103 74 527 SH DEFINED 16 527 0 0
D QUALCOMM, INC. COMMON 747525103 189153 1266820 SH DEFINED 01 899135 0 367685
D QUALCOMM, INC. COMMON 747525103 257147 1722200 SH DEFINED 02 1063500 0 658700
D QUALCOMM, INC. COMMON 747525103 493 3300 SH OTHER 01 2100 1200 0
D QUANTA SVCS INC COMMON 74762E102 655 10800 SH DEFINED 01 10800 0 0
D QUANTA SVCS INC COMMON 74762E102 127 2100 SH DEFINED 02 2100 0 0
D QUANEX CORP. COMMON 747620102 675 37500 SH DEFINED 01 37500 0 0
D QUANEX CORP. COMMON 747620102 1258 69900 SH DEFINED 02 29700 0 40200
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 QUANTUM CORP COMMON 747906204 1 100 SH DEFINED 05 100 0 0
D QUANTUM CORP COMMON 747906204 14575 1220900 SH DEFINED 01 795100 0 425800
D QUANTUM CORP COMMON 747906204 77054 6454480 SH DEFINED 02 5252080 0 1202400
D QUANTUM CORP COMMON 747906204 13 1100 SH OTHER 01 1000 100 0
D QUANTUM CORP COMMON 747906303 903 80250 SH DEFINED 01 65100 0 15150
D QUANTUM CORP COMMON 747906303 17519 1557200 SH DEFINED 02 1550800 0 6400
D QUANTUM CORP COMMON 747906303 1 50 SH OTHER 01 0 50 0
D QUEST DIAGNOSTICS INC COMMON 74834L100 1782 44819 SH DEFINED 01 44694 0 125
FORM 13F INFORMATION TABLE MARCH 31 2000 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 QUEST DIAGNOSTICS INC COMMON 74834L100 362 9110 SH DEFINED 02 8900 0 210
D QUEST SOFTWARE INC COMMON 74834T103 113 1000 SH DEFINED 05 0 0 1000
D QUEST SOFTWARE INC COMMON 74834T103 13516 119875 SH DEFINED 01 76625 0 43250
D QUEST SOFTWARE INC COMMON 74834T103 8473 75150 SH DEFINED 02 53200 0 21950
D QUESTAR CORP. COMMON 748356102 2864 154300 SH DEFINED 01 154300 0 0
D QUESTAR CORP. COMMON 748356102 440 23700 SH DEFINED 02 7900 0 15800
D QUESTAR CORP. COMMON 748356102 334 18000 SH OTHER 01 0 18000 0
D QUIKSILVER, INC. COMMON 74838C106 272 15500 SH DEFINED 01 15500 0 0
D QUIKSILVER, INC. COMMON 74838C106 516 29400 SH DEFINED 02 2700 0 26700
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 12 700 SH DEFINED 17 700 0 0
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 3 197 SH DEFINED 16 197 0 0
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 14888 872551 SH DEFINED 01 834766 0 37785
D QUINTILES TRANSNATIONAL CORP. COMMON 748767100 2085 122215 SH DEFINED 02 120000 0 2215
D QUOKKA SPORTS INC COMMON 749077103 850 80000 SH DEFINED 16 80000 0 0
D QUOKKA SPORTS INC COMMON 749077103 556 52300 SH DEFINED 01 52300 0 0
D QUOKKA SPORTS INC COMMON 749077103 1325 124700 SH DEFINED 02 99300 0 25400
D QUORUM HEALTH GROUP, INC. COMMON 749084109 386 38400 SH DEFINED 01 38400 0 0
D QUORUM HEALTH GROUP, INC. COMMON 749084109 56 5600 SH DEFINED 02 5600 0 0
D QUOTESMITH COM INC COMMON 749117107 543 127700 SH DEFINED 01 127700 0 0
D QUOTESMITH COM INC COMMON 749117107 1473 346700 SH DEFINED 02 285800 0 60900
D R&B FALCON CORPORATION COMMON 74912E101 16 805 SH DEFINED 17 805 0 0
D R&B FALCON CORPORATION COMMON 74912E101 17199 873600 SH DEFINED 01 724100 0 149500
D R&B FALCON CORPORATION COMMON 74912E101 28371 1441006 SH DEFINED 02 831106 0 609900
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 25 520 SH DEFINED 05 0 0 520
FORM 13F INFORMATION TABLE MARCH 31 2000 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 QWEST COMMUNICATIONS INTL IN COMMON 749121109 1046 21800 SH DEFINED 16 21800 0 0
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 1494 31117 SH DEFINED 01 30117 0 1000
D QWEST COMMUNICATIONS INTL IN COMMON 749121109 20461 426270 SH DEFINED 02 294300 0 131970
D RCN CORP COMMON 749361101 2564 47600 SH DEFINED 01 47600 0 0
D RCN CORP COMMON 749361101 2187 40600 SH DEFINED 02 2200 0 38400
D R H DONNELLEY CORP COMMON 74955W307 25 1486 SH DEFINED 01 1066 0 420
D R H DONNELLEY CORP COMMON 74955W307 7 400 SH OTHER 05 0 400 0
D R H DONNELLEY CORP COMMON 74955W307 192 11305 SH OTHER 01 0 11305 0
D R G S ENERGY GROUP INC COMMON 74956K104 1046 49200 SH DEFINED 01 49200 0 0
D R G S ENERGY GROUP INC COMMON 74956K104 2391 112500 SH DEFINED 02 35000 0 77500
D RLI CORP. COMMON 749607107 27 800 SH DEFINED 01 800 0 0
D RLI CORP. COMMON 749607107 550 16418 SH DEFINED 02 8900 0 7518
D RPC ENERGY SERVICES, INC. COMMON 749660106 143 15100 SH DEFINED 02 0 0 15100
D RSA SEC INC COMMON 749719100 2606 50300 SH DEFINED 01 50300 0 0
D RSA SEC INC COMMON 749719100 2088 40300 SH DEFINED 02 9000 0 31300
D RF MICRODEVICES INC COMMON 749941100 4609 34300 SH DEFINED 01 34300 0 0
D RF MICRODEVICES INC COMMON 749941100 2849 21200 SH DEFINED 02 1900 0 19300
D RADIAN GROUP INC COMMON 750236101 95 2000 SH DEFINED 05 2000 0 0
D RADIAN GROUP INC COMMON 750236101 3615 75916 SH DEFINED 01 75916 0 0
D RADIAN GROUP INC COMMON 750236101 676 14200 SH DEFINED 02 14200 0 0
D RADIANT SYSTEMS, INC. COMMON 75025N102 3433 54600 SH DEFINED 01 48500 0 6100
D RADIANT SYSTEMS, INC. COMMON 75025N102 629 10000 SH DEFINED 02 5000 0 5000
D RADIOLOGIX INC COMMON 75040K109 78 15000 SH OTHER 01 0 15000 0
D RADISYS CORP. COMMON 750459109 5 80 SH DEFINED 16 80 0 0
D RADISYS CORP. COMMON 750459109 517 8600 SH DEFINED 01 8600 0 0
D RADISYS CORP. COMMON 750459109 120 2000 SH DEFINED 02 2000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 RAINMAKER SYSTEMS COMMON 750875106 258 32300 SH DEFINED 01 32300 0 0
D RAINMAKER SYSTEMS COMMON 750875106 663 82900 SH DEFINED 02 66800 0 16100
D RALCORP HLDGS INC NEW COMMON 751028101 5 332 SH DEFINED 05 332 0 0
D RALCORP HLDGS INC NEW COMMON 751028101 171 11800 SH DEFINED 02 3000 0 8800
D RALSTON PURINA GROUP COMMON 751277302 55 2000 SH DEFINED 17 2000 0 0
D RALSTON PURINA GROUP COMMON 751277302 3499 127252 SH DEFINED 05 53952 0 73300
D RALSTON PURINA GROUP COMMON 751277302 10919 397052 SH DEFINED 01 249693 0 147359
D RALSTON PURINA GROUP COMMON 751277302 2056 74747 SH DEFINED 02 0 0 74747
D RALSTON PURINA GROUP COMMON 751277302 41 1500 SH OTHER 05 0 1500 0
D RALSTON PURINA GROUP COMMON 751277302 4983 181191 SH OTHER 01 103205 77986 0
D RARE MEDIUM GROUP INC COMMON 75382N109 1968 44600 SH DEFINED 01 44600 0 0
D RARE MEDIUM GROUP INC COMMON 75382N109 4933 111800 SH DEFINED 02 86400 0 25400
D RARE HOSPITALITY INTL INC COMMON 753820109 187 9600 SH DEFINED 01 9600 0 0
D RARE HOSPITALITY INTL INC COMMON 753820109 641 33000 SH DEFINED 02 6000 0 27000
D RATIONAL SOFTWARE CORP 'CONV B BOND 75409PAA1 0 1000000 PRN DEFINED 16
D RATIONAL SOFTWARE CORP. COMMON 75409P202 11 149 SH DEFINED 16 149 0 0
D RATIONAL SOFTWARE CORP. COMMON 75409P202 7206 94200 SH DEFINED 01 94200 0 0
D RATIONAL SOFTWARE CORP. COMMON 75409P202 3022 39500 SH DEFINED 02 4400 0 35100
D RATIONAL SOFTWARE CORP. COMMON 75409P202 1989 26000 SH OTHER 101112 0 26000 0
D RAYMOND JAMES FINANCIAL, INC. COMMON 754730109 1409 67900 SH DEFINED 01 67900 0 0
D RAYMOND JAMES FINANCIAL, INC. COMMON 754730109 865 41668 SH DEFINED 02 17500 0 24168
D RAYOVAC CORPORATION COMMON 755081106 65 2800 SH DEFINED 05 0 0 2800
D RAYOVAC CORPORATION COMMON 755081106 12104 520600 SH DEFINED 01 449300 0 71300
D RAYOVAC CORPORATION COMMON 755081106 9588 412400 SH DEFINED 02 334900 0 77500
D RAYTHEON COMPANY COMMON 755111309 4 238 SH DEFINED 05 238 0 0
D RAYTHEON COMPANY COMMON 755111309 16611 882965 SH DEFINED 01 593855 0 289110
FORM 13F INFORMATION TABLE MARCH 31 2000 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 RAYTHEON COMPANY COMMON 755111309 29190 1551608 SH DEFINED 02 847408 0 704200
D RAYTHEON COMPANY COMMON 755111309 147 7832 SH OTHER 01 2000 5832 0
D RAYTHEON CO COMMON 755111408 37 2100 SH DEFINED 17 2100 0 0
D RAYTHEON CO COMMON 755111408 8169 460230 SH DEFINED 01 395380 0 64850
D RAYTHEON CO COMMON 755111408 13339 751500 SH DEFINED 02 364200 0 387300
D RAYTHEON CO COMMON 755111408 71 4000 SH OTHER 05 0 4000 0
D RAYTHEON CO COMMON 755111408 284 16000 SH OTHER 101112 0 16000 0
D RAYTHEON CO COMMON 755111408 212 11925 SH OTHER 01 800 11125 0
D REALNETWORKS INC COMMON 75605L104 5785 101600 SH DEFINED 01 99600 0 2000
D REALNETWORKS INC COMMON 75605L104 32150 564642 SH DEFINED 02 470542 0 94100
D RECKSON ASSOCIATES REALTY CORP COMMON 75621K106 197 10500 SH DEFINED 16 10500 0 0
D RED HAT INC COMMON 756577102 15 364 SH DEFINED 16 364 0 0
D RED HAT INC COMMON 756577102 7 160 SH DEFINED 01 0 0 160
D RED HAT INC COMMON 756577102 487 11500 SH DEFINED 02 0 0 11500
D REDBACK NETWORKS INC COMMON 757209101 210 700 SH DEFINED 05 0 0 700
D REDBACK NETWORKS INC COMMON 757209101 14247 47500 SH DEFINED 01 27300 0 20200
D REDBACK NETWORKS INC COMMON 757209101 9748 32500 SH DEFINED 02 21100 0 11400
D REDWOOD TR INC COMMON 758075402 111 7500 SH DEFINED 01 7500 0 0
D REDWOOD TR INC COMMON 758075402 111 7500 SH DEFINED 02 0 0 7500
D REEBOK INTERNATIONAL LTD. COMMON 758110100 3 300 SH DEFINED 17 300 0 0
D REEBOK INTERNATIONAL LTD. COMMON 758110100 1 100 SH DEFINED 05 100 0 0
D REEBOK INTERNATIONAL LTD. COMMON 758110100 1874 202600 SH DEFINED 01 157700 0 44900
D REEBOK INTERNATIONAL LTD. COMMON 758110100 3039 328500 SH DEFINED 02 205600 0 122900
D REEBOK INTERNATIONAL LTD. COMMON 758110100 6 600 SH OTHER 01 600 0 0
D REGAL-BELOIT CORP. COMMON 758750103 242 13800 SH DEFINED 02 0 0 13800
D REGENERON PHARMACEUTICALS, INC COMMON 75886F107 763 25800 SH DEFINED 02 0 0 25800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 REGENCY REALTY CORPORATION COMMON 758939102 602 30500 SH DEFINED 01 30500 0 0
D REGENCY REALTY CORPORATION COMMON 758939102 1315 66600 SH DEFINED 02 60200 0 6400
D REGIONS FINANCIAL CORP. COMMON 758940100 712 31200 SH DEFINED 17 31200 0 0
D REGIONS FINANCIAL CORP. COMMON 758940100 34 1500 SH DEFINED 05 1500 0 0
D REGIONS FINANCIAL CORP. COMMON 758940100 20419 895050 SH DEFINED 01 735970 0 159080
D REGIONS FINANCIAL CORP. COMMON 758940100 49128 2153510 SH DEFINED 02 1357710 0 795800
D REGIONS FINANCIAL CORP. COMMON 758940100 50 2200 SH OTHER 01 2200 0 0
D RELIANCE STEEL & ALUMINUM CO. COMMON 759509102 378 16900 SH DEFINED 02 2500 0 14400
D RELIANT ENERGY INC COMMON 75952J108 738 31300 SH DEFINED 17 31300 0 0
D RELIANT ENERGY INC COMMON 75952J108 8058 341986 SH DEFINED 01 177800 0 164186
D RELIANT ENERGY INC COMMON 75952J108 11812 501290 SH DEFINED 02 255690 0 245600
D RELIANT ENERGY INC COMMON 75952J108 335 14200 SH OTHER 01 800 13400 0
D RELIASTAR FINANCIAL CORP. COMMON 75952U103 1507 44500 SH DEFINED 17 44500 0 0
D RELIASTAR FINANCIAL CORP. COMMON 75952U103 860 25397 SH DEFINED 01 25397 0 0
D RELIASTAR FINANCIAL CORP. COMMON 75952U103 1409 41600 SH DEFINED 02 0 0 41600
D REMEDY CORP. COMMON 759548100 1533 36400 SH DEFINED 01 36400 0 0
D REMEDY CORP. COMMON 759548100 350 8300 SH DEFINED 02 6800 0 1500
D RENAISSANCE WORLDWIDE INC. COMMON 75968A109 155 29700 SH DEFINED 01 29700 0 0
D RENAISSANCE WORLDWIDE INC. COMMON 75968A109 193 37000 SH DEFINED 02 5400 0 31600
D RENAL CARE GROUP, INC. COMMON 759930100 1603 73900 SH DEFINED 01 73900 0 0
D RENAL CARE GROUP, INC. COMMON 759930100 351 16200 SH DEFINED 02 16200 0 0
D RENT-WAY, INC. COMMON 76009U104 860 44100 SH DEFINED 01 44100 0 0
D RENT-WAY, INC. COMMON 76009U104 225 11563 SH DEFINED 02 8800 0 2763
D REPSOL S A ADR COMMON 76026T205 64 3000 SH DEFINED 05 0 0 3000
D REPSOL S A ADR COMMON 76026T205 463 21702 SH DEFINED 01 6465 0 15237
D REPSOL S A ADR COMMON 76026T205 192 9000 SH OTHER 01 0 9000 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 REPUBLIC BANCORP, INC. COMMON 760282103 130 13900 SH DEFINED 01 13900 0 0
D REPUBLIC BANCORP, INC. COMMON 760282103 739 79100 SH DEFINED 02 39600 0 39500
D REPUBLIC GYPSUM CO. COMMON 760473108 118 11000 SH DEFINED 02 0 0 11000
D REPUBLIC SECURITY FINL CORP COMMON 760758102 1630 248300 SH DEFINED 01 248300 0 0
D REPUBLIC SECURITY FINL CORP COMMON 760758102 2444 372400 SH DEFINED 02 311400 0 61000
D REPUBLIC SVCS INC COMMON 760759100 713 65200 SH DEFINED 01 53000 0 12200
D REPUBLIC SVCS INC COMMON 760759100 13895 1270300 SH DEFINED 02 1215050 0 55250
D RES-CARE, INC. COMMON 760943100 16 1691 SH DEFINED 16 1691 0 0
D RES-CARE, INC. COMMON 760943100 135 14350 SH DEFINED 02 0 0 14350
D RESEARCH IN MOTION LTD COMMON 760975102 2450 23000 SH DEFINED 18 23000 0 0
D RESMED INC. COMMON 761152107 7673 107500 SH DEFINED 01 107500 0 0
D RESMED INC. COMMON 761152107 9971 139700 SH DEFINED 02 112300 0 27400
D RESOURCE AMERICA INC CLASS A COMMON 761195205 402 55400 SH DEFINED 01 55400 0 0
D RESOURCE AMERICA INC CLASS A COMMON 761195205 198 27300 SH DEFINED 02 27300 0 0
D RETEK INC COMMON 76128Q109 70 1700 SH DEFINED 05 0 0 1700
D RETEK INC COMMON 76128Q109 4999 121375 SH DEFINED 01 75600 0 45775
D RETEK INC COMMON 76128Q109 4996 121300 SH DEFINED 02 97200 0 24100
D REUTERS GROUP PLC COMMON 76132M102 824 6899 SH DEFINED 05 6033 0 866
D REUTERS GROUP PLC COMMON 76132M102 57 534 SH DEFINED 16 534 0 0
D REUTERS GROUP PLC COMMON 76132M102 3865 32378 SH DEFINED 01 22586 0 9792
D REUTERS GROUP PLC COMMON 76132M102 4619 38696 SH OTHER 01 7799 30897 0
D REYNOLDS & REYNOLDS CO. CLASS COMMON 761695105 1296 48000 SH DEFINED 01 48000 0 0
D REYNOLDS & REYNOLDS CO. CLASS COMMON 761695105 1477 54700 SH DEFINED 02 2100 0 52600
D REYNOLDS METALS CO. COMMON 761763101 27 400 SH DEFINED 17 400 0 0
D REYNOLDS METALS CO. COMMON 761763101 80 1200 SH DEFINED 05 1200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 REYNOLDS METALS CO. COMMON 761763101 2775 41500 SH DEFINED 16 41500 0 0
D REYNOLDS METALS CO. COMMON 761763101 37883 566470 SH DEFINED 01 337340 0 229130
D REYNOLDS METALS CO. COMMON 761763101 121572 1817900 SH DEFINED 02 1398200 0 419700
D REYNOLDS METALS CO. COMMON 761763101 722 10800 SH OTHER 09 10800 0 0
D REYNOLDS METALS CO. COMMON 761763101 783 11715 SH OTHER 01 5950 5765 0
D REYNOLDS R J TOB HLDGS INC COMMON 76182K105 665 39100 SH DEFINED 01 39100 0 0
D REYNOLDS R J TOB HLDGS INC COMMON 76182K105 112 6600 SH DEFINED 02 2100 0 4500
D RHYTHMS NETCONNECTIONS INC COMMON 762430205 1940 52700 SH DEFINED 01 52700 0 0
D RHYTHMS NETCONNECTIONS INC COMMON 762430205 10466 284300 SH DEFINED 02 268300 0 16000
D RICHMOND COUNTY FINL CORP COMMON 764556106 758 47000 SH OTHER 01 0 47000 0
D RITE AID CORP. COMMON 767754104 9 1600 SH DEFINED 17 1600 0 0
D RITE AID CORP. COMMON 767754104 71 12700 SH DEFINED 16 12700 0 0
D RITE AID CORP. COMMON 767754104 25 4392 SH OTHER 05 0 4392 0
D RITE AID CORP. COMMON 767754104 127 22600 SH OTHER 01 13000 9600 0
D ROADWAY EXPRESS, INC. COMMON 769742107 350 17300 SH DEFINED 02 3700 0 13600
D ROANOKE ELECTRIC STEEL CORP. COMMON 769841107 349 20550 SH DEFINED 02 0 0 20550
D ROBERT HALF INTERNATIONAL, INC COMMON 770323103 2020 42600 SH DEFINED 01 42600 0 0
D ROBERT HALF INTERNATIONAL, INC COMMON 770323103 1760 37100 SH DEFINED 02 1900 0 35200
D ROCKWELL INTL CORP NEW COMMON 773903109 50 1200 SH DEFINED 17 1200 0 0
D ROCKWELL INTL CORP NEW COMMON 773903109 100 2400 SH DEFINED 05 2400 0 0
D ROCKWELL INTL CORP NEW COMMON 773903109 831 19875 SH DEFINED 01 9375 0 10500
D ROCKWELL INTL CORP NEW COMMON 773903109 2330 55730 SH DEFINED 02 40530 0 15200
D ROGERS CORP. COMMON 775133101 320 5100 SH DEFINED 02 0 0 5100
D ROHM & HAAS CO. COMMON 775371107 58 1300 SH DEFINED 17 1300 0 0
D ROHM & HAAS CO. COMMON 775371107 2134 47823 SH DEFINED 05 19323 0 28500
D ROHM & HAAS CO. COMMON 775371107 215958 4839386 SH DEFINED 01 3176778 0 1662608
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ROHM & HAAS CO. COMMON 775371107 575727 12901448 SH DEFINED 02 9676527 0 3224921
D ROHM & HAAS CO. COMMON 775371107 74 1659 SH OTHER 05 0 1659 0
D ROHM & HAAS CO. COMMON 775371107 2740 61400 SH OTHER 09 61400 0 0
D ROHM & HAAS CO. COMMON 775371107 5571 124843 SH OTHER 01 65160 59683 0
D ROHM & HAAS CO. COMMON 775371107 1562 35000 SH OTHER 0304 35000 0 0
D ROLLINS TRUCK LEASING CORP. COMMON 775741101 1523 180475 SH DEFINED 02 9600 0 170875
D ROMAC INTERNATIONAL, INC. COMMON 775835101 673 74300 SH DEFINED 01 74300 0 0
D ROMAC INTERNATIONAL, INC. COMMON 775835101 203 22400 SH DEFINED 02 21800 0 600
D ROYAL BK SCOTLAND GROUP PLC PREF-CONV 780097408 18139 786481 SH DEFINED 06
D ROYAL DUTCH PETE CO COMMON 780257804 5388 93200 SH DEFINED 17 93200 0 0
D ROYAL DUTCH PETE CO COMMON 780257804 6437 111348 SH DEFINED 05 52652 0 58696
D ROYAL DUTCH PETE CO COMMON 780257804 401890 6951555 SH DEFINED 01 4613539 0 2338016
D ROYAL DUTCH PETE CO COMMON 780257804 474225 8202743 SH DEFINED 02 4933343 0 3269400
D ROYAL DUTCH PETE CO COMMON 780257804 393 6800 SH OTHER 05 6000 800 0
D ROYAL DUTCH PETE CO COMMON 780257804 2341 40500 SH OTHER 09 40500 0 0
D ROYAL DUTCH PETE CO COMMON 780257804 67262 1163449 SH OTHER 01 285507 877942 0
D ROYAL DUTCH PETE CO COMMON 780257804 1734 30000 SH OTHER 0304 30000 0 0
D ROYCE FOCUS TR COMMON 78080N108 2101 412500 SH DEFINED 18 412500 0 0
D ROYCE VALUE TR INC COMMON 780910105 10208 738978 SH DEFINED 18 738978 0 0
D ROYCE MICRO-CAP TR INC COMMON 780915104 6845 659763 SH DEFINED 18 659763 0 0
D RUBY TUESDAY, INC. COMMON 781182100 781 44600 SH DEFINED 01 44600 0 0
D RUBY TUESDAY, INC. COMMON 781182100 432 24700 SH DEFINED 02 24700 0 0
D RUDDICK CORP. COMMON 781258108 2009 183680 SH DEFINED 01 0 0 183680
FORM 13F INFORMATION TABLE MARCH 31 2000 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 RUDDICK CORP. COMMON 781258108 55 5000 SH DEFINED 02 0 0 5000
D RYAN'S FAMILY STEAK HOUSE, INC COMMON 783519101 580 60600 SH DEFINED 01 60600 0 0
D RYAN'S FAMILY STEAK HOUSE, INC COMMON 783519101 1435 150100 SH DEFINED 02 27400 0 122700
D RYDER SYSTEM, INC. COMMON 783549108 9 400 SH DEFINED 17 400 0 0
D RYDER SYSTEM, INC. COMMON 783549108 5586 246200 SH DEFINED 01 198800 0 47400
D RYDER SYSTEM, INC. COMMON 783549108 13439 592340 SH DEFINED 02 403840 0 188500
D RYDER SYSTEM, INC. COMMON 783549108 14 600 SH OTHER 01 600 0 0
D RYLAND GROUP, INC. COMMON 783764103 778 41500 SH DEFINED 01 41500 0 0
D RYLAND GROUP, INC. COMMON 783764103 838 44700 SH DEFINED 02 28700 0 16000
D SBC COMMUNICATIONS, INC. COMMON 78387G103 3843 91226 SH DEFINED 18 91226 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 3611 85718 SH DEFINED 05 31228 0 54490
D SBC COMMUNICATIONS, INC. COMMON 78387G103 741 17600 SH DEFINED 16 17600 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 508954 12082005 SH DEFINED 01 8157060 0 3924945
D SBC COMMUNICATIONS, INC. COMMON 78387G103 1033733 24539661 SH DEFINED 02 15781174 0 8758487
D SBC COMMUNICATIONS, INC. COMMON 78387G103 882 20932 SH OTHER 05 2800 18132 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 2408 57175 SH OTHER 09 57175 0 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 31810 755122 SH OTHER 01 175355 579767 0
D SBC COMMUNICATIONS, INC. COMMON 78387G103 2528 60000 SH OTHER 0304 60000 0 0
D SCI SYSTEMS INCORPORATED BOND 783890AF3 0 390000 PRN DEFINED 16
D SCM MICROSYSTEMS, INC. COMMON 784018103 359 3700 SH DEFINED 02 100 0 3600
D SDL, INC. COMMON 784076101 4298 20190 SH DEFINED 17 20190 0 0
D SDL, INC. COMMON 784076101 14050 66000 SH DEFINED 18 66000 0 0
D SDL, INC. COMMON 784076101 21413 100590 SH DEFINED 01 97500 0 3090
D SDL, INC. COMMON 784076101 22416 105300 SH DEFINED 02 49800 0 55500
D SEI CORP. COMMON 784117103 1271 11200 SH DEFINED 02 0 0 11200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SFX ENTERTAINMENT, INC. COMMON 784178105 875 21450 SH DEFINED 02 0 0 21450
D SJW CORP. COMMON 784305104 339 2900 SH DEFINED 02 600 0 2300
D SLM HLDG CORP COMMON 78442A109 33 1000 SH DEFINED 17 1000 0 0
D SLM HLDG CORP COMMON 78442A109 600 18000 SH DEFINED 02 0 0 18000
D SPDR TR COMMON 78462F103 12627 83968 SH DEFINED 01 82868 0 1100
D SPS TECHNOLOGIES, INC. COMMON 784626103 275 9000 SH DEFINED 02 6000 0 3000
D S1 CORPORATION COMMON 78463B101 34 400 SH DEFINED 05 400 0 0
D S1 CORPORATION COMMON 78463B101 2194 25600 SH DEFINED 01 25300 0 300
D S1 CORPORATION COMMON 78463B101 13292 155124 SH DEFINED 02 121574 0 33550
D S1 CORPORATION COMMON 78463B101 86 1000 SH OTHER 01 0 1000 0
D SPX CORP. COMMON 784635104 1551 13612 SH DEFINED 01 7600 0 6012
D SPX CORP. COMMON 784635104 148 1300 SH DEFINED 02 400 0 900
D S3, INC. COMMON 784849101 9 432 SH DEFINED 16 432 0 0
D S3, INC. COMMON 784849101 678 32300 SH DEFINED 02 0 0 32300
D SVI HLDGS INC COMMON 784872103 119 12100 SH DEFINED 02 0 0 12100
D SABRE GROUP HLDGS INC COMMON 785905100 24 650 SH DEFINED 17 650 0 0
D SABRE GROUP HLDGS INC COMMON 785905100 0 13 SH DEFINED 16 13 0 0
D SABRE GROUP HLDGS INC COMMON 785905100 3715 101777 SH DEFINED 01 79263 0 22514
D SABRE GROUP HLDGS INC COMMON 785905100 4784 131075 SH DEFINED 02 84280 0 46795
D SABRE GROUP HLDGS INC COMMON 785905100 463 12695 SH OTHER 01 133 12562 0
D SAFECO CORP. COMMON 786429100 21 800 SH DEFINED 17 800 0 0
D SAFECO CORP. COMMON 786429100 1 39 SH DEFINED 16 39 0 0
D SAFECO CORP. COMMON 786429100 14867 559700 SH DEFINED 01 447300 0 112400
D SAFECO CORP. COMMON 786429100 24354 916836 SH DEFINED 02 462636 0 454200
D SAFECO CORP. COMMON 786429100 43 1600 SH OTHER 01 1600 0 0
D SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 228 3300 SH DEFINED 05 0 0 3300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 21764 315425 SH DEFINED 01 225675 0 89750
D SAFEGUARD SCIENTIFICS, INC. COMMON 786449108 5672 82200 SH DEFINED 02 22200 0 60000
D SAFESCIENCE INC COMMON 786452102 523 40455 SH DEFINED 01 11400 0 29055
D SAFESCIENCE INC COMMON 786452102 27 2100 SH DEFINED 02 2100 0 0
D SAFETY-KLEEN CORP NEW COMMON 78648R203 50 38100 SH DEFINED 01 38100 0 0
D SAFETY-KLEEN CORP NEW COMMON 78648R203 8 5800 SH DEFINED 02 1700 0 4100
D SAFEWAY, INC. COMMON 786514208 150176 3318800 SH DEFINED 17 3318800 0 0
D SAFEWAY, INC. COMMON 786514208 3638 80400 SH DEFINED 05 27700 0 52700
D SAFEWAY, INC. COMMON 786514208 88226 1949755 SH DEFINED 01 1458245 0 491510
D SAFEWAY, INC. COMMON 786514208 175961 3888650 SH DEFINED 02 2375650 0 1513000
D SAFEWAY, INC. COMMON 786514208 68 1500 SH OTHER 05 0 1500 0
D SAFEWAY, INC. COMMON 786514208 2364 52250 SH OTHER 01 17500 34750 0
D SAGA SYS INC COMMON 786610105 272 7600 SH DEFINED 01 7600 0 0
D SAGA SYS INC COMMON 786610105 4816 134700 SH DEFINED 02 134700 0 0
D SAGE INC COMMON 786632109 24 1100 SH DEFINED 05 0 0 1100
D SAGE INC COMMON 786632109 3001 136425 SH DEFINED 01 109225 0 27200
D SAGE INC COMMON 786632109 2402 109200 SH DEFINED 02 84100 0 25100
D SAGENT TECHNOLOGY INC COMMON 786693101 804 27900 SH DEFINED 01 27900 0 0
D SAGENT TECHNOLOGY INC COMMON 786693101 213 7400 SH DEFINED 02 5100 0 2300
D ST. FRANCIS CAPITAL CORP. COMMON 789374105 150 10700 SH DEFINED 02 10700 0 0
D ST. JOE CORP. COMMON 790148100 677 23400 SH DEFINED 02 0 0 23400
D ST. JUDE MEDICAL, INC. COMMON 790849103 13 500 SH DEFINED 17 500 0 0
D ST. JUDE MEDICAL, INC. COMMON 790849103 11149 431900 SH DEFINED 01 307300 0 124600
D ST. JUDE MEDICAL, INC. COMMON 790849103 17501 678010 SH DEFINED 02 444410 0 233600
D ST. JUDE MEDICAL, INC. COMMON 790849103 21 800 SH OTHER 01 800 0 0
D ST. MARY LAND & EXPLORATION CO COMMON 792228108 332 11100 SH DEFINED 02 400 0 10700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ST. PAUL CAPITAL 6% CV. PFD. PREF-CONV 792856205 5198 87000 SH DEFINED 01
D ST. PAUL COMPANIES, INC. COMMON 792860108 48 1400 SH DEFINED 17 1400 0 0
D ST. PAUL COMPANIES, INC. COMMON 792860108 24234 710164 SH DEFINED 01 514800 0 195364
D ST. PAUL COMPANIES, INC. COMMON 792860108 42779 1253590 SH DEFINED 02 687690 0 565900
D ST. PAUL COMPANIES, INC. COMMON 792860108 29 836 SH OTHER 01 300 536 0
D SAKS INCORPORATION COMMON 79377W108 112 7700 SH DEFINED 02 0 0 7700
D SALESLOGIX CORP COMMON 79466P105 211 7800 SH DEFINED 01 1100 0 6700
D SALISBURY BANCORP INC COMMON 795226109 338 19248 SH DEFINED 01 0 0 19248
D SALTON/MAXIM HOUSEWARES, INC. COMMON 795757103 2273 52400 SH DEFINED 01 52400 0 0
D SALTON/MAXIM HOUSEWARES, INC. COMMON 795757103 642 14800 SH DEFINED 02 8300 0 6500
D SANCHEZ COMPUTER ASSOCS INC COMMON 799702105 3177 90453 SH DEFINED 01 90453 0 0
D SANCHEZ COMPUTER ASSOCS INC COMMON 799702105 162 4600 SH DEFINED 02 0 0 4600
D SANDISK CORP. COMMON 80004C101 123 1000 SH DEFINED 05 0 0 1000
D SANDISK CORP. COMMON 80004C101 4 32 SH DEFINED 16 32 0 0
D SANDISK CORP. COMMON 80004C101 8584 70075 SH DEFINED 01 42875 0 27200
D SANDISK CORP. COMMON 80004C101 3369 27500 SH DEFINED 02 13000 0 14500
D SANMINA CORP CONV BOND BOND 800907AB3 0 2545000 PRN DEFINED 16
D SANGSTAT MEDICAL CORP. COMMON 801003104 33 1200 SH DEFINED 05 0 0 1200
D SANGSTAT MEDICAL CORP. COMMON 801003104 6659 240500 SH DEFINED 01 205600 0 34900
D SANGSTAT MEDICAL CORP. COMMON 801003104 8766 316600 SH DEFINED 02 230200 0 86400
D SANTA FE SNYDER CORP COMMON 80218K105 883 92900 SH DEFINED 17 92900 0 0
D SANTA FE SNYDER CORP COMMON 80218K105 771 81200 SH DEFINED 01 81200 0 0
D SANTA FE SNYDER CORP COMMON 80218K105 606 63820 SH DEFINED 02 4300 0 59520
D SAPIENT CORP. COMMON 803062108 6500 77500 SH DEFINED 01 77500 0 0
D SAPIENT CORP. COMMON 803062108 2172 25900 SH DEFINED 02 3800 0 22100
D SARA LEE CORP. COMMON 803111103 101 5600 SH DEFINED 17 5600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SARA LEE CORP. COMMON 803111103 11 600 SH DEFINED 05 600 0 0
D SARA LEE CORP. COMMON 803111103 45186 2510361 SH DEFINED 01 1932788 0 577573
D SARA LEE CORP. COMMON 803111103 70912 3939560 SH DEFINED 02 2062660 0 1876900
D SARA LEE CORP. COMMON 803111103 2420 134450 SH OTHER 01 41600 92850 0
D SAWTEK INC COMMON 805468105 226 4300 SH DEFINED 01 4300 0 0
D SAWTEK INC COMMON 805468105 1235 23500 SH DEFINED 02 700 0 22800
D SCHERING-PLOUGH CORP. COMMON 806605101 464 12500 SH DEFINED 17 12500 0 0
D SCHERING-PLOUGH CORP. COMMON 806605101 5643 152000 SH DEFINED 06 152000 0 0
D SCHERING-PLOUGH CORP. COMMON 806605101 1999 53855 SH DEFINED 05 42200 0 11655
D SCHERING-PLOUGH CORP. COMMON 806605101 15024 404700 SH DEFINED 16 404700 0 0
D SCHERING-PLOUGH CORP. COMMON 806605101 176916 4765413 SH DEFINED 01 2197546 0 2567867
D SCHERING-PLOUGH CORP. COMMON 806605101 216647 5835600 SH DEFINED 02 3648900 0 2186700
D SCHERING-PLOUGH CORP. COMMON 806605101 743 20000 SH OTHER 05 8800 11200 0
D SCHERING-PLOUGH CORP. COMMON 806605101 6713 180824 SH OTHER 01 110910 69914 0
D SCHLUMBERGER LTD. COMMON 806857108 3948 51605 SH DEFINED 17 51605 0 0
D SCHLUMBERGER LTD. COMMON 806857108 1106 14458 SH DEFINED 05 8000 0 6458
D SCHLUMBERGER LTD. COMMON 806857108 19911 260275 SH DEFINED 01 141930 0 118345
D SCHLUMBERGER LTD. COMMON 806857108 153 2000 SH OTHER 05 0 2000 0
D SCHLUMBERGER LTD. COMMON 806857108 18029 235668 SH OTHER 01 69172 166496 0
D SCHNITZER STEEL INDUSTRIES,INC COMMON 806882106 1008 55800 SH DEFINED 01 55800 0 0
D SCHNITZER STEEL INDUSTRIES,INC COMMON 806882106 2341 129600 SH DEFINED 02 98300 0 31300
D SCHOLASTIC CORP. COMMON 807066105 65 1200 SH DEFINED 05 0 0 1200
D SCHOLASTIC CORP. COMMON 807066105 8626 159925 SH DEFINED 01 127025 0 32900
D SCHOLASTIC CORP. COMMON 807066105 552 10225 SH DEFINED 02 7750 0 2475
D SCHOOL SPECIALTY INC COMMON 807863105 4253 197826 SH DEFINED 01 197400 0 426
D SCHOOL SPECIALTY INC COMMON 807863105 10344 481100 SH DEFINED 02 372800 0 108300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SCHWAB (CHARLES) CORP. COMMON 808513105 1295 22800 SH DEFINED 17 22800 0 0
D SCHWAB (CHARLES) CORP. COMMON 808513105 6 100 SH DEFINED 05 100 0 0
D SCHWAB (CHARLES) CORP. COMMON 808513105 74481 1310977 SH DEFINED 01 789717 0 521260
D SCHWAB (CHARLES) CORP. COMMON 808513105 33975 598020 SH OTHER 01 24300 573720 0
D SCIENT CORP COMMON 80864H109 2703 29800 SH DEFINED 01 29800 0 0
D SCIENT CORP COMMON 80864H109 1533 16900 SH DEFINED 02 1200 0 15700
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 63 1000 SH DEFINED 17 1000 0 0
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 6844 108200 SH DEFINED 01 97600 0 10600
D SCIENTIFIC ATLANTA, INC. COMMON 808655104 3112 49200 SH DEFINED 02 4400 0 44800
D SCIENTIFIC GAMES HOLDINGS CORP COMMON 808747109 210 12700 SH DEFINED 02 0 0 12700
D SCOTT TECHNOLOGIES INC COMMON 810022301 344 18200 SH DEFINED 02 0 0 18200
D SCOTTS CO. CLASS "A" COMMON 810186106 370 8800 SH DEFINED 02 0 0 8800
D SCRIPPS FINANCIAL CORP COMMON 811040104 197 17500 SH OTHER 01 0 17500 0
D SEACHANGE INTL INC COMMON 811699107 4853 78750 SH DEFINED 01 78750 0 0
D SEACHANGE INTL INC COMMON 811699107 12325 200000 SH DEFINED 02 156950 0 43050
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 80 1300 SH DEFINED 17 1300 0 0
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 21081 341400 SH DEFINED 16 341400 0 0
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 42126 682203 SH DEFINED 01 458500 0 223703
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 191985 3109072 SH DEFINED 02 2245048 0 864024
D SEAGATE TECHNOLOGY, INC. COMMON 811804103 86 1400 SH OTHER 01 1400 0 0
D SEAGRAM LTD. COMMON 811850106 161 2700 SH DEFINED 17 2700 0 0
D SEAGRAM LTD. COMMON 811850106 1755 29500 SH DEFINED 05 10300 0 19200
D SEAGRAM LTD. COMMON 811850106 240483 4041724 SH DEFINED 01 3132910 0 908814
D SEAGRAM LTD. COMMON 811850106 463609 7791755 SH DEFINED 02 5435555 0 2356200
D SEAGRAM LTD. COMMON 811850106 2438 40975 SH OTHER 09 40975 0 0
D SEAGRAM LTD. COMMON 811850106 3652 61383 SH OTHER 01 26005 35378 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SEAGRAM LTD. COMMON 811850106 2559 43000 SH OTHER 0304 43000 0 0
D SEAGRAM LTD PREF-CONV 811850205 6216 112000 PRN DEFINED 01
D SEAGRAM LTD PREF-CONV 811850205 63450 1143250 PRN DEFINED 02
D SEACOR HOLDINGS, INC. COMMON 811904101 441 7300 SH DEFINED 01 7300 0 0
D SEACOR HOLDINGS, INC. COMMON 811904101 302 5000 SH DEFINED 02 1900 0 3100
D SEALED AIR CORPORATION COMMON 81211K100 27 500 SH DEFINED 17 500 0 0
D SEALED AIR CORPORATION COMMON 81211K100 152 2800 SH DEFINED 01 1600 0 1200
D SEALED AIR CORPORATION COMMON 81211K100 102 1876 SH OTHER 01 0 1876 0
D SEALED AIR CORP NEW $2 04/01/1 PREF-CONV 81211K209 286 5500 SH DEFINED 16
D SEALED AIR CORP NEW $2 04/01/1 PREF-CONV 81211K209 4 71 SH DEFINED 01
D SEALED AIR CORP NEW $2 04/01/1 PREF-CONV 81211K209 1135 21862 SH OTHER 01
D SEARS ROEBUCK & CO. COMMON 812387108 70 2300 SH DEFINED 17 2300 0 0
D SEARS ROEBUCK & CO. COMMON 812387108 389 12690 SH DEFINED 01 7940 0 4750
D SEARS ROEBUCK & CO. COMMON 812387108 714 23300 SH DEFINED 02 12300 0 11000
D SEARS ROEBUCK & CO. COMMON 812387108 631 20602 SH OTHER 01 12302 8300 0
D SEARS ROEBUCK & CO. COMMON 812387108 1011 33000 SH OTHER 0304 33000 0 0
D SECURE COMPUTING CORPORATION COMMON 813705100 342 20100 SH DEFINED 02 0 0 20100
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P105 3323 4926 SH DEFINED 01 4926 0 0
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P204 176 12200 SH DEFINED 01 12200 0 0
D SECURITY CAPITAL GROUP INCORPO COMMON 81413P204 98 6800 SH DEFINED 02 6800 0 0
D SECURITY CAP U S RLTY COMMON 814136206 3992 241953 SH DEFINED 17 241953 0 0
D SECURITY CAP U S RLTY COMMON 814136206 229 13900 SH DEFINED 01 13900 0 0
D SEITEL, INC. COMMON 816074306 569 71700 SH DEFINED 01 71700 0 0
D SEITEL, INC. COMMON 816074306 319 40176 SH DEFINED 02 39300 0 876
D SELECTICA INC COMMON 816288104 7 75 SH DEFINED 05 0 0 75
D SELECTICA INC COMMON 816288104 728 8250 SH DEFINED 01 5975 0 2275
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SELECTICA INC COMMON 816288104 545 6175 SH DEFINED 02 4900 0 1275
D SELECTIVE INSURANCE GROUP, INC COMMON 816300107 519 30400 SH DEFINED 02 14400 0 16000
D SEMTECH CORPORATION 'CONV BO BOND 816850AB7 0 1000000 PRN DEFINED 16
D SEMTECH CORP COMMON 816850101 384 6000 SH DEFINED 01 6000 0 0
D SEMTECH CORP COMMON 816850101 468 7300 SH DEFINED 02 1300 0 6000
D SENSORMATIC ELECTRONICS CORP. COMMON 817265101 2715 121000 SH DEFINED 01 8200 0 112800
D SENSORMATIC ELECTRONICS CORP. COMMON 817265101 27298 1216600 SH DEFINED 02 1121800 0 94800
D SEPRACOR, INC. COMMON 817315104 5935 87200 SH DEFINED 16 87200 0 0
D SEPRACOR, INC. COMMON 817315104 51 700 SH DEFINED 01 0 0 700
D SEPRACOR, INC. COMMON 817315104 1908 26200 SH DEFINED 02 0 0 26200
D SEQUENOM INC COMMON 817337108 206 5225 SH DEFINED 01 3920 0 1305
D SERENA SOFTWARE INC COMMON 817492101 1038 32550 SH DEFINED 01 32550 0 0
D SERENA SOFTWARE INC COMMON 817492101 311 9750 SH DEFINED 02 9750 0 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 230 76700 SH DEFINED 17 76700 0 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 11 3600 SH DEFINED 05 3600 0 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 180 60000 SH DEFINED 16 60000 0 0
D SERVICE CORP. INTERNATIONAL COMMON 817565104 11011 3670444 SH DEFINED 01 1972500 0 1697944
D SERVICE CORP. INTERNATIONAL COMMON 817565104 18246 6082140 SH DEFINED 02 4257540 0 1824600
D SERVICE CORP. INTERNATIONAL COMMON 817565104 20 6500 SH OTHER 01 5500 1000 0
D 724 SOLUTIONS INC COMMON 81788Q100 1245 10000 SH DEFINED 16 10000 0 0
D SHARED MEDICAL SYSTEMS CORP. COMMON 819486101 10 200 SH DEFINED 17 200 0 0
D SHARED MEDICAL SYSTEMS CORP. COMMON 819486101 316 6100 SH DEFINED 02 0 0 6100
D SHAW COMMUNICATIONS INC COMMON 82028K200 3771 140000 SH OTHER 01 0 140000 0
D SHAW GROUP, INC. COMMON 820280105 9828 278800 SH DEFINED 01 278800 0 0
D SHAW GROUP, INC. COMMON 820280105 10381 294500 SH DEFINED 02 238700 0 55800
D SHAW INDUSTRIES, INC. COMMON 820286102 2242 147600 SH DEFINED 01 147600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SHAW INDUSTRIES, INC. COMMON 820286102 375 24700 SH DEFINED 02 6900 0 17800
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 34 690 SH DEFINED 05 0 0 690
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 19294 393250 SH DEFINED 01 318800 0 74450
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 21050 429050 SH DEFINED 02 275850 0 153200
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 1604 32700 SH OTHER 01 6400 26300 0
D SHELL TRANSPORT & TRADING CO. COMMON 822703609 2698 55000 SH OTHER 0304 55000 0 0
D SHERWIN-WILLIAMS CO. COMMON 824348106 22 1000 SH DEFINED 17 1000 0 0
D SHERWIN-WILLIAMS CO. COMMON 824348106 235 10600 SH DEFINED 01 8600 0 2000
D SHERWIN-WILLIAMS CO. COMMON 824348106 128 5800 SH DEFINED 02 0 0 5800
D SHERWIN-WILLIAMS CO. COMMON 824348106 137 6200 SH OTHER 01 0 6200 0
D SHOPKO STORES, INC. COMMON 824911101 1383 77900 SH DEFINED 01 77900 0 0
D SHOPKO STORES, INC. COMMON 824911101 1051 59200 SH DEFINED 02 52400 0 6800
D SICOR INC COMMON 825846108 177 17028 SH DEFINED 02 0 0 17028
D SIEBEL SYSTEMS, INC. COMMON 826170102 150 1259 SH DEFINED 16 1259 0 0
D SIEBEL SYSTEMS, INC. COMMON 826170102 44710 374340 SH DEFINED 01 267245 0 107095
D SIEBEL SYSTEMS, INC. COMMON 826170102 150730 1261992 SH DEFINED 02 897330 0 364662
D SIEBEL SYSTEMS, INC. COMMON 826170102 358 3000 SH OTHER 09 3000 0 0
D SIEBEL SYSTEMS, INC. COMMON 826170102 196 1645 SH OTHER 01 400 1245 0
D SIERRA HEALTH SERVICES, INC. COMMON 826322109 582 117800 SH DEFINED 01 117800 0 0
D SIERRA HEALTH SERVICES, INC. COMMON 826322109 228 46100 SH DEFINED 02 42500 0 3600
D SIERRA PAC RES NEW COMMON 826428104 168 13400 SH DEFINED 01 13400 0 0
D SIERRA PAC RES NEW COMMON 826428104 1105 88400 SH DEFINED 02 30600 0 57800
D SIGMA-ALDRICH CORP. COMMON 826552101 16 600 SH DEFINED 17 600 0 0
D SIGMA-ALDRICH CORP. COMMON 826552101 56 2100 SH DEFINED 02 0 0 2100
D SIGMA-ALDRICH CORP. COMMON 826552101 1083 40300 SH OTHER 01 0 40300 0
D SILGAN HOLDINGS, INC. COMMON 827048109 89 7300 SH DEFINED 01 7300 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SILGAN HOLDINGS, INC. COMMON 827048109 219 18100 SH DEFINED 02 18100 0 0
D SILICON IMAGE INC COMMON 82705T102 179 2500 SH DEFINED 05 0 0 2500
D SILICON IMAGE INC COMMON 82705T102 15317 213850 SH DEFINED 01 144475 0 69375
D SILICON IMAGE INC COMMON 82705T102 7073 98750 SH DEFINED 02 78175 0 20575
D SILICON GRAPHICS, INC. COMMON 827056102 1063 100600 SH DEFINED 17 100600 0 0
D SILICON GRAPHICS, INC. COMMON 827056102 2 200 SH DEFINED 02 200 0 0
D SILICON VALLEY BANCSHARES COMMON 827064106 288 4000 SH DEFINED 02 4000 0 0
D SILICON VALLEY GROUP, INC. COMMON 827066101 1653 60100 SH DEFINED 01 60100 0 0
D SILICON VALLEY GROUP, INC. COMMON 827066101 1287 46800 SH DEFINED 02 28700 0 18100
D SILICONIX, INC. COMMON 827079203 2205 23200 SH DEFINED 02 9100 0 14100
D SILVERSTREAM SOFTWARE INC COMMON 827907106 96 1300 SH DEFINED 05 0 0 1300
D SILVERSTREAM SOFTWARE INC COMMON 827907106 2900 39250 SH DEFINED 01 3575 0 35675
D SILVERSTREAM SOFTWARE INC COMMON 827907106 783 10600 SH DEFINED 02 7900 0 2700
D SIMON PROPERTY GROUP, INC COMMON 828806109 1336 57300 SH DEFINED 01 57300 0 0
D SIMON PROPERTY GROUP, INC COMMON 828806109 12494 535912 SH DEFINED 02 500400 0 35512
D SIMPSON INDUSTRIES, INC. COMMON 829060102 224 22850 SH DEFINED 02 0 0 22850
D SIMPSON MANUFACTURING CO., INC COMMON 829073105 537 13595 SH DEFINED 01 13595 0 0
D SIMPSON MANUFACTURING CO., INC COMMON 829073105 67 1700 SH DEFINED 02 0 0 1700
D SINCLAIR BROADCAST GROUP, INC. COMMON 829226109 261 29157 SH DEFINED 01 29157 0 0
D SIRIUS SATELLITE RADIO INC COMMON 82966U103 388 6800 SH DEFINED 01 6800 0 0
D SIRIUS SATELLITE RADIO INC COMMON 82966U103 217 3800 SH DEFINED 02 1900 0 1900
D SMARTFORCE PUB LTD CO COMMON 83170A206 284 6200 SH DEFINED 05 0 0 6200
D SMARTFORCE PUB LTD CO COMMON 83170A206 26019 567175 SH DEFINED 01 394900 0 172275
D SMARTFORCE PUB LTD CO COMMON 83170A206 6111 133200 SH DEFINED 02 105150 0 28050
D SMITH INTERNATIONAL, INC. COMMON 832110100 62 805 SH DEFINED 17 805 0 0
D SMITH INTERNATIONAL, INC. COMMON 832110100 8083 104300 SH DEFINED 01 102100 0 2200
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SMITH INTERNATIONAL, INC. COMMON 832110100 17306 223300 SH DEFINED 02 155300 0 68000
D SMITHFIELD FOODS, INC. COMMON 832248108 358 17900 SH DEFINED 01 17900 0 0
D SMITHFIELD FOODS, INC. COMMON 832248108 248 12400 SH DEFINED 02 8600 0 3800
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 1833 27741 SH DEFINED 01 26011 0 1730
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 661 10000 SH DEFINED 02 10000 0 0
D SMITHKLINE BEECHAM PLC ORD. A COMMON 832378301 3252 49225 SH OTHER 01 44425 4800 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 66 3900 SH DEFINED 17 3900 0 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 11 665 SH DEFINED 05 665 0 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 95 5626 SH DEFINED 16 5626 0 0
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 41175 2430903 SH DEFINED 01 1923362 0 507541
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 128405 7580903 SH DEFINED 02 5776954 0 1803949
D SMURFIT-STONE CONTAINER CORP COMMON 832727101 41 2400 SH OTHER 01 2400 0 0
D SOFTNET SYS INC COMMON 833964109 50 1700 SH DEFINED 05 0 0 1700
D SOFTNET SYS INC COMMON 833964109 114 3900 SH DEFINED 16 3900 0 0
D SOFTNET SYS INC COMMON 833964109 5391 184300 SH DEFINED 01 139100 0 45200
D SOFTNET SYS INC COMMON 833964109 3729 127500 SH DEFINED 02 100600 0 26900
D SOFTWARE COM INC COMMON 83402P104 232 1800 SH DEFINED 05 0 0 1800
D SOFTWARE COM INC COMMON 83402P104 1037 8046 SH DEFINED 16 8046 0 0
D SOFTWARE COM INC COMMON 83402P104 20211 156825 SH DEFINED 01 109225 0 47600
D SOFTWARE COM INC COMMON 83402P104 11715 90900 SH DEFINED 02 64100 0 26800
D SOLECTRON CORP. COMMON 834182107 144 3600 SH DEFINED 17 3600 0 0
D SOLECTRON CORP. COMMON 834182107 469 11700 SH DEFINED 01 11700 0 0
D SOLECTRON CORP. COMMON 834182107 4077 101600 SH DEFINED 02 0 0 101600
D SOLECTRON CORP. COMMON 834182107 401 10000 SH OTHER 01 10000 0 0
D SOLUTIA INC. COMMON 834376105 27 2000 SH DEFINED 05 200 0 1800
D SOLUTIA INC. COMMON 834376105 12537 937380 SH DEFINED 01 757880 0 179500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SOLUTIA INC. COMMON 834376105 21097 1577316 SH DEFINED 02 1000416 0 576900
D SOLUTIA INC. COMMON 834376105 25 1900 SH OTHER 01 1900 0 0
D SOMERA OYJ COMMON 835433202 1679 27752 SH DEFINED 16 27752 0 0
D SONIC AUTOMOTIVE, INC. COMMON 83545G102 2006 212500 SH DEFINED 01 212500 0 0
D SONIC AUTOMOTIVE, INC. COMMON 83545G102 2576 272900 SH DEFINED 02 229400 0 43500
D SONIC CORP. COMMON 835451105 662 24300 SH DEFINED 01 24300 0 0
D SONIC CORP. COMMON 835451105 414 15175 SH DEFINED 02 2100 0 13075
D SONICWALL INC COMMON 835470105 83 1242 SH DEFINED 16 1242 0 0
D SONICWALL INC COMMON 835470105 2005 30100 SH DEFINED 01 100 0 30000
D SONY CORP. AMERICAN SHARES COMMON 835699307 1092 3900 SH DEFINED 17 3900 0 0
D SONY CORP. AMERICAN SHARES COMMON 835699307 95 340 SH DEFINED 01 150 0 190
D SONY CORP. AMERICAN SHARES COMMON 835699307 560 2000 SH OTHER 01 0 2000 0
D SOURCE INFORMATION MGMT CO COMMON 836151209 1624 92800 SH DEFINED 01 92800 0 0
D SOURCE INFORMATION MGMT CO COMMON 836151209 4148 237000 SH DEFINED 02 188100 0 48900
D SOURCE MEDIA INC COMMON 836153304 209 15200 SH DEFINED 02 0 0 15200
D SOUTHDOWN, INC. COMMON 841297104 3158 53300 SH DEFINED 01 53300 0 0
D SOUTHDOWN, INC. COMMON 841297104 2334 39392 SH DEFINED 02 3000 0 36392
D SOUTHERN CO. COMMON 842587107 1269 58350 SH DEFINED 17 58350 0 0
D SOUTHERN CO. COMMON 842587107 1014 46600 SH DEFINED 05 11200 0 35400
D SOUTHERN CO. COMMON 842587107 1518 69800 SH DEFINED 01 38400 0 31400
D SOUTHERN CO. COMMON 842587107 4019 184800 SH DEFINED 02 119100 0 65700
D SOUTHERN CO. COMMON 842587107 238 10929 SH OTHER 01 0 10929 0
D SOUTHERN PERU COPPER CORP. COMMON 843611104 144 11100 SH DEFINED 17 11100 0 0
D SOUTHERN PERU COPPER CORP. COMMON 843611104 309 23800 SH DEFINED 02 0 0 23800
D SOUTHTRUST CORP. COMMON 844730101 25 1000 SH DEFINED 17 1000 0 0
D SOUTHTRUST CORP. COMMON 844730101 22893 899940 SH DEFINED 01 570400 0 329540
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SOUTHTRUST CORP. COMMON 844730101 52946 2081370 SH DEFINED 02 1382670 0 698700
D SOUTHTRUST CORP. COMMON 844730101 503 19761 SH OTHER 01 1200 18561 0
D SOUTHTRUST CORP. COMMON 844730101 763 30000 SH OTHER 0304 30000 0 0
D SOUTHWEST AIRLINES CO. COMMON 844741108 65 3100 SH DEFINED 17 3100 0 0
D SOUTHWEST AIRLINES CO. COMMON 844741108 16265 781500 SH DEFINED 01 733450 0 48050
D SOUTHWEST AIRLINES CO. COMMON 844741108 22534 1082680 SH DEFINED 02 644080 0 438600
D SOUTHWEST GAS CORP. COMMON 844895102 320 16800 SH DEFINED 02 0 0 16800
D SOUTHWEST SECURITIES GROUP, IN COMMON 845224104 74 1700 SH DEFINED 05 0 0 1700
D SOUTHWEST SECURITIES GROUP, IN COMMON 845224104 7683 176875 SH DEFINED 01 134075 0 42800
D SOUTHWEST SECURITIES GROUP, IN COMMON 845224104 5834 134300 SH DEFINED 02 105000 0 29300
D SOUTHWESTERN ENERGY CO. COMMON 845467109 439 66200 SH DEFINED 01 66200 0 0
D SOUTHWESTERN ENERGY CO. COMMON 845467109 975 147100 SH DEFINED 02 77400 0 69700
D SOVEREIGN BANCORP, INC. COMMON 845905108 3 332 SH DEFINED 16 332 0 0
D SOVEREIGN BANCORP, INC. COMMON 845905108 3301 436520 SH DEFINED 01 345920 0 90600
D SOVEREIGN BANCORP, INC. COMMON 845905108 4338 573534 SH DEFINED 02 278434 0 295100
D SOVEREIGN BANCORP, INC. COMMON 845905108 18 2400 SH OTHER 01 2400 0 0
D SOVRAN SELF STORAGE, INC. COMMON 84610H108 662 32700 SH DEFINED 02 12700 0 20000
D SPANISH BROADCASTING SYS INC COMMON 846425882 107 4550 SH DEFINED 05 0 0 4550
D SPANISH BROADCASTING SYS INC COMMON 846425882 13428 572550 SH DEFINED 01 447600 0 124950
D SPANISH BROADCASTING SYS INC COMMON 846425882 7919 337650 SH DEFINED 02 266750 0 70900
D SPECIALTY EQUIP COS INC COMMON 847497203 166 8000 SH DEFINED 01 8000 0 0
D SPECIALTY EQUIP COS INC COMMON 847497203 48 2300 SH DEFINED 02 0 0 2300
D SPIEGEL, INC. CL. "A" COMMON 848457107 129 16100 SH DEFINED 02 0 0 16100
D SPIEKER PROPERTIES, INC. COMMON 848497103 2750 61800 SH DEFINED 01 61800 0 0
D SPIEKER PROPERTIES, INC. COMMON 848497103 3885 87300 SH DEFINED 02 72400 0 14900
D SPINNAKER EXPL CO COMMON 84855W109 97 4250 SH DEFINED 05 0 0 4250
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SPINNAKER EXPL CO COMMON 84855W109 9611 422475 SH DEFINED 01 317350 0 105125
D SPINNAKER EXPL CO COMMON 84855W109 3699 162575 SH DEFINED 02 135800 0 26775
D SPLITROCK SVCS INC COMMON 848636304 45 1100 SH DEFINED 16 1100 0 0
D SPLITROCK SVCS INC COMMON 848636304 1158 28250 SH DEFINED 01 19500 0 8750
D SPLITROCK SVCS INC COMMON 848636304 701 17100 SH OTHER 01 17100 0 0
D SPRINGS INDUSTRIES, INC. COMMON 851783100 4 100 SH DEFINED 17 100 0 0
D SPRINGS INDUSTRIES, INC. COMMON 851783100 38 1000 SH DEFINED 01 0 0 1000
D SPRINGS INDUSTRIES, INC. COMMON 851783100 315 8300 SH DEFINED 02 8300 0 0
D SPRINT CORP. COMMON 852061100 4638 73330 SH DEFINED 17 73330 0 0
D SPRINT CORP. COMMON 852061100 25 400 SH DEFINED 05 400 0 0
D SPRINT CORP. COMMON 852061100 6698 105900 SH DEFINED 16 105900 0 0
D SPRINT CORP. COMMON 852061100 19093 301873 SH DEFINED 01 138884 0 162989
D SPRINT CORP. COMMON 852061100 1276 20168 SH DEFINED 02 11220 0 8948
D SPRINT CORP. COMMON 852061100 76 1200 SH OTHER 05 0 1200 0
D SPRINT CORP. COMMON 852061100 6779 107170 SH OTHER 01 44624 62546 0
D SPRINT CORP. 8.25% EXCH. CV. P PREF-CONV 852061407 306 4800 SH DEFINED 16
D SPRINT CORP COMMON 852061506 1123011 17002614 SH DEFINED 17 17002614 0 0
D SPRINT CORP COMMON 852061506 229 3500 SH DEFINED 05 3500 0 0
D SPRINT CORP COMMON 852061506 131836 2012769 SH DEFINED 01 1173062 0 839707
D SPRINT CORP COMMON 852061506 403581 6161544 SH DEFINED 02 4562820 0 1598724
D SPRINT CORP COMMON 852061506 39 600 SH OTHER 05 0 600 0
D SPRINT CORP COMMON 852061506 983 15000 SH OTHER 09 15000 0 0
D SPRINT CORP COMMON 852061506 4320 65960 SH OTHER 01 25512 40448 0
D SPYGLASS, INC. COMMON 852192103 775 10000 SH DEFINED 16 10000 0 0
D SPYGLASS, INC. COMMON 852192103 19 250 SH DEFINED 01 0 0 250
D STAMPS COM INC COMMON 852857101 25 1300 SH DEFINED 05 0 0 1300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 STAMPS COM INC COMMON 852857101 3150 163125 SH DEFINED 01 129275 0 33850
D STAMPS COM INC COMMON 852857101 3636 188275 SH DEFINED 02 149425 0 38850
D STANCORP FINL GROUP INC COMMON 852891100 589 21500 SH DEFINED 01 21500 0 0
D STANCORP FINL GROUP INC COMMON 852891100 1623 59300 SH DEFINED 02 48800 0 10500
D STANDARD MOTOR PRODUCTS, INC. COMMON 853666105 257 17300 SH DEFINED 02 10400 0 6900
D STANDARD PACIFIC CORP. COMMON 85375C101 680 68000 SH DEFINED 01 68000 0 0
D STANDARD PACIFIC CORP. COMMON 85375C101 475 47500 SH DEFINED 02 29100 0 18400
D STANDEX INTERNATIONAL CORP. COMMON 854231107 583 37600 SH DEFINED 02 0 0 37600
D STANLEY FURNITURE COMPANY, INC COMMON 854305208 3612 186400 SH DEFINED 01 186400 0 0
D STANLEY FURNITURE COMPANY, INC COMMON 854305208 5816 300200 SH DEFINED 02 238800 0 61400
D STANLEY WORKS COMMON 854616109 16 600 SH DEFINED 17 600 0 0
D STANLEY WORKS COMMON 854616109 73 2750 SH DEFINED 01 0 0 2750
D STAPLES, INC. COMMON 855030102 58 2900 SH DEFINED 17 2900 0 0
D STAPLES, INC. COMMON 855030102 52000 2600000 SH DEFINED 18 2600000 0 0
D STAPLES, INC. COMMON 855030102 100 5000 SH DEFINED 05 0 0 5000
D STAPLES, INC. COMMON 855030102 12 589 SH DEFINED 16 589 0 0
D STAPLES, INC. COMMON 855030102 677 33856 SH DEFINED 01 32976 0 880
D STAPLES, INC. COMMON 855030102 1645 82227 SH DEFINED 02 0 0 82227
D STARBUCKS CORP. COMMON 855244109 3186 71100 SH DEFINED 01 71100 0 0
D STARMEDIA NETWORK INC COMMON 855546107 601 20000 SH DEFINED 18 20000 0 0
D STARMEDIA NETWORK INC COMMON 855546107 4 138 SH DEFINED 16 138 0 0
D STARMEDIA NETWORK INC COMMON 855546107 174 5800 SH DEFINED 02 0 0 5800
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 24918 967675 SH DEFINED 01 842700 0 124975
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 59206 2299276 SH DEFINED 02 1603776 0 695500
D STARWOOD HOTELS&RESORTS WRLD COMMON 85590A203 96 3728 SH OTHER 01 3300 428 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 STATE STR CORP COMMON 857477103 97 1000 SH DEFINED 17 1000 0 0
D STATE STR CORP COMMON 857477103 1058 10923 SH DEFINED 05 8723 0 2200
D STATE STR CORP COMMON 857477103 3160 32619 SH DEFINED 01 12719 0 19900
D STATE STR CORP COMMON 857477103 6171 63700 SH OTHER 01 24700 39000 0
D STEEL DYNAMICS, INC. COMMON 858119100 252 21800 SH DEFINED 02 0 0 21800
D STEEL TECHNOLOGIES, INC. COMMON 858147101 1528 192500 SH DEFINED 01 192500 0 0
D STEEL TECHNOLOGIES, INC. COMMON 858147101 317 39900 SH DEFINED 02 35700 0 4200
D STEPAN COMPANY COMMON 858586100 11 500 SH DEFINED 02 0 0 500
D STEPAN COMPANY COMMON 858586100 217 10000 SH OTHER 01 0 10000 0
D STERLING BANCSHARES, INC. COMMON 858907108 34 3600 SH DEFINED 05 0 0 3600
D STERLING BANCSHARES, INC. COMMON 858907108 3640 380650 SH DEFINED 01 279400 0 101250
D STERLING BANCSHARES, INC. COMMON 858907108 651 68025 SH DEFINED 02 58325 0 9700
D STERIS CORP. COMMON 859152100 685 66800 SH DEFINED 01 66800 0 0
D STERIS CORP. COMMON 859152100 213 20800 SH DEFINED 02 10800 0 10000
D STERLING SOFTWARE, INC. COMMON 859547101 655 20000 SH DEFINED 16 20000 0 0
D STERLING SOFTWARE, INC. COMMON 859547101 5718 174600 SH DEFINED 01 51100 0 123500
D STERLING SOFTWARE, INC. COMMON 859547101 11268 344074 SH DEFINED 02 217700 0 126374
D STET HELLAS TELECOMMUNICATIONS COMMON 859823106 1139 43386 SH DEFINED 16 43386 0 0
D STEWART & STEVENSON SERVICES, COMMON 860342104 404 35900 SH DEFINED 01 35900 0 0
D STEWART & STEVENSON SERVICES, COMMON 860342104 32 2800 SH DEFINED 02 2800 0 0
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 49 10000 SH DEFINED 05 0 0 10000
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 1 111 SH DEFINED 16 111 0 0
D STEWART ENTERPRISES, INC. CL. COMMON 860370105 93 18900 SH DEFINED 02 0 0 18900
D STEWART INFORMATION SERVICES C COMMON 860372101 1033 65300 SH DEFINED 02 13300 0 52000
D STILLWATER MINING CO. COMMON 86074Q102 740 18500 SH DEFINED 02 100 0 18400
D STONERIDGE INC COMMON 86183P102 120 10000 SH DEFINED 01 10000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 STONERIDGE INC COMMON 86183P102 244 20300 SH DEFINED 02 8900 0 11400
D STRUCTURAL DYNAMICS RESEARCH C COMMON 863555108 146 10800 SH DEFINED 02 0 0 10800
D STRYKER CORP. COMMON 863667101 6607 94725 SH DEFINED 01 85700 0 9025
D SUIZA FOODS CORP. COMMON 865077101 2588 64300 SH DEFINED 01 64300 0 0
D SUIZA FOODS CORP. COMMON 865077101 952 23655 SH DEFINED 02 13900 0 9755
D SUMMIT BANCORP COMMON 866005101 29 1100 SH DEFINED 17 1100 0 0
D SUMMIT BANCORP COMMON 866005101 39 1500 SH DEFINED 05 1500 0 0
D SUMMIT BANCORP COMMON 866005101 30512 1162373 SH DEFINED 01 839600 0 322773
D SUMMIT BANCORP COMMON 866005101 69265 2638660 SH DEFINED 02 1838410 0 800250
D SUMMIT BANCORP COMMON 866005101 73 2775 SH OTHER 01 2100 675 0
D SUMMIT BANCSHARES INC TEX COMMON 866011109 826 53300 SH DEFINED 01 53300 0 0
D SUMMIT BANCSHARES INC TEX COMMON 866011109 1886 121700 SH DEFINED 02 115400 0 6300
D SUMMIT PROPERTIES, INC. COMMON 866239106 5321 278200 SH DEFINED 01 278200 0 0
D SUMMIT PROPERTIES, INC. COMMON 866239106 8155 426400 SH DEFINED 02 394500 0 31900
D SUN BANCORP, INC. COMMON 86663B102 486 74785 SH DEFINED 01 74785 0 0
D SUN BANCORP, INC. COMMON 86663B102 1329 204535 SH DEFINED 02 164240 0 40295
D SUN MICROSYSTEMS, INC. COMMON 866810104 62552 667560 SH DEFINED 17 667560 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 37901 404479 SH DEFINED 05 180197 0 224282
D SUN MICROSYSTEMS, INC. COMMON 866810104 19703 210269 SH DEFINED 16 210269 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 913920 9753368 SH DEFINED 01 5920364 0 3833004
D SUN MICROSYSTEMS, INC. COMMON 866810104 1383773 14767644 SH DEFINED 02 10378800 0 4388844
D SUN MICROSYSTEMS, INC. COMMON 866810104 37 400 SH OTHER 05 0 400 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 2249 24000 SH OTHER 101112 0 24000 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 7290 77800 SH OTHER 09 77800 0 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 105761 1128685 SH OTHER 01 579932 548753 0
D SUN MICROSYSTEMS, INC. COMMON 866810104 8433 90000 SH OTHER 0304 90000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SUNGLASS HUT INTERNATIONAL, IN COMMON 86736F106 1 112 SH DEFINED 16 112 0 0
D SUNGLASS HUT INTERNATIONAL, IN COMMON 86736F106 584 74800 SH DEFINED 01 74800 0 0
D SUNGLASS HUT INTERNATIONAL, IN COMMON 86736F106 98 12500 SH DEFINED 02 12500 0 0
D SUNGARD DATA SYSTEMS, INC. COMMON 867363103 1986 52600 SH DEFINED 02 0 0 52600
D SUNOCO INC COMMON 86764P109 4988 182200 SH DEFINED 17 182200 0 0
D SUNOCO INC COMMON 86764P109 9198 336000 SH DEFINED 18 336000 0 0
D SUNOCO INC COMMON 86764P109 183 6700 SH DEFINED 16 6700 0 0
D SUNOCO INC COMMON 86764P109 1763 64400 SH DEFINED 01 36900 0 27500
D SUNOCO INC COMMON 86764P109 33 1200 SH DEFINED 02 400 0 800
D SUNQUEST INFORMATION SYS INC COMMON 867654105 147 13100 SH DEFINED 02 0 0 13100
D SUNRISE ASSISTED LIVING INC BOND 86768KAC0 0 1908000 PRN DEFINED 16
D SUNRISE ASSISTED LIVING, INC. COMMON 86768K106 747 56400 SH DEFINED 01 32900 0 23500
D SUNRISE ASSISTED LIVING, INC. COMMON 86768K106 213 16100 SH DEFINED 02 10000 0 6100
D SUNTERRA CORP COMMON 86787D109 112 56000 SH DEFINED 01 56000 0 0
D SUNTERRA CORP COMMON 86787D109 53 26700 SH DEFINED 02 1600 0 25100
D SUNTRUST BANKS, INC. COMMON 867914103 1611 27900 SH DEFINED 17 27900 0 0
D SUNTRUST BANKS, INC. COMMON 867914103 1011 17500 SH DEFINED 06 17500 0 0
D SUNTRUST BANKS, INC. COMMON 867914103 25675 444582 SH DEFINED 01 278441 0 166141
D SUNTRUST BANKS, INC. COMMON 867914103 31992 553969 SH DEFINED 02 245120 0 308849
D SUNTRUST BANKS, INC. COMMON 867914103 3441 59584 SH OTHER 01 20700 38884 0
D SUPERGEN INC COMMON 868059106 826 17200 SH DEFINED 02 200 0 17000
D SUPERIOR INDUSTRIES INT'L, INC COMMON 868168105 418 13200 SH DEFINED 02 0 0 13200
D SUPERIOR TELECOM INC COMMON 868365107 166 12900 SH DEFINED 01 12900 0 0
D SUPERIOR TELECOM INC COMMON 868365107 632 49123 SH DEFINED 02 7100 0 42023
D SUPERVALU, INC. COMMON 868536103 17 900 SH DEFINED 17 900 0 0
D SUPERVALU, INC. COMMON 868536103 1965 103779 SH DEFINED 01 86400 0 17379
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SUPERVALU, INC. COMMON 868536103 258 13600 SH DEFINED 02 3800 0 9800
D SUSQUEHANNA BANCSHARES, INC. COMMON 869099101 806 58337 SH DEFINED 02 0 0 58337
D SWIFT ENERGY COMPANY COMMON 870738101 379 21200 SH DEFINED 01 21200 0 0
D SWIFT ENERGY COMPANY COMMON 870738101 1010 56498 SH DEFINED 02 13800 0 42698
D SWIFT TRANSPORTATION CO., INC. COMMON 870756103 498 24300 SH DEFINED 02 0 0 24300
D SYBASE, INC. COMMON 871130100 2391 117700 SH DEFINED 01 117700 0 0
D SYBASE, INC. COMMON 871130100 1897 93400 SH DEFINED 02 57500 0 35900
D SYBRON CORP. COMMON 87114F106 1975 68100 SH DEFINED 01 68100 0 0
D SYBRON CORP. COMMON 87114F106 638 22000 SH DEFINED 02 3200 0 18800
D SYCAMORE NETWORKS INC COMMON 871206108 126 975 SH DEFINED 05 0 0 975
D SYCAMORE NETWORKS INC COMMON 871206108 14951 115900 SH DEFINED 01 85675 0 30225
D SYCAMORE NETWORKS INC COMMON 871206108 7295 56550 SH DEFINED 02 54575 0 1975
D SYCAMORE NETWORKS INC COMMON 871206108 1703 13200 SH OTHER 01 13200 0 0
D SYKES ENTERPRISES, INC. COMMON 871237103 227 11900 SH DEFINED 01 11900 0 0
D SYKES ENTERPRISES, INC. COMMON 871237103 46 2400 SH DEFINED 02 2000 0 400
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 478 30000 SH DEFINED 16 30000 0 0
D SYLVAN LEARNING SYSTEMS, INC. COMMON 871399101 2 100 SH DEFINED 01 100 0 0
D SYMANTEC CORP. COMMON 871503108 9492 126350 SH DEFINED 01 88400 0 37950
D SYMANTEC CORP. COMMON 871503108 19120 254510 SH DEFINED 02 109310 0 145200
D SYMANTEC CORP. COMMON 871503108 30 400 SH OTHER 01 400 0 0
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 6227 75650 SH DEFINED 01 75650 0 0
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 1243 15100 SH DEFINED 02 3100 0 12000
D SYMBOL TECHNOLOGIES, INC. COMMON 871508107 1386 16837 SH OTHER 01 0 16837 0
D SYMMETRICOM, INC. COMMON 871543104 112 10600 SH DEFINED 02 0 0 10600
D SYMYX TECHNOLOGIES COMMON 87155S108 95 2200 SH DEFINED 05 0 0 2200
D SYMYX TECHNOLOGIES COMMON 87155S108 10103 234275 SH DEFINED 01 172800 0 61475
FORM 13F INFORMATION TABLE MARCH 31 2000 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 SYMYX TECHNOLOGIES COMMON 87155S108 8815 204400 SH DEFINED 02 163700 0 40700
D SYNOPSYS, INC. COMMON 871607107 3271 67100 SH DEFINED 01 67100 0 0
D SYNOPSYS, INC. COMMON 871607107 517 10600 SH DEFINED 02 3000 0 7600
D SYNOPSYS, INC. COMMON 871607107 878 18000 SH OTHER 101112 0 18000 0
D SYNOVUS FINANCIAL CORP. COMMON 87161C105 32 1700 SH DEFINED 17 1700 0 0
D SYNOVUS FINANCIAL CORP. COMMON 87161C105 1605 85059 SH DEFINED 01 0 0 85059
D SYSCO CORP. COMMON 871829107 10747 297500 SH DEFINED 17 297500 0 0
D SYSCO CORP. COMMON 871829107 2954 81785 SH DEFINED 01 79000 0 2785
D SYSCO CORP. COMMON 871829107 3527 97642 SH DEFINED 02 57142 0 40500
D SYSCO CORP. COMMON 871829107 173 4800 SH OTHER 05 0 4800 0
D SYSCO CORP. COMMON 871829107 296 8200 SH OTHER 01 0 8200 0
D SYSTEMAX INC COMMON 871851101 338 37000 SH DEFINED 01 37000 0 0
D SYSTEMAX INC COMMON 871851101 453 49600 SH DEFINED 02 27300 0 22300
D SYSTEMS & COMPUTER PFD CONV BOND 871873AB1 4866 5626000 PRN DEFINED 17
D TCF FINANCIAL CORP. COMMON 872275102 619 26000 SH DEFINED 16 26000 0 0
D TCF FINANCIAL CORP. COMMON 872275102 6237 261900 SH DEFINED 01 213100 0 48800
D TCF FINANCIAL CORP. COMMON 872275102 27282 1145694 SH DEFINED 02 747934 0 397760
D TCF FINANCIAL CORP. COMMON 872275102 12 500 SH OTHER 01 500 0 0
D TD WATERHOUSE GRP INC COMMON 872362108 26422 1056880 SH DEFINED 01 850000 0 206880
D TD WATERHOUSE GRP INC COMMON 872362108 71034 2841370 SH DEFINED 02 1979470 0 861900
D TD WATERHOUSE GRP INC COMMON 872362108 5 200 SH OTHER 01 200 0 0
D TECO ENERGY, INC. COMMON 872375100 6422 330392 SH DEFINED 01 291120 0 39272
D TECO ENERGY, INC. COMMON 872375100 17703 910720 SH DEFINED 02 544120 0 366600
D TECO ENERGY, INC. COMMON 872375100 235 12100 SH OTHER 01 900 11200 0
D THQ INC COMMON 872443403 527 29500 SH DEFINED 01 29500 0 0
D THQ INC COMMON 872443403 272 15200 SH DEFINED 02 5400 0 9800
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TJX COMPANIES, INC. COMMON 872540109 42 1900 SH DEFINED 17 1900 0 0
D TJX COMPANIES, INC. COMMON 872540109 53 2400 SH DEFINED 05 2400 0 0
D TJX COMPANIES, INC. COMMON 872540109 79447 3580610 SH DEFINED 01 2268300 0 1312310
D TJX COMPANIES, INC. COMMON 872540109 208665 9404428 SH DEFINED 02 7086828 0 2317600
D TJX COMPANIES, INC. COMMON 872540109 994 44800 SH OTHER 01 33000 11800 0
D TNP ENTERPRISES, INC. COMMON 872594106 1428 32600 SH DEFINED 02 11100 0 21500
D TRW, INC. COMMON 872649108 41 700 SH DEFINED 17 700 0 0
D TRW, INC. COMMON 872649108 1170 20000 SH DEFINED 01 0 0 20000
D TRW, INC. COMMON 872649108 1831 31300 SH DEFINED 02 0 0 31300
D TRW, INC. COMMON 872649108 234 4000 SH OTHER 01 0 4000 0
D TMP WORLDWIDE INC COMMON 872941109 2333 30000 SH DEFINED 01 30000 0 0
D TMP WORLDWIDE INC COMMON 872941109 1555 20000 SH DEFINED 02 1400 0 18600
D TV GUIDE INC COMMON 87307Q109 4902 102000 SH DEFINED 01 102000 0 0
D TV GUIDE INC COMMON 87307Q109 14044 292200 SH DEFINED 02 219800 0 72400
D TALBOTS, INC. COMMON 874161102 2548 43275 SH DEFINED 01 38000 0 5275
D TALBOTS, INC. COMMON 874161102 59 1000 SH DEFINED 02 1000 0 0
D TALISMAN ENERGY INC COMMON 87425E103 4741 166000 SH DEFINED 01 166000 0 0
D TALK COM INC COMMON 874264104 1771 110700 SH DEFINED 01 110700 0 0
D TALK COM INC COMMON 874264104 2123 132700 SH DEFINED 02 26400 0 106300
D TANDY CORP. COMMON 875382103 61 1200 SH DEFINED 17 1200 0 0
D TANDY CORP. COMMON 875382103 429 7700 SH DEFINED 16 7700 0 0
D TANDY CORP. COMMON 875382103 370 7300 SH DEFINED 02 0 0 7300
D TARGET CORP COMMON 87612E106 635 8500 SH DEFINED 06 8500 0 0
D TARGET CORP COMMON 87612E106 493 6600 SH DEFINED 05 6600 0 0
D TARGET CORP COMMON 87612E106 226811 3034263 SH DEFINED 01 1817794 0 1216469
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TARGET CORP COMMON 87612E106 359473 4809010 SH DEFINED 02 3074910 0 1734100
D TARGET CORP COMMON 87612E106 2399 32100 SH OTHER 09 32100 0 0
D TARGET CORP COMMON 87612E106 9812 131265 SH OTHER 01 81930 49335 0
D TAUBMAN CENTERS, INC. COMMON 876664103 397 35700 SH DEFINED 01 35700 0 0
D TAUBMAN CENTERS, INC. COMMON 876664103 309 27800 SH DEFINED 02 16500 0 11300
D TECH DATA CORP. COMMON 878237106 54 1640 SH DEFINED 16 1640 0 0
D TECH DATA CORP. COMMON 878237106 59 1800 SH DEFINED 01 400 0 1400
D TECH DATA CORP. COMMON 878237106 421 12800 SH DEFINED 02 0 0 12800
D TECHNE CORP. COMMON 878377100 807 11700 SH DEFINED 02 700 0 11000
D TECHNITROL, INC. COMMON 878555101 1631 28000 SH DEFINED 02 1600 0 26400
D TECUMSEH PRODUCTS, INC. COMMON 878895101 168 4000 SH DEFINED 01 0 0 4000
D TECUMSEH PRODUCTS, INC. COMMON 878895101 42 1000 SH OTHER 01 1000 0 0
D TECUMSEH PRODUCTS CO. CLASS "A COMMON 878895200 1522 34600 SH DEFINED 01 19600 0 15000
D TECUMSEH PRODUCTS CO. CLASS "A COMMON 878895200 128 2900 SH DEFINED 02 1100 0 1800
D TECUMSEH PRODUCTS CO. CLASS "A COMMON 878895200 79 1800 SH OTHER 01 1800 0 0
D TEKELEC COMMON 879101103 512 13800 SH DEFINED 02 0 0 13800
D TEKTRONIX, INC. COMMON 879131100 17 300 SH DEFINED 17 300 0 0
D TEKTRONIX, INC. COMMON 879131100 1848 33000 SH DEFINED 01 33000 0 0
D TEKTRONIX, INC. COMMON 879131100 1137 20300 SH DEFINED 02 20300 0 0
D TELE CELULAR SUL PARTICIPACOES PREFERRED 879238103 14066 281311 SH DEFINED 19
D TELE CELULAR SUL PARTICIPACOES PREFERRED 879238103 2984 59679 SH DEFINED 19
D TELE NORDESTE CELULAR PART S COMMON 87924W109 17585 245081 SH DEFINED 19 245081 0 0
D TELE NORDESTE CELULAR PART S COMMON 87924W109 4302 59964 SH DEFINED 19 59964 0 0
D TELE NORTE CELULAR PARTICIPACO PREFERRED 87924Y105 11672 188251 SH DEFINED 19
D TELE NORTE CELULAR PARTICIPACO PREFERRED 87924Y105 2575 41529 SH DEFINED 19
D TELE SUDESTE CELULAR PARTICIPA PREFERRED 879252104 1877 37580 SH DEFINED 17
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TELE SUDESTE CELULAR PARTICIPA PREFERRED 879252104 6692 134000 SH DEFINED 18
D TELE SUDESTE CELULAR PARTICIPA PREFERRED 879252104 25383 508281 SH DEFINED 19
D TELE SUDESTE CELULAR PARTICIPA PREFERRED 879252104 2257 47200 SH DEFINED 16
D TELE SUDESTE CELULAR PARTICIPA PREFERRED 879252104 4584 91799 SH DEFINED 19
D TELECOM ARGENTINA STET -SP ADR COMMON 879273209 372 10700 SH DEFINED 18 10700 0 0
D TELECOM ARGENTINA STET -SP ADR COMMON 879273209 914 26827 SH DEFINED 16 26827 0 0
D TELECOMUNICACOES BRASILEIRAS A PREFERRED 879287100 3 64394 SH DEFINED 18
D TELECOMUNICACOES BRASILEIRAS A PREFERRED 879287100 0 4000 SH DEFINED 01
D TELECOMUNICACOES BRASILEIRAS A PREFERRED 879287100 0 3000 SH OTHER 01
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 6279 42000 SH DEFINED 17
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 1944 13000 SH DEFINED 18
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 150 1000 SH DEFINED 16
D TELECOMUNICAS BRASIL ADR PFD PREFERRED 879287308 697 4660 SH DEFINED 01
D TELECORP PCS INC COMMON 879299105 36 700 SH DEFINED 05 0 0 700
D TELECORP PCS INC COMMON 879299105 2576 49775 SH DEFINED 01 28800 0 20975
D TELECORP PCS INC COMMON 879299105 2960 57200 SH DEFINED 02 45800 0 11400
D TELEDYNE TECHNOLOGIES INC COMMON 879360105 406 23384 SH DEFINED 01 23351 0 33
D TELEDYNE TECHNOLOGIES INC COMMON 879360105 10 581 SH DEFINED 02 421 0 160
D TELEDYNE TECHNOLOGIES INC COMMON 879360105 19 1093 SH OTHER 01 5 1088 0
D TELEFLEX, INC. COMMON 879369106 1256 35500 SH OTHER 01 0 35500 0
D TELEFONICA DE ARGENTINA S A COMMON 879378206 4266 108700 SH DEFINED 17 108700 0 0
D TELEFONICA DE ARGENTINA S A COMMON 879378206 2273 57900 SH DEFINED 18 57900 0 0
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 89 1190 SH DEFINED 05 0 0 1190
D TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 100 1351 SH DEFINED 01 1351 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TELEFONICA DE ESPANA S.A SPONS COMMON 879382208 118 1591 SH OTHER 05 0 1591 0
D CPT TELEFONICA DEL PERU - ADR COMMON 879384105 1085 63852 SH DEFINED 17 63852 0 0
D CPT TELEFONICA DEL PERU - ADR COMMON 879384105 16150 950000 SH DEFINED 18 950000 0 0
D CPT TELEFONICA DEL PERU - ADR COMMON 879384105 4825 283800 SH DEFINED 16 283800 0 0
D CPT TELEFONICA DEL PERU - ADR COMMON 879384105 7 400 SH DEFINED 01 400 0 0
D TELEFONOS DE MEXICO, S.A. BOND 879403AD5 0 4096000 PRN DEFINED 16
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 2758 41400 SH DEFINED 17 41400 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 27 400 SH DEFINED 05 400 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 13755 208800 SH DEFINED 16 208800 0 0
D TELEFONOS DE MEXICO S.A. CV. A COMMON 879403780 87 1310 SH DEFINED 01 1310 0 0
D TELE LESTE CELULAR PARTICIPACO PREFERRED 87943B102 6183 103051 SH DEFINED 19
D TELE LESTE CELULAR PARTICIPACO PREFERRED 87943B102 1101 18349 SH DEFINED 19
D TELEPHONE & DATA SYSTEMS, INC. COMMON 879433100 3996 36000 SH DEFINED 01 36000 0 0
D TELEPHONE & DATA SYSTEMS, INC. COMMON 879433100 2298 20700 SH DEFINED 02 1400 0 19300
D TELEMIG CELULAR PARTICPACOES S PREFERRED 87944E105 12000 135494 SH DEFINED 19
D TELEMIG CELULAR PARTICPACOES S PREFERRED 87944E105 2906 32816 SH DEFINED 19
D TELESPECTRUM WORLDWIDE INC COMMON 87951U109 52 7448 SH DEFINED 16 7448 0 0
D TELESPECTRUM WORLDWIDE INC COMMON 87951U109 151 21500 SH DEFINED 02 0 0 21500
D TELESP CELULAR PART S A PREFERRED 87952L108 28019 494271 SH DEFINED 19
D TELESP CELULAR PART S A PREFERRED 87952L108 4575 80709 SH DEFINED 19
D TELLABS, INC. COMMON 879664100 1587 25200 SH DEFINED 17 25200 0 0
D TELLABS, INC. COMMON 879664100 50 800 SH DEFINED 05 800 0 0
D TELLABS, INC. COMMON 879664100 1110 17621 SH DEFINED 01 17621 0 0
D TELLABS, INC. COMMON 879664100 11136 176800 SH DEFINED 02 126800 0 50000
D TEMPLE-INLAND, INC. COMMON 879868107 15 300 SH DEFINED 17 300 0 0
D TEMPLE-INLAND, INC. COMMON 879868107 6944 139400 SH DEFINED 06 139400 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TEMPLE-INLAND, INC. COMMON 879868107 164 3300 SH DEFINED 05 3300 0 0
D TEMPLE-INLAND, INC. COMMON 879868107 65123 1307349 SH DEFINED 01 925660 0 381689
D TEMPLE-INLAND, INC. COMMON 879868107 168438 3381415 SH DEFINED 02 2799756 0 581659
D TEMPLE-INLAND, INC. COMMON 879868107 1350 27100 SH OTHER 09 27100 0 0
D TEMPLE-INLAND, INC. COMMON 879868107 2282 45813 SH OTHER 01 15975 29838 0
D TEMPLE-INLAND, INC. COMMON 879868107 1494 30000 SH OTHER 0304 30000 0 0
D TELETECH HOLDINGS INC COMMON 879939106 752 21800 SH DEFINED 02 0 0 21800
D TENET HEALTHCARE CORP. COMMON 88033G100 44 1900 SH DEFINED 17 1900 0 0
D TENET HEALTHCARE CORP. COMMON 88033G100 177 7600 SH DEFINED 05 4200 0 3400
D TENET HEALTHCARE CORP. COMMON 88033G100 65300 2808590 SH DEFINED 01 2070900 0 737690
D TENET HEALTHCARE CORP. COMMON 88033G100 180781 7775517 SH DEFINED 02 5965280 0 1810237
D TENET HEALTHCARE CORP. COMMON 88033G100 35 1500 SH OTHER 05 0 1500 0
D TENET HEALTHCARE CORP. COMMON 88033G100 235 10100 SH OTHER 01 9500 600 0
D TENNECO AUTOMOTIVE INC COMMON 880349105 2 220 SH DEFINED 01 220 0 0
D TENNECO AUTOMOTIVE INC COMMON 880349105 325 40880 SH DEFINED 02 0 0 40880
D TENNECO AUTOMOTIVE INC COMMON 880349105 8 1000 SH OTHER 01 0 1000 0
D TERADYNE, INC. COMMON 880770102 90 1100 SH DEFINED 17 1100 0 0
D TERADYNE, INC. COMMON 880770102 517 6300 SH DEFINED 01 6300 0 0
D TERADYNE, INC. COMMON 880770102 10939 133400 SH DEFINED 02 119100 0 14300
D TERAYON COMMUNICATION SYS COMMON 880775101 4121 20100 SH DEFINED 01 20100 0 0
D TERAYON COMMUNICATION SYS COMMON 880775101 923 4500 SH DEFINED 02 3800 0 700
D TEREX CORPORATION COMMON 880779103 587 40800 SH DEFINED 01 40800 0 0
D TEREX CORPORATION COMMON 880779103 354 24600 SH DEFINED 02 18700 0 5900
D TESORO PETROLEUM CORP. COMMON 881609101 1214 105600 SH DEFINED 01 105600 0 0
D TESORO PETROLEUM CORP. COMMON 881609101 805 70000 SH DEFINED 02 40900 0 29100
D TEVA PHARMACEUTICAL INDS. LTD. COMMON 881624209 453 12150 SH DEFINED 01 6150 0 6000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TEXACO, INC. COMMON 881694103 3225 60000 SH DEFINED 18 60000 0 0
D TEXACO, INC. COMMON 881694103 2903 54000 SH DEFINED 06 54000 0 0
D TEXACO, INC. COMMON 881694103 2925 54414 SH DEFINED 05 36214 0 18200
D TEXACO, INC. COMMON 881694103 101087 1880693 SH DEFINED 01 1240962 0 639731
D TEXACO, INC. COMMON 881694103 173027 3219099 SH DEFINED 02 2145460 0 1073639
D TEXACO, INC. COMMON 881694103 333 6200 SH OTHER 05 6200 0 0
D TEXACO, INC. COMMON 881694103 13382 248976 SH OTHER 01 91480 157496 0
D TEXACO, INC. COMMON 881694103 2150 40000 SH OTHER 0304 40000 0 0
D TEXAS INDUSTRIES, INC. COMMON 882491103 765 24200 SH DEFINED 01 24200 0 0
D TEXAS INDUSTRIES, INC. COMMON 882491103 1803 57000 SH DEFINED 02 13000 0 44000
D TEXAS INSTRUMENTS, INC. COMMON 882508104 1200 7500 SH DEFINED 17 7500 0 0
D TEXAS INSTRUMENTS, INC. COMMON 882508104 2614 16340 SH DEFINED 05 7500 0 8840
D TEXAS INSTRUMENTS, INC. COMMON 882508104 579524 3622027 SH DEFINED 01 2489915 0 1132112
D TEXAS INSTRUMENTS, INC. COMMON 882508104 1098599 6866245 SH DEFINED 02 4691360 0 2174885
D TEXAS INSTRUMENTS, INC. COMMON 882508104 4584 28650 SH OTHER 09 28650 0 0
D TEXAS INSTRUMENTS, INC. COMMON 882508104 11382 71135 SH OTHER 01 34790 36345 0
D TEXAS UTILITIES CO. COMMON 882848104 609 20500 SH DEFINED 17 20500 0 0
D TEXAS UTILITIES CO. COMMON 882848104 37412 1260180 SH DEFINED 01 899000 0 361180
D TEXAS UTILITIES CO. COMMON 882848104 66107 2226710 SH DEFINED 02 1281410 0 945300
D TEXAS UTILITIES CO. COMMON 882848104 212 7130 SH OTHER 01 2400 4730 0
D TEXAS UTILITIES CO. COMMON 882848104 891 30000 SH OTHER 0304 30000 0 0
D TEXTRON, INC. COMMON 883203101 55 900 SH DEFINED 17 900 0 0
D TEXTRON, INC. COMMON 883203101 2618 43000 SH DEFINED 02 0 0 43000
D THERAGENICS CORPORATION COMMON 883375107 579 43300 SH DEFINED 01 43300 0 0
D THERAGENICS CORPORATION COMMON 883375107 375 28000 SH DEFINED 02 6300 0 21700
FORM 13F INFORMATION TABLE MARCH 31 2000 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 THERMA-WAVE INC COMMON 88343A108 23 675 SH DEFINED 05 0 0 675
D THERMA-WAVE INC COMMON 88343A108 2424 71300 SH DEFINED 01 53675 0 17625
D THERMA-WAVE INC COMMON 88343A108 1708 50225 SH DEFINED 02 40200 0 10025
D THERMORETEC CORPORATION COMMON 883656100 82 12100 SH DEFINED 02 0 0 12100
D THOMAS INDUSTRIES, INC. COMMON 884425109 388 20700 SH DEFINED 01 20700 0 0
D THOMAS INDUSTRIES, INC. COMMON 884425109 270 14400 SH DEFINED 02 8400 0 6000
D 3DO COMPANY COMMON 88553W105 100 10300 SH DEFINED 05 0 0 10300
D 3DO COMPANY COMMON 88553W105 7090 731825 SH DEFINED 01 523000 0 208825
D 3DO COMPANY COMMON 88553W105 3657 377500 SH DEFINED 02 301400 0 76100
D 3DFX INTERACTIVE INC COMMON 88553X103 3278 274572 SH DEFINED 01 0 0 274572
D 3COM CORP. COMMON 885535104 5563 100000 SH DEFINED 18 100000 0 0
D 3COM CORP. COMMON 885535104 6 100 SH DEFINED 05 100 0 0
D 3COM CORP. COMMON 885535104 7662 154000 SH DEFINED 16 154000 0 0
D 3COM CORP. COMMON 885535104 15212 273468 SH DEFINED 01 133025 0 140443
D 3COM CORP. COMMON 885535104 45952 826100 SH DEFINED 02 413500 0 412600
D 3COM CORP. COMMON 885535104 11 200 SH OTHER 01 200 0 0
D TIBCO SOFTWARE INC COMMON 88632Q103 57 700 SH DEFINED 01 0 0 700
D TIBCO SOFTWARE INC COMMON 88632Q103 2616 32100 SH DEFINED 02 0 0 32100
D TICKETMASTER ONLINE-CITYSEAR COMMON 88633P203 93 3700 SH DEFINED 05 0 0 3700
D TICKETMASTER ONLINE-CITYSEAR COMMON 88633P203 10144 404750 SH DEFINED 01 308075 0 96675
D TICKETMASTER ONLINE-CITYSEAR COMMON 88633P203 7572 302100 SH DEFINED 02 240900 0 61200
D TIDEWATER, INC. COMMON 886423102 26 805 SH DEFINED 17 805 0 0
D TIDEWATER, INC. COMMON 886423102 2593 81500 SH DEFINED 01 81000 0 500
D TIDEWATER, INC. COMMON 886423102 499 15670 SH DEFINED 02 3400 0 12270
D TIFFANY & CO. COMMON 886547108 4248 50800 SH DEFINED 01 50800 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TIFFANY & CO. COMMON 886547108 853 10200 SH DEFINED 02 1900 0 8300
D TIME WARNER, INC. COMMON 887315109 12463 124634 SH DEFINED 05 61862 0 62772
D TIME WARNER, INC. COMMON 887315109 2035 20350 SH DEFINED 16 20350 0 0
D TIME WARNER, INC. COMMON 887315109 415566 4155664 SH DEFINED 01 2720756 0 1434908
D TIME WARNER, INC. COMMON 887315109 645530 6455296 SH DEFINED 02 4367800 0 2087496
D TIME WARNER, INC. COMMON 887315109 1440 14400 SH OTHER 05 10400 4000 0
D TIME WARNER, INC. COMMON 887315109 1050 10500 SH OTHER 09 10500 0 0
D TIME WARNER, INC. COMMON 887315109 37643 376434 SH OTHER 01 110590 265844 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 37 400 SH DEFINED 17 400 0 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 28 300 SH DEFINED 05 300 0 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 2731 29000 SH DEFINED 16 29000 0 0
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 12315 132507 SH DEFINED 01 88258 0 44249
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 5502 59200 SH DEFINED 02 33500 0 25700
D TIMES MIRROR CO. SER. "A" COMM COMMON 887364107 785 8442 SH OTHER 01 200 8242 0
D TOLL BROTHERS, INC. COMMON 889478103 274 13700 SH DEFINED 02 0 0 13700
D TOO INC COMMON 890333107 8182 259217 SH DEFINED 01 258932 0 285
D TOO INC COMMON 890333107 45 1428 SH DEFINED 02 1428 0 0
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 37 1165 SH DEFINED 01 0 0 1165
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 923 29300 SH DEFINED 02 0 0 29300
D TOOTSIE ROLL INDUSTRIES, INC. COMMON 890516107 292 9272 SH OTHER 01 9272 0 0
D TOPPS, INC. COMMON 890786106 788 94800 SH DEFINED 01 94800 0 0
D TOPPS, INC. COMMON 890786106 187 22500 SH DEFINED 02 16100 0 6400
D TORCHMARK CORP. COMMON 891027104 879 38000 SH DEFINED 17 38000 0 0
D TORCHMARK CORP. COMMON 891027104 30 1300 SH DEFINED 05 1300 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TORCHMARK CORP. COMMON 891027104 24780 1071578 SH DEFINED 01 809668 0 261910
D TORCHMARK CORP. COMMON 891027104 43000 1859480 SH DEFINED 02 1142380 0 717100
D TORCHMARK CORP. COMMON 891027104 49 2100 SH OTHER 01 2100 0 0
D TOSCO CORP. COMMON 891490302 28 900 SH DEFINED 17 900 0 0
D TOSCO CORP. COMMON 891490302 13138 429000 SH DEFINED 18 429000 0 0
D TOSCO CORP. COMMON 891490302 86 2800 SH DEFINED 05 2800 0 0
D TOSCO CORP. COMMON 891490302 61553 2009883 SH DEFINED 01 1393660 0 616223
D TOSCO CORP. COMMON 891490302 144344 4713268 SH DEFINED 02 3669168 0 1044100
D TOSCO CORP. COMMON 891490302 1617 52800 SH OTHER 09 52800 0 0
D TOSCO CORP. COMMON 891490302 4227 138017 SH OTHER 01 79650 58367 0
D TOSCO CORP. COMMON 891490302 1531 50000 SH OTHER 0304 50000 0 0
D TOTAL S.A. SPNS. A/D/R COMMON 89151E109 322 4300 SH DEFINED 16 4300 0 0
D TOTAL S.A. SPNS. A/D/R COMMON 89151E109 40 550 SH DEFINED 01 114 0 436
D TOWER AUTOMOTIVE INC. 5% 08/01 BOND 891707AE1 2898 3011000 PRN DEFINED 16
D TOWER AUTOMOTIVE, INC. COMMON 891707101 999 61000 SH DEFINED 17 61000 0 0
D TOWER AUTOMOTIVE, INC. COMMON 891707101 1181 72100 SH DEFINED 01 72100 0 0
D TOWER AUTOMOTIVE, INC. COMMON 891707101 2456 150000 SH DEFINED 02 65400 0 84600
D TOTAL SYSTEM SERVICES, INC. COMMON 891906109 784 49200 SH DEFINED 02 0 0 49200
D TOYS R US, INC. COMMON 892335100 22 1500 SH DEFINED 17 1500 0 0
D TOYS R US, INC. COMMON 892335100 119 8000 SH DEFINED 05 0 0 8000
D TOYS R US, INC. COMMON 892335100 587 39606 SH DEFINED 01 22374 0 17232
D TOYS R US, INC. COMMON 892335100 414 27976 SH OTHER 01 0 27976 0
D TRANSACTION SYSTEMS ARCHITECTS COMMON 893416107 1331 46100 SH DEFINED 01 46100 0 0
D TRANSACTION SYSTEMS ARCHITECTS COMMON 893416107 390 13500 SH DEFINED 02 12100 0 1400
D TRANSATLANTIC HOLDINGS, INC. COMMON 893521104 342 4000 SH OTHER 01 0 4000 0
D TRANSCANADA PIPELINES LTD. COMMON 893526103 26 3500 SH DEFINED 05 0 0 3500
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TRANSCANADA PIPELINES LTD. COMMON 893526103 11 1475 SH OTHER 01 1475 0 0
D TRANSCANADA PIPELINES LTD. COMMON 893526103 378 50000 SH OTHER 0304 50000 0 0
D TRANSKARYOTIC THERAPIES INC COMMON 893735100 364 6550 SH DEFINED 16 6550 0 0
D TRANSKARYOTIC THERAPIES INC COMMON 893735100 790 14200 SH DEFINED 02 0 0 14200
D TRANSPORTADORA DE GAS SUR COMMON 893870204 923 108600 SH DEFINED 17 108600 0 0
D TRANSPORTADORA DE GAS SUR COMMON 893870204 43 5000 SH DEFINED 18 5000 0 0
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 1411 34200 SH DEFINED 17 34200 0 0
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 83 2000 SH DEFINED 16 2000 0 0
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 8306 201350 SH DEFINED 01 189050 0 12300
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 5577 135200 SH DEFINED 02 81500 0 53700
D TRAVELERS PROPERTY CAUSALTY CO COMMON 893939108 29 700 SH OTHER 01 700 0 0
D TRANSWITCH CORP. COMMON 894065101 115 1200 SH DEFINED 05 0 0 1200
D TRANSWITCH CORP. COMMON 894065101 10059 104650 SH DEFINED 01 73450 0 31200
D TRANSWITCH CORP. COMMON 894065101 4950 51500 SH DEFINED 02 41900 0 9600
D TREDEGAR INDUSTRIES, INC. COMMON 894650100 679 25200 SH DEFINED 02 0 0 25200
D TRIAD HOSPITALS INC COMMON 89579K109 770 45952 SH DEFINED 18 45952 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 18549 1107402 SH DEFINED 19 1107402 0 0
D TRIAD HOSPITALS INC COMMON 89579K109 11 653 SH DEFINED 01 414 0 239
D TRIAD HOSPITALS INC COMMON 89579K109 3 152 SH DEFINED 02 0 0 152
D TRIANGLE PHARMACEUTICALS INC COMMON 89589H104 44 2800 SH DEFINED 05 0 0 2800
D TRIANGLE PHARMACEUTICALS INC COMMON 89589H104 4838 307150 SH DEFINED 01 233775 0 73375
D TRIANGLE PHARMACEUTICALS INC COMMON 89589H104 3443 218600 SH DEFINED 02 160600 0 58000
D TRIAD GUARANTY, INC. COMMON 895925105 963 47400 SH DEFINED 02 24100 0 23300
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 28 900 SH DEFINED 17 900 0 0
D TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 4515 145335 SH DEFINED 01 8015 0 137320
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TRICON GLOBAL RESTAURANTS, INC COMMON 895953107 189 6080 SH OTHER 01 0 6080 0
D TRIBUNE COMPANY COMMON 896047107 55 1500 SH DEFINED 17 1500 0 0
D TRIBUNE COMPANY COMMON 896047107 8849 242028 SH DEFINED 01 242028 0 0
D TRIBUNE COMPANY COMMON 896047107 102 2800 SH DEFINED 02 2800 0 0
D TRIBUNE COMPANY COMMON 896047107 267 7300 SH OTHER 01 100 7200 0
D TRIMERIS, INC. COMMON 896263100 1818 36400 SH DEFINED 01 36400 0 0
D TRIMERIS, INC. COMMON 896263100 4579 91700 SH DEFINED 02 73700 0 18000
D TRINITY INDUSTRIES, INC. COMMON 896522109 1023 43200 SH DEFINED 01 43200 0 0
D TRINITY INDUSTRIES, INC. COMMON 896522109 4370 184500 SH DEFINED 02 37800 0 146700
D TRIQUINT SEMICONDT INC 'CONV B BOND 89674KAA1 0 5000000 PRN DEFINED 16
D TRIQUINT SEMICONDUCTOR, INC. COMMON 89674K103 1771 24100 SH DEFINED 01 24100 0 0
D TRIQUINT SEMICONDUCTOR, INC. COMMON 89674K103 397 5400 SH DEFINED 02 5000 0 400
D TRINTON PCS HOLDING COMMON 89677M106 147367 2456109 SH DEFINED 19 2456109 0 0
D TRINTON PCS HOLDING COMMON 89677M106 2 31 SH DEFINED 16 31 0 0
D TRINTON PCS HOLDING COMMON 89677M106 30793 513222 SH DEFINED 19 513222 0 0
D TRUE NORTH COMMUNICATIONS, INC COMMON 897844106 700 17800 SH DEFINED 01 17800 0 0
D TRUE NORTH COMMUNICATIONS, INC COMMON 897844106 1132 28800 SH DEFINED 02 2400 0 26400
D TRUST COMPANY OF NEW JERSEY COMMON 898304100 1006 51900 SH DEFINED 02 0 0 51900
D TRUSTCO BANK CORP. N. Y. COMMON 898349105 678 58014 SH DEFINED 02 0 0 58014
D TRUSTMARK CORP. COMMON 898402102 682 33800 SH DEFINED 02 0 0 33800
D TUBOS DE ACERO MEXICO S.A. A/D COMMON 898592506 173 10589 SH DEFINED 17 10589 0 0
D TULARIK INC COMMON 899165104 148 4800 SH DEFINED 17 4800 0 0
D TULARIK INC COMMON 899165104 108 3500 SH DEFINED 01 0 0 3500
D TUMBLEWEED COMMUNICATIONS CO COMMON 899690101 6768 58000 SH DEFINED 01 58000 0 0
D TUMBLEWEED COMMUNICATIONS CO COMMON 899690101 16745 143500 SH DEFINED 02 114100 0 29400
D TUPPERWARE CORP. COMMON 899896104 6 400 SH DEFINED 17 400 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 TUPPERWARE CORP. COMMON 899896104 984 62200 SH DEFINED 01 62200 0 0
D TUPPERWARE CORP. COMMON 899896104 185 11700 SH DEFINED 02 11700 0 0
D TURNSTONE SYSTEMS INC COMMON 900423104 127 1100 SH DEFINED 05 0 0 1100
D TURNSTONE SYSTEMS INC COMMON 900423104 8639 75125 SH DEFINED 01 42650 0 32475
D TURNSTONE SYSTEMS INC COMMON 900423104 4531 39400 SH DEFINED 02 31500 0 7900
D TV AZTECA, S.A. DE C.V. COMMON 901145102 1010 68500 SH DEFINED 17 68500 0 0
D 24 / 7 MEDIA INC COMMON 901314104 2 42 SH DEFINED 16 42 0 0
D 24 / 7 MEDIA INC COMMON 901314104 1675 42400 SH DEFINED 01 42400 0 0
D 24 / 7 MEDIA INC COMMON 901314104 87 2200 SH DEFINED 02 900 0 1300
D TYCO INTERNATIONAL LTD. COMMON 902124106 36411 726400 SH DEFINED 17 726400 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 6517 130020 SH DEFINED 05 61604 0 68416
D TYCO INTERNATIONAL LTD. COMMON 902124106 52210 1041600 SH DEFINED 16 1041600 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 587598 11722645 SH DEFINED 01 7437563 0 4285082
D TYCO INTERNATIONAL LTD. COMMON 902124106 1121217 22368415 SH DEFINED 02 16150522 0 6217893
D TYCO INTERNATIONAL LTD. COMMON 902124106 246 4900 SH OTHER 05 0 4900 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 5719 114100 SH OTHER 09 114100 0 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 46895 935553 SH OTHER 01 459268 476285 0
D TYCO INTERNATIONAL LTD. COMMON 902124106 4511 90000 SH OTHER 0304 90000 0 0
D TYLER TECHNOLOGIES INC COMMON 902252105 151 25700 SH DEFINED 02 0 0 25700
D UCAR INTERNATIONAL, INC. COMMON 90262K109 158 12000 SH DEFINED 02 12000 0 0
D UGI CORP. COMMON 902681105 283 13100 SH DEFINED 01 13100 0 0
D UGI CORP. COMMON 902681105 1905 88100 SH DEFINED 02 25300 0 62800
D UICI COMMON 902737105 109 16500 SH DEFINED 01 16500 0 0
D UICI COMMON 902737105 114 17200 SH DEFINED 02 6000 0 11200
D UMB FINL CORP COMMON 902788108 224 6100 SH DEFINED 02 6100 0 0
D USX-MARATHON GROUP COMMON 902905827 4306 165200 SH DEFINED 17 165200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 USX-MARATHON GROUP COMMON 902905827 10754 412600 SH DEFINED 18 412600 0 0
D USX-MARATHON GROUP COMMON 902905827 3206 123000 SH DEFINED 06 123000 0 0
D USX-MARATHON GROUP COMMON 902905827 86 3290 SH DEFINED 01 400 0 2890
D UST, INC. COMMON 902911106 17 1100 SH DEFINED 17 1100 0 0
D UST, INC. COMMON 902911106 109 7000 SH DEFINED 01 0 0 7000
D U S FRANCHISE SVCS INC COMMON 902956309 261 52100 SH DEFINED 02 0 0 52100
D U S RESTAURANT PPTYS INC COMMON 902971100 178 13600 SH DEFINED 02 0 0 13600
D U.S. BANCORP COMMON 902973106 98 4500 SH DEFINED 17 4500 0 0
D U.S. BANCORP COMMON 902973106 306 14000 SH DEFINED 05 14000 0 0
D U.S. BANCORP COMMON 902973106 154469 7061447 SH DEFINED 01 4796427 0 2265020
D U.S. BANCORP COMMON 902973106 485444 22191727 SH DEFINED 02 17835220 0 4356507
D U.S. BANCORP COMMON 902973106 1994 91150 SH OTHER 09 91150 0 0
D U.S. BANCORP COMMON 902973106 10875 497138 SH OTHER 01 269295 227843 0
D U.S. BANCORP COMMON 902973106 1859 85000 SH OTHER 0304 85000 0 0
D USA NETWORKS, INC. COMMON 902984103 903 40034 SH DEFINED 01 40034 0 0
D USA NETWORKS, INC. COMMON 902984103 2577 114200 SH DEFINED 02 0 0 114200
D URS CORP. COMMON 903236107 320 24400 SH DEFINED 01 24400 0 0
D URS CORP. COMMON 903236107 672 51200 SH DEFINED 02 7600 0 43600
D U.S. CAN CORPORATION COMMON 90328W105 643 33100 SH DEFINED 01 33100 0 0
D U.S. CAN CORPORATION COMMON 90328W105 340 17500 SH DEFINED 02 5700 0 11800
D USG CORP. COMMON 903293405 5509 131355 SH DEFINED 01 91155 0 40200
D USG CORP. COMMON 903293405 8795 209720 SH DEFINED 02 131320 0 78400
D USG CORP. COMMON 903293405 13 300 SH OTHER 01 300 0 0
D U S FOODSERVICE COMMON 90331R101 9337 362600 SH DEFINED 16 362600 0 0
D U S FOODSERVICE COMMON 90331R101 899 34912 SH DEFINED 02 0 0 34912
D US LEC CORP COMMON 90331S109 485 12200 SH DEFINED 01 12200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 US LEC CORP COMMON 90331S109 219 5500 SH DEFINED 02 3200 0 2300
D USEC INC COMMON 90333E108 4773 1004900 SH DEFINED 01 521700 0 483200
D USEC INC COMMON 90333E108 8633 1817450 SH DEFINED 02 1387450 0 430000
D USEC INC COMMON 90333E108 4 900 SH OTHER 01 900 0 0
D USX-U.S. STEEL GROUP. COMMON 90337T101 13 500 SH DEFINED 17 500 0 0
D USX-U.S. STEEL GROUP. COMMON 90337T101 5 200 SH DEFINED 05 200 0 0
D USX-U.S. STEEL GROUP. COMMON 90337T101 8183 327300 SH DEFINED 01 264600 0 62700
D USX-U.S. STEEL GROUP. COMMON 90337T101 9817 392680 SH DEFINED 02 184180 0 208500
D USX-U.S. STEEL GROUP. COMMON 90337T101 23 900 SH OTHER 01 900 0 0
D US ONCOLOGY INC COMMON 90338W103 255 56700 SH DEFINED 01 56700 0 0
D US ONCOLOGY INC COMMON 90338W103 224 49800 SH DEFINED 02 11300 0 38500
D THE ULTIMATE SOFTWARE GROUP, I COMMON 90385D107 8784 969268 SH DEFINED 19 969268 0 0
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 30 1200 SH DEFINED 05 1200 0 0
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 21994 866769 SH DEFINED 01 613944 0 252825
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 32411 1277280 SH DEFINED 02 895080 0 382200
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON 904000106 678 26734 SH OTHER 01 500 26234 0
D UNIBANCO-UNIAO DE BANCOS BRA COMMON 90458E107 1010 31800 SH DEFINED 17 31800 0 0
D UNIBANCO-UNIAO DE BANCOS BRA COMMON 90458E107 154 5000 SH DEFINED 16 5000 0 0
D UNICAPITAL CORP NEW COMMON 90459D108 200 84300 SH DEFINED 01 84300 0 0
D UNICAPITAL CORP NEW COMMON 90459D108 25 10700 SH DEFINED 02 10700 0 0
D UNIFI, INC. COMMON 904677101 4 400 SH DEFINED 05 400 0 0
D UNIFI, INC. COMMON 904677101 3082 344800 SH DEFINED 01 192900 0 151900
D UNIFI, INC. COMMON 904677101 7671 858300 SH DEFINED 02 631100 0 227200
D UNIFI, INC. COMMON 904677101 7 800 SH OTHER 01 800 0 0
D UNILEVER N V COMMON 904784709 4895 101984 SH DEFINED 17 101984 0 0
D UNILEVER N V COMMON 904784709 2997 62274 SH DEFINED 05 26430 0 35844
FORM 13F INFORMATION TABLE MARCH 31 2000 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 UNILEVER N V COMMON 904784709 87985 1828255 SH DEFINED 01 1368491 0 459764
D UNILEVER N V COMMON 904784709 144611 3004907 SH DEFINED 02 1634639 0 1370268
D UNILEVER N V COMMON 904784709 258 5355 SH OTHER 05 3927 1428 0
D UNILEVER N V COMMON 904784709 1660 34492 SH OTHER 01 8379 26113 0
D UNICOM CORP. COMMON 904911104 648 17750 SH DEFINED 17 17750 0 0
D UNICOM CORP. COMMON 904911104 672 18400 SH DEFINED 01 15400 0 3000
D UNICOM CORP. COMMON 904911104 91 2500 SH OTHER 01 2500 0 0
D UNION CARBIDE CORP. COMMON 905581104 47 800 SH DEFINED 17 800 0 0
D UNION CARBIDE CORP. COMMON 905581104 5056 86700 SH DEFINED 18 86700 0 0
D UNION CARBIDE CORP. COMMON 905581104 4157 68500 SH DEFINED 16 68500 0 0
D UNION CARBIDE CORP. COMMON 905581104 12032 206337 SH DEFINED 01 112545 0 93792
D UNION CARBIDE CORP. COMMON 905581104 7622 130700 SH DEFINED 02 41500 0 89200
D UNION CARBIDE CORP. COMMON 905581104 1175 20150 SH OTHER 01 9600 10550 0
D UNION PACIFIC CORP. COMMON 907818108 59 1500 SH DEFINED 17 1500 0 0
D UNION PACIFIC CORP. COMMON 907818108 671 17162 SH DEFINED 05 13062 0 4100
D UNION PACIFIC CORP. COMMON 907818108 115389 2949229 SH DEFINED 01 1921037 0 1028192
D UNION PACIFIC CORP. COMMON 907818108 246774 6307326 SH DEFINED 02 4902149 0 1405177
D UNION PACIFIC CORP. COMMON 907818108 232 5920 SH OTHER 05 3600 2320 0
D UNION PACIFIC CORP. COMMON 907818108 1575 40250 SH OTHER 09 40250 0 0
D UNION PACIFIC CORP. COMMON 907818108 13095 334684 SH OTHER 01 119921 214763 0
D UNION PACIFIC CORP. COMMON 907818108 1056 27000 SH OTHER 0304 27000 0 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 23 1600 SH DEFINED 17 1600 0 0
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 58 4026 SH DEFINED 05 3726 0 300
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 17954 1238229 SH DEFINED 01 1093994 0 144235
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 31397 2165334 SH DEFINED 02 1575284 0 590050
D UNION PACIFIC RESOURCES GROUP, COMMON 907834105 28 1964 SH OTHER 05 0 1964 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 UNION PACIFIC RESOURCES GROUP, COMMON 907834105 366 25246 SH OTHER 01 14223 11023 0
D UNION PLANTERS CORP. COMMON 908068109 28 900 SH DEFINED 17 900 0 0
D UNION PLANTERS CORP. COMMON 908068109 2246 72900 SH DEFINED 05 25800 0 47100
D UNION PLANTERS CORP. COMMON 908068109 18875 612550 SH DEFINED 01 451350 0 161200
D UNION PLANTERS CORP. COMMON 908068109 67345 2185619 SH DEFINED 02 1350214 0 835405
D UNION PLANTERS CORP. COMMON 908068109 203 6600 SH OTHER 05 5100 1500 0
D UNION PLANTERS CORP. COMMON 908068109 188 6100 SH OTHER 01 5800 300 0
D UNION PLANTERS CORP. COMMON 908068109 847 27500 SH OTHER 0304 27500 0 0
D UNISOURCE ENERGY CORP COMMON 909205106 662 45100 SH DEFINED 01 45100 0 0
D UNISOURCE ENERGY CORP COMMON 909205106 1168 79500 SH DEFINED 02 28900 0 50600
D UNISYS CORP. COMMON 909214108 49 1900 SH DEFINED 17 1900 0 0
D UNISYS CORP. COMMON 909214108 378 14728 SH DEFINED 01 91 0 14637
D UNISYS CORP. COMMON 909214108 434 16900 SH DEFINED 02 0 0 16900
D UNIT CORP. COMMON 909218109 518 47100 SH DEFINED 01 47100 0 0
D UNIT CORP. COMMON 909218109 2292 208400 SH DEFINED 02 176000 0 32400
D UNITED DOMINION INDUSTRIES LTD COMMON 909914103 1457 80100 SH DEFINED 02 0 0 80100
D UNITED DOMINION REALTY TRUST, COMMON 910197102 3092 307300 SH DEFINED 01 307300 0 0
D UNITED DOMINION REALTY TRUST, COMMON 910197102 6957 691300 SH DEFINED 02 626900 0 64400
D UNITED HEALTHCARE CORP. COMMON 910581107 66 1100 SH DEFINED 17 1100 0 0
D UNITED HEALTHCARE CORP. COMMON 910581107 6 100 SH DEFINED 05 100 0 0
D UNITED HEALTHCARE CORP. COMMON 910581107 13066 219140 SH DEFINED 01 112100 0 107040
D UNITED HEALTHCARE CORP. COMMON 910581107 25307 424440 SH DEFINED 02 179020 0 245420
D UNITED HEALTHCARE CORP. COMMON 910581107 128 2150 SH OTHER 01 2000 150 0
D UNITED ILLUMINATING COMPANY COMMON 910637107 51 1300 SH DEFINED 01 1300 0 0
D UNITED ILLUMINATING COMPANY COMMON 910637107 181 4600 SH DEFINED 02 3300 0 1300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 UNITED PARCEL SERVICE INC COMMON 911312106 2305 36600 SH DEFINED 05 16500 0 20100
D UNITED PARCEL SERVICE INC COMMON 911312106 21695 344429 SH DEFINED 01 181409 0 163020
D UNITED PARCEL SERVICE INC COMMON 911312106 3011 47800 SH DEFINED 02 46600 0 1200
D UNITED PARCEL SERVICE INC COMMON 911312106 107 1700 SH OTHER 05 1200 500 0
D UNITED PARCEL SERVICE INC COMMON 911312106 99 1570 SH OTHER 101112 0 1570 0
D UNITED PARCEL SERVICE INC COMMON 911312106 775 12300 SH OTHER 09 12300 0 0
D UNITED PARCEL SERVICE INC COMMON 911312106 3838 60934 SH OTHER 01 21799 39135 0
D UNITED RENTALS INC COMMON 911363109 1135 65800 SH DEFINED 01 65800 0 0
D UNITED RENTALS INC COMMON 911363109 186 10800 SH DEFINED 02 3100 0 7700
D UNITED RETAIL GROUP, INC. COMMON 911380103 162 17100 SH DEFINED 01 0 0 17100
D UNITED STATES CELLULAR CORP. COMMON 911684108 1519 21400 SH DEFINED 02 0 0 21400
D USAIR GROUP, INC. COMMON 911905107 11 400 SH DEFINED 17 400 0 0
D USAIR GROUP, INC. COMMON 911905107 1051 37800 SH DEFINED 02 3500 0 34300
D U. S. HOME CORP. COMMON 911920106 517 13600 SH DEFINED 02 2200 0 11400
D U. S. INDUSTRIES, INC. COMMON 912080108 1668 150800 SH DEFINED 01 150800 0 0
D U. S. INDUSTRIES, INC. COMMON 912080108 264 23900 SH DEFINED 02 6900 0 17000
D U S WEST INC COMMON 91273H101 225 3100 SH DEFINED 17 3100 0 0
D U S WEST INC COMMON 91273H101 2108 29031 SH DEFINED 05 14582 0 14449
D U S WEST INC COMMON 91273H101 12542 172700 SH DEFINED 16 172700 0 0
D U S WEST INC COMMON 91273H101 14916 205385 SH DEFINED 01 113839 0 91546
D U S WEST INC COMMON 91273H101 10694 147251 SH DEFINED 02 140200 0 7051
D U S WEST INC COMMON 91273H101 299 4120 SH OTHER 05 4120 0 0
D U S WEST INC COMMON 91273H101 8743 120389 SH OTHER 01 36639 83750 0
D U S WEST INC COMMON 91273H101 2542 35000 SH OTHER 0304 35000 0 0
D U. S. TRUST CORP. COMMON 91288L105 6568 34700 SH DEFINED 16 34700 0 0
D U. S. TRUST CORP. COMMON 91288L105 109 575 SH DEFINED 01 575 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 UNITED STATIONERS, INC. COMMON 913004107 2545 71300 SH DEFINED 01 71300 0 0
D UNITED STATIONERS, INC. COMMON 913004107 13263 371648 SH DEFINED 02 27700 0 343948
D UNITED TECHNOLOGIES CORP. COMMON 913017109 183 2900 SH DEFINED 17 2900 0 0
D UNITED TECHNOLOGIES CORP. COMMON 913017109 283 4486 SH DEFINED 05 4486 0 0
D UNITED TECHNOLOGIES CORP. COMMON 913017109 46908 742350 SH DEFINED 01 510764 0 231586
D UNITED TECHNOLOGIES CORP. COMMON 913017109 62212 984560 SH DEFINED 02 543660 0 440900
D UNITED TECHNOLOGIES CORP. COMMON 913017109 2641 41800 SH OTHER 01 22600 19200 0
D UNITED TELEVISION, INC. COMMON 913066106 318 2400 SH DEFINED 02 0 0 2400
D UNITED WATER RESOURCES, INC. COMMON 913190104 156 4499 SH DEFINED 01 4499 0 0
D UNITED WATER RESOURCES, INC. COMMON 913190104 692 19900 SH DEFINED 02 19900 0 0
D UNITED GLOBALCOM PREF-CONV 913247102 14363 150000 PRN DEFINED 17
D UNITEDGLOBALCOM COMMON 913247508 2627 35000 SH DEFINED 16 35000 0 0
D UNITEDGLOBALCOM COMMON 913247508 3671 48900 SH DEFINED 01 48900 0 0
D UNITEDGLOBALCOM COMMON 913247508 5975 79600 SH DEFINED 02 2400 0 77200
D UNITRIN, INC. COMMON 913275103 231 5810 SH DEFINED 02 0 0 5810
D UNIVERSAL CORP. (VA) COMMON 913456109 375 24900 SH DEFINED 01 24900 0 0
D UNIVERSAL CORP. (VA) COMMON 913456109 859 57000 SH DEFINED 02 19400 0 37600
D UNIVERSAL FOODS CORP. COMMON 913538104 1804 84400 SH DEFINED 01 84400 0 0
D UNIVERSAL FOODS CORP. COMMON 913538104 1020 47700 SH DEFINED 02 47700 0 0
D UNIVERSAL FOREST PRODUCTS, INC COMMON 913543104 5742 464000 SH DEFINED 01 464000 0 0
D UNIVERSAL FOREST PRODUCTS, INC COMMON 913543104 6941 560900 SH DEFINED 02 472800 0 88100
D UNIVERSAL HEALTH SERVICES, INC COMMON 913903100 1313 26800 SH DEFINED 02 0 0 26800
D UNIVISION COMMUNICATIONS INC COMMON 914906102 4656 41200 SH DEFINED 17 41200 0 0
D UNIVISION COMMUNICATIONS INC COMMON 914906102 237 2100 SH DEFINED 05 0 0 2100
D UNIVISION COMMUNICATIONS INC COMMON 914906102 23546 208372 SH DEFINED 01 149922 0 58450
FORM 13F INFORMATION TABLE MARCH 31 2000 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 UNIVISION COMMUNICATIONS INC COMMON 914906102 2057 18200 SH DEFINED 02 0 0 18200
D UNOCAL CORP. COMMON 915289102 45 1500 SH DEFINED 17 1500 0 0
D UNOCAL CORP. COMMON 915289102 6471 217500 SH DEFINED 06 217500 0 0
D UNOCAL CORP. COMMON 915289102 18 600 SH DEFINED 05 600 0 0
D UNOCAL CORP. COMMON 915289102 1232 41412 SH DEFINED 01 1000 0 40412
D UNOCAL CORP. COMMON 915289102 1095 36800 SH DEFINED 02 26300 0 10500
D UNOCAL CORP. COMMON 915289102 208 7000 SH OTHER 01 7000 0 0
D UNUMPROVIDENT CORP COMMON 91529Y106 491 29000 SH DEFINED 17 29000 0 0
D UNUMPROVIDENT CORP COMMON 91529Y106 29 1700 SH DEFINED 05 1700 0 0
D UNUMPROVIDENT CORP COMMON 91529Y106 22336 1318666 SH DEFINED 01 1065082 0 253584
D UNUMPROVIDENT CORP COMMON 91529Y106 60108 3548712 SH DEFINED 02 2531452 0 1017260
D UNUMPROVIDENT CORP COMMON 91529Y106 2846 167998 SH OTHER 01 6700 161298 0
D URBAN OUTFITTERS, INC. COMMON 917047102 445 30200 SH DEFINED 02 26200 0 4000
D URBAN SHOPPING CENTERS, INC. COMMON 917060105 3421 117700 SH DEFINED 01 117700 0 0
D URBAN SHOPPING CENTERS, INC. COMMON 917060105 5234 180100 SH DEFINED 02 163700 0 16400
D USBANCORP, INC. (PA) COMMON 917292104 356 31600 SH DEFINED 02 0 0 31600
D USINTERNETWORKING INC COMMON 917311805 16 424 SH DEFINED 05 0 0 424
D USINTERNETWORKING INC COMMON 917311805 6 155 SH DEFINED 16 155 0 0
D USINTERNETWORKING INC COMMON 917311805 15968 412079 SH DEFINED 01 62700 0 349379
D USINTERNETWORKING INC COMMON 917311805 436 11250 SH DEFINED 02 10950 0 300
D UTILICORP UNITED, INC. COMMON 918005109 1183 65500 SH DEFINED 01 65500 0 0
D UTILICORP UNITED, INC. COMMON 918005109 193 10700 SH DEFINED 02 2400 0 8300
D UTSTARCOM INC COMMON 918076100 43 550 SH DEFINED 05 0 0 550
D UTSTARCOM INC COMMON 918076100 4432 56775 SH DEFINED 01 41900 0 14875
D UTSTARCOM INC COMMON 918076100 3222 41275 SH DEFINED 02 33250 0 8025
D VA LINUX SYSTEMS INC COMMON 91819B105 66 1100 SH DEFINED 05 0 0 1100
FORM 13F INFORMATION TABLE MARCH 31 2000 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 VA LINUX SYSTEMS INC COMMON 91819B105 6056 100300 SH DEFINED 01 70575 0 29725
D VA LINUX SYSTEMS INC COMMON 91819B105 2539 42050 SH DEFINED 02 33500 0 8550
D VF CORP. COMMON 918204108 17 700 SH DEFINED 17 700 0 0
D VF CORP. COMMON 918204108 75 3100 SH DEFINED 01 0 0 3100
D VF CORP. COMMON 918204108 77 3200 SH OTHER 01 0 3200 0
D VALASSIS COMMUNICATIONS, INC. COMMON 918866104 1686 50600 SH DEFINED 01 50600 0 0
D VALASSIS COMMUNICATIONS, INC. COMMON 918866104 303 9100 SH DEFINED 02 2500 0 6600
D VALHI, INC. COMMON 918905100 462 41300 SH DEFINED 02 0 0 41300
D VALENCE TECHNOLOGY, INC. COMMON 918914102 591 25100 SH DEFINED 02 100 0 25000
D VALERO ENERGY CORPORATION COMMON 91913Y100 1114 36300 SH DEFINED 17 36300 0 0
D VALERO ENERGY CORPORATION COMMON 91913Y100 10903 355300 SH DEFINED 18 355300 0 0
D VALERO ENERGY CORPORATION COMMON 91913Y100 6 200 SH DEFINED 05 200 0 0
D VALERO ENERGY CORPORATION COMMON 91913Y100 8755 285300 SH DEFINED 01 238200 0 47100
D VALERO ENERGY CORPORATION COMMON 91913Y100 25961 845960 SH DEFINED 02 436760 0 409200
D VALERO ENERGY CORPORATION COMMON 91913Y100 15 500 SH OTHER 01 500 0 0
D VALLEY NATIONAL BANCORP COMMON 919794107 648 24130 SH DEFINED 01 0 0 24130
D VALLEY NATIONAL BANCORP COMMON 919794107 2662 99051 SH DEFINED 02 1300 0 97751
D VALUEVISION INTERNATIONAL, INC COMMON 92047K107 910 22000 SH DEFINED 01 22000 0 0
D VALUEVISION INTERNATIONAL, INC COMMON 92047K107 199 4800 SH DEFINED 02 4800 0 0
D VANS, INC. COMMON 921930103 42 2600 SH DEFINED 05 0 0 2600
D VANS, INC. COMMON 921930103 4665 289275 SH DEFINED 01 216200 0 73075
D VANS, INC. COMMON 921930103 1743 108100 SH DEFINED 02 84950 0 23150
D VARCO INTERNATIONAL, INC. COMMON 922126107 487 38600 SH DEFINED 02 0 0 38600
D VARIAN MED SYS INC COMMON 92220P105 128 2800 SH DEFINED 02 2800 0 0
D VARIAN MED SYS INC COMMON 92220P105 114 2500 SH OTHER 01 0 2500 0
D VARIAN SEMICONDUCTOR EQUIPMN COMMON 922207105 1412 22200 SH DEFINED 01 22200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 VARIAN SEMICONDUCTOR EQUIPMN COMMON 922207105 617 9700 SH DEFINED 02 9700 0 0
D VARIAN SEMICONDUCTOR EQUIPMN COMMON 922207105 159 2500 SH OTHER 01 0 2500 0
D VASTAR RESOURCES, INC. COMMON 922380100 4622 62200 SH DEFINED 02 0 0 62200
D VEECO INSTRUMENTS, INC. COMMON 922417100 1991 26900 SH DEFINED 01 26900 0 0
D VEECO INSTRUMENTS, INC. COMMON 922417100 488 6600 SH DEFINED 02 4500 0 2100
D VENTANA MEDICAL SYSTEMS INC. COMMON 92276H106 734 17000 SH OTHER 01 0 17000 0
D VENTRO CORP COMMON 922815105 28 500 SH DEFINED 05 0 0 500
D VENTRO CORP COMMON 922815105 910 16075 SH DEFINED 01 1975 0 14100
D VENTRO CORP COMMON 922815105 419 7400 SH DEFINED 02 3200 0 4200
D VERDANT BRANDS, INC COMMON 923366207 155 69395 SH DEFINED 19 69395 0 0
D VERDANT BRANDS, INC COMMON 923366207 1 502 SH DEFINED 19 502 0 0
D VERITY, INC. COMMON 92343C106 1108 27200 SH DEFINED 01 27200 0 0
D VERITY, INC. COMMON 92343C106 224 5500 SH DEFINED 02 5500 0 0
D VERISIGN, INC. COMMON 92343E102 10943 73200 SH DEFINED 01 72800 0 400
D VERISIGN, INC. COMMON 92343E102 33654 225110 SH DEFINED 02 180660 0 44450
D VERIO INC COMMON 923433106 90 2000 SH DEFINED 17 2000 0 0
D VERIO INC COMMON 923433106 4430 98300 SH DEFINED 18 98300 0 0
D VERIO INC COMMON 923433106 252 5600 SH DEFINED 05 0 0 5600
D VERIO INC COMMON 923433106 61 1364 SH DEFINED 16 1364 0 0
D VERIO INC COMMON 923433106 28160 624900 SH DEFINED 01 465750 0 159150
D VERIO INC COMMON 923433106 12983 288100 SH DEFINED 02 210400 0 77700
D VERITAS SOFTWARE CORP. COMMON 923436109 3399 25950 SH DEFINED 17 25950 0 0
D VERITAS SOFTWARE CORP. COMMON 923436109 107986 824320 SH DEFINED 16 824320 0 0
D VERITAS SOFTWARE CORP. COMMON 923436109 11102 84750 SH DEFINED 02 0 0 84750
D VERTEX PHARMACEUTICALS, INC. COMMON 92532F100 206 4400 SH DEFINED 05 0 0 4400
D VERTEX PHARMACEUTICALS, INC. COMMON 92532F100 22580 482350 SH DEFINED 01 335050 0 147300
FORM 13F INFORMATION TABLE MARCH 31 2000 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 VERTEX PHARMACEUTICALS, INC. COMMON 92532F100 16667 356025 SH DEFINED 02 306775 0 49250
D VERTICALNET INC 5.25% 9/27/02 BOND 92532LAA5 984375 3750000 PRN DEFINED 17
D VERTICALNET INC COMMON 92532L107 95 700 SH DEFINED 05 0 0 700
D VERTICALNET INC COMMON 92532L107 6344 46650 SH DEFINED 01 27325 0 19325
D VERTICALNET INC COMMON 92532L107 2689 19775 SH DEFINED 02 7525 0 12250
D VETERINARY CENTER OF AMERICA I COMMON 925514101 285 20700 SH DEFINED 01 20700 0 0
D VETERINARY CENTER OF AMERICA I COMMON 925514101 421 30600 SH DEFINED 02 10900 0 19700
D VIAD CORP. COMMON 92552R109 46 2000 SH DEFINED 05 2000 0 0
D VIAD CORP. COMMON 92552R109 366 15990 SH DEFINED 01 0 0 15990
D VIAD CORP. COMMON 92552R109 64 2800 SH DEFINED 02 0 0 2800
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 232 4400 SH DEFINED 17
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 870 16500 SH DEFINED 06
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 79 1500 SH DEFINED 05
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 31517 597484 SH DEFINED 01
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 30300 574400 SH DEFINED 02
D VIACOM, INC. - NON-VOTING CL B COMMON 925524308 37 700 SH OTHER 01
D VIATEL INC COMMON 925529208 53 1051 SH DEFINED 16 1051 0 0
D VIATEL INC COMMON 925529208 151 3000 SH DEFINED 01 3000 0 0
D VIATEL INC COMMON 925529208 30 600 SH DEFINED 02 600 0 0
D VICAL, INC. COMMON 925602104 178 5300 SH DEFINED 05 0 0 5300
D VICAL, INC. COMMON 925602104 13541 404200 SH DEFINED 01 247400 0 156800
D VICAL, INC. COMMON 925602104 5606 167350 SH DEFINED 02 124600 0 42750
D VIA NET WRKS INC COMMON 925912107 54 2050 SH DEFINED 05 0 0 2050
D VIA NET WRKS INC COMMON 925912107 4431 166825 SH DEFINED 01 113250 0 53575
D VIA NET WRKS INC COMMON 925912107 4304 162040 SH DEFINED 02 139740 0 22300
D VIGNETTE CORP COMMON 926734104 2836 17700 SH DEFINED 01 17700 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 VIGNETTE CORP COMMON 926734104 1298 8100 SH DEFINED 02 800 0 7300
D VINTAGE PETROLEUM, INC. COMMON 927460105 1391 69100 SH DEFINED 01 69100 0 0
D VINTAGE PETROLEUM, INC. COMMON 927460105 1075 53400 SH DEFINED 02 38100 0 15300
D VINTAGE PETROLEUM, INC. COMMON 927460105 785 39000 SH OTHER 01 0 39000 0
D VIROPHARMA INC COMMON 928241108 319 5200 SH DEFINED 02 0 0 5200
D VISHAY INTERTECHNOLOGY, INC. COMMON 928298108 5568 100100 SH DEFINED 01 100100 0 0
D VISHAY INTERTECHNOLOGY, INC. COMMON 928298108 1736 31211 SH DEFINED 02 4100 0 27111
D VISX, INC. COMMON 92844S105 538 29500 SH DEFINED 01 29500 0 0
D VISX, INC. COMMON 92844S105 442 24200 SH DEFINED 02 1300 0 22900
D VISUAL NETWORKS, INC. COMMON 928444108 36985 651715 SH DEFINED 01 141500 0 510215
D VISUAL NETWORKS, INC. COMMON 928444108 9477 167000 SH DEFINED 02 132800 0 34200
D VITAL SIGNS, INC. COMMON 928469105 601 26200 SH DEFINED 01 26200 0 0
D VITAL SIGNS, INC. COMMON 928469105 459 20000 SH DEFINED 02 20000 0 0
D VITESSE SEMICONDUCTOR CORPORAT BOND 928497AA4 0 1000000 PRN DEFINED 16
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 13129 136400 SH DEFINED 17 136400 0 0
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 23 238 SH DEFINED 16 238 0 0
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 4413 45850 SH DEFINED 01 45250 0 600
D VITESSE SEMICONDUCTOR CORP. COMMON 928497106 31997 332433 SH DEFINED 02 231183 0 101250
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 2223 40000 SH DEFINED 17 40000 0 0
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 67 1200 SH DEFINED 05 1200 0 0
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 23784 428052 SH DEFINED 01 351846 0 76206
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 722 13000 SH OTHER 05 0 13000 0
D VODAFONE GROUP PLC SPONSORED A COMMON 92857T107 14040 252693 SH OTHER 01 77530 175163 0
D VOICESTREAM WIRELESS CORP COMMON 928615103 10685 82952 SH DEFINED 01 82172 0 780
D VOICESTREAM WIRELESS CORP COMMON 928615103 26529 205947 SH DEFINED 02 129901 0 76046
D VOLT INFORMATION SCIENCES, INC COMMON 928703107 611 17000 SH DEFINED 02 0 0 17000
FORM 13F INFORMATION TABLE MARCH 31 2000 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 VORNADO REALTY TRUST S/B/I COMMON 929042109 12529 374000 SH DEFINED 01 367000 0 7000
D VORNADO REALTY TRUST S/B/I COMMON 929042109 41925 1251500 SH DEFINED 02 1093600 0 157900
D VULCAN INTERNATIONAL CORP. COMMON 929136109 216 6500 SH DEFINED 02 0 0 6500
D VULCAN MATERIALS CO. COMMON 929160109 27 600 SH DEFINED 17 600 0 0
D VULCAN MATERIALS CO. COMMON 929160109 105 2300 SH DEFINED 01 2300 0 0
D VULCAN MATERIALS CO. COMMON 929160109 1278 27900 SH DEFINED 02 0 0 27900
D WFS FINANCIAL, INC. COMMON 92923B106 187 9600 SH DEFINED 01 9600 0 0
D WFS FINANCIAL, INC. COMMON 92923B106 39 2000 SH DEFINED 02 2000 0 0
D WICOR, INC. COMMON 929253102 5304 171100 SH DEFINED 01 171100 0 0
D WICOR, INC. COMMON 929253102 3739 120600 SH DEFINED 02 50200 0 70400
D WMS INDUSTRIES, INC. COMMON 929297109 320 32400 SH DEFINED 01 32400 0 0
D WMS INDUSTRIES, INC. COMMON 929297109 460 46600 SH DEFINED 02 15800 0 30800
D WPS RESOURCES CORP. COMMON 92931B106 57 2200 SH DEFINED 01 2200 0 0
D WPS RESOURCES CORP. COMMON 92931B106 117 4500 SH DEFINED 02 0 0 4500
D WPS RESOURCES CORP. COMMON 92931B106 532 20500 SH OTHER 01 0 20500 0
D WABASH NATIONAL CORP. COMMON 929566107 17 1200 SH DEFINED 01 200 0 1000
D WABASH NATIONAL CORP. COMMON 929566107 356 25000 SH DEFINED 02 9600 0 15400
D WACHOVIA CORP. COMMON 929771103 81 1200 SH DEFINED 17 1200 0 0
D WACHOVIA CORP. COMMON 929771103 541 8000 SH DEFINED 06 8000 0 0
D WACHOVIA CORP. COMMON 929771103 798 11807 SH DEFINED 05 11302 0 505
D WACHOVIA CORP. COMMON 929771103 17583 260244 SH DEFINED 01 195800 0 64444
D WACHOVIA CORP. COMMON 929771103 8976 132858 SH DEFINED 02 55700 0 77158
D WACHOVIA CORP. COMMON 929771103 1743 25800 SH OTHER 01 3486 22314 0
D WACKENHUT CORRECTIONS CORPORAT COMMON 929798106 379 39400 SH DEFINED 01 39400 0 0
D WACKENHUT CORRECTIONS CORPORAT COMMON 929798106 65 6800 SH DEFINED 02 6800 0 0
D WADDELL & REED FINL INC COMMON 930059100 1862 44004 SH DEFINED 01 44004 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WADDELL & REED FINL INC COMMON 930059100 283 6700 SH DEFINED 02 1900 0 4800
D WADDELL & REED FINANCIAL, INC. COMMON 930059209 555 14220 SH DEFINED 01 14220 0 0
D WAL-MART STORES, INC. COMMON 931142103 1831 32400 SH DEFINED 17 32400 0 0
D WAL-MART STORES, INC. COMMON 931142103 2430 43000 SH DEFINED 06 43000 0 0
D WAL-MART STORES, INC. COMMON 931142103 11924 211040 SH DEFINED 05 117900 0 93140
D WAL-MART STORES, INC. COMMON 931142103 713599 12630069 SH DEFINED 01 8176270 0 4453799
D WAL-MART STORES, INC. COMMON 931142103 1086958 19238187 SH DEFINED 02 12420741 0 6817446
D WAL-MART STORES, INC. COMMON 931142103 1881 33300 SH OTHER 05 5500 27800 0
D WAL-MART STORES, INC. COMMON 931142103 4322 76500 SH OTHER 09 76500 0 0
D WAL-MART STORES, INC. COMMON 931142103 87193 1543239 SH OTHER 01 455455 1087784 0
D WAL-MART STORES, INC. COMMON 931142103 1695 30000 SH OTHER 0304 30000 0 0
D WALGREEN CO. COMMON 931422109 3852 149600 SH DEFINED 17 149600 0 0
D WALGREEN CO. COMMON 931422109 70 2700 SH DEFINED 05 600 0 2100
D WALGREEN CO. COMMON 931422109 4351 168972 SH DEFINED 01 137772 0 31200
D WALGREEN CO. COMMON 931422109 286 11100 SH DEFINED 02 11100 0 0
D WALGREEN CO. COMMON 931422109 621 24100 SH OTHER 05 0 24100 0
D WALGREEN CO. COMMON 931422109 11674 453372 SH OTHER 01 25872 427500 0
D WALLACE COMPUTER SERVICES, INC COMMON 932270101 1465 124000 SH DEFINED 02 19600 0 104400
D WALLACE COMPUTER SERVICES, INC COMMON 932270101 38 3200 SH OTHER 01 0 3200 0
D WARNACO GROUP, INC. COMMON 934390105 665 56300 SH DEFINED 01 56300 0 0
D WARNACO GROUP, INC. COMMON 934390105 226 19100 SH DEFINED 02 12700 0 6400
D WARNACO GROUP, INC. COMMON 934390105 35 3000 SH OTHER 01 3000 0 0
D WARNER-LAMBERT CO. COMMON 934488107 3492 35743 SH DEFINED 18 35743 0 0
D WARNER-LAMBERT CO. COMMON 934488107 11038 112996 SH DEFINED 05 52626 0 60370
D WARNER-LAMBERT CO. COMMON 934488107 10595 104000 SH DEFINED 16 104000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WARNER-LAMBERT CO. COMMON 934488107 364699 3733309 SH DEFINED 01 2507094 0 1226215
D WARNER-LAMBERT CO. COMMON 934488107 642517 6577232 SH DEFINED 02 4636953 0 1940279
D WARNER-LAMBERT CO. COMMON 934488107 293 3000 SH OTHER 05 1200 1800 0
D WARNER-LAMBERT CO. COMMON 934488107 2081 21300 SH OTHER 09 21300 0 0
D WARNER-LAMBERT CO. COMMON 934488107 41636 426215 SH OTHER 01 110335 315880 0
D WARNER-LAMBERT CO. COMMON 934488107 1465 15000 SH OTHER 0304 15000 0 0
D WASHINGTON FEDERAL, INC. COMMON 938824109 1826 95798 SH DEFINED 01 71100 0 24698
D WASHINGTON FEDERAL, INC. COMMON 938824109 3660 192000 SH DEFINED 02 58400 0 133600
D WASHINGTON GAS LIGHT CO. COMMON 938837101 1794 66000 SH DEFINED 02 66000 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 95 3600 SH DEFINED 17 3600 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 271 10233 SH DEFINED 05 10233 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 145847 5503648 SH DEFINED 01 3503545 0 2000103
D WASHINGTON MUTUAL, INC. COMMON 939322103 308422 11638577 SH DEFINED 02 7852630 0 3785947
D WASHINGTON MUTUAL, INC. COMMON 939322103 1412 53300 SH OTHER 09 53300 0 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 3791 143059 SH OTHER 01 82320 60739 0
D WASHINGTON MUTUAL, INC. COMMON 939322103 1590 60000 SH OTHER 0304 60000 0 0
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 123607 228479 SH DEFINED 01 17820 0 210659
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 2603 4812 SH DEFINED 02 2496 0 2316
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 12443 23000 SH OTHER 101112 0 23000 0
D WASHINGTON POST CO. CLASS "B" COMMON 939640108 307177 567794 SH OTHER 01 0 567794 0
D WASTE MANAGEMENT INC COMMON 94106L109 52 3800 SH DEFINED 17 3800 0 0
D WASTE MANAGEMENT INC COMMON 94106L109 2 135 SH DEFINED 05 135 0 0
D WASTE MANAGEMENT INC COMMON 94106L109 41121 3004163 SH DEFINED 01 2145658 0 858505
D WASTE MANAGEMENT INC COMMON 94106L109 130896 9562849 SH DEFINED 02 6563761 0 2999088
D WASTE MANAGEMENT INC COMMON 94106L109 614 44871 SH OTHER 01 8300 36571 0
D WASTE MANAGEMENT INC COMMON 94106L109 685 50025 SH OTHER 0304 50025 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WATCHGUARD TECHNOLOGIES INC COMMON 941105108 5967 66300 SH DEFINED 01 66300 0 0
D WATCHGUARD TECHNOLOGIES INC COMMON 941105108 14184 157600 SH DEFINED 02 125700 0 31900
D WATER PIK TECHNOLOGIES INC COMMON 94113U100 60 8240 SH DEFINED 01 8210 0 30
D WATER PIK TECHNOLOGIES INC COMMON 94113U100 4 580 SH DEFINED 02 420 0 160
D WATER PIK TECHNOLOGIES INC COMMON 94113U100 3 385 SH OTHER 01 5 380 0
D WATERS CORP COMMON 941848103 1172 12300 SH DEFINED 02 0 0 12300
D WATERS CORP COMMON 941848103 191 2000 SH OTHER 01 0 2000 0
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 24 600 SH DEFINED 17 600 0 0
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 10462 263600 SH DEFINED 01 192300 0 71300
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 17300 435902 SH DEFINED 02 227230 0 208672
D WATSON PHARMACEUTICALS, INC. COMMON 942683103 24 600 SH OTHER 01 600 0 0
D WAVE SYSTEMS CORP. CL "A" COMMON 943526103 80 2000 SH DEFINED 01 0 0 2000
D WAVE SYSTEMS CORP. CL "A" COMMON 943526103 132 3300 SH DEFINED 02 300 0 3000
D WEATHERFORD INTERNATIONAL, INC COMMON 947074100 117 2000 SH DEFINED 01 2000 0 0
D WEATHERFORD INTERNATIONAL, INC COMMON 947074100 1753 29962 SH DEFINED 02 0 0 29962
D WEATHERFORD INTERNATIONAL, INC COMMON 947074100 64 1100 SH OTHER 01 0 1100 0
D WEB STREET INC COMMON 947336103 511 61500 SH DEFINED 01 61500 0 0
D WEB STREET INC COMMON 947336103 1217 146400 SH DEFINED 02 121600 0 24800
D WEBB (DEL) CORP. COMMON 947423109 769 51900 SH DEFINED 01 51900 0 0
D WEBB (DEL) CORP. COMMON 947423109 1176 79400 SH DEFINED 02 26400 0 53000
D WEBMETHODS INC COMMON 94768C108 101 420 SH DEFINED 05 0 0 420
D WEBMETHODS INC COMMON 94768C108 12523 51880 SH DEFINED 01 37690 0 14190
D WEBMETHODS INC COMMON 94768C108 7381 30580 SH DEFINED 02 24530 0 6050
D WEBLINK WIRELESS INC COMMON 94769A101 50 3722 SH DEFINED 19 3722 0 0
D WEBLINK WIRELESS INC COMMON 94769A101 227 17000 SH DEFINED 01 17000 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WEBLINK WIRELESS INC COMMON 94769A101 183 13700 SH DEFINED 02 3400 0 10300
D WEBSTER FINANCIAL CORP. COMMON 947890109 235 10202 SH DEFINED 01 0 0 10202
D WEBSTER FINANCIAL CORP. COMMON 947890109 239 10411 SH DEFINED 02 3500 0 6911
D WEBTRENDS CORP COMMON 94844D104 274 3800 SH DEFINED 05 0 0 3800
D WEBTRENDS CORP COMMON 94844D104 28418 394700 SH DEFINED 01 289350 0 105350
D WEBTRENDS CORP COMMON 94844D104 12967 180100 SH DEFINED 02 142200 0 37900
D WEIRTON STEEL CORP. COMMON 948774104 7312 899900 SH DEFINED 16 899900 0 0
D WEIS MARKETS, INC. COMMON 948849104 751 22100 SH DEFINED 02 0 0 22100
D WELLMAN, INC. COMMON 949702104 216 10900 SH DEFINED 05 0 0 10900
D WELLMAN, INC. COMMON 949702104 31365 1583075 SH DEFINED 01 1241200 0 341875
D WELLMAN, INC. COMMON 949702104 21513 1085800 SH DEFINED 02 875100 0 210700
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 28 400 SH DEFINED 17 400 0 0
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 14 200 SH DEFINED 05 200 0 0
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 24079 344600 SH DEFINED 01 249080 0 95520
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 46111 659900 SH DEFINED 02 414100 0 245800
D WELLPOINT HEALTH NETWORK CL. " COMMON 94973H108 56 800 SH OTHER 01 800 0 0
D WELLS FARGO COMPANY COMMON 949746101 45644 1120100 SH DEFINED 17 1120100 0 0
D WELLS FARGO COMPANY COMMON 949746101 338 8300 SH DEFINED 05 5300 0 3000
D WELLS FARGO COMPANY COMMON 949746101 70911 1740158 SH DEFINED 01 633428 0 1106730
D WELLS FARGO COMPANY COMMON 949746101 40517 994279 SH DEFINED 02 722369 0 271910
D WELLS FARGO COMPANY COMMON 949746101 1842 45200 SH OTHER 09 45200 0 0
D WELLS FARGO COMPANY COMMON 949746101 4829 118505 SH OTHER 01 30480 88025 0
D WELLSFORD REAL PPTYS INC COMMON 950240101 9 1000 SH DEFINED 05 1000 0 0
D WELLSFORD REAL PPTYS INC COMMON 950240101 184 21200 SH DEFINED 02 0 0 21200
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 14 700 SH DEFINED 17 700 0 0
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 1122 55600 SH DEFINED 16 55600 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WENDY'S INTERNATIONAL, INC. COMMON 950590109 2273 112600 SH DEFINED 01 112600 0 0
D WENDY'S INTERNATIONAL, INC. COMMON 950590109 375 18600 SH DEFINED 02 5300 0 13300
D WERNER ENTERPRISES, INC. COMMON 950755108 6751 397125 SH DEFINED 01 397125 0 0
D WERNER ENTERPRISES, INC. COMMON 950755108 9619 565850 SH DEFINED 02 446400 0 119450
D WESLEY JESSEN VISIONCARE INC COMMON 951018100 758 21100 SH DEFINED 01 21100 0 0
D WESLEY JESSEN VISIONCARE INC COMMON 951018100 111 3100 SH DEFINED 02 3100 0 0
D WEST TELESERVICES CORP COMMON 956188106 288 11200 SH DEFINED 01 11200 0 0
D WEST TELESERVICES CORP COMMON 956188106 191 7400 SH DEFINED 02 2500 0 4900
D WESTAMERICA BANCORPORATION COMMON 957090103 1046 37700 SH DEFINED 01 37700 0 0
D WESTAMERICA BANCORPORATION COMMON 957090103 3025 109000 SH DEFINED 02 84000 0 25000
D WESTCOAST ENERGY, INC. COMMON 95751D102 1260 74141 SH DEFINED 01 29800 0 44341
D WESTELL TECHNOLOGIES, INC. CL. COMMON 957541105 819 25700 SH DEFINED 17 25700 0 0
D WESTELL TECHNOLOGIES, INC. CL. COMMON 957541105 140 4400 SH DEFINED 02 0 0 4400
D WESTCORP, INC. COMMON 957907108 522 37300 SH DEFINED 01 37300 0 0
D WESTCORP, INC. COMMON 957907108 347 24800 SH DEFINED 02 24800 0 0
D WESTERN DIGITAL CORP. COMMON 958102105 191 25700 SH DEFINED 02 0 0 25700
D WESTERN WIRELESS CORP. CLASS " COMMON 95988E204 8 178 SH DEFINED 16 178 0 0
D WESTERN WIRELESS CORP. CLASS " COMMON 95988E204 2621 57200 SH DEFINED 01 57200 0 0
D WESTERN WIRELESS CORP. CLASS " COMMON 95988E204 2992 65300 SH DEFINED 02 2800 0 62500
D WESTINGHOUSE AIR BRAKE CO. COMMON 960386100 564 53100 SH DEFINED 01 53100 0 0
D WESTINGHOUSE AIR BRAKE CO. COMMON 960386100 463 43600 SH DEFINED 02 19900 0 23700
D WESTVACO CORP. COMMON 961548104 20 600 SH DEFINED 17 600 0 0
D WESTVACO CORP. COMMON 961548104 7561 226554 SH DEFINED 01 223117 0 3437
D WESTVACO CORP. COMMON 961548104 90 2700 SH DEFINED 02 800 0 1900
D WESTVACO CORP. COMMON 961548104 214 6412 SH OTHER 01 3037 3375 0
D WESTWOOD ONE, INC. COMMON 961815107 370 10200 SH DEFINED 01 10200 0 0
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WESTWOOD ONE, INC. COMMON 961815107 1407 38800 SH DEFINED 02 2400 0 36400
D WEYERHAEUSER CO. COMMON 962166104 80 1400 SH DEFINED 17 1400 0 0
D WEYERHAEUSER CO. COMMON 962166104 2404 42175 SH DEFINED 01 39000 0 3175
D WEYERHAEUSER CO. COMMON 962166104 405 7100 SH DEFINED 02 0 0 7100
D WEYERHAEUSER CO. COMMON 962166104 245 4300 SH OTHER 01 0 4300 0
D WHIRLPOOL CORP. COMMON 963320106 29 500 SH DEFINED 17 500 0 0
D WHIRLPOOL CORP. COMMON 963320106 12 200 SH DEFINED 05 200 0 0
D WHIRLPOOL CORP. COMMON 963320106 216 3680 SH DEFINED 01 1100 0 2580
D WHIRLPOOL CORP. COMMON 963320106 856 14600 SH DEFINED 02 6200 0 8400
D WHIRLPOOL CORP. COMMON 963320106 82 1400 SH OTHER 01 0 1400 0
D WILEY (JOHN) & SONS, INC. CLAS COMMON 968223206 65 3600 SH DEFINED 01 0 0 3600
D WILEY (JOHN) & SONS, INC. CLAS COMMON 968223206 259 14400 SH DEFINED 02 0 0 14400
D WILLIAMS COMMUNICATIONS GROU COMMON 969455104 125 2400 SH DEFINED 05 0 0 2400
D WILLIAMS COMMUNICATIONS GROU COMMON 969455104 9157 176525 SH DEFINED 01 138275 0 38250
D WILLIAMS COMMUNICATIONS GROU COMMON 969455104 6378 122950 SH DEFINED 02 101825 0 21125
D WILLIAMS COMPANIES, INC. COMMON 969457100 5391 122700 SH DEFINED 17 122700 0 0
D WILLIAMS COMPANIES, INC. COMMON 969457100 13463 306400 SH DEFINED 18 306400 0 0
D WILLIAMS COMPANIES, INC. COMMON 969457100 13 300 SH DEFINED 05 300 0 0
D WILLIAMS COMPANIES, INC. COMMON 969457100 1375 31300 SH DEFINED 16 31300 0 0
D WILLIAMS COMPANIES, INC. COMMON 969457100 35682 812100 SH DEFINED 01 586800 0 225300
D WILLIAMS COMPANIES, INC. COMMON 969457100 73363 1669700 SH DEFINED 02 895000 0 774700
D WILLIAMS COMPANIES, INC. COMMON 969457100 759 17276 SH OTHER 01 2000 15276 0
D WILLIAMS-SONOMA, INC. COMMON 969904101 277 8950 SH DEFINED 02 0 0 8950
D WILLIS LEASE FINANCE CORP. COMMON 970646105 1664 271600 SH DEFINED 01 271600 0 0
D WILLIS LEASE FINANCE CORP. COMMON 970646105 3372 550600 SH DEFINED 02 454400 0 96200
D WILMINGTON TRUST CORP. COMMON 971807102 2966 61000 SH DEFINED 01 46100 0 14900
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WILMINGTON TRUST CORP. COMMON 971807102 2970 61076 SH DEFINED 02 33576 0 27500
D WIND RIVER SYSTEMS INC COMMON 973149107 7547 208200 SH DEFINED 01 208200 0 0
D WIND RIVER SYSTEMS INC COMMON 973149107 16356 451188 SH DEFINED 02 350400 0 100788
D WIND RIVER SYSTEMS INC COMMON 973149107 400 11040 SH OTHER 101112 0 11040 0
D WINDMERE CORP. COMMON 973411101 174 11800 SH DEFINED 02 0 0 11800
D WINN-DIXIE STORES, INC. COMMON 974280109 17 900 SH DEFINED 17 900 0 0
D WINN-DIXIE STORES, INC. COMMON 974280109 2590 133225 SH DEFINED 01 133225 0 0
D WINNEBAGO INDUSTRIES, INC. COMMON 974637100 578 32000 SH DEFINED 02 22400 0 9600
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 720 12000 SH DEFINED 17 12000 0 0
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 54 900 SH DEFINED 05 0 0 900
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 9269 154487 SH DEFINED 01 128475 0 26012
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 3558 59300 SH DEFINED 02 8350 0 50950
D WINSTAR COMMUNICATIONS, INC. COMMON 975515107 62 1029 SH OTHER 01 0 1029 0
D WIRELESS FACILITIES INC COMMON 97653A103 189 1800 SH DEFINED 05 0 0 1800
D WIRELESS FACILITIES INC COMMON 97653A103 15959 151625 SH DEFINED 01 101600 0 50025
D WIRELESS FACILITIES INC COMMON 97653A103 1537 14600 SH DEFINED 02 11100 0 3500
D WISCONSIN CENT. TRANSPORTATION COMMON 976592105 8756 714810 SH DEFINED 01 697510 0 17300
D WISCONSIN CENT. TRANSPORTATION COMMON 976592105 7473 610000 SH DEFINED 02 466500 0 143500
D WISCONSIN ENERGY CORP. COMMON 976657106 50 2500 SH DEFINED 05 2500 0 0
D WISCONSIN ENERGY CORP. COMMON 976657106 40514 2032017 SH DEFINED 01 1478570 0 553447
D WISCONSIN ENERGY CORP. COMMON 976657106 101868 5109246 SH DEFINED 02 3381746 0 1727500
D WISCONSIN ENERGY CORP. COMMON 976657106 2154 108050 SH OTHER 01 64100 43950 0
D WISCONSIN ENERGY CORP. COMMON 976657106 1794 90000 SH OTHER 0304 90000 0 0
D WITNESS SYS INC COMMON 977424100 58 1925 SH DEFINED 05 0 0 1925
D WITNESS SYS INC COMMON 977424100 6036 198725 SH DEFINED 01 147450 0 51275
D WITNESS SYS INC COMMON 977424100 4251 139950 SH DEFINED 02 111675 0 28275
FORM 13F INFORMATION TABLE MARCH 31 2000 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 WOLVERINE WORLD WIDE, INC. COMMON 978097103 44 4000 SH DEFINED 01 4000 0 0
D WOLVERINE WORLD WIDE, INC. COMMON 978097103 278 25262 SH DEFINED 02 0 0 25262
D WOMEN FIRST HEALTHCARE COMMON 978150100 411 86500 SH DEFINED 01 86500 0 0
D WOMEN FIRST HEALTHCARE COMMON 978150100 1054 221800 SH DEFINED 02 178600 0 43200
D WORLD ACESS INC COMMON 98141A101 4194 219300 SH DEFINED 01 219300 0 0
D WORLD ACESS INC COMMON 98141A101 6449 337217 SH DEFINED 02 256700 0 80517
D WORLD COLOR PRESS INC "CONV BO BOND 981443AA2 1265 1314000 PRN DEFINED 16
D WORLDGATE COMMUNICATIONS INC COMMON 98156L307 2776 92350 SH DEFINED 01 92350 0 0
D WORLDGATE COMMUNICATIONS INC COMMON 98156L307 6241 207600 SH DEFINED 02 165900 0 41700
D WRIGLEY (WM.) JR. CO. COMMON 982526105 54 700 SH DEFINED 17 700 0 0
D WRIGLEY (WM.) JR. CO. COMMON 982526105 5735 74660 SH DEFINED 01 64160 0 10500
D WRIGLEY (WM.) JR. CO. COMMON 982526105 929 12100 SH DEFINED 02 0 0 12100
D WRIGLEY (WM.) JR. CO. COMMON 982526105 230 3000 SH OTHER 01 0 3000 0
D WYNDHAM INTL INC COMMON 983101106 21 11350 SH DEFINED 01 11350 0 0
D WYNDHAM INTL INC COMMON 983101106 9 4724 SH DEFINED 02 0 0 4724
D WYNN'S INTERNATIONAL, INC. COMMON 983195108 231 16705 SH DEFINED 02 0 0 16705
D XILINX, INC. COMMON 983919101 25 300 SH DEFINED 05 300 0 0
D XILINX, INC. COMMON 983919101 31 400 SH DEFINED 16 400 0 0
D XILINX, INC. COMMON 983919101 20451 246960 SH DEFINED 01 178400 0 68560
D XILINX, INC. COMMON 983919101 50185 606000 SH DEFINED 02 392200 0 213800
D XILINX, INC. COMMON 983919101 17 200 SH OTHER 01 200 0 0
D XIRCOM, INC. COMMON 983922105 1850 50000 SH DEFINED 01 50000 0 0
D XIRCOM, INC. COMMON 983922105 969 26200 SH DEFINED 02 9200 0 17000
D XEROX CORP. COMMON 984121103 107 4100 SH DEFINED 17 4100 0 0
D XEROX CORP. COMMON 984121103 13 500 SH DEFINED 05 500 0 0
D XEROX CORP. COMMON 984121103 19209 738795 SH DEFINED 01 498515 0 240280
FORM 13F INFORMATION TABLE MARCH 31 2000 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 XEROX CORP. COMMON 984121103 63287 2434110 SH DEFINED 02 1503810 0 930300
D XEROX CORP. COMMON 984121103 477 18332 SH OTHER 01 6000 12332 0
D XTRA CORP. COMMON 984138107 1220 32100 SH DEFINED 01 32100 0 0
D XTRA CORP. COMMON 984138107 730 19200 SH DEFINED 02 13800 0 5400
D YPF SOCIEDAD ANONIMA - SPONS. COMMON 984245100 1686 47500 SH DEFINED 17 47500 0 0
D YAHOO!, INC. COMMON 984332106 16915 98700 SH DEFINED 17 98700 0 0
D YAHOO!, INC. COMMON 984332106 3564 20796 SH DEFINED 18 20796 0 0
D YAHOO!, INC. COMMON 984332106 120 700 SH DEFINED 05 700 0 0
D YAHOO!, INC. COMMON 984332106 4396 27456 SH DEFINED 16 27456 0 0
D YAHOO!, INC. COMMON 984332106 118658 692390 SH DEFINED 01 471450 0 220940
D YAHOO!, INC. COMMON 984332106 160321 935500 SH DEFINED 02 498500 0 437000
D YAHOO!, INC. COMMON 984332106 257 1500 SH OTHER 01 1500 0 0
D YANKEE CANDLE INC COMMON 984757104 1581 100000 SH OTHER 01 0 100000 0
D YELLOW CORP. COMMON 985509108 2174 117900 SH DEFINED 01 117900 0 0
D YELLOW CORP. COMMON 985509108 1228 66600 SH DEFINED 02 60000 0 6600
D YORK FINANCIAL CORP. COMMON 986630101 313 22799 SH DEFINED 02 0 0 22799
D YOUNG & RUBICAM INC COMMON 987425105 19 400 SH DEFINED 17 400 0 0
D YOUNG & RUBICAM INC COMMON 987425105 479 10200 SH DEFINED 02 0 0 10200
D YOUNG BROADCASTING CORP. CLASS COMMON 987434107 249 13127 SH DEFINED 16 13127 0 0
D YOUNG BROADCASTING CORP. CLASS COMMON 987434107 93 4900 SH DEFINED 02 0 0 4900
D ZALE CORP. COMMON 988858106 2213 46900 SH DEFINED 01 46900 0 0
D ZALE CORP. COMMON 988858106 722 15300 SH DEFINED 02 1700 0 13600
D ZEBRA TECHNOLOGIES CORP. CLASS COMMON 989207105 1680 33600 SH DEFINED 01 33600 0 0
D ZEBRA TECHNOLOGIES CORP. CLASS COMMON 989207105 550 11000 SH DEFINED 02 6000 0 5000
D ZIFF-DAVIS INC COMMON 989511100 391 25000 SH DEFINED 16 25000 0 0
D ZILA, INC. COMMON 989513205 72 15400 SH DEFINED 02 0 0 15400
FORM 13F INFORMATION TABLE MARCH 31 2000 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 ZIONS BANCORPORATION COMMON 989701107 4029 96800 SH DEFINED 01 71500 0 25300
D ZIONS BANCORPORATION COMMON 989701107 5561 133600 SH DEFINED 02 44300 0 89300
D ZIXIT CORP COMMON 98974P100 379 5200 SH DEFINED 01 5200 0 0
D ZIXIT CORP COMMON 98974P100 73 1000 SH DEFINED 02 1000 0 0
D ZOMAX INC MINN COMMON 989929104 3217 53400 SH DEFINED 01 53400 0 0
D ZOMAX INC MINN COMMON 989929104 1000 16600 SH DEFINED 02 8800 0 7800
S REPORT SUMMARY
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