MORGAN J P & CO INC
13F-HR, 2000-11-14
STATE COMMERCIAL BANKS
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              UNITED STATES
       SECURITIES AND EXCHANGE COMMISSION
            WASHINGTON, DC  20549

               FORM 13F

          FORM 13F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER END: SEPTEMBER 29 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 10620
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 HEREIN IS TRUE, CORRECT AND
COMPLETE , AND  THAT  IT IS  UNDERSTOOD THAT ALL  REQUIRED
ITEMS ,  STATEMENTS ,  SCHEDULES , LISTS  AND  TABLES  ARE
CONSIDERED INTEGRAL PARTS OF THIS FORM

THE PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:          JAMES C.P BERRY
TITLE:         VICE PRESIDENT
PHONE:            (212) 648 338
SIGNATURE, PLACE, AND DATE OF SIGNING:
JAMES C.P BERRY      NEW YORK, NY          SEPTEMBER 29 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       :                  21
FORM 13F INFORMATION TABLE ENTRY TOTAL  :               8,323
FORM 13F INFORMATION TABLE VALUE TOTAL  :         115,832,178
LIST OF OTHER INCLUDED MANAGERS
NO.    13F FILE#    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 SNELL
09        -        ROBERT MURTAGH
10        -        SARAH KENAN KENNEDY
11        -        CLAY KENAN KIRK
12        -        JAMES G KENAN III
13        -        PAULINE H. VAN DYKE
14        -        WILLIAM D. VAN DYKE
15        -        OWEN KENAN,ELIZABETH HOWELL,THOMAN KENAN
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
20        -        J.P.MORGAN TRUST BANK LTD
21     28-4237     STRATEGIC INVESTMENT MANAGEMENT

<TABLE>
                                 <C>                                              <C>

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   1
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DAIMLERCHRYSLER AG             COMMON     D1668R123      210     4725 SH    -  DEFINED 01             2897        0     1828
D DAIMLERCHRYSLER AG             COMMON     D1668R123       28      623 SH    -  OTHER   01                0      623        0
D TOTAL FINA ELF S A            WARRANT     F9212D142      146     4700 SH    -  DEFINED 16             4700        0        0
D TOTAL FINA ELF S A            WARRANT     F9212D142     4778   153500 SH    -  DEFINED 17           153500        0        0
D ACE LTD.                       COMMON     G0070K103     2787    71000 SH    -  DEFINED 17            71000        0        0
D ACE LTD.                       COMMON     G0070K103     3839    97800 SH    -  DEFINED 16            97800        0        0
D ACE LTD.                       COMMON     G0070K103      514    13090 SH    -  DEFINED 01             6190        0     6900
D ACE LTD.                       COMMON     G0070K103     5169   131700 SH    -  OTHER   01                0   131700        0
D ACE LTD.                       COMMON     G0070K103       79     2000 SH    -  DEFINED 05             2000        0        0
D AMDOCS LTD                     COMMON     G02602103    12892   206686 SH    -  DEFINED 02           197486        0     9200
D AMDOCS LTD                     COMMON     G02602103     2804    44954 SH    -  DEFINED 01            21885      375    22694
D AMDOCS LTD                     COMMON     G02602103       83     1330 SH    -  OTHER   01              630      400      300
D AMDOCS LTD                     COMMON     G02602103      749    12000 SH    -  DEFINED 02             9300        0     2700
D ANNUITY AND LIFE RE (HOLDINGS) COMMON     G03910109     2902   120300 SH    -  DEFINED 02           120300        0        0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON     G03910109       55     2300 SH    -  OTHER   01                0     2300        0
D ANNUITY AND LIFE RE (HOLDINGS) COMMON     G03910109      552    22900 SH    -  DEFINED 02            22900        0        0
D APW LTD                        COMMON     G04397108      302     6200 SH    -  DEFINED 02                0        0     6200
D APW LTD                        COMMON     G04397108     1431    29355 SH    -  DEFINED 01                0        0    29355
D CORECOMM LTD                   COMMON     G2422R109      119    15024 SH    -  DEFINED 01                0        0    15024
D ELAN PLC                       COMMON     G29539148       19    20000 SH    -  DEFINED 01                0        0    20000
D EL SITIO INC                   COMMON     G30177102       40    10600 SH    -  DEFINED 17            10600        0        0
D FLAG TELECOM HOLDINGS LTD      COMMON     G3529L102      361    32800 SH    -  DEFINED 02            32800        0        0
D FLAG TELECOM HOLDINGS LTD      COMMON     G3529L102      265    24075 SH    -  DEFINED 01             1725        0    22350
D FLAG TELECOM HOLDINGS LTD      COMMON     G3529L102      790    71825 SH    -  DEFINED 02            58825        0    13000
D FLAG TELECOM HOLDINGS LTD      COMMON     G3529L102        9      775 SH    -  DEFINED 05                0        0      775

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   2
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GLOBAL CROSSING LTD            COMMON     G3921A100      119     3825 SH    -  DEFINED 05             3825        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100      530    17100 SH    -  OTHER   09            17100        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100   255104  8229165 SH    -  DEFINED 02          5950165        0  2279000
D GLOBAL CROSSING LTD            COMMON     G3921A100      276     8900 SH    -  OTHER   02                0        0     8900
D GLOBAL CROSSING LTD            COMMON     G3921A100    24529   791255 SH    -  DEFINED 01           510062     5800   271658
D GLOBAL CROSSING LTD            COMMON     G3921A100     1732    55865 SH    -  OTHER   01            26235    25230     4400
D GLOBAL CROSSING LTD            COMMON     G3921A100       99     3200 SH    -  OTHER   21                0     3200        0
D GLOBAL CROSSING LTD            COMMON     G3921A100    86653  2795250 SH    -  DEFINED 02          2264850        0   530400
D GLOBAL CROSSING LTD            COMMON     G3921A100      161     5200 SH    -  OTHER   02             5200        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100    13177   425070 SH    -  DEFINED 17           425070        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100    21090   680311 SH    -  DEFINED 18           680311        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100      776    25038 SH    -  DEFINED 16            25038        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A100    20410   658400 SH    -  DEFINED 20           658400        0        0
D GLOBAL CROSSING LTD            PREFERRED  G3921A126     6243    72280 SH    -  DEFINED 16                0        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A134     7299    29400 SH    -  DEFINED 16            29400        0        0
D GLOBAL CROSSING LTD            COMMON     G3921A134     3476    14000 SH    -  DEFINED 01            14000        0        0
D INTELLIGENT POLYMERS LTD       COMMON     G48029105     8274   212500 SH    -  DEFINED 02           212500        0        0
D IPC HOLDINGS LTD.              COMMON     G4933P101    12354   667800 SH    -  DEFINED 02           667800        0        0
D LORAL SPACE & COMMUNICATIONS L COMMON     G56462107      281    45800 SH    -  DEFINED 16            45800        0        0
D LORAL SPACE & COMMUNICATIONS L COMMON     G56462107       70    11500 SH    -  DEFINED 01                0        0    11500
D LORAL SPACE & COMM 6.00% 11/01 PREF CONV  G56462149      612    29506 SH    -  DEFINED 16                0        0        0
D NORDIC AMERICAN TANKER SHIPP   COMMON     G65773106     2526   116800 SH    -  DEFINED 16           116800        0        0
D PARTNERRE HOLDINGS LTD.        COMMON     G6852T105     4944   104225 SH    -  OTHER   01                0   104225        0
D RENAISSANCE HOLDINGS LTD.      COMMON     G7496G103    12634   197600 SH    -  DEFINED 01           197600        0        0
D RENAISSANCE HOLDINGS LTD.      COMMON     G7496G103    22199   347200 SH    -  DEFINED 02           298900        0    48300
D RENAISSANCE HOLDINGS LTD.      COMMON     G7496G103    13683   214000 SH    -  DEFINED 02           214000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   3
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SANTA FE INTERNATIONAL CORP.   COMMON     G7805C108     1784    39600 SH    -  DEFINED 02                0        0    39600
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109     1671    28500 SH    -  DEFINED 02                0        0    28500
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109      208     3550 SH    -  DEFINED 05              774        0     2776
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109       23      387 SH    -  OTHER   05                0      387        0
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109     1861    31746 SH    -  DEFINED 01            19700        0    12046
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109     4578    78097 SH    -  OTHER   01             8842    64325     4930
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109      145     2476 SH    -  DEFINED 02                0        0     2476
D TRANSOCEAN SEDCO FOREX INC     COMMON     G90078109      187     3197 SH    -  DEFINED 17             3197        0        0
D TYCOM LTD                      COMMON     G9144B106     2099    54700 SH    -  DEFINED 02            40800        0    13900
D TYCOM LTD                      COMMON     G9144B106    46428  1209850 SH    -  DEFINED 02          1081750        0   128100
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107     2510     9200 SH    -  DEFINED 02                0        0     9200
D WHITE MTNS INS GROUP LTD       COMMON     G9618E107     3820    14000 SH    -  DEFINED 01            14000        0        0
D XL CAP LTD                     COMMON     G98255105    48222   656088 SH    -  DEFINED 01           413493     1300   239295
D XL CAP LTD                     COMMON     G98255105     8200   111570 SH    -  OTHER   01            13065    82405    16100
D XL CAP LTD                     COMMON     G98255105    92542  1259080 SH    -  DEFINED 02          1127780        0   131300
D XL CAP LTD                     COMMON     G98255105       59      800 SH    -  OTHER   02                0        0      800
D XL CAP LTD                     COMMON     G98255105      132     1800 SH    -  DEFINED 05             1800        0        0
D XL CAP LTD                     COMMON     G98255105     2029    27600 SH    -  OTHER   09            27600        0        0
D XL CAP LTD                     COMMON     G98255105     2940    40000 SH    -  OTHER   0304          40000        0        0
D XL CAP LTD                     COMMON     G98255105     8504   115700 SH    -  DEFINED 02            59300        0    56400
D XL CAP LTD                     COMMON     G98255105     2830    38500 SH    -  DEFINED 17            38500        0        0
D MILLICOM INTERNATIONAL MILLICO COMMON     L6388F102      593    16663 SH    -  DEFINED 01                0        0    16663
D CHECK POINT SOFTWARE TECHNOLOG COMMON     M22465104    27116   172168 SH    -  DEFINED 01                0        0   168916
D ECTEL LTD                      COMMON     M29925100     2111   105900 SH    -  DEFINED 01           105900        0        0
D ECTEL LTD                      COMMON     M29925100     3027   151800 SH    -  DEFINED 02           127500        0    24300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   4
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ECTEL LTD                      COMMON     M29925100     1330    66700 SH    -  DEFINED 02            66700        0        0
D M SYS FLASH DISK PIONEERS LT   COMMON     M7061C100     4178   109400 SH    -  DEFINED 02           109400        0        0
D M SYS FLASH DISK PIONEERS LT   COMMON     M7061C100    12291   321850 SH    -  DEFINED 02           267700        0    54150
D M SYS FLASH DISK PIONEERS LT   COMMON     M7061C100      267     7000 SH    -  DEFINED 05                0        0     7000
D M SYS FLASH DISK PIONEERS LT   COMMON     M7061C100    16065   420670 SH    -  DEFINED 01           175670        0   245000
D VOCALTEC COMMUNICATIONS LTD    COMMON     M97601104      161    16000 SH    -  DEFINED 16            16000        0        0
D CNH GLOBAL N V                 COMMON     N20935107      555    55500 SH    -  DEFINED 02            55500        0        0
D CNH GLOBAL N V                 COMMON     N20935107      595    59500 SH    -  DEFINED 02            59500        0        0
D CORE LABORATORIES N V          COMMON     N22717107     7538   306900 SH    -  DEFINED 02           261675        0    45225
D CORE LABORATORIES N V          COMMON     N22717107      156     6350 SH    -  DEFINED 05                0        0     6350
D CORE LABORATORIES N V          COMMON     N22717107     8033   327025 SH    -  DEFINED 01           110175        0   216850
D CORE LABORATORIES N V          COMMON     N22717107     3694   150400 SH    -  DEFINED 02           150400        0        0
D INDIGO N V                     COMMON     N44495104      100    15000 SH    -  DEFINED 01            15000        0        0
D PANAMERICAN BEVERAGES, INC. CL COMMON     P74823108        2      140 SH    -  DEFINED 01              140        0        0
D PANAMERICAN BEVERAGES, INC. CL COMMON     P74823108      542    31900 SH    -  DEFINED 17            31900        0        0
D STEINER LEISURE LTD            COMMON     P8744Y102     1007    45000 SH    -  DEFINED 02            45000        0        0
D STEINER LEISURE LTD            COMMON     P8744Y102      125     5600 SH    -  DEFINED 02             1100        0     4500
D ROYAL CARIBBEAN CRUISES, LTD.  COMMON     V7780T103     2826   109800 SH    -  DEFINED 02           109800        0        0
D FLEXTRONICS INTERNATIONAL LTD. COMMON     Y2573F102        1       16 SH    -  DEFINED 16               16        0        0
D FLEXTRONICS INTERNATIONAL LTD. COMMON     Y2573F102      131     1600 SH    -  DEFINED 02                0        0     1600
D FLEXTRONICS INTERNATIONAL LTD. COMMON     Y2573F102      410     4991 SH    -  DEFINED 01                0        0     4991
D FLEXTRONICS INTERNATIONAL LTD. COMMON     Y2573F102      422     5135 SH    -  OTHER   01                0        0     5135
D OMI CORP NEW                   COMMON     Y6476W104      178    21200 SH    -  DEFINED 01                0        0    21200
D AAR CORP.                      COMMON     000361105      122    10650 SH    -  DEFINED 01                0        0    10650
D ABC RAIL PRODUCTS CORP.        COMMON     000752105       49     9400 SH    -  DEFINED 02             9400        0        0
D ABC RAIL PRODUCTS CORP.        COMMON     000752105      243    46300 SH    -  DEFINED 02            46300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   5
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D A.C. MOORE ARTS & CRAFTS, INC. COMMON     00086T103      547    70000 SH    -  DEFINED 01            70000        0        0
D ADC TELECOMMUNICATIONS, INC.   COMMON     000886101    14110   524696 SH    -  DEFINED 01           279276        0   245420
D ADC TELECOMMUNICATIONS, INC.   COMMON     000886101    10396   386600 SH    -  DEFINED 02           278800        0   107800
D ADC TELECOMMUNICATIONS, INC.   COMMON     000886101      134     5000 SH    -  OTHER   02                0        0     5000
D ADC TELECOMMUNICATIONS, INC.   COMMON     000886101       32     1195 SH    -  DEFINED 16             1195        0        0
D ADC TELECOMMUNICATIONS, INC.   COMMON     000886101      164     6100 SH    -  DEFINED 20             6100        0        0
D ACT MFG INC                    COMMON     000973107     6557   124300 SH    -  DEFINED 02           124300        0        0
D ACT MFG INC                    COMMON     000973107    16163   306400 SH    -  DEFINED 02           261000        0    45400
D ACT MFG INC                    COMMON     000973107    10408   197300 SH    -  DEFINED 01           197300        0        0
D AFLAC, INC.                    COMMON     001055102     1448    22608 SH    -  DEFINED 01            22608        0        0
D AFLAC, INC.                    COMMON     001055102     1089    17000 SH    -  OTHER   01                0    17000        0
D AFLAC, INC.                    COMMON     001055102      103     1600 SH    -  OTHER   21                0     1600        0
D AFLAC, INC.                    COMMON     001055102    11544   180200 SH    -  DEFINED 02           146500        0    33700
D AFLAC, INC.                    COMMON     001055102       58      900 SH    -  OTHER   02                0        0      900
D AFLAC, INC.                    COMMON     001055102       70     1100 SH    -  DEFINED 20             1100        0        0
D AFLAC, INC.                    COMMON     001055102      205     3200 SH    -  DEFINED 17             3200        0        0
D AGL RESOURCES, INC.            COMMON     001204106      209    10400 SH    -  DEFINED 02            10400        0        0
D AGL RESOURCES, INC.            COMMON     001204106      120     6000 SH    -  DEFINED 01             6000        0        0
D AES CORP.                      COMMON     00130H105    21865   319200 SH    -  DEFINED 01           198000        0   121200
D AES CORP.                      COMMON     00130H105    11241   164100 SH    -  DEFINED 02            81500        0    82600
D AES CORP.                      COMMON     00130H105      151     2200 SH    -  OTHER   02                0        0     2200
D AES CORP.                      COMMON     00130H105       55      800 SH    -  DEFINED 05              800        0        0
D AES CORP.                      COMMON     00130H105     7411   108200 SH    -  DEFINED 17           108200        0        0
D AES CORP.                      COMMON     00130H105      219     3200 SH    -  DEFINED 20             3200        0        0
D AMCV CAP TR I    "PFD CONV"    PREF CONV  001648203      775    21900 SH    -  DEFINED 02                0        0        0
D AMCV CAP TR I    "PFD CONV"    PREF CONV  001648203     1822    51500 SH    -  DEFINED 02                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   6
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMR CORP.                      COMMON     001765106    32106   982190 SH    -  DEFINED 02           610290        0   371900
D AMR CORP.                      COMMON     001765106       10      300 SH    -  DEFINED 05              300        0        0
D AMR CORP.                      COMMON     001765106      533    16300 SH    -  OTHER   01              300    16000        0
D AMR CORP.                      COMMON     001765106       88     2700 SH    -  OTHER   21                0     2700        0
D AMR CORP.                      COMMON     001765106     1592    48700 SH    -  DEFINED 01            43300        0     5400
D AMR CORP.                      COMMON     001765106    19515   597000 SH    -  DEFINED 02           462700        0   134300
D AMR CORP.                      COMMON     001765106       33     1000 SH    -  OTHER   02             1000        0        0
D AMR CORP.                      COMMON     001765106       59     1800 SH    -  DEFINED 17             1800        0        0
D APAC CUSTOMER SERVICES INC     COMMON     00185E106       63    11800 SH    -  DEFINED 01                0        0    11800
D AT&T CORP.                     COMMON     001957109    84532  2877671 SH    -  DEFINED 01          1283296    18555  1564685
D AT&T CORP.                     COMMON     001957109    22001   748977 SH    -  OTHER   01           183846   503311    61820
D AT&T CORP.                     COMMON     001957109      805    27400 SH    -  OTHER   21                0    27400        0
D AT&T CORP.                     COMMON     001957109     3202   109014 SH    -  DEFINED 05            42493        0    66521
D AT&T CORP.                     COMMON     001957109      118     4029 SH    -  OTHER   05             4029        0        0
D AT&T CORP.                     COMMON     001957109      441    15000 SH    -  OTHER   10                0    15000        0
D AT&T CORP.                     COMMON     001957109      441    15000 SH    -  OTHER   11                0    15000        0
D AT&T CORP.                     COMMON     001957109      925    31475 SH    -  OTHER   09            31475        0        0
D AT&T CORP.                     COMMON     001957109   366250 12468092 SH    -  DEFINED 02          8257000        0  4211092
D AT&T CORP.                     COMMON     001957109      363    12350 SH    -  OTHER   02                0        0    12350
D AT&T CORP.                     COMMON     001957109     2708    92200 SH    -  DEFINED 17            92200        0        0
D AT&T CORP.                     COMMON     001957109    12874   438255 SH    -  DEFINED 18           438255        0        0
D AT&T CORP.                     COMMON     001957109    11427   384100 SH    -  DEFINED 16           384100        0        0
D AT&T CORP.                     COMMON     001957109     1661    56557 SH    -  DEFINED 20            56557        0        0
D AT&T CORP.                     COMMON     001957109   142606  4854663 SH    -  DEFINED 02          3346526        0  1508137
D AT&T CORP.                     COMMON     001957109      135     4600 SH    -  OTHER   02             4600        0        0
D AT&T CORP                      COMMON     001957208    79828  4434876 SH    -  DEFINED 02          3004732        0  1430144

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   7
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AT&T CORP                      COMMON     001957208      148     8200 SH    -  OTHER   02             8200        0        0
D AT&T CORP                      COMMON     001957208     2255   125300 SH    -  DEFINED 20           125300        0        0
D AT&T CORP                      COMMON     001957208      619    34365 SH    -  DEFINED 17            34365        0        0
D AT&T CORP                      COMMON     001957208   313614 17423010 SH    -  DEFINED 02         13611682        0  3811328
D AT&T CORP                      COMMON     001957208      659    36628 SH    -  OTHER   02                0        0    36628
D AT&T CORP                      COMMON     001957208     1690    93900 SH    -  OTHER   09            93900        0        0
D AT&T CORP                      COMMON     001957208      420    23352 SH    -  DEFINED 05             9788        0    13564
D AT&T CORP                      COMMON     001957208      614    34100 SH    -  OTHER   21                0    34100        0
D AT&T CORP                      COMMON     001957208    67655  3758638 SH    -  DEFINED 01          2036788    28612  1677278
D AT&T CORP                      COMMON     001957208    16800   933341 SH    -  OTHER   01           359076   460149   114116
D AT&T CORP                      COMMON     001957406      148     7083 SH    -  DEFINED 01             3083        0     4000
D AT&T CORP                      COMMON     001957406     1622    75000 SH    -  DEFINED 16            75000        0        0
D APP FINANCE VI MAURITIUS LTD   BOND       00202NAA3     4770 26500000 PRN   -  DEFINED 02                0        0        0
D AT & T CDA INC                 COMMON     00207Q202      705    23129 SH    -  DEFINED 16            23129        0        0
D AT & T CDA INC                 COMMON     00207Q202      122     4000 SH    -  DEFINED 02                0        0     4000
D ATMI INC.                      COMMON     00207R101     5119   219000 SH    -  DEFINED 02           182800        0    36200
D ATMI INC.                      COMMON     00207R101       84     3600 SH    -  DEFINED 05                0        0     3600
D ATMI INC.                      COMMON     00207R101     7582   324350 SH    -  DEFINED 01           182775        0   141575
D ATMI INC.                      COMMON     00207R101        0        9 SH    -  DEFINED 16                9        0        0
D ATMI INC.                      COMMON     00207R101     2807   120100 SH    -  DEFINED 02           120100        0        0
D AVT CORP                       COMMON     002420107      203    36500 SH    -  DEFINED 02            36500        0        0
D AVT CORP                       COMMON     002420107        4      800 SH    -  DEFINED 02              800        0        0
D AVX CORP.                      COMMON     002444107     1353    51900 SH    -  DEFINED 02                0        0    51900
D AXA FINL INC                   COMMON     002451102   132758  2606260 SH    -  DEFINED 02          1406760        0  1199500
D AXA FINL INC                   COMMON     002451102      326     6400 SH    -  OTHER   02                0        0     6400
D AXA FINL INC                   COMMON     002451102       10      200 SH    -  DEFINED 05              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   8
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AXA FINL INC                   COMMON     002451102     6261   122916 SH    -  DEFINED 01           120146        0     2770
D AXA FINL INC                   COMMON     002451102       15      300 SH    -  OTHER   01              300        0        0
D AXA FINL INC                   COMMON     002451102      239     4700 SH    -  OTHER   21                0     4700        0
D AXA FINL INC                   COMMON     002451102    72729  1427800 SH    -  DEFINED 02          1152900        0   274900
D AXA FINL INC                   COMMON     002451102      168     3300 SH    -  OTHER   02             3300        0        0
D AXA FINL INC                   COMMON     002451102     2038    40000 SH    -  DEFINED 16            40000        0        0
D AXA FINL INC                   COMMON     002451102      418     8200 SH    -  DEFINED 20             8200        0        0
D AXT INC                        COMMON     00246W103        0        9 SH    -  DEFINED 16                9        0        0
D AXT INC                        COMMON     00246W103     1781    42600 SH    -  DEFINED 02            42600        0        0
D AXT INC                        COMMON     00246W103     5463   130650 SH    -  DEFINED 01            80500        0    50150
D AXT INC                        COMMON     00246W103       59     1400 SH    -  DEFINED 05                0        0     1400
D AXT INC                        COMMON     00246W103     4537   108500 SH    -  DEFINED 02            91050        0    17450
D AARON RENTS, INC. CL. 'B'      COMMON     002535201      339    26300 SH    -  DEFINED 02                0        0        0
D AARON RENTS, INC. CL. 'B'      COMMON     002535201      136    10600 SH    -  DEFINED 01                0        0        0
D AARON RENTS, INC. CL. 'B'      COMMON     002535201     1700   132000 SH    -  DEFINED 02                0        0        0
D ABBOTT LABORATORIES, INC.      COMMON     002824100   100491  2112800 SH    -  DEFINED 02          1509100        0   603700
D ABBOTT LABORATORIES, INC.      COMMON     002824100      162     3400 SH    -  OTHER   02             3400        0        0
D ABBOTT LABORATORIES, INC.      COMMON     002824100     6930   145700 SH    -  DEFINED 17           145700        0        0
D ABBOTT LABORATORIES, INC.      COMMON     002824100     1608    33800 SH    -  DEFINED 20            33800        0        0
D ABBOTT LABORATORIES, INC.      COMMON     002824100    50133  1054035 SH    -  DEFINED 01           717752    12000   323083
D ABBOTT LABORATORIES, INC.      COMMON     002824100    29626   622883 SH    -  OTHER   01            89820   498323    34740
D ABBOTT LABORATORIES, INC.      COMMON     002824100      357     7500 SH    -  OTHER   21                0     7500        0
D ABBOTT LABORATORIES, INC.      COMMON     002824100   214668  4513340 SH    -  DEFINED 02          3095340        0  1418000
D ABBOTT LABORATORIES, INC.      COMMON     002824100      271     5700 SH    -  OTHER   02                0        0     5700
D ABBOTT LABORATORIES, INC.      COMMON     002824100     5692   119669 SH    -  DEFINED 05            65250     1900    52519
D ABBOTT LABORATORIES, INC.      COMMON     002824100      828    17400 SH    -  OTHER   05             9400        0     8000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE   9
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207       83     4375 SH    -  DEFINED 05                0        0     4375
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207    62471  3277102 SH    -  DEFINED 02          2980202        0   296900
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207       27     1400 SH    -  OTHER   02                0        0     1400
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207     8189   429597 SH    -  DEFINED 01           238575        0   191022
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207       99     5200 SH    -  DEFINED 20             5200        0        0
D ABERCROMBIE & FITCH CO-CL A    COMMON     002896207    10096   529600 SH    -  DEFINED 02           455900        0    73700
D ABGENIX INC                    COMMON     00339B107    11629   143900 SH    -  DEFINED 02           143900        0        0
D ABGENIX INC                    COMMON     00339B107       40      500 SH    -  DEFINED 20              500        0        0
D ABGENIX INC                    COMMON     00339B107    28260   349700 SH    -  DEFINED 01           174540        0   175160
D ABGENIX INC                    COMMON     00339B107    20081   248490 SH    -  DEFINED 02           197040        0    51450
D ABGENIX INC                    COMMON     00339B107      447     5535 SH    -  DEFINED 05                0        0     5535
D ABOUT COM INC                  COMMON     003736105      133     4100 SH    -  DEFINED 02                0        0     4100
D ABOUT COM INC                  COMMON     003736105      649    20033 SH    -  DEFINED 01               33        0    20000
D ABITIBI-CONSOLIDATED INC       COMMON     003924107      377    40200 SH    -  DEFINED 17            40200        0        0
D ACCREDO HEALTH INC             COMMON     00437V104     4538    92850 SH    -  DEFINED 02            92850        0        0
D ACCREDO HEALTH INC             COMMON     00437V104    11153   228200 SH    -  DEFINED 01           133400        0    94800
D ACCREDO HEALTH INC             COMMON     00437V104    12204   249700 SH    -  DEFINED 02           209725        0    39975
D ACCREDO HEALTH INC             COMMON     00437V104      128     2625 SH    -  DEFINED 05                0        0     2625
D ACCRUE SOFTWARE INC            COMMON     00437W102      266    22250 SH    -  DEFINED 01                0        0    22250
D ACNIELSEN CORP                 COMMON     004833109      249    10443 SH    -  DEFINED 01             9777        0      666
D ACNIELSEN CORP                 COMMON     004833109       16      665 SH    -  OTHER   01                0      332      333
D ACNIELSEN CORP                 COMMON     004833109        6      266 SH    -  OTHER   05                0        0      266
D ACNIELSEN CORP                 COMMON     004833109      888    37300 SH    -  DEFINED 02            37300        0        0
D ACTEL CORPORATION              COMMON     004934105       18      500 SH    -  DEFINED 02              400        0      100
D ACTEL CORPORATION              COMMON     004934105      190     5300 SH    -  DEFINED 01                0        0     5300
D ACTIVE POWER INC               COMMON     00504W100     5606    90415 SH    -  DEFINED 01            53600        0    36815

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  10
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ACTIVE POWER INC               COMMON     00504W100     4915    79280 SH    -  DEFINED 02            67080        0    12200
D ACTIVE POWER INC               COMMON     00504W100       71     1140 SH    -  DEFINED 05                0        0     1140
D ACTIVE POWER INC               COMMON     00504W100     1810    29200 SH    -  DEFINED 02            29200        0        0
D ACTIVCARD S A                  COMMON     00505N109     1068    43242 SH    -  DEFINED 16            43242        0        0
D ACTIVCARD S A                  COMMON     00505N109       32     1400 SH    -  OTHER   01                0     1400        0
D ACTUATE CORP                   COMMON     00508B102    23679   685400 SH    -  DEFINED 01           650600        0    34800
D ACTUATE CORP                   COMMON     00508B102     1320    38200 SH    -  DEFINED 02             1800        0    36400
D ACTUATE CORP                   COMMON     00508B102        0        2 SH    -  DEFINED 16                2        0        0
D ACTUATE CORP                   COMMON     00508B102     1859    53800 SH    -  DEFINED 02            53800        0        0
D ACTUANT CORP                   COMMON     00508X104      179    45400 SH    -  DEFINED 02            45400        0        0
D ACTUANT CORP                   COMMON     00508X104        0        4 SH    -  DEFINED 16                4        0        0
D ACTUANT CORP                   COMMON     00508X104      760   193000 SH    -  DEFINED 02             6900        0   186100
D ACTUANT CORP                   COMMON     00508X104      116    29355 SH    -  DEFINED 01                0        0    29355
D ACXIOM CORP.                   COMMON     005125109     1080    34000 SH    -  DEFINED 01                0        0    34000
D ACXIOM CORP.                   COMMON     005125109     3277   103200 SH    -  DEFINED 02           103200        0        0
D ADAC LABORATORIES              COMMON     005313200     1170    56200 SH    -  DEFINED 02            56200        0        0
D ADAC LABORATORIES              COMMON     005313200       25     1200 SH    -  DEFINED 02             1200        0        0
D ADAPTIVE BROADBAND CORP        COMMON     00650M104      901    46220 SH    -  DEFINED 18            46220        0        0
D ADAPTEC, INC.                  COMMON     00651F108        3      155 SH    -  DEFINED 16              155        0        0
D ADAPTEC, INC.                  COMMON     00651F108      692    34600 SH    -  DEFINED 02            34600        0        0
D ADAPTEC, INC.                  COMMON     00651F108      426    21310 SH    -  DEFINED 01               70        0    21240
D ADECCO SA                      COMMON     006754105      624     7600 SH    -  DEFINED 01                0        0     7600
D ADELPHIA COMMUNICATIONS CORP.  COMMON     006848105     1786    64815 SH    -  DEFINED 01               15        0    64800
D ADELPHIA COMMUNICATIONS CORP.  COMMON     006848105      119     4300 SH    -  DEFINED 02                0        0     4300
D ADELPHIA COMMUNICATIONS CORP.  COMMON     006848105        4      134 SH    -  DEFINED 16              134        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  11
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ADOBE SYSTEMS, INC.            COMMON     00724F101      947     6100 SH    -  DEFINED 20             6100        0        0
D ADOBE SYSTEMS, INC.            COMMON     00724F101      217     1400 SH    -  DEFINED 17             1400        0        0
D ADOBE SYSTEMS, INC.            COMMON     00724F101    35987   231800 SH    -  DEFINED 02           161700        0    70100
D ADOBE SYSTEMS, INC.            COMMON     00724F101       62      400 SH    -  OTHER   02              400        0        0
D ADOBE SYSTEMS, INC.            COMMON     00724F101    78265   504120 SH    -  DEFINED 02           294320        0   209800
D ADOBE SYSTEMS, INC.            COMMON     00724F101      264     1700 SH    -  OTHER   02                0        0     1700
D ADOBE SYSTEMS, INC.            COMMON     00724F101       31      200 SH    -  DEFINED 05              200        0        0
D ADOBE SYSTEMS, INC.            COMMON     00724F101       47      300 SH    -  OTHER   21                0      300        0
D ADOBE SYSTEMS, INC.            COMMON     00724F101     4667    30060 SH    -  DEFINED 01            16210        0    13850
D ADOBE SYSTEMS, INC.            COMMON     00724F101       16      100 SH    -  OTHER   01              100        0        0
D ADTRAN, INC.                   COMMON     00738A106      340     8000 SH    -  DEFINED 02                0        0     8000
D ADTRAN, INC.                   COMMON     00738A106        9      200 SH    -  DEFINED 20              200        0        0
D ADVANCE PARADIGM INC           COMMON     007491103        1       16 SH    -  DEFINED 16               16        0        0
D ADVANCE PARADIGM INC           COMMON     007491103      222     5268 SH    -  DEFINED 05             5268        0        0
D ADVANCED DIGITAL INFORMATION   COMMON     007525108      785    51700 SH    -  DEFINED 02                0        0    51700
D ADVANCED DIGITAL INFORMATION   COMMON     007525108      109     7200 SH    -  DEFINED 01                0        0     7200
D ADVANCED DIGITAL INFORMATION   COMMON     007525108       11      700 SH    -  DEFINED 20              700        0        0
D ADVANCED DIGITAL INFORMATION   COMMON     007525108       87     5700 SH    -  DEFINED 02             5700        0        0
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105     9885   261000 SH    -  DEFINED 02           261000        0        0
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105       23      600 SH    -  DEFINED 20              600        0        0
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105      133     3500 SH    -  DEFINED 17             3500        0        0
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105    25550   674600 SH    -  DEFINED 01           439275        0   235325
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105    29635   782450 SH    -  DEFINED 02           684850        0    97600
D ADVANCED FIBRE COMMUNICATION   COMMON     00754A105      258     6800 SH    -  DEFINED 05                0        0     6800
D ADVANCED RADIO TELECOM CORP    COMMON     00754U101      349    41000 SH    -  DEFINED 16            41000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  12
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ADVANCED TISSUE SCIENCES, INC. COMMON     00755F103      769   100000 SH    -  DEFINED 19           100000        0        0
D ADVANCED TISSUE SCIENCES, INC. COMMON     00755F103       16     2100 SH    -  DEFINED 01             2100        0        0
D ADVANTICA RESTAURANT GROUP, IN COMMON     00758B109       17    27800 SH    -  DEFINED 01                0        0    27800
D ADVO, INC.                     COMMON     007585102      287     8700 SH    -  DEFINED 02             6000        0     2700
D ADVO, INC.                     COMMON     007585102       89     2700 SH    -  DEFINED 20             2700        0        0
D ADVO, INC.                     COMMON     007585102      878    26600 SH    -  DEFINED 02            26600        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107    17974   760800 SH    -  DEFINED 02           554200        0   206600
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107       33     1400 SH    -  OTHER   02             1400        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107       21      900 SH    -  DEFINED 20              900        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107        0        2 SH    -  DEFINED 16                2        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107       85     3600 SH    -  DEFINED 17             3600        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107    31469  1332000 SH    -  DEFINED 02           774900        0   557100
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107      109     4600 SH    -  OTHER   02                0        0     4600
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107        9      400 SH    -  DEFINED 05              400        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107     1567    66320 SH    -  DEFINED 01            50400        0    15920
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107        9      400 SH    -  OTHER   01              400        0        0
D ADVANCED MICRO DEVICES, INC.   COMMON     007903107       31     1300 SH    -  OTHER   21                0     1300        0
D AEGON N V                      COMMON     007924103     4502   121257 SH    -  DEFINED 01            96442        0    24815
D AEGON N V                      COMMON     007924103      301     8118 SH    -  OTHER   01             1684     5150     1284
D ADVANTA CORP. CLASS "A"        COMMON     007942105      453    40300 SH    -  DEFINED 02                0        0    40300
D ADVANTA CORP. CLASS "A"        COMMON     007942105      159    14167 SH    -  DEFINED 16            14167        0        0
D ADVANTA CORP. CLASS "A"        COMMON     007942105      377    33500 SH    -  DEFINED 02            33500        0        0
D ADVANCED ENERGY INDUSTRIES, IN COMMON     007973100        0        4 SH    -  DEFINED 16                4        0        0
D ADVANCED ENERGY INDUSTRIES, IN COMMON     007973100      330    10000 SH    -  DEFINED 01                0        0    10000
D ADVENT SOFTWARE, INC.          COMMON     007974108      839    12000 SH    -  DEFINED 01                0        0    12000
D ADVENT SOFTWARE, INC.          COMMON     007974108       14      200 SH    -  DEFINED 02              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  13
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ADVENT SOFTWARE, INC.          COMMON     007974108        0        3 SH    -  DEFINED 16                3        0        0
D AETHER SYS INC                 COMMON     00808V105        3       29 SH    -  DEFINED 16               29        0        0
D AETHER SYS INC                 COMMON     00808V105      559     5300 SH    -  DEFINED 02                0        0     5300
D AETHER SYS INC                 COMMON     00808V105     2462    23333 SH    -  DEFINED 01                0        0    23333
D AETNA, INC.                    COMMON     008117103      679    11700 SH    -  DEFINED 01            10600        0     1100
D AETNA, INC.                    COMMON     008117103       72     1242 SH    -  OTHER   01             1242        0        0
D AETNA, INC.                    COMMON     008117103       75     1300 SH    -  OTHER   21                0     1300        0
D AETNA, INC.                    COMMON     008117103    22137   381256 SH    -  DEFINED 02           239556        0   141700
D AETNA, INC.                    COMMON     008117103       64     1100 SH    -  OTHER   02                0        0     1100
D AETNA, INC.                    COMMON     008117103     8948   154100 SH    -  DEFINED 16           154100        0        0
D AETNA, INC.                    COMMON     008117103     1754    30200 SH    -  DEFINED 17            30200        0        0
D AETNA, INC.                    COMMON     008117103     3832    66000 SH    -  DEFINED 06            66000        0        0
D AETNA, INC.                    COMMON     008117103      250     4300 SH    -  DEFINED 20             4300        0        0
D AETNA, INC.                    COMMON     008117103    13982   240800 SH    -  DEFINED 02           158600        0    82200
D AETNA, INC.                    COMMON     008117103       23      400 SH    -  OTHER   02              400        0        0
D AFFILIATED COMPUTER SERVICES,  COMMON     008190100     1865    37400 SH    -  DEFINED 02            37400        0        0
D AFFILIATED COMPUTER SERVICES,  COMMON     008190100      950    19041 SH    -  DEFINED 01                0        0    19041
D AFFYMETRIX INCORPORATED(CONV.  BOND       00826TAD0        0   173000 PRN   -  DEFINED 16                0        0        0
D AFFYMETRIX, INC.               COMMON     00826T108       15      300 SH    -  DEFINED 20              300        0        0
D AFFYMETRIX, INC.               COMMON     00826T108     6748   135300 SH    -  DEFINED 01           114900        0    20400
D AFFYMETRIX, INC.               COMMON     00826T108      633    12700 SH    -  DEFINED 02             4400        0     8300
D AFTERMARKET TECHNOLOGY CORPORA COMMON     008318107       74    12400 SH    -  DEFINED 01                0        0    12400
D AGILENT TECHNOLOGIES INC       COMMON     00846U101    12175   248778 SH    -  DEFINED 01           124742     1257   119919
D AGILENT TECHNOLOGIES INC       COMMON     00846U101     2569    52493 SH    -  OTHER   01            13933    34575     3985
D AGILENT TECHNOLOGIES INC       COMMON     00846U101     8876   181364 SH    -  DEFINED 02            60464        0   120900
D AGILENT TECHNOLOGIES INC       COMMON     00846U101      336     6876 SH    -  DEFINED 05             5886        0      990

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  14
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AGILENT TECHNOLOGIES INC       COMMON     00846U101       78     1600 SH    -  OTHER   05              762        0      838
D AGILENT TECHNOLOGIES INC       COMMON     00846U101      196     4000 SH    -  DEFINED 20             4000        0        0
D AGILENT TECHNOLOGIES INC       COMMON     00846U101      504    10300 SH    -  DEFINED 02            10300        0        0
D AGILE SOFTWARE CORP DEL        COMMON     00846X105     6745    75000 SH    -  DEFINED 02            75000        0        0
D AGILE SOFTWARE CORP DEL        COMMON     00846X105      483     5375 SH    -  DEFINED 05                0        0     5375
D AGILE SOFTWARE CORP DEL        COMMON     00846X105    19424   215975 SH    -  DEFINED 02           179075        0    36900
D AGILE SOFTWARE CORP DEL        COMMON     00846X105    28464   316480 SH    -  DEFINED 01           148955        0   167525
D AGRIBRANDS INTERNATIONAL, INC. COMMON     00849R105        7      165 SH    -  DEFINED 01               65        0      100
D AGRIBRANDS INTERNATIONAL, INC. COMMON     00849R105      186     4270 SH    -  DEFINED 02                0        0     4270
D AGRIBRANDS INTERNATIONAL, INC. COMMON     00849R105       16      360 SH    -  DEFINED 02                0        0      360
D AGRIBRANDS INTERNATIONAL, INC. COMMON     00849R105       87     2000 SH    -  DEFINED 16             2000        0        0
D AGRIBRANDS INTERNATIONAL, INC. COMMON     00849R105      131     3000 SH    -  DEFINED 20             3000        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106    12532   348100 SH    -  DEFINED 20           348100        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106       97     2700 SH    -  DEFINED 17             2700        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106    78488  2180220 SH    -  DEFINED 02          1733910        0   446310
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106      115     3200 SH    -  OTHER   02             3200        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106   209336  5814900 SH    -  DEFINED 02          4485260        0  1329640
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106      209     5800 SH    -  OTHER   02                0        0     5800
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106       32      900 SH    -  DEFINED 05              900        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106     1440    40000 SH    -  OTHER   0304          40000        0        0
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106     5840   162214 SH    -  DEFINED 01           138104        0    24110
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106     5595   155406 SH    -  OTHER   01             8100   116806    30500
D AIR PRODUCTS & CHEMICALS, INC. COMMON     009158106      234     6500 SH    -  OTHER   21                0     6500        0
D AIRBORNE FREIGHT CORP.         COMMON     009266107      226    22200 SH    -  DEFINED 01                0        0    22200
D AIRBORNE FREIGHT CORP.         COMMON     009266107       99     9700 SH    -  DEFINED 02             9700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  15
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AIRGAS, INC.                   COMMON     009363102      172    25200 SH    -  DEFINED 01                0        0    25200
D AIRGATE PCS INC                COMMON     009367103        9      200 SH    -  DEFINED 02              200        0        0
D AIRGATE PCS INC                COMMON     009367103      346     7700 SH    -  DEFINED 02             7700        0        0
D AIRTRAN HOLDINGS INC           COMMON     00949P108      314    70700 SH    -  DEFINED 02            70700        0        0
D AIRTRAN HOLDINGS INC           COMMON     00949P108      159    35800 SH    -  DEFINED 02            35800        0        0
D AKAMAI TECHNOLOGIES INC  'CONV BOND       00971TAA9        0 17500000 PRN   -  DEFINED 16                0        0        0
D AKAMAI TECHNOLOGIES INC        COMMON     00971T101        2       32 SH    -  DEFINED 16               32        0        0
D AKAMAI TECHNOLOGIES INC        COMMON     00971T101     1628    31000 SH    -  DEFINED 18            31000        0        0
D AKAMAI TECHNOLOGIES INC        COMMON     00971T101      205     3900 SH    -  DEFINED 02             3900        0        0
D AKAMAI TECHNOLOGIES INC        COMMON     00971T101     3597    68500 SH    -  DEFINED 02            68500        0        0
D AKAMAI TECHNOLOGIES INC        COMMON     00971T101       11      200 SH    -  DEFINED 01                0        0      200
D AKORN, INC.                    COMMON     009728106     6103   551625 SH    -  DEFINED 01           311100        0   240525
D AKORN, INC.                    COMMON     009728106     5450   492600 SH    -  DEFINED 02           417800        0    74800
D AKORN, INC.                    COMMON     009728106       72     6550 SH    -  DEFINED 05                0        0     6550
D AKORN, INC.                    COMMON     009728106     1984   179300 SH    -  DEFINED 02           179300        0        0
D ALAMOSA PCS HOLDINGS           COMMON     011593100      533    32900 SH    -  DEFINED 02            32900        0        0
D ALAMOSA PCS HOLDINGS           COMMON     011593100       16     1000 SH    -  DEFINED 02             1000        0        0
D ALBEMARLE CORP.                COMMON     012653101    11930   590950 SH    -  DEFINED 02           511150        0    79800
D ALBEMARLE CORP.                COMMON     012653101        8      400 SH    -  OTHER   02                0        0      400
D ALBEMARLE CORP.                COMMON     012653101      132     6550 SH    -  DEFINED 05                0        0     6550
D ALBEMARLE CORP.                COMMON     012653101    11186   554100 SH    -  DEFINED 01           325800        0   228300
D ALBEMARLE CORP.                COMMON     012653101      177     8750 SH    -  OTHER   01                0     3900     4850
D ALBEMARLE CORP.                COMMON     012653101     3767   186600 SH    -  DEFINED 02           180200        0     6400
D ALBEMARLE CORP.                COMMON     012653101     2923   144800 SH    -  DEFINED 17           144800        0        0
D ALBEMARLE CORP.                COMMON     012653101      178     8800 SH    -  DEFINED 20             8800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  16
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALBERTA ENERGY CO. LTD.        COMMON     012873105     5828   140000 SH    -  OTHER   01                0   140000        0
D ALBERTO CULVER CO. CLASS B CV. COMMON     013068101     6301   218700 SH    -  DEFINED 01           218700        0        0
D ALBERTO CULVER CO. CLASS B CV. COMMON     013068101     8336   289300 SH    -  DEFINED 02           235800        0    53500
D ALBERTO CULVER CO. CLASS B CV. COMMON     013068101       20      700 SH    -  DEFINED 17              700        0        0
D ALBERTO CULVER CO. CLASS B CV. COMMON     013068101     3046   105700 SH    -  DEFINED 02           105700        0        0
D ALBERTSON'S, INC.              COMMON     013104104     6346   302200 SH    -  DEFINED 02           119300        0   182900
D ALBERTSON'S, INC.              COMMON     013104104      107     5100 SH    -  DEFINED 17             5100        0        0
D ALBERTSON'S, INC.              COMMON     013104104     2453   116800 SH    -  DEFINED 06           116800        0        0
D ALBERTSON'S, INC.              COMMON     013104104       95     4500 SH    -  DEFINED 20             4500        0        0
D ALBERTSON'S, INC.              COMMON     013104104    19026   906000 SH    -  DEFINED 02           505200        0   400800
D ALBERTSON'S, INC.              COMMON     013104104      313    14891 SH    -  DEFINED 01             7000      189     7702
D ALBERTSON'S, INC.              COMMON     013104104       35     1660 SH    -  OTHER   01             1345      315        0
D ALBERTSON'S, INC.              COMMON     013104104       23     1100 SH    -  OTHER   21                0     1100        0
D ALCAN ALUMINIUM LTD.           COMMON     013716105       52     1800 SH    -  DEFINED 01             1700        0      100
D ALCAN ALUMINIUM LTD.           COMMON     013716105     1667    57600 SH    -  DEFINED 02            42800        0    14800
D ALCAN ALUMINIUM LTD.           COMMON     013716105       36     1250 SH    -  DEFINED 05             1250        0        0
D ALCOA INC                      COMMON     013817101      260    10272 SH    -  DEFINED 17            10272        0        0
D ALCOA INC                      COMMON     013817101     2101    83000 SH    -  DEFINED 06            83000        0        0
D ALCOA INC                      COMMON     013817101     8406   332088 SH    -  DEFINED 20           332088        0        0
D ALCOA INC                      COMMON     013817101    71749  2834480 SH    -  DEFINED 02          1927232        0   907248
D ALCOA INC                      COMMON     013817101      149     5900 SH    -  OTHER   02             5900        0        0
D ALCOA INC                      COMMON     013817101     3083   121784 SH    -  DEFINED 05            54844        0    66940
D ALCOA INC                      COMMON     013817101       30     1200 SH    -  OTHER   05                0     1200        0
D ALCOA INC                      COMMON     013817101     1053    41596 SH    -  OTHER   09            41596        0        0
D ALCOA INC                      COMMON     013817101   199399  7877335 SH    -  DEFINED 02          5313883        0  2563452

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  17
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALCOA INC                      COMMON     013817101      306    12072 SH    -  OTHER   02                0        0    12072
D ALCOA INC                      COMMON     013817101    52318  2066834 SH    -  DEFINED 01          1027146     9200  1028888
D ALCOA INC                      COMMON     013817101     7174   283402 SH    -  OTHER   01           136134   121260    26008
D ALCOA INC                      COMMON     013817101      284    11200 SH    -  OTHER   21                0    11200        0
D ALCATEL ALSTHOM (CGE) A/D/R    COMMON     013904305     1934    30757 SH    -  DEFINED 01                0        0    30757
D ALCATEL ALSTHOM (CGE) A/D/R    COMMON     013904305      459     7300 SH    -  OTHER   01                0        0     7300
D ALCATEL ALSTHOM (CGE) A/D/R    COMMON     013904305    10753   162000 SH    -  DEFINED 17           162000        0        0
D ALEXANDER & BALDWIN, INC.      COMMON     014482103      476    18300 SH    -  DEFINED 02            18300        0        0
D ALEXANDER'S, INC.              COMMON     014752109      441     5400 SH    -  DEFINED 01                0        0     5400
D ALEXION PHARMACEUTICALS 'CONV  BOND       015351AB5        0   115000 PRN   -  DEFINED 16                0        0        0
D ALEXION PHARMACEUTICALS INC    COMMON     015351109        3       27 SH    -  DEFINED 16               27        0        0
D ALEXION PHARMACEUTICALS INC    COMMON     015351109      285     2500 SH    -  DEFINED 17             2500        0        0
D ALFA CORP.                     COMMON     015385107      314    18000 SH    -  DEFINED 01                0        0    18000
D ALFA CORP.                     COMMON     015385107      331    19000 SH    -  DEFINED 02            19000        0        0
D ALKERMES INC   'CONV BOND'     BOND       01642TAB4        0  3821000 PRN   -  DEFINED 16                0        0        0
D ALKERMES, INC.                 COMMON     01642T108        9      225 SH    -  DEFINED 16              225        0        0
D ALKERMES, INC.                 COMMON     01642T108       15      400 SH    -  DEFINED 20              400        0        0
D ALKERMES, INC.                 COMMON     01642T108       89     2300 SH    -  DEFINED 02                0        0     2300
D ALKERMES, INC.                 COMMON     01642T108      342     8860 SH    -  DEFINED 01               60        0     8800
D ALLAIRE CORP                   COMMON     016714107        3      400 SH    -  DEFINED 02              400        0        0
D ALLAIRE CORP                   COMMON     016714107      154    18100 SH    -  DEFINED 02            18100        0        0
D ALLEGHANY CORP.                COMMON     017175100     2682    13684 SH    -  DEFINED 01            13374        0      310
D ALLEGHENY ENERGY INC           COMMON     017361106      447    11700 SH    -  DEFINED 01             4500     1000     6200
D ALLEGHENY ENERGY INC           COMMON     017361106      115     3000 SH    -  OTHER   01             1000     2000        0
D ALLEGHENY ENERGY INC           COMMON     017361106     5843   153000 SH    -  DEFINED 02            63200        0    89800
D ALLEGHENY ENERGY INC           COMMON     017361106       71     1850 SH    -  DEFINED 05             1550        0      300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  18
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALLEGHENY ENERGY INC           COMMON     017361106       38     1000 SH    -  OTHER   05             1000        0        0
D ALLEGHENY ENERGY INC           COMMON     017361106     6156   161200 SH    -  DEFINED 02           158000        0     3200
D ALLEGHENY ENERGY INC           COMMON     017361106      191     5000 SH    -  DEFINED 20             5000        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102      143     7900 SH    -  DEFINED 20             7900        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102       18     1000 SH    -  DEFINED 17             1000        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102    23602  1302198 SH    -  DEFINED 02           886950        0   415248
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102       29     1600 SH    -  OTHER   02             1600        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102       10      550 SH    -  DEFINED 05              550        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102     1088    60000 SH    -  OTHER   0304          60000        0        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102    77839  4294558 SH    -  DEFINED 02          3573308        0   721250
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102      141     7792 SH    -  OTHER   02                0        0     7792
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102     2464   135972 SH    -  DEFINED 01           129872        0     6100
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102        9      495 SH    -  OTHER   01                0      495        0
D ALLEGHENY TECHNOLOGIES INC     COMMON     01741R102       80     4400 SH    -  OTHER   21                0     4400        0
D ALLEGIANCE TELECOM INC         COMMON     01747T102       52     1400 SH    -  OTHER   21                0     1400        0
D ALLEGIANCE TELECOM INC         COMMON     01747T102    11796   316666 SH    -  DEFINED 01           238284     2575    75307
D ALLEGIANCE TELECOM INC         COMMON     01747T102      828    22234 SH    -  OTHER   01             9462     8672     4100
D ALLEGIANCE TELECOM INC         COMMON     01747T102    74120  1989790 SH    -  DEFINED 02          1556500        0   433290
D ALLEGIANCE TELECOM INC         COMMON     01747T102      171     4600 SH    -  OTHER   02                0        0     4600
D ALLEGIANCE TELECOM INC         COMMON     01747T102      227     6100 SH    -  OTHER   09             6100        0        0
D ALLEGIANCE TELECOM INC         COMMON     01747T102       37     1000 SH    -  DEFINED 05             1000        0        0
D ALLEGIANCE TELECOM INC         COMMON     01747T102    17629   473250 SH    -  DEFINED 02           349800        0   123450
D ALLEGIANCE TELECOM INC         COMMON     01747T102       19      500 SH    -  OTHER   02              500        0        0
D ALLEGIANCE TELECOM INC         COMMON     01747T102     4936   132500 SH    -  DEFINED 20           132500        0        0
D ALLERGAN, INC.                 COMMON     018490102      135     1600 SH    -  DEFINED 17             1600        0        0
D ALLERGAN, INC.                 COMMON     018490102     1326    15700 SH    -  DEFINED 02                0        0    15700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  19
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALLERGAN, INC.                 COMMON     018490102    11137   131890 SH    -  DEFINED 01            10000        0   121890
D ALLERGAN, INC.                 COMMON     018490102     1157    13700 SH    -  OTHER   01             1000    12700        0
D ALLETE                         COMMON     018522102      179     8100 SH    -  DEFINED 16             8100        0        0
D ALLETE                         COMMON     018522102     4058   183400 SH    -  DEFINED 02           183400        0        0
D ALLIANCE SEMICONDUCTOR CORP.   COMMON     01877H100      179     9000 SH    -  DEFINED 20             9000        0        0
D ALLIANCE SEMICONDUCTOR CORP.   COMMON     01877H100      733    36900 SH    -  DEFINED 02              700        0    36200
D ALLIANT CORP                   COMMON     018802108      549    18700 SH    -  DEFINED 02            18700        0        0
D ALLIANT TECHSYSTEMS, INC.      COMMON     018804104      172     2100 SH    -  DEFINED 02             2100        0        0
D ALLIANT TECHSYSTEMS, INC.      COMMON     018804104      657     8000 SH    -  OTHER   01                0     5500     2500
D ALLIED CAPITAL CORPORATION     COMMON     01903Q108    20194   973200 SH    -  DEFINED 02           806350        0   166850
D ALLIED CAPITAL CORPORATION     COMMON     01903Q108     9952   479600 SH    -  DEFINED 02           479600        0        0
D ALLIED IRISH BANKS - ADR       COMMON     019228402       66     3000 SH    -  DEFINED 05             3000        0        0
D ALLIED IRISH BANKS - ADR       COMMON     019228402        5      219 SH    -  DEFINED 01              219        0        0
D ALLIED IRISH BANKS - ADR       COMMON     019228402      131     6000 SH    -  OTHER   01             6000        0        0
D ALLIED PRODUCTS CORP.          COMMON     019411107        7    14850 SH    -  DEFINED 01                0        0    14850
D ALLIED WASTE INDUSTRIES, INC.  COMMON     019589308     6667   725631 SH    -  DEFINED 02           725631        0        0
D ALLIED WASTE INDUSTRIES, INC.  COMMON     019589308       14     1500 SH    -  DEFINED 16             1500        0        0
D ALLMERICA FINANCIAL CORP.      COMMON     019754100     1093    17100 SH    -  DEFINED 17            17100        0        0
D ALLMERICA FINANCIAL CORP.      COMMON     019754100     2698    42200 SH    -  DEFINED 02            42200        0        0
D ALLOY ONLINE INC               COMMON     019855105      455    53500 SH    -  DEFINED 02            53500        0        0
D ALLOY ONLINE INC               COMMON     019855105      648    76200 SH    -  DEFINED 01            76200        0        0
D ALLOY ONLINE INC               COMMON     019855105     1255   147600 SH    -  DEFINED 02           128100        0    19500
D ALLSCRIPTS INC                 COMMON     019886100       85     6000 SH    -  DEFINED 02             1000        0     5000
D ALLSCRIPTS INC                 COMMON     019886100     2628   186075 SH    -  DEFINED 01           181500        0     4575
D ALLSCRIPTS INC                 COMMON     019886100      472    33400 SH    -  DEFINED 02            33400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  20
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALLSTATE CORP.                 COMMON     020002101   133927  3854000 SH    -  DEFINED 02          2800400        0  1053600
D ALLSTATE CORP.                 COMMON     020002101      188     5400 SH    -  OTHER   02             5400        0        0
D ALLSTATE CORP.                 COMMON     020002101      309     8900 SH    -  DEFINED 17             8900        0        0
D ALLSTATE CORP.                 COMMON     020002101     1512    43500 SH    -  DEFINED 20            43500        0        0
D ALLSTATE CORP.                 COMMON     020002101     8572   246686 SH    -  DEFINED 01           208588        0    38098
D ALLSTATE CORP.                 COMMON     020002101     2271    65364 SH    -  OTHER   01            22034    27482    15848
D ALLSTATE CORP.                 COMMON     020002101      525    15100 SH    -  OTHER   21                0    15100        0
D ALLSTATE CORP.                 COMMON     020002101   280778  8079930 SH    -  DEFINED 02          5713530        0  2366400
D ALLSTATE CORP.                 COMMON     020002101      500    14400 SH    -  OTHER   02                0        0    14400
D ALLSTATE CORP.                 COMMON     020002101       59     1700 SH    -  DEFINED 05             1700        0        0
D ALLTEL CORP.                   COMMON     020039103       14      275 SH    -  DEFINED 05              275        0        0
D ALLTEL CORP.                   COMMON     020039103     1545    29600 SH    -  DEFINED 02                0        0    29600
D ALLTEL CORP.                   COMMON     020039103     3583    68657 SH    -  DEFINED 01            50631     6272    11754
D ALLTEL CORP.                   COMMON     020039103      564    10809 SH    -  OTHER   01             2995     5363     2451
D ALLTEL CORP.                   COMMON     020039103      198     3800 SH    -  DEFINED 17             3800        0        0
D ALLTEL CORP.                   COMMON     020039103      992    19000 SH    -  DEFINED 06            19000        0        0
D ALPHA INDS INC                 COMMON     020753109     1100    32300 SH    -  DEFINED 02            32300        0        0
D ALPHARMA, INC.                 COMMON     020813101     2390    39100 SH    -  DEFINED 02            39100        0        0
D ALPHARMA, INC.                 COMMON     020813101        1       20 SH    -  DEFINED 16               20        0        0
D ALPHARMA, INC.                 COMMON     020813101      238     3900 SH    -  DEFINED 20             3900        0        0
D ALPHARMA, INC.                 COMMON     020813101      880    14400 SH    -  DEFINED 01                0        0    14400
D ALPHARMA, INC.                 COMMON     020813101     8038   131500 SH    -  DEFINED 02             7700        0   123800
D ALTERA CORP.                   COMMON     021441100   111791  2341170 SH    -  DEFINED 02          1562270        0   778900
D ALTERA CORP.                   COMMON     021441100      210     4400 SH    -  OTHER   02                0        0     4400
D ALTERA CORP.                   COMMON     021441100       24      500 SH    -  DEFINED 05              500        0        0
D ALTERA CORP.                   COMMON     021441100     4464    93494 SH    -  DEFINED 01            63754        0    29740

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  21
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ALTERA CORP.                   COMMON     021441100       19      400 SH    -  OTHER   01              400        0        0
D ALTERA CORP.                   COMMON     021441100     4871   102000 SH    -  DEFINED 20           102000        0        0
D ALTERA CORP.                   COMMON     021441100      644    13483 SH    -  DEFINED 16            13483        0        0
D ALTERA CORP.                   COMMON     021441100    48891  1023900 SH    -  DEFINED 02           728400        0   295500
D ALTERA CORP.                   COMMON     021441100       81     1700 SH    -  OTHER   02             1700        0        0
D ALTEON WEBSYSTEMS INC          COMMON     02145A109     5235    48300 SH    -  DEFINED 02            48300        0        0
D ALTEON WEBSYSTEMS INC          COMMON     02145A109    18426   170000 SH    -  DEFINED 16           170000        0        0
D ALTEON WEBSYSTEMS INC          COMMON     02145A109     9402    86737 SH    -  DEFINED 01            16487        0    70250
D ALTEON WEBSYSTEMS INC          COMMON     02145A109      206     1900 SH    -  DEFINED 05                0        0     1900
D ALTEON WEBSYSTEMS INC          COMMON     02145A109    16183   149300 SH    -  DEFINED 02           128900        0    20400
D ALTERNATIVE LIVING SVCS 5.25%  BOND       02145KAB3      540   500000 PRN   -  DEFINED 16                0        0        0
D ALTERRA HEALTHCARE CORP        COMMON     02146C104       56    26400 SH    -  DEFINED 01                0        0    26400
D ALZA CORP. 0% CPN. LYON DUE 7/ BOND       022615AC2      356   636000 PRN   -  DEFINED 16                0        0        0
D ALZA CORPORATION               COMMON     022615108      104     1200 SH    -  DEFINED 17             1200        0        0
D ALZA CORPORATION               COMMON     022615108     7673    88700 SH    -  DEFINED 20            88700        0        0
D ALZA CORPORATION               COMMON     022615108   102323  1182920 SH    -  DEFINED 02           802500        0   380420
D ALZA CORPORATION               COMMON     022615108       87     1000 SH    -  OTHER   02             1000        0        0
D ALZA CORPORATION               COMMON     022615108    97278  1124596 SH    -  DEFINED 01           456502     7000   642095
D ALZA CORPORATION               COMMON     022615108     9578   110730 SH    -  OTHER   01            46990    47740    16000
D ALZA CORPORATION               COMMON     022615108      138     1600 SH    -  OTHER   21                0     1600        0
D ALZA CORPORATION               COMMON     022615108   443947  5132339 SH    -  DEFINED 02          4185564        0   946775
D ALZA CORPORATION               COMMON     022615108      597     6900 SH    -  OTHER   02                0        0     6900
D ALZA CORPORATION               COMMON     022615108     7099    82075 SH    -  DEFINED 05            35375     1500    45200
D ALZA CORPORATION               COMMON     022615108      346     4000 SH    -  OTHER   05             3000        0     1000
D ALZA CORPORATION               COMMON     022615108     1730    20000 SH    -  OTHER   0304          20000        0        0
D ALZA CORPORATION               COMMON     022615108     2102    24300 SH    -  OTHER   09            24300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  22
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMAZON.COM INC                 COMMON     023135106      796    20700 SH    -  DEFINED 02                0        0    20700
D AMAZON.COM INC                 COMMON     023135106      431    11200 SH    -  DEFINED 01              200        0    11000
D AMAZON.COM INC                 COMMON     023135106     7803   202999 SH    -  DEFINED 17           202999        0        0
D AMAZON.COM INC                 COMMON     023135106      677    17600 SH    -  DEFINED 16            17600        0        0
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108     1209    16500 SH    -  DEFINED 20            16500        0        0
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108    70740   965734 SH    -  DEFINED 02           689404        0   276330
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108       66      900 SH    -  OTHER   02              900        0        0
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108    45622   622831 SH    -  DEFINED 01           347185      900   274746
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108     3584    48932 SH    -  OTHER   01            13990    32042     2900
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108      337     4600 SH    -  OTHER   21                0     4600        0
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108   334781  4570390 SH    -  DEFINED 02          3832090        0   738300
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108      659     9000 SH    -  OTHER   02                0        0     9000
D AMBAC FINANCIAL GROUP INC.     COMMON     023139108      286     3900 SH    -  DEFINED 05             3900        0        0
D AMCOL INTERNATIONAL CORP.      COMMON     02341W103       59    12100 SH    -  DEFINED 02            12100        0        0
D AMCOL INTERNATIONAL CORP.      COMMON     02341W103       68    13950 SH    -  DEFINED 01                0        0    13950
D AMERADA HESS CORP.             COMMON     023551104      345     5151 SH    -  DEFINED 01             5151        0        0
D AMERADA HESS CORP.             COMMON     023551104     5603    83700 SH    -  DEFINED 02            34600        0    49100
D AMERADA HESS CORP.             COMMON     023551104     5509    82300 SH    -  DEFINED 02            48300        0    34000
D AMERADA HESS CORP.             COMMON     023551104     2043    30500 SH    -  DEFINED 06            30500        0        0
D AMERADA HESS CORP.             COMMON     023551104       74     1100 SH    -  DEFINED 17             1100        0        0
D AMERCO, INC.                   COMMON     023586100      914    46700 SH    -  DEFINED 02             1700        0    45000
D AMEREN CORPORATION             COMMON     023608102    22395   534800 SH    -  DEFINED 02           248600        0   286200
D AMEREN CORPORATION             COMMON     023608102      263     6280 SH    -  DEFINED 01             3630        0     2650
D AMEREN CORPORATION             COMMON     023608102      713    17020 SH    -  OTHER   01                0    14020     3000
D AMEREN CORPORATION             COMMON     023608102      209     5000 SH    -  DEFINED 16             5000        0        0
D AMEREN CORPORATION             COMMON     023608102    15590   372300 SH    -  DEFINED 02           276900        0    95400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  23
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMEREN CORPORATION             COMMON     023608102       38      900 SH    -  OTHER   02              900        0        0
D AMERICA ONLINE INC             BOND       02364JAC8     3868  6500000 PRN   -  DEFINED 01                0        0        0
D AMERICA ONLINE, INC.           COMMON     02364J104    80404  1495896 SH    -  DEFINED 01           795377    11760   683509
D AMERICA ONLINE, INC.           COMMON     02364J104    12452   231660 SH    -  OTHER   01            68040   136720    26900
D AMERICA ONLINE, INC.           COMMON     02364J104   639615 11899810 SH    -  DEFINED 02          7951110        0  3948700
D AMERICA ONLINE, INC.           COMMON     02364J104     1070    19900 SH    -  OTHER   02                0        0    19900
D AMERICA ONLINE, INC.           COMMON     02364J104     4617    85900 SH    -  DEFINED 05            41500     3500    40900
D AMERICA ONLINE, INC.           COMMON     02364J104       54     1000 SH    -  OTHER   05                0     1000        0
D AMERICA ONLINE, INC.           COMMON     02364J104     1634    30400 SH    -  OTHER   09            30400        0        0
D AMERICA ONLINE, INC.           COMMON     02364J104   284493  5292900 SH    -  DEFINED 02          3764700        0  1528200
D AMERICA ONLINE, INC.           COMMON     02364J104      575    10700 SH    -  OTHER   02            10700        0        0
D AMERICA ONLINE, INC.           COMMON     02364J104     1050    17900 SH    -  DEFINED 16            17900        0        0
D AMERICA ONLINE, INC.           COMMON     02364J104    23349   434400 SH    -  DEFINED 20           434400        0        0
D AMERICA WEST HLDG CORP         COMMON     023657208      818    67100 SH    -  DEFINED 02            67100        0        0
D AMERICA WEST HLDG CORP         COMMON     023657208      452    37100 SH    -  DEFINED 02            37100        0        0
D AMERICA WEST HLDG CORP         COMMON     023657208       28     2261 SH    -  DEFINED 01                0        0     2261
D AMERICAN AXLE & MFG HLDGS IN   COMMON     024061103      928    86300 SH    -  DEFINED 02            86300        0        0
D AMERCIAN CLASSIC VOYAGES CO.   COMMON     024928103     4040   276225 SH    -  DEFINED 02           232400        0    43825
D AMERCIAN CLASSIC VOYAGES CO.   COMMON     024928103       67     4550 SH    -  DEFINED 05                0        0     4550
D AMERCIAN CLASSIC VOYAGES CO.   COMMON     024928103     6315   431790 SH    -  DEFINED 01           207540        0   224250
D AMERCIAN CLASSIC VOYAGES CO.   COMMON     024928103     1284    87800 SH    -  DEFINED 02            87800        0        0
D AMERICAN CAPITAL STRATEGIES, L COMMON     024937104      974    41100 SH    -  DEFINED 02            41100        0        0
D AMERICAN CAPITAL STRATEGIES, L COMMON     024937104     1483    62600 SH    -  DEFINED 01            62600        0        0
D AMERICAN CAPITAL STRATEGIES, L COMMON     024937104     2471   104300 SH    -  DEFINED 02            89100        0    15200
D AMERICAN EAGLE OUTFITTERS NE   COMMON     02553E106      227     7200 SH    -  DEFINED 01                0        0     7200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  24
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101     1483    37907 SH    -  OTHER   01             5000    24327     8580
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101     1381    35296 SH    -  DEFINED 01            23876        0    11420
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101      207     5300 SH    -  OTHER   21                0     5300        0
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101    65788  1681472 SH    -  DEFINED 02           907672        0   773800
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101      108     2770 SH    -  DEFINED 05             2770        0        0
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101    39018   997260 SH    -  DEFINED 02           743560        0   253700
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101       86     2200 SH    -  OTHER   02             2200        0        0
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101      164     4200 SH    -  DEFINED 20             4200        0        0
D AMERICAN ELECTRIC POWER, INC.  COMMON     025537101      151     3860 SH    -  DEFINED 17             3860        0        0
D AMERICAN EXPRESS CO.           COMMON     025816109     2041    33600 SH    -  DEFINED 17            33600        0        0
D AMERICAN EXPRESS CO.           COMMON     025816109     1300    21400 SH    -  DEFINED 06            21400        0        0
D AMERICAN EXPRESS CO.           COMMON     025816109       12      200 SH    -  DEFINED 20              200        0        0
D AMERICAN EXPRESS CO.           COMMON     025816109    11734   193150 SH    -  DEFINED 02            87500        0   105650
D AMERICAN EXPRESS CO.           COMMON     025816109      529     8700 SH    -  DEFINED 05             5250        0     3450
D AMERICAN EXPRESS CO.           COMMON     025816109     1823    30000 SH    -  OTHER   10                0    30000        0
D AMERICAN EXPRESS CO.           COMMON     025816109     1823    30000 SH    -  OTHER   11                0    30000        0
D AMERICAN EXPRESS CO.           COMMON     025816109    22843   376020 SH    -  DEFINED 02           262320        0   113700
D AMERICAN EXPRESS CO.           COMMON     025816109       30      500 SH    -  OTHER   21                0      500        0
D AMERICAN EXPRESS CO.           COMMON     025816109    87820  1445590 SH    -  DEFINED 01          1065245     3900   376445
D AMERICAN EXPRESS CO.           COMMON     025816109     5017    82580 SH    -  OTHER   01            30530    49629     2421
D AMERICAN FINANCIAL GROUP, INC. COMMON     025932104      297    12800 SH    -  DEFINED 02                0        0    12800
D AMERICAN FINANCIAL GROUP, INC. COMMON     025932104      995    42900 SH    -  DEFINED 02            42900        0        0
D AMERICAN FREIGHTWAYS CORP.     COMMON     02629V108     1872   117900 SH    -  DEFINED 02           117900        0        0
D AMERICAN FREIGHTWAYS CORP.     COMMON     02629V108        0        3 SH    -  DEFINED 16                3        0        0
D AMERICAN FREIGHTWAYS CORP.     COMMON     02629V108      784    49400 SH    -  DEFINED 02            49400        0        0
D AMERICAN FREIGHTWAYS CORP.     COMMON     02629V108      305    19200 SH    -  DEFINED 01                0        0    19200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  25
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMERICAN GENERAL CORP.         COMMON     026351106     6278    80492 SH    -  DEFINED 01            29486        0    46800
D AMERICAN GENERAL CORP.         COMMON     026351106       31      400 SH    -  OTHER   21                0      400        0
D AMERICAN GENERAL CORP.         COMMON     026351106    10070   129100 SH    -  DEFINED 02            66400        0    62700
D AMERICAN GENERAL CORP.         COMMON     026351106       47      600 SH    -  OTHER   02                0        0      600
D AMERICAN GENERAL CORP.         COMMON     026351106      485     6220 SH    -  DEFINED 05             1100        0     5120
D AMERICAN GENERAL CORP.         COMMON     026351106     1037    13300 SH    -  DEFINED 06            13300        0        0
D AMERICAN GENERAL CORP.         COMMON     026351106      343     4400 SH    -  DEFINED 20             4400        0        0
D AMERICAN GENERAL CORP.         COMMON     026351106      296     3800 SH    -  DEFINED 02             3300        0      500
D AMERICAN HOME MTG HLDGS INC    COMMON     02660M108      486    92500 SH    -  DEFINED 02            92500        0        0
D AMERICAN HOME MTG HLDGS INC    COMMON     02660M108     1240   236100 SH    -  DEFINED 02           200300        0    35800
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107   415309  7342420 SH    -  DEFINED 02          5684420        0  1658000
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107      735    13000 SH    -  OTHER   02                0        0    13000
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     7116   125805 SH    -  DEFINED 05            65805     1100    58900
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107      713    12600 SH    -  OTHER   05            11800        0      800
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     5091    90000 SH    -  OTHER   0304          90000        0        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     2127    37600 SH    -  OTHER   09            37600        0        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107      294     5200 SH    -  OTHER   21                0     5200        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107   122285  2161934 SH    -  DEFINED 01          1314839    22587   819474
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107    53934   953523 SH    -  OTHER   01           137340   750071    66112
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107    98665  1744345 SH    -  DEFINED 02          1166300        0   578045
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107       91     1600 SH    -  OTHER   02             1600        0        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     2410    42600 SH    -  DEFINED 20            42600        0        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     1075    19000 SH    -  DEFINED 17            19000        0        0
D AMERICAN HOME PRODUCTS CORP.   COMMON     026609107     5656   100000 SH    -  DEFINED 18           100000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  26
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107      329     3437 SH    -  DEFINED 16             3437        0        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107    11570   120912 SH    -  DEFINED 20           120912        0        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107   209159  2185847 SH    -  DEFINED 02          1423250        0   762597
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107      230     2400 SH    -  OTHER   02             2400        0        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107   636786  6654817 SH    -  DEFINED 01          3783536    39299  2636816
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107   328570  3433766 SH    -  OTHER   01           341981  2788804   302981
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107     1014    10600 SH    -  OTHER   21                0    10600        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107  2086866 21809068 SH    -  OTHER   0708              0 21809068        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107    10373   108408 SH    -  DEFINED 05            33233     2418    72757
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107      817     8538 SH    -  OTHER   05             8538        0        0
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107   429293  4486388 SH    -  DEFINED 02          2743868        0  1742520
D AMERICAN INTERNATIONAL GROUP,  COMMON     026874107      277     2900 SH    -  OTHER   02                0        0     2900
D AMERICAN ITALIAN PASTA COMPANY COMMON     027070101      555    28900 SH    -  DEFINED 02            28900        0        0
D AMERICAN ITALIAN PASTA COMPANY COMMON     027070101      549    28600 SH    -  DEFINED 02            28600        0        0
D AMERICAN MANAGEMENT SYSTEMS, I COMMON     027352103      856    49800 SH    -  DEFINED 02            49800        0        0
D AMERICAN MANAGEMENT SYSTEMS, I COMMON     027352103        8      462 SH    -  DEFINED 16              462        0        0
D AMERICAN MANAGEMENT SYSTEMS, I COMMON     027352103      406    23625 SH    -  DEFINED 01                0        0    23625
D AMERICAN NATIONAL INSURANCE CO COMMON     028591105      256     4000 SH    -  DEFINED 01             4000        0        0
D AMERICAN NATIONAL INSURANCE CO COMMON     028591105      824    12900 SH    -  DEFINED 02            12900        0        0
D AMERICAN NATIONAL INSURANCE CO COMMON     028591105      869    13600 SH    -  DEFINED 02            13600        0        0
D AMERICAN RETIREMENT CORPORATIO COMMON     028913101       62    12400 SH    -  DEFINED 01                0        0    12400
D AMERICAN POWER CONVERSION CORP COMMON     029066107      487    25400 SH    -  DEFINED 01                0        0    25400
D AMERICAN POWER CONVERSION CORP COMMON     029066107       29     1500 SH    -  OTHER   01                0     1500        0
D AMERICAN STANDARD COMPANIES, I COMMON     029712106       18      400 SH    -  DEFINED 01              300        0      100
D AMERICAN STANDARD COMPANIES, I COMMON     029712106     5057   113800 SH    -  DEFINED 02           113800        0        0
D AMERICAN STS WTR CO            COMMON     029899101      554    18300 SH    -  DEFINED 02            18300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  27
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMERICAN STS WTR CO            COMMON     029899101      103     3400 SH    -  DEFINED 01                0        0     3400
D AMERICAN STS WTR CO            COMMON     029899101     1013    33500 SH    -  DEFINED 02            33500        0        0
D AMERICAN TOWER CORP  CONV BOND BOND       029912AD4        0  3000000 PRN   -  DEFINED 16                0        0        0
D AMERICAN TOWER CORP   'CONV BO BOND       029912AF9        0  1000000 PRN   -  DEFINED 16                0        0        0
D AMERICAN TOWER CORP            COMMON     029912201     1123    29800 SH    -  DEFINED 02                0        0    29800
D AMERICAN TOWER CORP            COMMON     029912201      973    25830 SH    -  DEFINED 01            15000        0    10830
D AMERICAN TELESOURCE INTL INC   COMMON     03018P108        3     1400 SH    -  DEFINED 02             1400        0        0
D AMERICAN TELESOURCE INTL INC   COMMON     03018P108      133    57300 SH    -  DEFINED 02            57300        0        0
D AMERICAN WATER WORKS, INC.     COMMON     030411102     1648    59800 SH    -  DEFINED 02            59800        0        0
D AMERICAN WATER WORKS, INC.     COMMON     030411102      254     9200 SH    -  DEFINED 02             9200        0        0
D AMERICREDIT CORP.              COMMON     03060R101     3077   106800 SH    -  DEFINED 02           106800        0        0
D AMERICREDIT CORP.              COMMON     03060R101     1740    60400 SH    -  DEFINED 01                0        0    60400
D AMERICREDIT CORP.              COMMON     03060R101     4284   148700 SH    -  DEFINED 02           148700        0        0
D AMERICREDIT CORP.              COMMON     03060R101        0        2 SH    -  DEFINED 16                2        0        0
D AMERIPATH INC                  COMMON     03071D109      204    14100 SH    -  DEFINED 01                0        0    14100
D AMERIPATH INC                  COMMON     03071D109       81     5600 SH    -  DEFINED 02             5600        0        0
D AMERISOURCE HEALTH CORP. CLASS COMMON     03071P102       33      700 SH    -  DEFINED 02              200        0      500
D AMERISOURCE HEALTH CORP. CLASS COMMON     03071P102        0        3 SH    -  DEFINED 16                3        0        0
D AMERISOURCE HEALTH CORP. CLASS COMMON     03071P102       24      500 SH    -  DEFINED 20              500        0        0
D AMERISOURCE HEALTH CORP. CLASS COMMON     03071P102     1278    27200 SH    -  DEFINED 02            27200        0        0
D AMERITRADE HOLDING CORP 'BOND  BOND       03072HAB5        0  9000000 PRN   -  DEFINED 16                0        0        0
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109      888    50000 SH    -  DEFINED 16            50000        0        0
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109     9340   526200 SH    -  DEFINED 02           410500        0   115700
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109    13967   786900 SH    -  DEFINED 02           642000        0   144900
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109       43     2400 SH    -  OTHER   02                0        0     2400
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109       96     5425 SH    -  DEFINED 05                0        0     5425

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  28
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AMERITRADE HOLDING CORP. CL A  COMMON     03072H109     8580   483375 SH    -  DEFINED 01           262100        0   221275
D AMES DEPARTMENT STORES, INC.   COMMON     030789507       91    15700 SH    -  DEFINED 01                0        0    15700
D AMGEN, INC.                    COMMON     031162100     1613    23100 SH    -  OTHER   01            10600     5500     7000
D AMGEN, INC.                    COMMON     031162100    16067   230098 SH    -  DEFINED 01           159365        0    70733
D AMGEN, INC.                    COMMON     031162100       56      800 SH    -  DEFINED 05              800        0        0
D AMGEN, INC.                    COMMON     031162100   148876  2132040 SH    -  DEFINED 02          2053790        0    78250
D AMGEN, INC.                    COMMON     031162100     6969    99800 SH    -  DEFINED 02            49200        0    50600
D AMGEN, INC.                    COMMON     031162100    16495   255980 SH    -  DEFINED 16           255980        0        0
D AMGEN, INC.                    COMMON     031162100     1433    20530 SH    -  DEFINED 17            20530        0        0
D AMGEN, INC.                    COMMON     031162100    10237   146600 SH    -  DEFINED 20           146600        0        0
D AMKOR TECHNOLOGY INC           COMMON     031652100       26     1000 SH    -  DEFINED 20             1000        0        0
D AMKOR TECHNOLOGY INC           COMMON     031652100     1084    41500 SH    -  DEFINED 02                0        0    41500
D AMKOR TECHNOLOGY INC           COMMON     031652100      178     6800 SH    -  DEFINED 01                0        0     6800
D AMRESCO CAP TRUST              COMMON     031919103     2177   202500 SH    -  DEFINED 02           202500        0        0
D AMPHENOL CORPORATION           COMMON     032095101     1725    30300 SH    -  DEFINED 02            30300        0        0
D AMPHENOL CORPORATION           COMMON     032095101       17      300 SH    -  DEFINED 20              300        0        0
D AMPHENOL CORPORATION           COMMON     032095101        1       19 SH    -  DEFINED 01               19        0        0
D AMPHENOL CORPORATION           COMMON     032095101      319     5600 SH    -  DEFINED 02                0        0     5600
D AMSOUTH BANCORPORATION         COMMON     032165102    10773   861800 SH    -  DEFINED 02           644300        0   217500
D AMSOUTH BANCORPORATION         COMMON     032165102     1332   106562 SH    -  DEFINED 01            16348        0    90214
D AMSOUTH BANCORPORATION         COMMON     032165102        8      600 SH    -  OTHER   21                0      600        0
D AMSOUTH BANCORPORATION         COMMON     032165102       61     4900 SH    -  DEFINED 20             4900        0        0
D AMSOUTH BANCORPORATION         COMMON     032165102     2049   163900 SH    -  DEFINED 06           163900        0        0
D AMSOUTH BANCORPORATION         COMMON     032165102       59     4700 SH    -  DEFINED 17             4700        0        0
D AMSOUTH BANCORPORATION         COMMON     032165102     2840   227228 SH    -  DEFINED 02           211828        0    15400
D ANADARKO PETROLEUM CORP.       COMMON     032511107    25630   385652 SH    -  DEFINED 02           311270        0    74382

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  29
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ANADARKO PETROLEUM CORP.       COMMON     032511107       40      600 SH    -  OTHER   02              600        0        0
D ANADARKO PETROLEUM CORP.       COMMON     032511107      192     2892 SH    -  DEFINED 17             2892        0        0
D ANADARKO PETROLEUM CORP.       COMMON     032511107     1726    25964 SH    -  DEFINED 16            25964        0        0
D ANADARKO PETROLEUM CORP.       COMMON     032511107      173     2600 SH    -  DEFINED 20             2600        0        0
D ANADARKO PETROLEUM CORP.       COMMON     032511107     4834    72739 SH    -  DEFINED 01            58413     2000    12326
D ANADARKO PETROLEUM CORP.       COMMON     032511107      106     1600 SH    -  OTHER   21                0     1600        0
D ANADARKO PETROLEUM CORP.       COMMON     032511107     1761    26490 SH    -  OTHER   01             6070    18813     1607
D ANADARKO PETROLEUM CORP.       COMMON     032511107    76916  1157324 SH    -  DEFINED 02           859481        0   297843
D ANADARKO PETROLEUM CORP.       COMMON     032511107       60      900 SH    -  OTHER   02                0        0      900
D ANADARKO PETROLEUM CORP.       COMMON     032511107      160     2406 SH    -  DEFINED 05              300        0     2106
D ANADARKO PETROLEUM CORP.       COMMON     032511107       59      893 SH    -  OTHER   05                0        0      893
D ANADIGICS, INC.                COMMON     032515108       13      600 SH    -  DEFINED 02              600        0        0
D ANADIGICS, INC.                COMMON     032515108      480    21700 SH    -  DEFINED 02            21700        0        0
D ANALOG DEVICES, INC.           COMMON     032654105    46656   565100 SH    -  DEFINED 02           417400        0   147700
D ANALOG DEVICES, INC.           COMMON     032654105       83     1000 SH    -  OTHER   02             1000        0        0
D ANALOG DEVICES, INC.           COMMON     032654105      264     3200 SH    -  DEFINED 20             3200        0        0
D ANALOG DEVICES, INC.           COMMON     032654105      578     7000 SH    -  DEFINED 17             7000        0        0
D ANALOG DEVICES, INC.           COMMON     032654105    71227   862700 SH    -  DEFINED 02           495900        0   366800
D ANALOG DEVICES, INC.           COMMON     032654105      206     2500 SH    -  OTHER   02                0        0     2500
D ANALOG DEVICES, INC.           COMMON     032654105        8      100 SH    -  DEFINED 05              100        0        0
D ANALOG DEVICES, INC.           COMMON     032654105     2334    28264 SH    -  DEFINED 01            25200        0     3064
D ANALOG DEVICES, INC.           COMMON     032654105     2155    26100 SH    -  OTHER   01              100    26000        0
D ANALOGIC CORP.                 COMMON     032657207      404    10500 SH    -  DEFINED 01                0        0    10500
D ANAREN MICROWAVE INC           COMMON     032744104     9865    72738 SH    -  DEFINED 01            14403        0    58335
D ANAREN MICROWAVE INC           COMMON     032744104      232     1712 SH    -  DEFINED 05                0        0     1712
D ANAREN MICROWAVE INC           COMMON     032744104     1865    13750 SH    -  DEFINED 02            11425        0     2325

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  30
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ANCHOR GAMING                  COMMON     033037102    18801   236300 SH    -  DEFINED 02           198775        0    37525
D ANCHOR GAMING                  COMMON     033037102      193     2425 SH    -  DEFINED 05                0        0     2425
D ANCHOR GAMING                  COMMON     033037102    17181   215945 SH    -  DEFINED 01           140155        0    75790
D ANCHOR GAMING                  COMMON     033037102     6659    83700 SH    -  DEFINED 02            83700        0        0
D ANDREW CORP.                   COMMON     034425108     2650   101200 SH    -  DEFINED 02           101200        0        0
D ANDREW CORP.                   COMMON     034425108       26     1000 SH    -  DEFINED 17             1000        0        0
D ANDREW CORP.                   COMMON     034425108       18      700 SH    -  DEFINED 20              700        0        0
D ANDREW CORP.                   COMMON     034425108      654    24975 SH    -  DEFINED 01                0        0    24975
D ANDREW CORP.                   COMMON     034425108       18      700 SH    -  DEFINED 02                0        0      700
D ANDRX GROUP                    COMMON     034553107      261     2800 SH    -  DEFINED 02                0        0     2800
D ANDRX GROUP                    COMMON     034553107        3       30 SH    -  DEFINED 01               30        0        0
D ANDRX GROUP                    COMMON     034553107     6135    65700 SH    -  DEFINED 02            65700        0        0
D ANGLOGOLD LTD                  COMMON     035128206        4      230 SH    -  DEFINED 01              230        0        0
D ANGLOGOLD LTD                  COMMON     035128206      184    10000 SH    -  OTHER   01                0    10000        0
D ANHEUSER-BUSCH COMPANIES, INC. COMMON     035229103    24634   582184 SH    -  DEFINED 01           432278      400   149506
D ANHEUSER-BUSCH COMPANIES, INC. COMMON     035229103     3307    78164 SH    -  OTHER   01            51600    16364    10200
D ANHEUSER-BUSCH COMPANIES, INC. COMMON     035229103     1079    25500 SH    -  DEFINED 05             3500        0    22000
D ANHEUSER-BUSCH COMPANIES, INC. COMMON     035229103     1135    26822 SH    -  DEFINED 17            26822        0        0
D ANIXTER INTERNATIONAL, INC.    COMMON     035290105        0        4 SH    -  DEFINED 16                4        0        0
D ANIXTER INTERNATIONAL, INC.    COMMON     035290105     2487    85400 SH    -  DEFINED 02            85400        0        0
D ANIXTER INTERNATIONAL, INC.    COMMON     035290105      903    31000 SH    -  DEFINED 02            23000        0     8000
D ANIXTER INTERNATIONAL, INC.    COMMON     035290105       15      500 SH    -  DEFINED 01                0        0      500
D ANNTAYLOR STORES CORP.         COMMON     036115103       23      600 SH    -  DEFINED 02              600        0        0
D ANNTAYLOR STORES CORP.         COMMON     036115103      634    16500 SH    -  DEFINED 02            16500        0        0
D ANSWERTHINK INC                COMMON     036916104     1045    64300 SH    -  DEFINED 02            64300        0        0
D ANSWERTHINK INC                COMMON     036916104       31     1900 SH    -  DEFINED 02             1900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  31
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ANTHRACITE CAP INC             COMMON     037023108     3476   427762 SH    -  DEFINED 02           427762        0        0
D AON CORP.                      COMMON     037389103    31371   799250 SH    -  DEFINED 02           549350        0   249900
D AON CORP.                      COMMON     037389103        4      100 SH    -  OTHER   02              100        0        0
D AON CORP.                      COMMON     037389103     1574    40100 SH    -  DEFINED 16            40100        0        0
D AON CORP.                      COMMON     037389103     1594    40600 SH    -  DEFINED 17            40600        0        0
D AON CORP.                      COMMON     037389103      550    14000 SH    -  DEFINED 06            14000        0        0
D AON CORP.                      COMMON     037389103      389     9900 SH    -  DEFINED 20             9900        0        0
D AON CORP.                      COMMON     037389103    62035  1580500 SH    -  DEFINED 02          1038700        0   541800
D AON CORP.                      COMMON     037389103      196     5000 SH    -  OTHER   02                0        0     5000
D AON CORP.                      COMMON     037389103        4      100 SH    -  DEFINED 05              100        0        0
D AON CORP.                      COMMON     037389103     1038    26450 SH    -  DEFINED 01             4200        0    22250
D AON CORP.                      COMMON     037389103      238     6075 SH    -  OTHER   01                0     6075        0
D AON CORP.                      COMMON     037389103      184     4700 SH    -  OTHER   21                0     4700        0
D APACHE CORP.                   COMMON     037411105       30      500 SH    -  OTHER   21                0      500        0
D APACHE CORP.                   COMMON     037411105     1328    22464 SH    -  DEFINED 01             5500        0    16964
D APACHE CORP.                   COMMON     037411105    20233   342200 SH    -  DEFINED 02           185500        0   156700
D APACHE CORP.                   COMMON     037411105       95     1600 SH    -  OTHER   02                0        0     1600
D APACHE CORP.                   COMMON     037411105      337     5700 SH    -  DEFINED 20             5700        0        0
D APACHE CORP.                   COMMON     037411105       89     1500 SH    -  DEFINED 17             1500        0        0
D APACHE CORP.                   COMMON     037411105     3252    55000 SH    -  DEFINED 16            55000        0        0
D APACHE CORP.                   COMMON     037411105     6356   107500 SH    -  DEFINED 02            80800        0    26700
D APOLLO GROUP, INC. CLASS "A"   COMMON     037604105        0        3 SH    -  DEFINED 16                3        0        0
D APOLLO GROUP, INC. CLASS "A"   COMMON     037604105      479    12025 SH    -  DEFINED 01            12025        0        0
D APPLE COMPUTER, INC.           COMMON     037833100     1433    55660 SH    -  DEFINED 01            46100        0     9560
D APPLE COMPUTER, INC.           COMMON     037833100       10      400 SH    -  OTHER   01              400        0        0
D APPLE COMPUTER, INC.           COMMON     037833100      103     4000 SH    -  OTHER   21                0     4000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  32
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D APPLE COMPUTER, INC.           COMMON     037833100    43404  1685600 SH    -  DEFINED 02          1088300        0   597300
D APPLE COMPUTER, INC.           COMMON     037833100      142     5500 SH    -  OTHER   02                0        0     5500
D APPLE COMPUTER, INC.           COMMON     037833100       10      400 SH    -  DEFINED 05              400        0        0
D APPLE COMPUTER, INC.           COMMON     037833100     1357    52713 SH    -  DEFINED 16            52713        0        0
D APPLE COMPUTER, INC.           COMMON     037833100      100     3900 SH    -  DEFINED 17             3900        0        0
D APPLE COMPUTER, INC.           COMMON     037833100     7416   288000 SH    -  DEFINED 20           288000        0        0
D APPLE COMPUTER, INC.           COMMON     037833100    22544   875500 SH    -  DEFINED 02           626400        0   249100
D APPLE COMPUTER, INC.           COMMON     037833100       39     1500 SH    -  OTHER   02             1500        0        0
D APRIA HEALTHCARE GROUP, INC.   COMMON     037933108     1408   101000 SH    -  DEFINED 02           101000        0        0
D APRIA HEALTHCARE GROUP, INC.   COMMON     037933108        0        2 SH    -  DEFINED 16                2        0        0
D APRIA HEALTHCARE GROUP, INC.   COMMON     037933108      482    34600 SH    -  DEFINED 02            34600        0        0
D APRIA HEALTHCARE GROUP, INC.   COMMON     037933108      511    36663 SH    -  DEFINED 01                0        0    36663
D APPLICA INC                    COMMON     03815A106       73    11800 SH    -  DEFINED 01                0        0    11800
D APPLIED INDL TECHNOLOGIES IN   COMMON     03820C105      136     7875 SH    -  DEFINED 01                0        0     7875
D APPLIED INDL TECHNOLOGIES IN   COMMON     03820C105      168     9700 SH    -  DEFINED 02             9700        0        0
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109    19775    95500 SH    -  DEFINED 02            48100        0    47400
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109      166      800 SH    -  OTHER   02                0        0      800
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109     5259    25400 SH    -  DEFINED 01            19400        0     6000
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109      569     2750 SH    -  DEFINED 16             2750        0        0
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109     4162    20100 SH    -  DEFINED 17            20100        0        0
D APPLIED MICRO CIRCUITS CORPORA COMMON     03822W109      207     1000 SH    -  DEFINED 20             1000        0        0
D APPLIED MATERIALS, INC.        COMMON     038222105     9870   166400 SH    -  DEFINED 20           166400        0        0
D APPLIED MATERIALS, INC.        COMMON     038222105     4395    74098 SH    -  DEFINED 16            74098        0        0
D APPLIED MATERIALS, INC.        COMMON     038222105   125453  2115100 SH    -  DEFINED 02          1465800        0   649300
D APPLIED MATERIALS, INC.        COMMON     038222105      285     4800 SH    -  OTHER   02             4800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  33
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D APPLIED MATERIALS, INC.        COMMON     038222105    11066   186566 SH    -  DEFINED 01           147816        0    38750
D APPLIED MATERIALS, INC.        COMMON     038222105     1605    27062 SH    -  OTHER   01              862      300    25900
D APPLIED MATERIALS, INC.        COMMON     038222105   243211  4100470 SH    -  DEFINED 02          2493270        0  1607200
D APPLIED MATERIALS, INC.        COMMON     038222105       30      500 SH    -  OTHER   21                0      500        0
D APPLIED MATERIALS, INC.        COMMON     038222105      486     8200 SH    -  OTHER   02                0        0     8200
D APPLIED MATERIALS, INC.        COMMON     038222105       53      900 SH    -  DEFINED 05              900        0        0
D APROPOS TECHNOLOGY INC         COMMON     038334108       33     3700 SH    -  DEFINED 05                0        0     3700
D APROPOS TECHNOLOGY INC         COMMON     038334108     2315   257200 SH    -  DEFINED 02           215900        0    41300
D APROPOS TECHNOLOGY INC         COMMON     038334108     2573   285875 SH    -  DEFINED 01           167500        0   118375
D APROPOS TECHNOLOGY INC         COMMON     038334108      898    99800 SH    -  DEFINED 02            99800        0        0
D APTARGROUP, INC.               COMMON     038336103      480    20046 SH    -  DEFINED 01                0        0    20046
D APTARGROUP, INC.               COMMON     038336103      412    17200 SH    -  DEFINED 02            17200        0        0
D ARCH CHEMICALS INC             COMMON     03937R102      737    40369 SH    -  OTHER   01                0        0    40369
D ARCHER-DANIELS-MIDLAND CO.     COMMON     039483102       28     3290 SH    -  DEFINED 01             2417        0      873
D ARCHER-DANIELS-MIDLAND CO.     COMMON     039483102       38     4442 SH    -  OTHER   01                0     4442        0
D ARCHER-DANIELS-MIDLAND CO.     COMMON     039483102      350    40635 SH    -  DEFINED 02                0        0    40635
D ARCHER-DANIELS-MIDLAND CO.     COMMON     039483102       65     7560 SH    -  DEFINED 17             7560        0        0
D ARCHSTONE COMMUNITIES TRUST    COMMON     039581103     5758   234400 SH    -  DEFINED 02           234400        0        0
D ARCHSTONE COMMUNITIES TRUST    COMMON     039581103    12296   500600 SH    -  DEFINED 02           500600        0        0
D ARCTIC CAT, INC.               COMMON     039670104      241    19125 SH    -  DEFINED 01                0        0    19125
D ARDEN RLTY INC                 COMMON     039793104    20989   782800 SH    -  DEFINED 02           732200        0    50600
D ARDEN RLTY INC                 COMMON     039793104    10133   377900 SH    -  DEFINED 02           377900        0        0
D AREMISSOFT CORP DEL            COMMON     040026106     1223    32600 SH    -  DEFINED 02            32600        0        0
D AREMISSOFT CORP DEL            COMMON     040026106       11      300 SH    -  DEFINED 02              300        0        0
D ARENA PHARMACEUTICALS INC      COMMON     040047102     2606    60600 SH    -  DEFINED 02            51410        0     9190
D ARENA PHARMACEUTICALS INC      COMMON     040047102       31      730 SH    -  DEFINED 05                0        0      730

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  34
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ARENA PHARMACEUTICALS INC      COMMON     040047102     2906    67590 SH    -  DEFINED 01            40340        0    27250
D ARENA PHARMACEUTICALS INC      COMMON     040047102      925    21500 SH    -  DEFINED 02            21500        0        0
D ARGOSY GAMING CORP.            COMMON     040228108      972    53600 SH    -  DEFINED 02            53600        0        0
D ARGOSY GAMING CORP.            COMMON     040228108      230    12700 SH    -  DEFINED 20            12700        0        0
D ARGOSY GAMING CORP.            COMMON     040228108      363    20000 SH    -  DEFINED 01                0        0    20000
D ARGOSY GAMING CORP.            COMMON     040228108      295    16300 SH    -  DEFINED 02             1200        0    15100
D ARIAD PHARMACEUTICALS          COMMON     04033A100        3      200 SH    -  DEFINED 02              200        0        0
D ARIAD PHARMACEUTICALS          COMMON     04033A100      323    25700 SH    -  DEFINED 02            25700        0        0
D ARIBA INC                      COMMON     04033V104     1089     7600 SH    -  DEFINED 02                0        0     7600
D ARIBA INC                      COMMON     04033V104     2297    16035 SH    -  DEFINED 17            16035        0        0
D ARIBA INC                      COMMON     04033V104     3438    24000 SH    -  DEFINED 18            24000        0        0
D ARIBA INC                      COMMON     04033V104       13       90 SH    -  DEFINED 16               90        0        0
D ARIBA INC                      COMMON     04033V104     3410    23800 SH    -  DEFINED 02            19900        0     3900
D ARIBA INC                      COMMON     04033V104     1245     8690 SH    -  DEFINED 01             1200        0     7490
D ARKANSAS BEST CORP.            COMMON     040790107      200    13000 SH    -  DEFINED 02                0        0    13000
D ARM HOLDINGS PLC               COMMON     042068106     6909   217600 SH    -  DEFINED 17           217600        0        0
D ARMSTRONG HLDGS INC            COMMON     042384107        6      500 SH    -  DEFINED 17              500        0        0
D ARMSTRONG HLDGS INC            COMMON     042384107      405    33900 SH    -  DEFINED 02            33900        0        0
D ARROW ELECTRONICS, INC.        COMMON     042735100     4745   139300 SH    -  DEFINED 02           139300        0        0
D ARROW ELECTRONICS, INC.        COMMON     042735100      140     4100 SH    -  DEFINED 02                0        0     4100
D ARROW ELECTRONICS, INC.        COMMON     042735100      416    12200 SH    -  DEFINED 01              400        0    11800
D ARROW FINANCIAL CORP.          COMMON     042744102       65     3930 SH    -  DEFINED 01                0        0     3930
D ARROW FINANCIAL CORP.          COMMON     042744102      369    22200 SH    -  DEFINED 02                0        0    22200
D ART TECHNOLOGY GROUP INC       COMMON     04289L107     9636   101700 SH    -  DEFINED 02            78425        0    23275
D ART TECHNOLOGY GROUP INC       COMMON     04289L107      237     2500 SH    -  DEFINED 05                0        0     2500
D ART TECHNOLOGY GROUP INC       COMMON     04289L107    22749   240100 SH    -  DEFINED 01           154900        0    85200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  35
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ART TECHNOLOGY GROUP INC       COMMON     04289L107     7485    79000 SH    -  DEFINED 02            79000        0        0
D ARTESYN TECHNOLOGIES INC       COMMON     043127109       23      800 SH    -  DEFINED 02              800        0        0
D ARTESYN TECHNOLOGIES INC       COMMON     043127109        0        4 SH    -  DEFINED 16                4        0        0
D ARTESYN TECHNOLOGIES INC       COMMON     043127109      315    10800 SH    -  DEFINED 01                0        0    10800
D ARTESYN TECHNOLOGIES INC       COMMON     043127109       12      400 SH    -  DEFINED 02              400        0        0
D ARVINMERITOR INC               COMMON     043353101     3342   227500 SH    -  DEFINED 02            72100        0   155400
D ARVINMERITOR INC               COMMON     043353101      231    15699 SH    -  DEFINED 01              499        0    15200
D ARVINMERITOR INC               COMMON     043353101      748    50925 SH    -  DEFINED 16            50925        0        0
D ARVINMERITOR INC               COMMON     043353101     1163    79200 SH    -  DEFINED 02            79200        0        0
D ASHLAND, INC.                  COMMON     044204105       27      800 SH    -  DEFINED 17              800        0        0
D ASHLAND, INC.                  COMMON     044204105      245     7266 SH    -  DEFINED 01             7266        0        0
D ASHLAND, INC.                  COMMON     044204105      130     3865 SH    -  DEFINED 05                0        0     3865
D ASIA PULP & PAPER LTD. SPNSRD. COMMON     04516V100        1      410 SH    -  DEFINED 01              410        0        0
D ASIA PULP & PAPER LTD. SPNSRD. COMMON     04516V100       35    20000 SH    -  OTHER   01                0    20000        0
D ASK JEEVES INC                 COMMON     045174109       12      600 SH    -  DEFINED 02              600        0        0
D ASK JEEVES INC                 COMMON     045174109      401    20900 SH    -  DEFINED 02            20900        0        0
D ASPECT COMMUNICATIONS CORP     COMMON     04523Q102     1570    76100 SH    -  DEFINED 02            76100        0        0
D ASPECT COMMUNICATIONS CORP     COMMON     04523Q102        2       87 SH    -  DEFINED 16               87        0        0
D ASPECT COMMUNICATIONS CORP     COMMON     04523Q102       23     1100 SH    -  DEFINED 20             1100        0        0
D ASPECT COMMUNICATIONS CORP     COMMON     04523Q102       23     1100 SH    -  DEFINED 02                0        0     1100
D ASPECT COMMUNICATIONS CORP     COMMON     04523Q102      474    23000 SH    -  DEFINED 01                0        0    23000
D ASPEN TECHNOLOGY, INC.         COMMON     045327103     5746   127325 SH    -  DEFINED 01            24275        0   103050
D ASPEN TECHNOLOGY, INC.         COMMON     045327103     1205    26700 SH    -  DEFINED 02            22000        0     4700
D ASPEN TECHNOLOGY, INC.         COMMON     045327103      135     3000 SH    -  DEFINED 05                0        0     3000
D ASPEN TECHNOLOGY, INC.         COMMON     045327103       36      800 SH    -  DEFINED 20              800        0        0
D ASPEN TECHNOLOGY, INC.         COMMON     045327103     1227    27200 SH    -  DEFINED 02            27200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  36
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ASSOCIATED BANC CORP.          COMMON     045487105      276    10518 SH    -  DEFINED 01                0        0    10518
D AT HOME CORP   "CONV BOND"     BOND       045919AC1    34428 62525000 PRN   -  DEFINED 17                0        0        0
D AT HOME CORPORATION            COMMON     045919107      225    15900 SH    -  DEFINED 16            15900        0        0
D AT HOME CORPORATION            COMMON     045919107       39     2786 SH    -  DEFINED 01              105        0     2681
D AT HOME CORPORATION            COMMON     045919107      838    59300 SH    -  DEFINED 02                0        0    59300
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108   206055  5422500 SH    -  DEFINED 02          3771100        0  1651400
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      213     5600 SH    -  OTHER   02                0        0     5600
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108     1218    32064 SH    -  DEFINED 05             7742        0    24322
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108       76     2000 SH    -  OTHER   05                0     2000        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      794    20900 SH    -  OTHER   09            20900        0        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108     9608   252839 SH    -  DEFINED 01           191710        0    61129
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108     2201    57912 SH    -  OTHER   01            10721    41769     5422
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      266     7000 SH    -  OTHER   21                0     7000        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108    11001   289500 SH    -  DEFINED 16           289500        0        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      331     8700 SH    -  DEFINED 17             8700        0        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      376     9900 SH    -  DEFINED 20             9900        0        0
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108    81684  2149582 SH    -  DEFINED 02          1696700        0   452882
D ASSOCIATES FIRST CAPITAL CORP. COMMON     046008108      182     4800 SH    -  OTHER   02             4800        0        0
D ASTORIA FINANCIAL CORPORATION  COMMON     046265104     2229    57700 SH    -  DEFINED 02            37100        0    20600
D ASTORIA FINANCIAL CORPORATION  COMMON     046265104      541    14008 SH    -  DEFINED 01            11000        0     3008
D ASTORIA FINANCIAL CORPORATION  COMMON     046265104    26034   674010 SH    -  DEFINED 02           591910        0    82100
D ASTORIA FINANCIAL CORPORATION  COMMON     046265104       19      500 SH    -  OTHER   02                0        0      500
D ASTRAZENECA PLC                COMMON     046353108       71     1344 SH    -  OTHER   05                0     1344        0
D ASTRAZENECA PLC                COMMON     046353108      106     2008 SH    -  DEFINED 01                0        0     2008
D ASTRAZENECA PLC                COMMON     046353108      505     9599 SH    -  OTHER   01                0     8999      600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  37
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ASYST TECHNOLOGIES, INC.       COMMON     04648X107       47     2300 SH    -  DEFINED 02             1600        0      700
D ASYST TECHNOLOGIES, INC.       COMMON     04648X107      927    45800 SH    -  DEFINED 02            45800        0        0
D ASYST TECHNOLOGIES, INC.       COMMON     04648X107       14      700 SH    -  DEFINED 20              700        0        0
D ASYST TECHNOLOGIES, INC.       COMMON     04648X107        0        8 SH    -  DEFINED 16                8        0        0
D ATLANTIC COAST AIRLINES HLDG   COMMON     048396105        0       11 SH    -  DEFINED 16               11        0        0
D ATLANTIC COAST AIRLINES HLDG   COMMON     048396105      322    10000 SH    -  DEFINED 01            10000        0        0
D ATMOS ENERGY CORP.             COMMON     049560105     3956   191800 SH    -  DEFINED 01           182500        0     9300
D ATMOS ENERGY CORP.             COMMON     049560105     8997   436200 SH    -  DEFINED 02           378500        0    57700
D ATMOS ENERGY CORP.             COMMON     049560105     5528   268000 SH    -  DEFINED 02           268000        0        0
D ATWOOD OCEANICS, INC.          COMMON     050095108        0        2 SH    -  DEFINED 16                2        0        0
D ATWOOD OCEANICS, INC.          COMMON     050095108      375     9000 SH    -  DEFINED 01                0        0     9000
D AUDIOVOX CORP                  COMMON     050757103      336    22300 SH    -  DEFINED 02            22300        0        0
D AUDIOVOX CORP                  COMMON     050757103     1057    70200 SH    -  DEFINED 02            70200        0        0
D AUGUST TECHNOLOGY CORP         COMMON     05106U105     1019    76900 SH    -  DEFINED 02            76900        0        0
D AUGUST TECHNOLOGY CORP         COMMON     05106U105     2868   216425 SH    -  DEFINED 02           183325        0    33100
D AUGUST TECHNOLOGY CORP         COMMON     05106U105       50     3775 SH    -  DEFINED 05                0        0     3775
D AUGUST TECHNOLOGY CORP         COMMON     05106U105     3355   253175 SH    -  DEFINED 01           130250        0   122925
D AURORA BIOSCIENCES CORPORATION COMMON     051920106        1       15 SH    -  DEFINED 01               15        0        0
D AURORA BIOSCIENCES CORPORATION COMMON     051920106       14      200 SH    -  DEFINED 02              200        0        0
D AURORA BIOSCIENCES CORPORATION COMMON     051920106      694    10200 SH    -  DEFINED 02            10200        0        0
D AURORA BIOSCIENCES CORPORATION COMMON     051920106        0        3 SH    -  DEFINED 16                3        0        0
D AUSPEX SYSTEMS, INC.           COMMON     052116100      124    10000 SH    -  OTHER   10                0    10000        0
D AUSPEX SYSTEMS, INC.           COMMON     052116100      124    10000 SH    -  OTHER   11                0    10000        0
D AUTODESK, INC.                 COMMON     052769106       36     1400 SH    -  DEFINED 02                0        0     1400
D AUTODESK, INC.                 COMMON     052769106      167     6583 SH    -  DEFINED 01             2283        0     4300
D AUTODESK, INC.                 COMMON     052769106        5      213 SH    -  DEFINED 16              213        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  38
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AUTODESK, INC.                 COMMON     052769106       18      700 SH    -  DEFINED 17              700        0        0
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103     1364    20400 SH    -  DEFINED 20            20400        0        0
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103    40132   600100 SH    -  DEFINED 02           341500        0   258600
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103    54218   810743 SH    -  DEFINED 01           583743     5350   219550
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103    13798   206329 SH    -  OTHER   01            17345   138984    50000
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103      174     2600 SH    -  OTHER   21                0     2600        0
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103   137480  2055780 SH    -  DEFINED 02          1426780        0   629000
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103      448     6700 SH    -  OTHER   02                0        0     6700
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103     3280    49050 SH    -  DEFINED 05            19050     3200    26800
D AUTOMATIC DATA PROCESSING, INC COMMON     053015103       27      400 SH    -  OTHER   05                0      400        0
D AUTOZONE, INC.                 COMMON     053332102      138     6100 SH    -  DEFINED 02                0        0     6100
D AUTOZONE, INC.                 COMMON     053332102     3299   145400 SH    -  DEFINED 02           145400        0        0
D AUTOZONE, INC.                 COMMON     053332102       36     1600 SH    -  DEFINED 17             1600        0        0
D AVADO BRANDS INC               COMMON     05336P108      318   423800 SH    -  DEFINED 17           423800        0        0
D AVADO BRANDS INC               COMMON     05336P108        0      352 SH    -  DEFINED 16              352        0        0
D AVADO FIN I   "PFD CONV"       PREF CONV  05336Q205      749   113060 SH    -  DEFINED 16                0        0        0
D AVANEX CORP                    COMMON     05348W109     3229    29988 SH    -  DEFINED 02            28888        0     1100
D AVANEX CORP                    COMMON     05348W109       35      325 SH    -  DEFINED 01                0        0      325
D AVALONBAY CUMMUNITIES, INC     COMMON     053484101     7869   165000 SH    -  DEFINED 02           165000        0        0
D AVALONBAY CUMMUNITIES, INC     COMMON     053484101     3138    65800 SH    -  DEFINED 02            65800        0        0
D AVANT IMMUNOTHERAPEUTICS INC   COMMON     053491106      172    15900 SH    -  DEFINED 01                0        0    15900
D AVERY DENNISON CORP.           COMMON     053611109      639    13780 SH    -  DEFINED 01             7700        0     6080
D AVERY DENNISON CORP.           COMMON     053611109      617    13300 SH    -  OTHER   01                0    13300        0
D AVERY DENNISON CORP.           COMMON     053611109      659    14200 SH    -  DEFINED 02                0        0    14200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  39
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AVERY DENNISON CORP.           COMMON     053611109       60     1300 SH    -  DEFINED 17             1300        0        0
D AVIS RENT A CAR, INC.          COMMON     053790101      865    29200 SH    -  DEFINED 16            29200        0        0
D AVIS RENT A CAR, INC.          COMMON     053790101      210     7100 SH    -  DEFINED 20             7100        0        0
D AVIS RENT A CAR, INC.          COMMON     053790101     1253    42300 SH    -  DEFINED 02            42300        0        0
D AVIS RENT A CAR, INC.          COMMON     053790101      379    12800 SH    -  DEFINED 02             5700        0     7100
D AVNET, INC.                    COMMON     053807103      267     9400 SH    -  DEFINED 02                0        0     9400
D AVNET, INC.                    COMMON     053807103      234     8242 SH    -  DEFINED 01              400        0     7842
D AVNET, INC.                    COMMON     053807103     3422   120600 SH    -  DEFINED 02           120600        0        0
D AVOCENT CORP                   COMMON     053893103     2304    41800 SH    -  DEFINED 02            41800        0        0
D AVOCENT CORP                   COMMON     053893103        0        4 SH    -  DEFINED 16                4        0        0
D AVOCENT CORP                   COMMON     053893103      578    10483 SH    -  DEFINED 01                0        0    10483
D AVOCENT CORP                   COMMON     053893103      424     7700 SH    -  DEFINED 02             7700        0        0
D AVON PRODUCTS, INC.            COMMON     054303102      245     6000 SH    -  DEFINED 05             2000        0     4000
D AVON PRODUCTS, INC.            COMMON     054303102     2853    69796 SH    -  DEFINED 01            11040     2000    56756
D AVON PRODUCTS, INC.            COMMON     054303102     1161    28400 SH    -  OTHER   01             5600    13000     9800
D AWARE INC MASS                 COMMON     05453N100      358     9300 SH    -  DEFINED 17             9300        0        0
D AWARE INC MASS                 COMMON     05453N100       19      500 SH    -  DEFINED 02                0        0      500
D AXA S.A. SPONSORED A/D/R       COMMON     054536107       36      553 SH    -  DEFINED 01              168        0      385
D AXA S.A. SPONSORED A/D/R       COMMON     054536107      129     2000 SH    -  OTHER   01             2000        0        0
D AXA S.A. SPONSORED A/D/R       COMMON     054536107      647    10000 SH    -  DEFINED 16            10000        0        0
D AXCESS INC                     COMMON     054546106     3871   595661 SH    -  DEFINED 19           595661        0        0
D AXENT TECHNOLOGIES, INC.       COMMON     05459C108      280    13000 SH    -  DEFINED 16            13000        0        0
D AXENT TECHNOLOGIES, INC.       COMMON     05459C108      537    24900 SH    -  DEFINED 02            24900        0        0
D AXENT TECHNOLOGIES, INC.       COMMON     05459C108      123     5720 SH    -  DEFINED 01                0        0     5720
D AXENT TECHNOLOGIES, INC.       COMMON     05459C108       13      600 SH    -  DEFINED 02              600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  40
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D AZTAR CORP.                    COMMON     054802103      467    30400 SH    -  DEFINED 02            24900        0     5500
D AZTAR CORP.                    COMMON     054802103      140     9100 SH    -  DEFINED 02             9100        0        0
D BB&T CORPORATION               COMMON     054937107      142     4700 SH    -  DEFINED 17             4700        0        0
D BB&T CORPORATION               COMMON     054937107     1626    53976 SH    -  DEFINED 01                0        0    53976
D BCE, INC.                      COMMON     05534B109      837    35800 SH    -  DEFINED 18            35800        0        0
D BCE, INC.                      COMMON     05534B109     1344    57500 SH    -  DEFINED 16            57500        0        0
D BHC COMMUNICATIONS, INC.       COMMON     055448104       47      300 SH    -  DEFINED 01              300        0        0
D BHC COMMUNICATIONS, INC.       COMMON     055448104     1196     7600 SH    -  DEFINED 02                0        0     7600
D BISYS GROUP, INC.              COMMON     055472104      147     1900 SH    -  DEFINED 01                0        0     1900
D BISYS GROUP, INC.              COMMON     055472104       62      800 SH    -  DEFINED 16              800        0        0
D BISYS GROUP, INC.              COMMON     055472104      572     7400 SH    -  DEFINED 02             7400        0        0
D BJ'S WHOLESALE CLUB, INC.      COMMON     05548J106     2445    71650 SH    -  DEFINED 02            71650        0        0
D BJ'S WHOLESALE CLUB, INC.      COMMON     05548J106     5445   159550 SH    -  DEFINED 01            77725        0    81825
D BJ'S WHOLESALE CLUB, INC.      COMMON     05548J106     4719   138300 SH    -  DEFINED 02           100700        0    37600
D BJ'S WHOLESALE CLUB, INC.      COMMON     05548J106      130     3800 SH    -  DEFINED 05                0        0     3800
D BJ SERVICES CO.                COMMON     055482103     1333    21800 SH    -  DEFINED 02                0        0    21800
D BJ SERVICES CO.                COMMON     055482103     1235    20200 SH    -  DEFINED 01                0        0    20200
D BMC INDUSTRIES, INC.           COMMON     055607105      149    21600 SH    -  DEFINED 01                0        0    21600
D BP AMOCO P L C                 COMMON     055622104    99783  1882690 SH    -  DEFINED 01          1041322   240273   601095
D BP AMOCO P L C                 COMMON     055622104    38812   732297 SH    -  OTHER   01           171987   405289   155021
D BP AMOCO P L C                 COMMON     055622104     1212    22860 SH    -  DEFINED 02             2474        0    20386
D BP AMOCO P L C                 COMMON     055622104     5347   100883 SH    -  DEFINED 05            37543        0    63340
D BP AMOCO P L C                 COMMON     055622104      326     6156 SH    -  OTHER   05                0     3860     2296
D BP AMOCO P L C                 COMMON     055622104    36135   676997 SH    -  DEFINED 17           676997        0        0
D BRE PROPERTIES, INC. CLASS "A" COMMON     05564E106      851    26600 SH    -  DEFINED 02            26600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  41
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BRE PROPERTIES, INC. CLASS "A" COMMON     05564E106     2125    66400 SH    -  DEFINED 02            66400        0        0
D BSB BANCORP, INC.              COMMON     055652101      875    39100 SH    -  DEFINED 02             5600        0    33500
D BSB BANCORP, INC.              COMMON     055652101      629    28112 SH    -  DEFINED 01                0        0    28112
D BMC SOFTWARE, INC.             COMMON     055921100      211    11017 SH    -  DEFINED 01             3500        0     7517
D BMC SOFTWARE, INC.             COMMON     055921100    19754  1032900 SH    -  DEFINED 02           933900        0    99000
D BMC SOFTWARE, INC.             COMMON     055921100      629    32900 SH    -  DEFINED 02             3700        0    29200
D BMC SOFTWARE, INC.             COMMON     055921100       55     2900 SH    -  DEFINED 17             2900        0        0
D BMC SOFTWARE, INC.             COMMON     055921100        5      255 SH    -  DEFINED 16              255        0        0
D BMC SOFTWARE, INC.             COMMON     055921100     8189   428200 SH    -  DEFINED 20           428200        0        0
D BAKER HUGHES, INC.             COMMON     057224107     8149   219500 SH    -  DEFINED 20           219500        0        0
D BAKER HUGHES, INC.             COMMON     057224107      145     3900 SH    -  DEFINED 17             3900        0        0
D BAKER HUGHES, INC.             COMMON     057224107    58498  1575700 SH    -  DEFINED 02          1211300        0   364400
D BAKER HUGHES, INC.             COMMON     057224107      100     2700 SH    -  OTHER   02             2700        0        0
D BAKER HUGHES, INC.             COMMON     057224107   166239  4477830 SH    -  DEFINED 02          3471930        0  1005900
D BAKER HUGHES, INC.             COMMON     057224107      123     3300 SH    -  OTHER   02                0        0     3300
D BAKER HUGHES, INC.             COMMON     057224107      141     3800 SH    -  DEFINED 05             3800        0        0
D BAKER HUGHES, INC.             COMMON     057224107     1860    50100 SH    -  OTHER   09            50100        0        0
D BAKER HUGHES, INC.             COMMON     057224107    29019   781670 SH    -  DEFINED 01           497195     1000   283475
D BAKER HUGHES, INC.             COMMON     057224107     9514   256260 SH    -  OTHER   01           172230    25330    58700
D BAKER HUGHES, INC.             COMMON     057224107      174     4700 SH    -  OTHER   21                0     4700        0
D BALDOR ELECTRIC CO.            COMMON     057741100      271    13320 SH    -  DEFINED 01                0        0    13320
D BALDWIN & LYONS, INC. CL. "B"  COMMON     057755209      207    10700 SH    -  DEFINED 01                0        0        0
D BALL CORP.                     COMMON     058498106       34     1077 SH    -  DEFINED 01                0        0     1077
D BALL CORP.                     COMMON     058498106     1626    51300 SH    -  DEFINED 02            51300        0        0
D BALL CORP.                     COMMON     058498106       13      400 SH    -  DEFINED 17              400        0        0
D BALL CORP.                     COMMON     058498106      456    14400 SH    -  DEFINED 16            14400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  42
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BALLY TOTAL FITNESS HOLDING CO COMMON     05873K108      193     7700 SH    -  DEFINED 20             7700        0        0
D BALLY TOTAL FITNESS HOLDING CO COMMON     05873K108      595    23800 SH    -  DEFINED 02            23800        0        0
D BALLY TOTAL FITNESS HOLDING CO COMMON     05873K108      261    10425 SH    -  DEFINED 01                0        0    10425
D BALLY TOTAL FITNESS HOLDING CO COMMON     05873K108     3368   134700 SH    -  DEFINED 02              400        0   134300
D BANK OF AMERICA CORPORATION    COMMON     060505104    97525  1862056 SH    -  DEFINED 02           869680        0   992376
D BANK OF AMERICA CORPORATION    COMMON     060505104     1203    22969 SH    -  OTHER   09            22969        0        0
D BANK OF AMERICA CORPORATION    COMMON     060505104     2473    47210 SH    -  OTHER   0304          47210        0        0
D BANK OF AMERICA CORPORATION    COMMON     060505104     6531   124705 SH    -  DEFINED 05            65174        0    59531
D BANK OF AMERICA CORPORATION    COMMON     060505104      706    13485 SH    -  OTHER   05             5000     1000     7485
D BANK OF AMERICA CORPORATION    COMMON     060505104   108703  2075466 SH    -  DEFINED 01           966129    14673  1089362
D BANK OF AMERICA CORPORATION    COMMON     060505104    32863   627462 SH    -  OTHER   01           198271   335705    93486
D BANK OF AMERICA CORPORATION    COMMON     060505104      283     5400 SH    -  OTHER   21                0     5400        0
D BANK OF AMERICA CORPORATION    COMMON     060505104    48748   930740 SH    -  DEFINED 02           666600        0   264140
D BANK OF AMERICA CORPORATION    COMMON     060505104      828    15800 SH    -  DEFINED 20            15800        0        0
D BANK OF NEW YORK CO., INC.     COMMON     064057102      605    10800 SH    -  DEFINED 17            10800        0        0
D BANK OF NEW YORK CO., INC.     COMMON     064057102      852    15200 SH    -  DEFINED 02                0        0    15200
D BANK OF NEW YORK CO., INC.     COMMON     064057102    23256   414823 SH    -  DEFINED 01           175342     8700   230781
D BANK OF NEW YORK CO., INC.     COMMON     064057102    17833   318080 SH    -  OTHER   01            66360   239040    12680
D BANK OF NEW YORK CO., INC.     COMMON     064057102     1186    21160 SH    -  DEFINED 05            13000        0     8160
D BANK ONE CORPORATION           COMMON     06423A103      508    13151 SH    -  DEFINED 05            10011        0     3140
D BANK ONE CORPORATION           COMMON     06423A103       17      440 SH    -  OTHER   05              440        0        0
D BANK ONE CORPORATION           COMMON     06423A103      935    24200 SH    -  OTHER   09            24200        0        0
D BANK ONE CORPORATION           COMMON     06423A103   246313  6377041 SH    -  DEFINED 02          3953080        0  2423961
D BANK ONE CORPORATION           COMMON     06423A103      147     3800 SH    -  OTHER   02                0        0     3800
D BANK ONE CORPORATION           COMMON     06423A103     2104    54463 SH    -  OTHER   01            17849    29113     7501

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  43
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BANK ONE CORPORATION           COMMON     06423A103    21828   565130 SH    -  DEFINED 01           396498     4441   164191
D BANK ONE CORPORATION           COMMON     06423A103      375     9700 SH    -  OTHER   21                0     9700        0
D BANK ONE CORPORATION           COMMON     06423A103   109483  2834500 SH    -  DEFINED 02          2272600        0   561900
D BANK ONE CORPORATION           COMMON     06423A103      228     5900 SH    -  OTHER   02             5900        0        0
D BANK ONE CORPORATION           COMMON     06423A103     4373   113200 SH    -  DEFINED 17           113200        0        0
D BANK ONE CORPORATION           COMMON     06423A103    19042   493000 SH    -  DEFINED 20           493000        0        0
D BANK UNITED CORP.              COMMON     065412108    13539   267100 SH    -  DEFINED 02           267100        0        0
D BANK UNITED CORP.              COMMON     065412108    17015   335690 SH    -  DEFINED 01           315990        0    19700
D BANK UNITED CORP.              COMMON     065412108    22521   444300 SH    -  DEFINED 02           329400        0   114900
D BANKNORTH GROUP INC NEW        COMMON     06646R107    25677  1436492 SH    -  DEFINED 02           976592        0   459900
D BANKNORTH GROUP INC NEW        COMMON     06646R107      168     9400 SH    -  OTHER   02                0        0     9400
D BANKNORTH GROUP INC NEW        COMMON     06646R107       20     1100 SH    -  DEFINED 05             1100        0        0
D BANKNORTH GROUP INC NEW        COMMON     06646R107     2001   111928 SH    -  DEFINED 01            87200        0    24728
D BANKNORTH GROUP INC NEW        COMMON     06646R107       68     3800 SH    -  OTHER   21                0     3800        0
D BANKNORTH GROUP INC NEW        COMMON     06646R107    14668   820612 SH    -  DEFINED 02           587012        0   233600
D BANKNORTH GROUP INC NEW        COMMON     06646R107       11      600 SH    -  OTHER   02              600        0        0
D BANKNORTH GROUP INC NEW        COMMON     06646R107        9      500 SH    -  DEFINED 20              500        0        0
D BANTA CORP.                    COMMON     066821109      366    15000 SH    -  DEFINED 02            15000        0        0
D BANTA CORP.                    COMMON     066821109      258    10600 SH    -  DEFINED 02            10600        0        0
D BARD (C. R.), INC.             COMMON     067383109    91080  2155750 SH    -  DEFINED 02          1700750        0   455000
D BARD (C. R.), INC.             COMMON     067383109      262     6200 SH    -  OTHER   02                0        0     6200
D BARD (C. R.), INC.             COMMON     067383109       30      700 SH    -  DEFINED 05              700        0        0
D BARD (C. R.), INC.             COMMON     067383109       34      800 SH    -  OTHER   01              800        0        0
D BARD (C. R.), INC.             COMMON     067383109     4254   100690 SH    -  DEFINED 01            88000        0    12690
D BARD (C. R.), INC.             COMMON     067383109      156     3700 SH    -  OTHER   21                0     3700        0
D BARD (C. R.), INC.             COMMON     067383109    30876   730800 SH    -  DEFINED 02           591200        0   139600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  44
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BARD (C. R.), INC.             COMMON     067383109       34      800 SH    -  OTHER   02              800        0        0
D BARD (C. R.), INC.             COMMON     067383109      672    15900 SH    -  DEFINED 20            15900        0        0
D BARD (C. R.), INC.             COMMON     067383109     1437    34000 SH    -  DEFINED 06            34000        0        0
D BARD (C. R.), INC.             COMMON     067383109       25      600 SH    -  DEFINED 17              600        0        0
D BARNES & NOBLE, INC.           COMMON     067774109     2311   117400 SH    -  DEFINED 02           117400        0        0
D BARNES GROUP, INC.             COMMON     067806109       61     3300 SH    -  DEFINED 01                0        0     3300
D BARNES GROUP, INC.             COMMON     067806109      322    17500 SH    -  DEFINED 02            17500        0        0
D BARNESANDNOBLE COM INC         COMMON     067846105      102    20700 SH    -  DEFINED 01                0        0    20700
D BARNESANDNOBLE COM INC         COMMON     067846105        2      451 SH    -  DEFINED 16              451        0        0
D BARRICK GOLD CORP.             COMMON     067901108      790    51800 SH    -  DEFINED 17            51800        0        0
D BARRICK GOLD CORP.             COMMON     067901108        5      320 SH    -  DEFINED 01              320        0        0
D BARR LABORATORIES, INC.        COMMON     068306109     7818   117900 SH    -  DEFINED 01            75000        0    42900
D BARR LABORATORIES, INC.        COMMON     068306109      265     4000 SH    -  DEFINED 02              900        0     3100
D BARR LABORATORIES, INC.        COMMON     068306109      206     3100 SH    -  DEFINED 20             3100        0        0
D BARR LABORATORIES, INC.        COMMON     068306109     1532    23100 SH    -  DEFINED 02            23100        0        0
D BARRA, INC.                    COMMON     068313105      261     4200 SH    -  DEFINED 02             4200        0        0
D BARRA, INC.                    COMMON     068313105       25      400 SH    -  DEFINED 02              400        0        0
D BARRETT RESOURCES CORP.        COMMON     068480201        4      100 SH    -  DEFINED 02              100        0        0
D BARRETT RESOURCES CORP.        COMMON     068480201      595    15740 SH    -  DEFINED 01                0        0    15740
D BARRETT RESOURCES CORP.        COMMON     068480201      227     6000 SH    -  DEFINED 16             6000        0        0
D BASIN EXPL INC                 COMMON     070107107      324    16600 SH    -  DEFINED 02            16600        0        0
D BASIN EXPL INC                 COMMON     070107107      156     8000 SH    -  DEFINED 01                0        0     8000
D BASIN EXPL INC                 COMMON     070107107       18      900 SH    -  DEFINED 02              900        0        0
D BATTLE MOUNTAIN GOLD CO.       COMMON     071593107        9     5100 SH    -  DEFINED 01                0        0     5100
D BATTLE MOUNTAIN GOLD CO.       COMMON     071593107      175   100000 SH    -  OTHER   01                0   100000        0
D BATTLE MOUNTAIN GOLD CO.       COMMON     071593107      207   118300 SH    -  DEFINED 02           118300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  45
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BATTLE MOUNTAIN GOLD CO.       COMMON     071593107       81    46000 SH    -  DEFINED 16            46000        0        0
D BAUSCH & LOMB, INC.            COMMON     071707103       23      600 SH    -  DEFINED 17              600        0        0
D BAUSCH & LOMB, INC.            COMMON     071707103      623    16000 SH    -  DEFINED 06            16000        0        0
D BAUSCH & LOMB, INC.            COMMON     071707103      144     3700 SH    -  DEFINED 02                0        0     3700
D BAUSCH & LOMB, INC.            COMMON     071707103      136     3500 SH    -  DEFINED 01             3500        0        0
D BAUSCH & LOMB, INC.            COMMON     071707103      253     6500 SH    -  DEFINED 02                0        0     6500
D BAXTER INTERNATIONAL, INC.     COMMON     071813109     1461    18300 SH    -  DEFINED 02            17000        0     1300
D BAXTER INTERNATIONAL, INC.     COMMON     071813109     1051    13169 SH    -  DEFINED 01             8900        0     4269
D BAXTER INTERNATIONAL, INC.     COMMON     071813109      415     5200 SH    -  OTHER   01                0     5200        0
D BAY VIEW CAPITAL CORP.         COMMON     07262L101      114    10600 SH    -  DEFINED 02            10600        0        0
D BAY VIEW CAPITAL CORP.         COMMON     07262L101      103     9600 SH    -  DEFINED 01                0        0     9600
D BAY VIEW CAPITAL CORP.         COMMON     07262L101      207    19300 SH    -  DEFINED 02            19300        0        0
D BE FREE INC                    COMMON     073308108        7     1700 SH    -  DEFINED 02             1700        0        0
D BE FREE INC                    COMMON     073308108      267    62900 SH    -  DEFINED 02            62900        0        0
D BEA SYSTEMS INC   'CONV BOND'  BOND       073325AD4        0 17000000 PRN   -  DEFINED 16                0        0        0
D BEA SYSTEMS, INC.              COMMON     073325102     2717    34891 SH    -  DEFINED 16            34891        0        0
D BEA SYSTEMS, INC.              COMMON     073325102     2531    32500 SH    -  DEFINED 18            32500        0        0
D BEA SYSTEMS, INC.              COMMON     073325102      249     3200 SH    -  DEFINED 20             3200        0        0
D BEA SYSTEMS, INC.              COMMON     073325102    24994   320950 SH    -  DEFINED 02           275050        0    45900
D BEA SYSTEMS, INC.              COMMON     073325102        8      100 SH    -  OTHER   02              100        0        0
D BEA SYSTEMS, INC.              COMMON     073325102    26844   344700 SH    -  DEFINED 02           239000        0   105700
D BEA SYSTEMS, INC.              COMMON     073325102      210     2700 SH    -  OTHER   02                0        0     2700
D BEA SYSTEMS, INC.              COMMON     073325102     5759    73946 SH    -  DEFINED 01            10968        0    62978
D BEA SYSTEMS, INC.              COMMON     073325102     1361    17472 SH    -  OTHER   01            17472        0        0
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108      702    11141 SH    -  DEFINED 01             7607        0     3534

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  46
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108    43239   686330 SH    -  DEFINED 02           355430        0   330900
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108       88     1400 SH    -  OTHER   02                0        0     1400
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108      151     2400 SH    -  OTHER   21                0     2400        0
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108      107     1700 SH    -  DEFINED 05             1700        0        0
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108    33497   531700 SH    -  DEFINED 02           436200        0    95500
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108       50      800 SH    -  OTHER   02              800        0        0
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108       38      600 SH    -  DEFINED 20              600        0        0
D BEAR STEARNS COMPANIES, INC.   COMMON     073902108      214     3400 SH    -  DEFINED 06             3400        0        0
D BEAZER HOMES USA, INC.         COMMON     07556Q105      417    15300 SH    -  DEFINED 01                0        0    15300
D BECKMAN COULTER INC            COMMON     075811109        0        2 SH    -  DEFINED 16                2        0        0
D BECKMAN COULTER INC            COMMON     075811109     6270    81300 SH    -  DEFINED 02            81300        0        0
D BECTON DICKINSON & CO.         COMMON     075887109    27300  1032600 SH    -  DEFINED 02           771000        0   261600
D BECTON DICKINSON & CO.         COMMON     075887109       48     1800 SH    -  OTHER   02             1800        0        0
D BECTON DICKINSON & CO.         COMMON     075887109       79     3000 SH    -  DEFINED 17             3000        0        0
D BECTON DICKINSON & CO.         COMMON     075887109      899    34000 SH    -  DEFINED 06            34000        0        0
D BECTON DICKINSON & CO.         COMMON     075887109      378    14300 SH    -  DEFINED 20            14300        0        0
D BECTON DICKINSON & CO.         COMMON     075887109      999    37770 SH    -  DEFINED 01            32100        0     5670
D BECTON DICKINSON & CO.         COMMON     075887109      180     6800 SH    -  OTHER   01             6800        0        0
D BECTON DICKINSON & CO.         COMMON     075887109       66     2500 SH    -  OTHER   21                0     2500        0
D BECTON DICKINSON & CO.         COMMON     075887109    47533  1797900 SH    -  DEFINED 02           934200        0   863700
D BECTON DICKINSON & CO.         COMMON     075887109      169     6400 SH    -  OTHER   02                0        0     6400
D BELCO OIL & GAS CORP.          COMMON     077410108       95    10700 SH    -  DEFINED 01             5000        0     5700
D BELL & HOWELL CO NEW           COMMON     077852101      210     9600 SH    -  DEFINED 01                0        0     9600
D BELL & HOWELL CO NEW           COMMON     077852101      166     7600 SH    -  DEFINED 02             7600        0        0
D BELLSOUTH CORP.                COMMON     079860102    28871   717300 SH    -  DEFINED 02           560200        0   157100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  47
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BELLSOUTH CORP.                COMMON     079860102      109     2700 SH    -  OTHER   02             2700        0        0
D BELLSOUTH CORP.                COMMON     079860102      322     8000 SH    -  DEFINED 20             8000        0        0
D BELLSOUTH CORP.                COMMON     079860102    16905   420000 SH    -  DEFINED 18           420000        0        0
D BELLSOUTH CORP.                COMMON     079860102    31535   783466 SH    -  DEFINED 01           444916     5600   331500
D BELLSOUTH CORP.                COMMON     079860102    10018   248903 SH    -  OTHER   01            38435   152068    58400
D BELLSOUTH CORP.                COMMON     079860102      374     9300 SH    -  OTHER   21                0     9300        0
D BELLSOUTH CORP.                COMMON     079860102    86296  2144000 SH    -  DEFINED 02          1349800        0   794200
D BELLSOUTH CORP.                COMMON     079860102       24      600 SH    -  OTHER   02                0        0      600
D BELLSOUTH CORP.                COMMON     079860102     3556    88344 SH    -  DEFINED 05            56860        0    31484
D BELLSOUTH CORP.                COMMON     079860102      765    19000 SH    -  OTHER   05            19000        0        0
D BELO (A. H.) CORP. CLASS "A"   COMMON     080555105       34     1838 SH    -  DEFINED 01              746        0     1092
D BELO (A. H.) CORP. CLASS "A"   COMMON     080555105     4601   249560 SH    -  OTHER   01                0   249560        0
D BELO (A. H.) CORP. CLASS "A"   COMMON     080555105     1586    86000 SH    -  DEFINED 02            86000        0        0
D BENCHMARK ELECTRONICS, INC.    COMMON     08160H101     1019    19600 SH    -  DEFINED 02            19600        0        0
D BENCHMARK ELECTRONICS, INC.    COMMON     08160H101       78     1500 SH    -  DEFINED 01                0        0     1500
D BENCHMARK ELECTRONICS, INC.    COMMON     08160H101       16      300 SH    -  DEFINED 02              300        0        0
D BERINGER WINE ESTATES HOLDIN   COMMON     084102102     6506   117100 SH    -  DEFINED 02           105100        0    12000
D BERINGER WINE ESTATES HOLDIN   COMMON     084102102     5867   105600 SH    -  DEFINED 02           105600        0        0
D BERKLEY (W. R.) CORP.          COMMON     084423102     2177    63000 SH    -  DEFINED 02            63000        0        0
D BERKLEY (W. R.) CORP.          COMMON     084423102     4925   142500 SH    -  DEFINED 02           119500        0    23000
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108     1739       27 SH    -  DEFINED 05               10        0       17
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108     1288       20 SH    -  OTHER   10                0       20        0
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108     1288       20 SH    -  OTHER   11                0       20        0
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108   233128     3620 SH    -  OTHER   01               39     3377      204
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108   115791     1798 SH    -  DEFINED 01              452        1     1345

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  48
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BERKSHIRE HATHAWAY, INC.       COMMON     084670108     3671       57 SH    -  DEFINED 18               57        0        0
D BERKSHIRE HATHAWAY, INC. CL. " COMMON     084670207      596      288 SH    -  DEFINED 02                0        0      288
D BERKSHIRE HATHAWAY, INC. CL. " COMMON     084670207    10605     5123 SH    -  DEFINED 01             1864       15     3244
D BERKSHIRE HATHAWAY, INC. CL. " COMMON     084670207     1167      564 SH    -  OTHER   01                0      505       59
D BERKSHIRE HATHAWAY, INC. CL. " COMMON     084670207     2538     1226 SH    -  DEFINED 02             1226        0        0
D BERLITZ INTERNATIONAL, INC.    COMMON     08520F100      115    13500 SH    -  DEFINED 01                0        0    13500
D BERRY PETROLEUM CO. CLASS "A"  COMMON     085789105      421    23300 SH    -  DEFINED 01                0        0    23300
D BERRY PETROLEUM CO. CLASS "A"  COMMON     085789105     1125    62300 SH    -  DEFINED 02                0        0    62300
D BEST BUY, INC.                 COMMON     086516101   100963  1586840 SH    -  DEFINED 02          1055140        0   531700
D BEST BUY, INC.                 COMMON     086516101      223     3500 SH    -  OTHER   02                0        0     3500
D BEST BUY, INC.                 COMMON     086516101       19      300 SH    -  DEFINED 05              300        0        0
D BEST BUY, INC.                 COMMON     086516101       51      800 SH    -  OTHER   21                0      800        0
D BEST BUY, INC.                 COMMON     086516101    11165   175474 SH    -  DEFINED 01           135064     4000    36410
D BEST BUY, INC.                 COMMON     086516101      503     7900 SH    -  OTHER   01             5500     2400        0
D BEST BUY, INC.                 COMMON     086516101    45116   709100 SH    -  DEFINED 02           549500        0   159600
D BEST BUY, INC.                 COMMON     086516101       89     1400 SH    -  OTHER   02             1400        0        0
D BEST BUY, INC.                 COMMON     086516101      153     2400 SH    -  DEFINED 17             2400        0        0
D BEST BUY, INC.                 COMMON     086516101      382     6000 SH    -  DEFINED 20             6000        0        0
D BESTFOODS                      COMMON     08658U101     1566    20400 SH    -  DEFINED 17            20400        0        0
D BESTFOODS                      COMMON     08658U101    12498   171800 SH    -  DEFINED 18           171800        0        0
D BESTFOODS                      COMMON     08658U101    55166   758300 SH    -  DEFINED 16           758300        0        0
D BESTFOODS                      COMMON     08658U101    26081   358500 SH    -  DEFINED 02           195600        0   162900
D BESTFOODS                      COMMON     08658U101    45254   622049 SH    -  DEFINED 01           461289     9600   150160
D BESTFOODS                      COMMON     08658U101    21240   291963 SH    -  OTHER   01            76485   120878    94600
D BESTFOODS                      COMMON     08658U101     1455    20000 SH    -  OTHER   10                0    20000        0
D BESTFOODS                      COMMON     08658U101     1455    20000 SH    -  OTHER   11                0    20000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  49
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BESTFOODS                      COMMON     08658U101     4001    55000 SH    -  OTHER   0304          55000        0        0
D BESTFOODS                      COMMON     08658U101    41519   570710 SH    -  DEFINED 02           207210        0   363500
D BETHLEHEM STEEL CORP.          COMMON     087509105      232    77300 SH    -  DEFINED 02            77300        0        0
D BETHLEHEM STEEL CORP.          COMMON     087509105       21     7077 SH    -  DEFINED 01             7077        0        0
D BETHLEHEM STEEL CORP.          COMMON     087509105        5     1600 SH    -  DEFINED 17             1600        0        0
D BILLING INFORMATION CONCEPTS   COMMON     090063108       36    11400 SH    -  DEFINED 01                0        0    11400
D BINDLEY WESTERN INDUSTRIES, IN COMMON     090324104    10706   334575 SH    -  DEFINED 01           210900        0   123675
D BINDLEY WESTERN INDUSTRIES, IN COMMON     090324104    12118   378675 SH    -  DEFINED 02           317725        0    60950
D BINDLEY WESTERN INDUSTRIES, IN COMMON     090324104      111     3475 SH    -  DEFINED 05                0        0     3475
D BINDLEY WESTERN INDUSTRIES, IN COMMON     090324104     4534   141700 SH    -  DEFINED 02           141700        0        0
D BIO-TECHNOLOGY GENERAL CORP.   COMMON     090578105       96     8400 SH    -  DEFINED 17             8400        0        0
D BIO-TECHNOLOGY GENERAL CORP.   COMMON     090578105        0        5 SH    -  DEFINED 16                5        0        0
D BIO-TECHNOLOGY GENERAL CORP.   COMMON     090578105        7      600 SH    -  DEFINED 02              600        0        0
D BIO-TECHNOLOGY GENERAL CORP.   COMMON     090578105      416    36400 SH    -  DEFINED 01                0        0    36400
D BIOGEN, INC.                   COMMON     090597105      123     2014 SH    -  DEFINED 01             1414        0      600
D BIOGEN, INC.                   COMMON     090597105        6       94 SH    -  DEFINED 16               94        0        0
D BIOMATRIX, INC.                COMMON     09060P102      359    20500 SH    -  DEFINED 16            20500        0        0
D BIOMATRIX, INC.                COMMON     09060P102      214    12200 SH    -  DEFINED 01                0        0    12200
D BIOMATRIX, INC.                COMMON     09060P102       12      700 SH    -  DEFINED 02              700        0        0
D BIOMET, INC.                   COMMON     090613100      320     9150 SH    -  DEFINED 02                0        0     9150
D BIOMET, INC.                   COMMON     090613100        5      144 SH    -  DEFINED 16              144        0        0
D BIOMET, INC.                   COMMON     090613100       74     2100 SH    -  DEFINED 17             2100        0        0
D BIOVAIL CORP                   COMMON     09067J109      565     6942 SH    -  DEFINED 01                0        0     6942
D BIOSITE DIAGNOSTICS INC.       COMMON     090945106        8      200 SH    -  DEFINED 02              200        0        0
D BIOSITE DIAGNOSTICS INC.       COMMON     090945106      367     9200 SH    -  DEFINED 02             9200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  50
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BLACK & DECKER CORP.           COMMON     091797100     3627   106100 SH    -  DEFINED 20           106100        0        0
D BLACK & DECKER CORP.           COMMON     091797100       34     1000 SH    -  DEFINED 17             1000        0        0
D BLACK & DECKER CORP.           COMMON     091797100     1812    53000 SH    -  DEFINED 02            45600        0     7400
D BLACK & DECKER CORP.           COMMON     091797100     7798   228100 SH    -  DEFINED 02           203300        0    24800
D BLACK & DECKER CORP.           COMMON     091797100     1831    53550 SH    -  DEFINED 05            25050     1800    26700
D BLACK & DECKER CORP.           COMMON     091797100       44     1300 SH    -  OTHER   05                0     1000      300
D BLACK & DECKER CORP.           COMMON     091797100     8445   247005 SH    -  DEFINED 01           147985     5450    92370
D BLACK & DECKER CORP.           COMMON     091797100     1466    42870 SH    -  OTHER   01            22520     7450    12900
D BLACK BOX CORP.                COMMON     091826107      350     7500 SH    -  DEFINED 01                0        0     7500
D BLACK BOX CORP.                COMMON     091826107     3800    81500 SH    -  DEFINED 02              700        0    80800
D BLACK BOX CORP.                COMMON     091826107     1394    29900 SH    -  DEFINED 02            29900        0        0
D BLACK BOX CORP.                COMMON     091826107        5      100 SH    -  DEFINED 20              100        0        0
D BLANCH (E. W.) HOLDINGS, INC.  COMMON     093210102     1243    59900 SH    -  DEFINED 02            59900        0        0
D BLANCH (E. W.) HOLDINGS, INC.  COMMON     093210102     3426   165100 SH    -  DEFINED 02           143100        0    22000
D BLANCH (E. W.) HOLDINGS, INC.  COMMON     093210102     2023    97500 SH    -  DEFINED 01            97500        0        0
D BLOCK DRUG, INC.               COMMON     093644102      237     5500 SH    -  DEFINED 02             5500        0        0
D BLOCK (H&R), INC.              COMMON     093671105       24      640 SH    -  DEFINED 02              440        0      200
D BLOCK (H&R), INC.              COMMON     093671105      741    20000 SH    -  OTHER   10                0    20000        0
D BLOCK (H&R), INC.              COMMON     093671105      741    20000 SH    -  OTHER   11                0    20000        0
D BLOCK (H&R), INC.              COMMON     093671105       44     1200 SH    -  DEFINED 17             1200        0        0
D BLUE MARTINI SOFTWARE INC      COMMON     095698106     1568    46300 SH    -  DEFINED 02            46300        0        0
D BLUE MARTINI SOFTWARE INC      COMMON     095698106       78     2300 SH    -  DEFINED 05                0        0     2300
D BLUE MARTINI SOFTWARE INC      COMMON     095698106     4185   123550 SH    -  DEFINED 02           103600        0    19950
D BLUE MARTINI SOFTWARE INC      COMMON     095698106     5553   163925 SH    -  DEFINED 01            87750        0    76175
D BLYTH INDUSTRIES, INC.         COMMON     09643P108     1172    50000 SH    -  OTHER   01                0    50000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  51
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BLYTH INDUSTRIES, INC.         COMMON     09643P108      314    13400 SH    -  DEFINED 02            13400        0        0
D BLYTH INDUSTRIES, INC.         COMMON     09643P108     1409    60100 SH    -  DEFINED 02            60100        0        0
D BLYTH INDUSTRIES, INC.         COMMON     09643P108        0        2 SH    -  DEFINED 16                2        0        0
D BOB EVANS FARMS, INC.          COMMON     096761101       28     1500 SH    -  DEFINED 02             1500        0        0
D BOB EVANS FARMS, INC.          COMMON     096761101     3086   166801 SH    -  DEFINED 01           100000        0    66801
D BOEING COMPANY                 COMMON     097023105    37648   597580 SH    -  DEFINED 01           171173      200   426207
D BOEING COMPANY                 COMMON     097023105     1819    28870 SH    -  OTHER   01            13906    14264      700
D BOEING COMPANY                 COMMON     097023105      441     7000 SH    -  OTHER   21                0     7000        0
D BOEING COMPANY                 COMMON     097023105   134783  2139405 SH    -  DEFINED 02          1737305        0   402100
D BOEING COMPANY                 COMMON     097023105       13      200 SH    -  OTHER   02                0        0      200
D BOEING COMPANY                 COMMON     097023105      145     2300 SH    -  DEFINED 05             2300        0        0
D BOEING COMPANY                 COMMON     097023105    10124   160700 SH    -  DEFINED 18           160700        0        0
D BOEING COMPANY                 COMMON     097023105    13224   209900 SH    -  DEFINED 20           209900        0        0
D BOEING COMPANY                 COMMON     097023105    58319   925700 SH    -  DEFINED 02           762200        0   163500
D BOISE CASCADE CORP.            COMMON     097383103       19      700 SH    -  DEFINED 17              700        0        0
D BOISE CASCADE CORP.            COMMON     097383103      109     4121 SH    -  OTHER   01                0     1121     3000
D BOISE CASCADE CORP.            COMMON     097383103      223     8410 SH    -  DEFINED 01                0        0     8410
D BOLDER TECHNOLOGIES CORP.      COMMON     097519102      857   200299 SH    -  DEFINED 02           200299        0        0
D BORDERS GROUP, INC.            COMMON     099709107      198    14200 SH    -  DEFINED 02            14200        0        0
D BORDERS GROUP, INC.            COMMON     099709107      697    50000 SH    -  DEFINED 16            50000        0        0
D BORDERS GROUP, INC.            COMMON     099709107      234    16770 SH    -  DEFINED 01              170        0    16600
D BORG WARNER AUTOMOTIVE, INC.   COMMON     099724106     2903    87635 SH    -  DEFINED 01            81535        0     6100
D BORG WARNER AUTOMOTIVE, INC.   COMMON     099724106     4800   144900 SH    -  DEFINED 02           126300        0    18600
D BORG WARNER AUTOMOTIVE, INC.   COMMON     099724106    22441   677473 SH    -  DEFINED 19           677473        0        0
D BORG WARNER AUTOMOTIVE, INC.   COMMON     099724106     3283    99100 SH    -  DEFINED 02            99100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  52
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BOSTON LIFE SCIENCES, INC      COMMON     100843408      191    25600 SH    -  DEFINED 01                0        0    25600
D BOSTON PROPERTIES INC          COMMON     101121101     3796    88400 SH    -  DEFINED 02            88400        0        0
D BOSTON PROPERTIES INC          COMMON     101121101     4199    97800 SH    -  DEFINED 02            97800        0        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107    28716  1746900 SH    -  DEFINED 02          1372200        0   374700
D BOSTON SCIENTIFIC CORP.        COMMON     101137107       71     4300 SH    -  OTHER   02             4300        0        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107      174    10600 SH    -  DEFINED 20            10600        0        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107     2305   140200 SH    -  DEFINED 17           140200        0        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107     5753   350000 SH    -  DEFINED 18           350000        0        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107    43538  2648590 SH    -  DEFINED 02          1268390        0  1380200
D BOSTON SCIENTIFIC CORP.        COMMON     101137107       84     5100 SH    -  OTHER   02                0        0     5100
D BOSTON SCIENTIFIC CORP.        COMMON     101137107        8      500 SH    -  OTHER   21                0      500        0
D BOSTON SCIENTIFIC CORP.        COMMON     101137107     2133   129786 SH    -  DEFINED 01           115300        0    14486
D BOSTON SCIENTIFIC CORP.        COMMON     101137107      271    16500 SH    -  OTHER   01              500     8000     8000
D BOTTOMLINE TECH DEL INC        COMMON     101388106       41     1100 SH    -  DEFINED 01                0        0     1100
D BOTTOMLINE TECH DEL INC        COMMON     101388106      534    14300 SH    -  DEFINED 02                0        0    14300
D BOWATER, INC.                  COMMON     102183100    11911   256500 SH    -  DEFINED 02           134500        0   122000
D BOWATER, INC.                  COMMON     102183100       33      700 SH    -  OTHER   02                0        0      700
D BOWATER, INC.                  COMMON     102183100     7755   166990 SH    -  DEFINED 01           109050     1100    56840
D BOWATER, INC.                  COMMON     102183100      129     2785 SH    -  OTHER   01             2335      450        0
D BOWATER, INC.                  COMMON     102183100        9      200 SH    -  OTHER   21                0      200        0
D BOWATER, INC.                  COMMON     102183100       60     1300 SH    -  DEFINED 20             1300        0        0
D BOWATER, INC.                  COMMON     102183100     4737   102000 SH    -  DEFINED 02            77100        0    24900
D BOYD GAMING CORP.              COMMON     103304101      296    60000 SH    -  DEFINED 02            60000        0        0
D BOYD GAMING CORP.              COMMON     103304101      241    48900 SH    -  DEFINED 01                0        0    48900
D BOYD GAMING CORP.              COMMON     103304101      189    38300 SH    -  DEFINED 02            38300        0        0
D BRADY (W. H.) & CO. CL. "A" NO COMMON     104674106       57     1900 SH    -  DEFINED 02                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  53
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BRADY (W. H.) & CO. CL. "A" NO COMMON     104674106      281     9300 SH    -  DEFINED 01                0        0        0
D BRADY (W. H.) & CO. CL. "A" NO COMMON     104674106      575    19009 SH    -  DEFINED 16                0        0        0
D BRAZILIAN EQUITY FUND, INC.    COMMON     105884100      169    30000 SH    -  OTHER   01            30000        0        0
D BRIGGS & STRATTON CORPORATION  COMMON     109043109       11      300 SH    -  DEFINED 17              300        0        0
D BRIGGS & STRATTON CORPORATION  COMMON     109043109     1407    37200 SH    -  DEFINED 02            37200        0        0
D BRIGHTPOINT, INC.              COMMON     109473108      539   107100 SH    -  DEFINED 02           107100        0        0
D BRIGHTPOINT, INC.              COMMON     109473108      106    21100 SH    -  DEFINED 20            21100        0        0
D BRIGHTPOINT, INC.              COMMON     109473108      148    29400 SH    -  DEFINED 01                0        0    29400
D BRIGHTPOINT, INC.              COMMON     109473108      136    27000 SH    -  DEFINED 02             5900        0    21100
D BRINKER INTERNATIONAL, INC.    COMMON     109641100      151     5000 SH    -  DEFINED 05                0        0     5000
D BRINKER INTERNATIONAL, INC.    COMMON     109641100        6      200 SH    -  DEFINED 01              200        0        0
D BRINKER INTERNATIONAL, INC.    COMMON     109641100        0        3 SH    -  DEFINED 16                3        0        0
D BRINKER INTERNATIONAL, INC.    COMMON     109641100     4148   137700 SH    -  DEFINED 02           137700        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108   308937  5408080 SH    -  DEFINED 02          3961350        0  1446730
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108      657    11500 SH    -  OTHER   02            11500        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108      605    10900 SH    -  DEFINED 16            10900        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     3702    64800 SH    -  DEFINED 20            64800        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108   152607  2671462 SH    -  DEFINED 01          1706722    16800   943140
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108      388     6800 SH    -  OTHER   21                0     6800        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108    55014   963043 SH    -  OTHER   01           461181   456438    45424
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     6638   116199 SH    -  DEFINED 05            61125     2500    52574
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108       69     1200 SH    -  OTHER   05             1200        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     2285    40000 SH    -  OTHER   11                0    40000        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     2285    40000 SH    -  OTHER   10                0    40000        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     4570    80000 SH    -  OTHER   1314              0    80000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  54
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     4342    76000 SH    -  OTHER   0304          76000        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     2985    52250 SH    -  OTHER   09            52250        0        0
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108   859845 15051990 SH    -  DEFINED 02         10865890        0  4186100
D BRISTOL-MYERS SQUIBB CO.       COMMON     110122108     1222    21400 SH    -  OTHER   02                0        0    21400
D BRITISH AIRWAYS PLC A/D/R      COMMON     110419306       26      600 SH    -  OTHER   01                0      600        0
D BRITISH AIRWAYS PLC A/D/R      COMMON     110419306      889    21200 SH    -  DEFINED 17            21200        0        0
D BROADBASE SOFTWARE             COMMON     11130R100      437    32200 SH    -  DEFINED 02            32200        0        0
D BROADBASE SOFTWARE             COMMON     11130R100     2130   157016 SH    -  DEFINED 01           157016        0        0
D BROADBASE SOFTWARE             COMMON     11130R100       11      800 SH    -  DEFINED 02              800        0        0
D BROADCOM CORPORATION           COMMON     111320107    21621    88700 SH    -  DEFINED 02            67700        0    21000
D BROADCOM CORPORATION           COMMON     111320107      244     1000 SH    -  OTHER   02                0        0     1000
D BROADCOM CORPORATION           COMMON     111320107    19913    81694 SH    -  DEFINED 01             1200        0    80494
D BROADCOM CORPORATION           COMMON     111320107      831     3409 SH    -  OTHER   01                9     3400        0
D BROADCOM CORPORATION           COMMON     111320107     3291    13500 SH    -  DEFINED 02                0        0    13500
D BROADCOM CORPORATION           COMMON     111320107     1316     5400 SH    -  DEFINED 17             5400        0        0
D BROADCOM CORPORATION           COMMON     111320107      216      885 SH    -  DEFINED 16              885        0        0
D BROADCOM CORPORATION           COMMON     111320107      293     1200 SH    -  DEFINED 20             1200        0        0
D BROADVISION, INC.              COMMON     111412102       39     1500 SH    -  DEFINED 20             1500        0        0
D BROADVISION, INC.              COMMON     111412102      442    20660 SH    -  DEFINED 16            20660        0        0
D BROADVISION, INC.              COMMON     111412102      660    25700 SH    -  DEFINED 18            25700        0        0
D BROADVISION, INC.              COMMON     111412102      354    13800 SH    -  DEFINED 02            13800        0        0
D BROADVISION, INC.              COMMON     111412102     1669    64968 SH    -  DEFINED 01             2868        0    62100
D BROADVISION, INC.              COMMON     111412102     9949   387300 SH    -  DEFINED 02           330300        0    57000
D BROADVISION, INC.              COMMON     111412102       39     1500 SH    -  OTHER   02                0        0     1500
D BROADWING INC                  COMMON     111620100     4233   165600 SH    -  DEFINED 02            72500        0    93100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  55
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BROADWING INC                  COMMON     111620100       43     1700 SH    -  OTHER   02                0        0     1700
D BROADWING INC                  COMMON     111620100      265    10368 SH    -  DEFINED 01              300        0    10068
D BROADWING INC                  COMMON     111620100     3855   150800 SH    -  DEFINED 02            75300        0    75500
D BROADWING INC                  COMMON     111620100      244     9554 SH    -  DEFINED 17             9554        0        0
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108     5168    21900 SH    -  DEFINED 18            21900        0        0
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108        7       29 SH    -  DEFINED 16               29        0        0
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108      236     1000 SH    -  DEFINED 20             1000        0        0
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108      236     1000 SH    -  DEFINED 01             1000        0        0
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108    17818    75500 SH    -  DEFINED 02            46500        0    29000
D BROCADE COMMUNICATIONS SYS I   COMMON     111621108      189      800 SH    -  OTHER   02                0        0      800
D BROOKTROUT TECHNOLOGY, INC.    COMMON     114580103        7      200 SH    -  DEFINED 02              200        0        0
D BROOKTROUT TECHNOLOGY, INC.    COMMON     114580103      385    11700 SH    -  DEFINED 02            11700        0        0
D BROWN & BROWN INC              COMMON     115236101        0        5 SH    -  DEFINED 16                5        0        0
D BROWN & BROWN INC              COMMON     115236101      267     8400 SH    -  DEFINED 01                0        0     8400
D BROWN-FORMAN CORP.             COMMON     115637209      224     4100 SH    -  DEFINED 02                0        0     4100
D BROWN-FORMAN CORP.             COMMON     115637209       22      400 SH    -  DEFINED 17              400        0        0
D BROWN (TOM), INC.              COMMON     115660201      458    18700 SH    -  DEFINED 01                0        0    18700
D BROWN SHOE INC NEW             COMMON     115736100      115    12500 SH    -  DEFINED 01                0        0    12500
D BROWN SHOE INC NEW             COMMON     115736100       62     6800 SH    -  DEFINED 02             6800        0        0
D BRUKER DALTONICS INC           COMMON     116795105     2698    60800 SH    -  DEFINED 02            51730        0     9070
D BRUKER DALTONICS INC           COMMON     116795105       34      760 SH    -  DEFINED 05                0        0      760
D BRUKER DALTONICS INC           COMMON     116795105     2996    67505 SH    -  DEFINED 01            41055        0    26450
D BRUKER DALTONICS INC           COMMON     116795105      950    21400 SH    -  DEFINED 02            21400        0        0
D BRUNSWICK CORP.                COMMON     117043109     3458   189500 SH    -  DEFINED 02           189500        0        0
D BRUNSWICK CORP.                COMMON     117043109       20     1100 SH    -  DEFINED 17             1100        0        0
D BUCKEYE TECHNOLOGIES INC.      COMMON     118255108     4420   213000 SH    -  DEFINED 02           213000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  56
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D BUCKEYE TECHNOLOGIES INC.      COMMON     118255108     7144   344300 SH    -  DEFINED 01           340100        0     4200
D BUCKEYE TECHNOLOGIES INC.      COMMON     118255108    10966   528500 SH    -  DEFINED 02           447200        0    81300
D BUFFETS, INC.                  COMMON     119882108     1200    87300 SH    -  DEFINED 02            83000        0     4300
D BUFFETS, INC.                  COMMON     119882108      124     9000 SH    -  OTHER   01                0     9000        0
D BUFFETS, INC.                  COMMON     119882108      925    67300 SH    -  DEFINED 02            67300        0        0
D BUFFETS, INC.                  COMMON     119882108     2162   157250 SH    -  DEFINED 16           157250        0        0
D BUFFETS, INC.                  COMMON     119882108       59     4300 SH    -  DEFINED 20             4300        0        0
D BURLINGTON COAT FACTORY WHSE.  COMMON     121579106      383    26732 SH    -  DEFINED 16            26732        0        0
D BURLINGTON COAT FACTORY WHSE.  COMMON     121579106       70     4860 SH    -  DEFINED 01                0        0     4860
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104     2949   136767 SH    -  DEFINED 01           122384        0    14383
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104      203     9400 SH    -  OTHER   01              400     9000        0
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104      127     5900 SH    -  OTHER   21                0     5900        0
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104    51044  2367200 SH    -  DEFINED 02          1392700        0   974500
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104        9      400 SH    -  OTHER   02                0        0      400
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104       15      700 SH    -  DEFINED 05              700        0        0
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104      110     5100 SH    -  DEFINED 17             5100        0        0
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104      242    11200 SH    -  DEFINED 20            11200        0        0
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104    34175  1584900 SH    -  DEFINED 02          1204300        0   380600
D BURLINGTON NORTHERN SANTA FE   COMMON     12189T104       50     2300 SH    -  OTHER   02             2300        0        0
D BURLINGTON RESOURCES, INC.     COMMON     122014103     1900    51600 SH    -  DEFINED 06            51600        0        0
D BURLINGTON RESOURCES, INC.     COMMON     122014103       96     2600 SH    -  DEFINED 17             2600        0        0
D BURLINGTON RESOURCES, INC.     COMMON     122014103      643    17458 SH    -  DEFINED 01            17458        0        0
D BURLINGTON RESOURCES, INC.     COMMON     122014103       77     2091 SH    -  OTHER   01                0     2091        0
D BUSH, BOAKE, ALLEN, INC.       COMMON     123162109     1956    40900 SH    -  DEFINED 01            40900        0        0
D BUSH, BOAKE, ALLEN, INC.       COMMON     123162109     5197   108700 SH    -  DEFINED 02            91600        0    17100
D BUSH, BOAKE, ALLEN, INC.       COMMON     123162109     3811    79700 SH    -  DEFINED 02            79700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  57
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D C&D TECHNOLOGIES INC           COMMON     124661109     4353    76700 SH    -  DEFINED 02            76700        0        0
D C&D TECHNOLOGIES INC           COMMON     124661109        0        2 SH    -  DEFINED 16                2        0        0
D C&D TECHNOLOGIES INC           COMMON     124661109       11      200 SH    -  DEFINED 20              200        0        0
D C&D TECHNOLOGIES INC           COMMON     124661109       11      200 SH    -  DEFINED 02                0        0      200
D CBL & ASSOCIATES PROPERTIES, I COMMON     124830100      789    31500 SH    -  DEFINED 02            31500        0        0
D CBL & ASSOCIATES PROPERTIES, I COMMON     124830100     2346    93600 SH    -  DEFINED 02            93600        0        0
D C-CUBE MICROSYSTEMS INC NEW    COMMON     12501N108     3159   154100 SH    -  DEFINED 02           154100        0        0
D C-CUBE MICROSYSTEMS INC NEW    COMMON     12501N108      111     5400 SH    -  DEFINED 16             5400        0        0
D C-CUBE MICROSYSTEMS INC NEW    COMMON     12501N108     9887   482275 SH    -  DEFINED 02           402525        0    79750
D C-CUBE MICROSYSTEMS INC NEW    COMMON     12501N108      270    13175 SH    -  DEFINED 05                0        0    13175
D C-CUBE MICROSYSTEMS INC NEW    COMMON     12501N108    15981   779585 SH    -  DEFINED 01           293685        0   485900
D C-COR ELECTRONICS, INC.        COMMON     125010108      291    19000 SH    -  DEFINED 01             1800        0    17200
D C-COR ELECTRONICS, INC.        COMMON     125010108        8      500 SH    -  DEFINED 02              500        0        0
D CDW COMPUTER CENTERS, INC.     COMMON     125129106     1104    16000 SH    -  DEFINED 02                0        0    16000
D CDW COMPUTER CENTERS, INC.     COMMON     125129106      138     2000 SH    -  DEFINED 16             2000        0        0
D CEC ENTERTAINMENT INC.         COMMON     125137109        0        2 SH    -  DEFINED 16                2        0        0
D CEC ENTERTAINMENT INC.         COMMON     125137109     1802    56300 SH    -  DEFINED 02            56300        0        0
D CEC ENTERTAINMENT INC.         COMMON     125137109       43     1350 SH    -  DEFINED 02                0        0     1350
D CEC ENTERTAINMENT INC.         COMMON     125137109      540    16875 SH    -  DEFINED 01                0        0    16875
D CFM TECHNOLOGIES INC           COMMON     12525K106      159    21800 SH    -  DEFINED 16            21800        0        0
D CH ENERGY GROUP INC            COMMON     12541M102       56     1400 SH    -  DEFINED 16             1400        0        0
D CH ENERGY GROUP INC            COMMON     12541M102     1878    47100 SH    -  DEFINED 02            45800        0     1300
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100    45651   810000 SH    -  DEFINED 02           587800        0   222200
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100      197     3500 SH    -  OTHER   02                0        0     3500
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100    12128   215200 SH    -  DEFINED 01           203800        0    11400
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100       34      600 SH    -  OTHER   21                0      600        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  58
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100       11      200 SH    -  OTHER   01              200        0        0
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100        0        2 SH    -  DEFINED 16                2        0        0
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100      259     4600 SH    -  DEFINED 20             4600        0        0
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100    19951   354000 SH    -  DEFINED 02           311600        0    42400
D C.H. ROBINSON WORLDWIDE, INC.  COMMON     12541W100       17      300 SH    -  OTHER   02              300        0        0
D CIGNA CORP.                    COMMON     125509109    82048   785900 SH    -  DEFINED 02           585200        0   200700
D CIGNA CORP.                    COMMON     125509109      125     1200 SH    -  OTHER   02             1200        0        0
D CIGNA CORP.                    COMMON     125509109     1221    11700 SH    -  DEFINED 20            11700        0        0
D CIGNA CORP.                    COMMON     125509109      198     1900 SH    -  DEFINED 17             1900        0        0
D CIGNA CORP.                    COMMON     125509109     9628    92226 SH    -  DEFINED 01            78237        0    13989
D CIGNA CORP.                    COMMON     125509109     2284    21879 SH    -  OTHER   01             3300     3000    15579
D CIGNA CORP.                    COMMON     125509109      324     3100 SH    -  OTHER   21                0     3100        0
D CIGNA CORP.                    COMMON     125509109   246972  2365630 SH    -  DEFINED 02          1756330        0   609300
D CIGNA CORP.                    COMMON     125509109      376     3600 SH    -  OTHER   02                0        0     3600
D CIGNA CORP.                    COMMON     125509109       52      500 SH    -  DEFINED 05              500        0        0
D CIT GROUP, INC. CL A           COMMON     125577106       27     1560 SH    -  DEFINED 05             1560        0        0
D CIT GROUP, INC. CL A           COMMON     125577106   116664  6666510 SH    -  DEFINED 02          5368870        0  1297640
D CIT GROUP, INC. CL A           COMMON     125577106      266    15210 SH    -  OTHER   02                0        0    15210
D CIT GROUP, INC. CL A           COMMON     125577106    10331   590355 SH    -  DEFINED 01           358047      140   232168
D CIT GROUP, INC. CL A           COMMON     125577106      786    44918 SH    -  OTHER   01            28860     3808    12250
D CIT GROUP, INC. CL A           COMMON     125577106      168     9600 SH    -  OTHER   21                0     9600        0
D CIT GROUP, INC. CL A           COMMON     125577106       54     3100 SH    -  DEFINED 17             3100        0        0
D CIT GROUP, INC. CL A           COMMON     125577106      661    37780 SH    -  DEFINED 20            37780        0        0
D CIT GROUP, INC. CL A           COMMON     125577106    32030  1830290 SH    -  DEFINED 02          1212200        0   618090
D CIT GROUP, INC. CL A           COMMON     125577106       30     1700 SH    -  OTHER   02             1700        0        0
D CKE RESTAURANTS, INC.          COMMON     12561E105      147    48112 SH    -  DEFINED 01                0        0    48112

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  59
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CLECO CORP NEW                 COMMON     12561W105     8354   178700 SH    -  DEFINED 01           178700        0        0
D CLECO CORP NEW                 COMMON     12561W105    22926   490400 SH    -  DEFINED 02           431200        0    59200
D CLECO CORP NEW                 COMMON     12561W105    14002   299500 SH    -  DEFINED 02           299500        0        0
D CMG INFORMATION SERVICES, INC. COMMON     125750109       50     1800 SH    -  DEFINED 20             1800        0        0
D CMG INFORMATION SERVICES, INC. COMMON     125750109     4786   171300 SH    -  DEFINED 02            77400        0    93900
D CMG INFORMATION SERVICES, INC. COMMON     125750109       45     1600 SH    -  OTHER   02                0        0     1600
D CMG INFORMATION SERVICES, INC. COMMON     125750109        4      150 SH    -  DEFINED 05              150        0        0
D CMG INFORMATION SERVICES, INC. COMMON     125750109       50     1800 SH    -  DEFINED 01             1800        0        0
D CMI CORP                       COMMON     125761304       23    14600 SH    -  DEFINED 01                0        0    14600
D CMS ENERGY CORP.               COMMON     125896100     9431   350100 SH    -  DEFINED 01           345500        0     4600
D CMS ENERGY CORP.               COMMON     125896100       51     1900 SH    -  OTHER   21                0     1900        0
D CMS ENERGY CORP.               COMMON     125896100        8      300 SH    -  DEFINED 05              300        0        0
D CMS ENERGY CORP.               COMMON     125896100     1886    70000 SH    -  OTHER   0304          70000        0        0
D CMS ENERGY CORP.               COMMON     125896100    41735  1549308 SH    -  DEFINED 02          1063308        0   486000
D CMS ENERGY CORP.               COMMON     125896100       43     1600 SH    -  OTHER   02                0        0     1600
D CMS ENERGY CORP.               COMMON     125896100       97     3600 SH    -  DEFINED 20             3600        0        0
D CMS ENERGY CORP.               COMMON     125896100       35     1300 SH    -  DEFINED 17             1300        0        0
D CMS ENERGY CORP.               COMMON     125896100      135     5000 SH    -  DEFINED 16             5000        0        0
D CMS ENERGY CORP.               COMMON     125896100    22860   848600 SH    -  DEFINED 02           696700        0   151900
D CMS ENERGY CORP.               COMMON     125896100       24      900 SH    -  OTHER   02              900        0        0
D CNA FINANCIAL CORP.            COMMON     126117100     1082    28300 SH    -  DEFINED 02                0        0    28300
D CNA SURETY CORPORATION         COMMON     12612L108      886    77000 SH    -  DEFINED 02            25200        0    51800
D CNA SURETY CORPORATION         COMMON     12612L108      403    35000 SH    -  DEFINED 01                0        0    35000
D CNF TR I                       PREFERRED  12612V205      727    19505 SH    -  DEFINED 16                0        0        0
D CNF TRANSN INC                 COMMON     12612W104        0        3 SH    -  DEFINED 16                3        0        0
D CNF TRANSN INC                 COMMON     12612W104       62     2800 SH    -  DEFINED 20             2800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  60
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CNF TRANSN INC                 COMMON     12612W104     1046    47000 SH    -  DEFINED 02            47000        0        0
D CNF TRANSN INC                 COMMON     12612W104      529    23785 SH    -  DEFINED 01            14985     2200     6600
D CNF TRANSN INC                 COMMON     12612W104       85     3800 SH    -  OTHER   01             1500     1700      600
D CNF TRANSN INC                 COMMON     12612W104      136     6100 SH    -  DEFINED 02              300        0     5800
D CNET NETWORKS INC              COMMON     12613R104      553    22700 SH    -  DEFINED 02                0        0    22700
D CNET NETWORKS INC              COMMON     12613R104     8087   332000 SH    -  OTHER   01                0   332000        0
D CNET NETWORKS INC              COMMON     12613R104      302    12400 SH    -  DEFINED 02            12400        0        0
D C P & L ENERGY INC             COMMON     12614C106    56220  1348600 SH    -  DEFINED 02          1036000        0   312600
D C P & L ENERGY INC             COMMON     12614C106       83     2000 SH    -  OTHER   02             2000        0        0
D C P & L ENERGY INC             COMMON     12614C106     7204   172800 SH    -  DEFINED 20           172800        0        0
D C P & L ENERGY INC             COMMON     12614C106       79     1900 SH    -  DEFINED 17             1900        0        0
D C P & L ENERGY INC             COMMON     12614C106     3430    82289 SH    -  OTHER   01            10850    64939     6500
D C P & L ENERGY INC             COMMON     12614C106    33247   797528 SH    -  DEFINED 01           529900      326   267302
D C P & L ENERGY INC             COMMON     12614C106      388     9300 SH    -  OTHER   21                0     9300        0
D C P & L ENERGY INC             COMMON     12614C106   146888  3523500 SH    -  DEFINED 02          2521000        0  1002500
D C P & L ENERGY INC             COMMON     12614C106      288     6900 SH    -  OTHER   02                0        0     6900
D C P & L ENERGY INC             COMMON     12614C106     2084    50000 SH    -  OTHER   0304          50000        0        0
D C P & L ENERGY INC             COMMON     12614C106     1192    28600 SH    -  OTHER   09            28600        0        0
D C P & L ENERGY INC             COMMON     12614C106      171     4100 SH    -  DEFINED 05             4100        0        0
D CSG SYSTEMS INTERNATIONAL, INC COMMON     126349109      258     8900 SH    -  DEFINED 02                0        0     8900
D CSG SYSTEMS INTERNATIONAL, INC COMMON     126349109      531    18303 SH    -  DEFINED 01              103        0    18200
D CSG SYSTEMS INTERNATIONAL, INC COMMON     126349109     2062    71100 SH    -  DEFINED 02            71100        0        0
D CSX CORP.                      COMMON     126408103     1782    81700 SH    -  DEFINED 02                0        0    81700
D CSX CORP.                      COMMON     126408103       57     2600 SH    -  DEFINED 17             2600        0        0
D CSX CORP.                      COMMON     126408103       33     1500 SH    -  DEFINED 20             1500        0        0
D CSX CORP.                      COMMON     126408103     1167    53500 SH    -  OTHER   01            36000     5000    12500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  61
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CSX CORP.                      COMMON     126408103     1510    69220 SH    -  DEFINED 01            59220        0    10000
D CSX CORP.                      COMMON     126408103      129     5900 SH    -  DEFINED 02             2600        0     3300
D CSX CORP.                      COMMON     126408103      151     6900 SH    -  DEFINED 05             6900        0        0
D CSX CORP.                      COMMON     126408103     1091    50000 SH    -  OTHER   0304          50000        0        0
D CTS CORP.                      COMMON     126501105       76     1500 SH    -  DEFINED 02             1500        0        0
D CTS CORP.                      COMMON     126501105        0        2 SH    -  DEFINED 16                2        0        0
D CTS CORP.                      COMMON     126501105     1281    25300 SH    -  DEFINED 02            25300        0        0
D CUNO INC                       COMMON     126583103      200     9000 SH    -  DEFINED 01                0        0     9000
D CVS CORP                       COMMON     126650100     8124   175408 SH    -  DEFINED 01           170470        0     4938
D CVS CORP                       COMMON     126650100     5730   123714 SH    -  OTHER   01            43100    80614        0
D CVS CORP                       COMMON     126650100     2890    62400 SH    -  DEFINED 02                0        0    62400
D CVS CORP                       COMMON     126650100       56     1200 SH    -  DEFINED 05             1200        0        0
D CVS CORP                       COMMON     126650100      218     4700 SH    -  DEFINED 17             4700        0        0
D C V THERAPEUTICS  'CONV BOND'  BOND       126667AB0        0  1125000 PRN   -  DEFINED 16                0        0        0
D CV THERAPEUTICS INC            COMMON     126667104        0        3 SH    -  DEFINED 16                3        0        0
D CV THERAPEUTICS INC            COMMON     126667104      723     9300 SH    -  DEFINED 02             9300        0        0
D CV THERAPEUTICS INC            COMMON     126667104       39      500 SH    -  DEFINED 02              500        0        0
D CABLE & WIRELESS PUB LTD CO    COMMON     126830207      443    10400 SH    -  DEFINED 01            10400        0        0
D CABLE & WIRELESS PUB LTD CO    COMMON     126830207      851    20000 SH    -  DEFINED 17            20000        0        0
D CABLEVISION SYSTEM CORP. CLASS COMMON     12686C109      983    14828 SH    -  DEFINED 01            14828        0        0
D CABLEVISION SYSTEM CORP. CLASS COMMON     12686C109      842    12700 SH    -  DEFINED 02                0        0    12700
D CABLETRON SYSTEMS, INC.        COMMON     126920107       15      500 SH    -  DEFINED 05              500        0        0
D CABLETRON SYSTEMS, INC.        COMMON     126920107       65     2200 SH    -  DEFINED 17             2200        0        0
D CABLETRON SYSTEMS, INC.        COMMON     126920107      294    10000 SH    -  DEFINED 16            10000        0        0
D CABLETRON SYSTEMS, INC.        COMMON     126920107     1815    61800 SH    -  DEFINED 02            61800        0        0
D CABLE DESIGN TECHNOLOGIES      COMMON     126924109      157     6450 SH    -  DEFINED 02             6450        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  62
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CABLE DESIGN TECHNOLOGIES      COMMON     126924109        0        3 SH    -  DEFINED 16                3        0        0
D CABLE DESIGN TECHNOLOGIES      COMMON     126924109      441    18150 SH    -  DEFINED 02            18150        0        0
D CABLE DESIGN TECHNOLOGIES      COMMON     126924109      412    16950 SH    -  DEFINED 01                0        0    16950
D CACHEFLOW INC                  COMMON     126946102        1       10 SH    -  DEFINED 01               10        0        0
D CACHEFLOW INC                  COMMON     126946102      215     1500 SH    -  DEFINED 02                0        0     1500
D CACHEFLOW INC                  COMMON     126946102      858     6000 SH    -  DEFINED 02             6000        0        0
D CABOT CORP.                    COMMON     127055101     2589    81700 SH    -  DEFINED 02            81700        0        0
D CABOT CORP.                    COMMON     127055101     2934    92600 SH    -  DEFINED 17            92600        0        0
D CABOT CORP.                    COMMON     127055101       28      875 SH    -  DEFINED 01              800        0       75
D CABOT OIL & GAS CORP.          COMMON     127097103      291    14300 SH    -  DEFINED 01                0        0    14300
D CACI INTL INC                  COMMON     127190304       71     3300 SH    -  DEFINED 01                0        0     3300
D CACI INTL INC                  COMMON     127190304     1211    56500 SH    -  DEFINED 02             7700        0    48800
D CADENCE DESIGN SYSTEMS, INC.   COMMON     127387108      354    13800 SH    -  DEFINED 02                0        0    13800
D CADENCE DESIGN SYSTEMS, INC.   COMMON     127387108       77     3000 SH    -  OTHER   10                0     3000        0
D CADENCE DESIGN SYSTEMS, INC.   COMMON     127387108      154     6000 SH    -  OTHER   11                0     6000        0
D CADENCE DESIGN SYSTEMS, INC.   COMMON     127387108      202     7846 SH    -  DEFINED 01             7846        0        0
D CADENCE DESIGN SYSTEMS, INC.   COMMON     127387108     1166    45400 SH    -  DEFINED 02            45400        0        0
D CALGON CARBON CORP.            COMMON     129603106       73    10700 SH    -  DEFINED 01                0        0    10700
D CALIFORNIA FED BK FSB LOS AN   COMMON     130209703        0       66 SH    -  DEFINED 01                0        0       66
D CALIFORNIA FED BK FSB LOS AN   COMMON     130209703       16    22500 SH    -  DEFINED 16            22500        0        0
D CALIFORNIA PIZZA KITCHEN INC   COMMON     13054D109      773    27600 SH    -  DEFINED 02            27600        0        0
D CALIFORNIA PIZZA KITCHEN INC   COMMON     13054D109     2009    71765 SH    -  DEFINED 01            48165        0    23600
D CALIFORNIA PIZZA KITCHEN INC   COMMON     13054D109       23      810 SH    -  DEFINED 05                0        0      810
D CALIFORNIA PIZZA KITCHEN INC   COMMON     13054D109     1997    71310 SH    -  DEFINED 02            60320        0    10990
D CALIFORNIA WATER SERVICE GROUP COMMON     130788102      225     8400 SH    -  DEFINED 01                0        0     8400
D CALIPER TECHNOLOGIES CORP      COMMON     130876105    16026   276603 SH    -  DEFINED 01            60250        0   216353

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  63
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CALIPER TECHNOLOGIES CORP      COMMON     130876105     5296    91400 SH    -  DEFINED 02            76300        0    15100
D CALIPER TECHNOLOGIES CORP      COMMON     130876105       80     1375 SH    -  DEFINED 05                0        0     1375
D CALIPER TECHNOLOGIES CORP      COMMON     130876105     3100    53500 SH    -  DEFINED 02            53500        0        0
D CAMBRIDGE TECHNOLOGY PARTNERS  COMMON     132524109      136    31000 SH    -  DEFINED 02            31000        0        0
D CAMBRIDGE TECHNOLOGY PARTNERS  COMMON     132524109       18     5475 SH    -  DEFINED 16             5475        0        0
D CAMBRIDGE TECHNOLOGY PARTNERS  COMMON     132524109        3      700 SH    -  DEFINED 02              700        0        0
D CAMDEN PROPERTY TRUST S/B/I    COMMON     133131102    11234   362400 SH    -  DEFINED 02           362400        0        0
D CAMDEN PROPERTY TRUST S/B/I    COMMON     133131102     5028   162200 SH    -  DEFINED 02           162200        0        0
D CAMPBELL SOUP CO.              COMMON     134429109     3710   143400 SH    -  DEFINED 02            89100        0    54300
D CAMPBELL SOUP CO.              COMMON     134429109      793    30650 SH    -  DEFINED 16            30650        0        0
D CAMPBELL SOUP CO.              COMMON     134429109      129     5000 SH    -  DEFINED 17             5000        0        0
D CAMPBELL SOUP CO.              COMMON     134429109   286460 11070900 SH    -  DEFINED 18         11070900        0        0
D CAMPBELL SOUP CO.              COMMON     134429109      101     3900 SH    -  DEFINED 20             3900        0        0
D CAMPBELL SOUP CO.              COMMON     134429109      518    20000 SH    -  DEFINED 06            20000        0        0
D CAMPBELL SOUP CO.              COMMON     134429109    15147   585400 SH    -  DEFINED 02           281700        0   303700
D CAMPBELL SOUP CO.              COMMON     134429109      642    24800 SH    -  DEFINED 05             4800        0    20000
D CAMPBELL SOUP CO.              COMMON     134429109    22563   872010 SH    -  DEFINED 01           395590        0   476420
D CAMPBELL SOUP CO.              COMMON     134429109      781    30200 SH    -  OTHER   01              700    29500        0
D CAMPBELL SOUP CO.              COMMON     134429109      104     4000 SH    -  OTHER   21                0     4000        0
D CANADIAN PACIFIC LTD.          COMMON     135923100       34     1300 SH    -  DEFINED 01             1000        0      300
D CANADIAN PACIFIC LTD.          COMMON     135923100       52     2000 SH    -  DEFINED 05             2000        0        0
D CANADIAN PACIFIC LTD.          COMMON     135923100      118     4550 SH    -  DEFINED 02                0        0     4550
D CANADIAN NATL RY CO            PREFERRED  136375409     1754    39300 SH    -  DEFINED 16                0        0        0
D CAPITAL AUTOMOTIVE REIT        COMMON     139733109     8874   682600 SH    -  DEFINED 02           682600        0        0
D CAPITAL CROSSING BK            COMMON     140071101       53     6000 SH    -  DEFINED 02             6000        0        0
D CAPITAL CROSSING BK            COMMON     140071101      208    23600 SH    -  DEFINED 02            23600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  64
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105   220490  3147030 SH    -  DEFINED 02          2501630        0   645400
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105      224     3200 SH    -  OTHER   02                0        0     3200
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105      109     1550 SH    -  DEFINED 05             1550        0        0
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105    17508   249890 SH    -  DEFINED 01           215550        0    34340
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105     1193    17025 SH    -  OTHER   01              300    15525     1200
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105      238     3400 SH    -  OTHER   21                0     3400        0
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105    53906   769400 SH    -  DEFINED 02           501100        0   268300
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105       63      900 SH    -  OTHER   02              900        0        0
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105      161     2300 SH    -  DEFINED 17             2300        0        0
D CAPITAL ONE FINANCIAL CORP.    COMMON     14040H105     8253   117800 SH    -  DEFINED 20           117800        0        0
D CAPITAL SR LIVING CORP         COMMON     140475104      149    58000 SH    -  DEFINED 01                0        0    58000
D CAPITAL SOUTHWEST CORP.        COMMON     140501107       84     1400 SH    -  DEFINED 01                0        0     1400
D CAPITAL SOUTHWEST CORP.        COMMON     140501107      120     2000 SH    -  OTHER   01                0        0     2000
D CAPROCK COMMUNICATIONS CORP    COMMON     140667106       26     5100 SH    -  DEFINED 01                0        0     5100
D CAPROCK COMMUNICATIONS CORP    COMMON     140667106       70    13800 SH    -  DEFINED 02            13800        0        0
D CAPROCK COMMUNICATIONS CORP    COMMON     140667106      296    58200 SH    -  DEFINED 02            58200        0        0
D CAPSTONE TURBINE CORP          COMMON     14067D102     2008    29000 SH    -  DEFINED 02            29000        0        0
D CAPSTONE TURBINE CORP          COMMON     14067D102     3641    52575 SH    -  DEFINED 02            45125        0     7450
D CAPSTONE TURBINE CORP          COMMON     14067D102       52      750 SH    -  DEFINED 05                0        0      750
D CAPSTONE TURBINE CORP          COMMON     14067D102     3730    53859 SH    -  DEFINED 01            29859        0    24000
D CARAUSTAR INDUSTRIES, INC.     COMMON     140909102     4597   415500 SH    -  DEFINED 01           403400        0    12100
D CARAUSTAR INDUSTRIES, INC.     COMMON     140909102     8224   743400 SH    -  DEFINED 02           640300        0   103100
D CARAUSTAR INDUSTRIES, INC.     COMMON     140909102     3964   358300 SH    -  DEFINED 02           358300        0        0
D CARAUSTAR INDUSTRIES, INC.     COMMON     140909102        2      200 SH    -  DEFINED 20              200        0        0
D CARDINAL HEALTH, INC.          COMMON     14149Y108      212     2400 SH    -  DEFINED 20             2400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  65
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CARDINAL HEALTH, INC.          COMMON     14149Y108    28599   324300 SH    -  DEFINED 02           287600        0    36700
D CARDINAL HEALTH, INC.          COMMON     14149Y108      176     2000 SH    -  OTHER   02                0        0     2000
D CARDINAL HEALTH, INC.          COMMON     14149Y108       62      700 SH    -  OTHER   21                0      700        0
D CARDINAL HEALTH, INC.          COMMON     14149Y108     1291    14635 SH    -  DEFINED 01             3437        0    11198
D CAREMATRIX CORP                COMMON     141706101        6    11000 SH    -  DEFINED 01                0        0    11000
D CARESCIENCE INC                COMMON     141726109     1800   600000 SH    -  OTHER   01                0   600000        0
D CARLISLE COMPANIES, INC.       COMMON     142339100     3699    89122 SH    -  DEFINED 01                0        0    89122
D CARLISLE COMPANIES, INC.       COMMON     142339100       46     1100 SH    -  OTHER   01                0     1100        0
D CARLISLE COMPANIES, INC.       COMMON     142339100        0        2 SH    -  DEFINED 16                2        0        0
D CARNIVAL CORP. CL. "A"         COMMON     143658102      441    17900 SH    -  DEFINED 17            17900        0        0
D CARNIVAL CORP. CL. "A"         COMMON     143658102     2018    81950 SH    -  DEFINED 01            28250        0    53700
D CARNIVAL CORP. CL. "A"         COMMON     143658102      884    35900 SH    -  OTHER   01            33500     2400        0
D CARPENTER TECHNOLOGY CORP.     COMMON     144285103       93     3200 SH    -  DEFINED 01                0        0     3200
D CARPENTER TECHNOLOGY CORP.     COMMON     144285103     1092    37500 SH    -  DEFINED 02            37500        0        0
D CARRAMERICA REALTY CORPORATION COMMON     144418100     4386   145000 SH    -  DEFINED 02           145000        0        0
D CARRAMERICA REALTY CORPORATION COMMON     144418100     3554   117500 SH    -  DEFINED 02           117500        0        0
D CARRIER ACCESS CORP            COMMON     144460102      202    10200 SH    -  DEFINED 02            10200        0        0
D CARRIER ACCESS CORP            COMMON     144460102        0        2 SH    -  DEFINED 16                2        0        0
D CARRIER ACCESS CORP            COMMON     144460102       10      500 SH    -  DEFINED 02              500        0        0
D CARRIER ACCESS CORP            COMMON     144460102      693    34998 SH    -  DEFINED 01                0        0    34998
D CASCADE NATURAL GAS CORP.      COMMON     147339105       60     3400 SH    -  OTHER   01                0     3400        0
D CASCADE NATURAL GAS CORP.      COMMON     147339105      210    12000 SH    -  DEFINED 02            12000        0        0
D CASEY'S GENERAL STORES, INC.   COMMON     147528103      416    32000 SH    -  DEFINED 01                0        0    32000
D CATALINA MARKETING CORP.       COMMON     148867104    26261   697955 SH    -  DEFINED 01           462330        0   235625
D CATALINA MARKETING CORP.       COMMON     148867104     2857    75925 SH    -  DEFINED 02            62925        0    13000
D CATALINA MARKETING CORP.       COMMON     148867104      238     6325 SH    -  DEFINED 05                0        0     6325

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  66
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CATALINA MARKETING CORP.       COMMON     148867104        0        3 SH    -  DEFINED 16                3        0        0
D CATELLUS DEVELOPMENT CORP.     COMMON     149111106     4256   243200 SH    -  DEFINED 02           243200        0        0
D CATELLUS DEVELOPMENT CORP.     COMMON     149111106     4053   231600 SH    -  DEFINED 02           205200        0    26400
D CATELLUS DEVELOPMENT CORP.     COMMON     149111106      518    29600 SH    -  DEFINED 01                0        0    29600
D CATERPILLAR, INC.              COMMON     149123101     9928   294163 SH    -  DEFINED 01           115313        0   178850
D CATERPILLAR, INC.              COMMON     149123101     2494    73910 SH    -  OTHER   01            16900    42010    15000
D CATERPILLAR, INC.              COMMON     149123101      172     5100 SH    -  OTHER   21                0     5100        0
D CATERPILLAR, INC.              COMMON     149123101    74467  2206430 SH    -  DEFINED 02          1392930        0   813500
D CATERPILLAR, INC.              COMMON     149123101      128     3800 SH    -  OTHER   02                0        0     3800
D CATERPILLAR, INC.              COMMON     149123101      560    16600 SH    -  DEFINED 05             6600        0    10000
D CATERPILLAR, INC.              COMMON     149123101      246     7300 SH    -  OTHER   05             5500        0     1800
D CATERPILLAR, INC.              COMMON     149123101    50240  1488600 SH    -  DEFINED 02          1124000        0   364600
D CATERPILLAR, INC.              COMMON     149123101      118     3500 SH    -  OTHER   02             3500        0        0
D CATERPILLAR, INC.              COMMON     149123101      142     4200 SH    -  DEFINED 17             4200        0        0
D CATERPILLAR, INC.              COMMON     149123101      503    14900 SH    -  DEFINED 20            14900        0        0
D CATO CORP.                     COMMON     149205106      251    20100 SH    -  DEFINED 02            20100        0        0
D CATO CORP.                     COMMON     149205106      110     8800 SH    -  DEFINED 02             8800        0        0
D CATO CORP.                     COMMON     149205106      243    19400 SH    -  DEFINED 01                0        0    19400
D CELL GENESYS, INC.             COMMON     150921104      456    15200 SH    -  DEFINED 01                0        0    15200
D CELL GENESYS, INC.             COMMON     150921104      267     8900 SH    -  DEFINED 02             8900        0        0
D CELL GENESYS, INC.             COMMON     150921104      954    31800 SH    -  DEFINED 02            31800        0        0
D CELERITEK, INC.                COMMON     150926103      912    24200 SH    -  DEFINED 02            24200        0        0
D CELERITEK, INC.                COMMON     150926103       26      700 SH    -  DEFINED 02              700        0        0
D CELESTICA INC    'CONV BOND'   BOND       15101QAA6        0 21014000 PRN   -  DEFINED 16                0        0        0
D CELESTICA INC                  COMMON     15101Q108      907    13100 SH    -  DEFINED 16            13100        0        0
D CELESTICA INC                  COMMON     15101Q108        1       15 SH    -  DEFINED 01               15        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  67
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CELGENE CORPORATION            COMMON     151020104        1       15 SH    -  DEFINED 01               15        0        0
D CELGENE CORPORATION            COMMON     151020104     1047    17600 SH    -  OTHER   01                0    17600        0
D CELGENE CORPORATION            COMMON     151020104       36      600 SH    -  DEFINED 02                0        0      600
D CELGENE CORPORATION            COMMON     151020104      268     4500 SH    -  DEFINED 17             4500        0        0
D CELGENE CORPORATION            COMMON     151020104       36      600 SH    -  DEFINED 20              600        0        0
D CELGENE CORPORATION            COMMON     151020104     1624    27300 SH    -  DEFINED 02            27300        0        0
D CELL PATHWAYS INC NEW          COMMON     15114R101        7      900 SH    -  DEFINED 02              900        0        0
D CELL PATHWAYS INC NEW          COMMON     15114R101      109    13400 SH    -  DEFINED 01                0        0    13400
D CEMEX S A                      WARRANT    151290871       50    28375 PRN   -  DEFINED 17
D CEMEX S A                      COMMON     151290889     4020   200365 SH    -  DEFINED 17           200365        0        0
D CEMEX S A                      COMMON     151290889      420    20931 SH    -  DEFINED 18            20931        0        0
D CENDANT CORPORATION            COMMON     151313103      372    34200 SH    -  DEFINED 20            34200        0        0
D CENDANT CORPORATION            COMMON     151313103    34080  3133837 SH    -  DEFINED 02          2396250        0   737587
D CENDANT CORPORATION            COMMON     151313103       55     5100 SH    -  OTHER   02             5100        0        0
D CENDANT CORPORATION            COMMON     151313103      111    10200 SH    -  OTHER   01              600     6600     3000
D CENDANT CORPORATION            COMMON     151313103     2633   242107 SH    -  DEFINED 01           187375        0    54732
D CENDANT CORPORATION            COMMON     151313103       83     7600 SH    -  OTHER   21                0     7600        0
D CENDANT CORPORATION            COMMON     151313103   118003 10850846 SH    -  DEFINED 02          8252979        0  2597867
D CENDANT CORPORATION            COMMON     151313103      146    13400 SH    -  OTHER   02                0        0    13400
D CENDANT CORPORATION            COMMON     151313103       11     1000 SH    -  DEFINED 05             1000        0        0
D CENTENNIAL COMMUNCTNS CORP N   COMMON     15133V208      953    43300 SH    -  DEFINED 02              400        0    42900
D CENTENNIAL COMMUNCTNS CORP N   COMMON     15133V208      554    25182 SH    -  DEFINED 01                0        0    25182
D CENTENNIAL COMMUNCTNS CORP N   COMMON     15133V208      242    11000 SH    -  DEFINED 02            11000        0        0
D CENTERPOINT PROPERTIES CORP.   COMMON     151895109    10355   224800 SH    -  DEFINED 02           224800        0        0
D CENTERPOINT PROPERTIES CORP.   COMMON     151895109    21184   459900 SH    -  DEFINED 02           436200        0    23700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  68
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CENTEX CONSTRUCTION PRODUCTS   COMMON     15231R109       30     1200 SH    -  DEFINED 02             1200        0        0
D CENTEX CONSTRUCTION PRODUCTS   COMMON     15231R109      275    11100 SH    -  DEFINED 02            11100        0        0
D CENTEX CONSTRUCTION PRODUCTS   COMMON     15231R109        0        3 SH    -  DEFINED 16                3        0        0
D CENTRAL GARDEN & PET COMPANY   COMMON     153527106      108    15500 SH    -  DEFINED 02            15500        0        0
D CENTRAL GARDEN & PET COMPANY   COMMON     153527106      139    20100 SH    -  DEFINED 01                0        0    20100
D CENTURYTEL INC                 COMMON     156700106      385    14124 SH    -  DEFINED 01            14124        0        0
D CENTURYTEL INC                 COMMON     156700106      125     4600 SH    -  DEFINED 02                0        0     4600
D CENTURYTEL INC                 COMMON     156700106      487    18000 SH    -  DEFINED 06            18000        0        0
D CENTURYTEL INC                 COMMON     156700106       46     1700 SH    -  DEFINED 17             1700        0        0
D CERIDIAN CORP.                 COMMON     15677T106       48     1700 SH    -  DEFINED 17             1700        0        0
D CERIDIAN CORP.                 COMMON     15677T106      177     6312 SH    -  DEFINED 01               80        0     6232
D CERNER CORP.                   COMMON     156782104      246     5300 SH    -  DEFINED 01                0        0     5300
D CERNER CORP.                   COMMON     156782104      511    11000 SH    -  DEFINED 02            11000        0        0
D CERNER CORP.                   COMMON     156782104     1574    33900 SH    -  DEFINED 02            33900        0        0
D CERTICOM CORP                  COMMON     156915100     5730   144600 SH    -  DEFINED 02           144600        0        0
D CERTICOM CORP                  COMMON     156915100    16694   421300 SH    -  DEFINED 02           350200        0    71100
D CERTICOM CORP                  COMMON     156915100      351     8850 SH    -  DEFINED 05                0        0     8850
D CERTICOM CORP                  COMMON     156915100    21905   552812 SH    -  DEFINED 01           265737        0   287075
D CHARLES RIV LABS INTL INC      COMMON     159864107     5719   168200 SH    -  DEFINED 01            92000        0    76200
D CHARLES RIV LABS INTL INC      COMMON     159864107       75     2200 SH    -  DEFINED 05                0        0     2200
D CHARLES RIV LABS INTL INC      COMMON     159864107     5014   147475 SH    -  DEFINED 02           123625        0    23850
D CHARLES RIV LABS INTL INC      COMMON     159864107     1884    55400 SH    -  DEFINED 02            55400        0        0
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100     4780   196105 SH    -  DEFINED 02           167200        0    28905
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100       64     2625 SH    -  DEFINED 17             2625        0        0
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100       49     2000 SH    -  DEFINED 20             2000        0        0
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100    26459  1085485 SH    -  DEFINED 02           801320        0   284165
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100       77     3145 SH    -  OTHER   02                0        0     3145

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  69
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CHARTER ONE FINANCIAL, INC.    COMMON     160903100     3426   140565 SH    -  DEFINED 01            47137        0    93428
D CHARMING SHOPPES, INC.         COMMON     161133103       55    10600 SH    -  DEFINED 01                0        0    10600
D CHARMING SHOPPES, INC.         COMMON     161133103      848   162400 SH    -  DEFINED 02           162400        0        0
D CHARMING SHOPPES, INC.         COMMON     161133103       52     9871 SH    -  DEFINED 16             9871        0        0
D CHARMING SHOPPES, INC.         COMMON     161133103      401    76900 SH    -  DEFINED 02            76900        0        0
D CHARTER COMMUNICATIONS INC D   COMMON     16117M107      149     9154 SH    -  DEFINED 16             9154        0        0
D CHARTER COMMUNICATIONS INC D   COMMON     16117M107      135     8300 SH    -  DEFINED 02                0        0     8300
D CHARTER COMMUNICATIONS INC D   COMMON     16117M107        2      100 SH    -  DEFINED 01              100        0        0
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108     7345   159026 SH    -  DEFINED 01            94343     3900    60783
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108    10292   222831 SH    -  OTHER   01             5775   203550    13506
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108      249     5400 SH    -  OTHER   21                0     5400        0
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108    57249  1239476 SH    -  DEFINED 02           848660        0   390816
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108     3132    67805 SH    -  DEFINED 05            32535        0    35270
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108      642    13900 SH    -  DEFINED 20            13900        0        0
D CHASE MANHATTAN CORP. - NEW    COMMON     16161A108     8231   178200 SH    -  DEFINED 02           117200        0    61000
D CHECKFREE CORP NEW             COMMON     162813109       58     1374 SH    -  DEFINED 16             1374        0        0
D CHECKFREE CORP NEW             COMMON     162813109       54     1300 SH    -  DEFINED 02                0        0     1300
D CHECKFREE CORP NEW             COMMON     162813109      782    18658 SH    -  DEFINED 01             6638        0    12020
D CHECKPOINT SYSTEMS, INC.       COMMON     162825103       71     9400 SH    -  DEFINED 01                0        0     9400
D CHECKPOINT SYSTEMS, INC.       COMMON     162825103       39     5200 SH    -  DEFINED 02             5200        0        0
D CHEESECAKE FACTORY, INC.       COMMON     163072101      701    16200 SH    -  DEFINED 01                0        0    16200
D CHEESECAKE FACTORY, INC.       COMMON     163072101        0        3 SH    -  DEFINED 16                3        0        0
D CHEMED CORP.                   COMMON     163596109      269     8464 SH    -  DEFINED 16             8464        0        0
D CHEMED CORP.                   COMMON     163596109     1047    32900 SH    -  DEFINED 02            32900        0        0
D CHEMED CORP.                   COMMON     163596109      143     4500 SH    -  DEFINED 01             3000        0     1500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  70
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CHESAPEAKE ENERGY CORP.        COMMON     165167107     1435   199700 SH    -  DEFINED 02                0        0   199700
D CHESAPEAKE ENERGY CORP.        COMMON     165167107       99    13800 SH    -  DEFINED 02            13800        0        0
D CHESAPEAKE ENERGY CORP.        COMMON     165167107     7176   998400 SH    -  DEFINED 17           998400        0        0
D CHESAPEAKE ENERGY CORP.        COMMON     165167107       24     3300 SH    -  DEFINED 20             3300        0        0
D CHEVRON CORPORATION            COMMON     166751107     1756    20600 SH    -  DEFINED 20            20600        0        0
D CHEVRON CORPORATION            COMMON     166751107     1526    17900 SH    -  DEFINED 06            17900        0        0
D CHEVRON CORPORATION            COMMON     166751107      665     7800 SH    -  DEFINED 17             7800        0        0
D CHEVRON CORPORATION            COMMON     166751107   148889  1746500 SH    -  DEFINED 02          1310000        0   436500
D CHEVRON CORPORATION            COMMON     166751107      222     2600 SH    -  OTHER   02             2600        0        0
D CHEVRON CORPORATION            COMMON     166751107   319725  3750435 SH    -  DEFINED 02          2395835        0  1354600
D CHEVRON CORPORATION            COMMON     166751107      350     4100 SH    -  OTHER   02                0        0     4100
D CHEVRON CORPORATION            COMMON     166751107     2230    26154 SH    -  DEFINED 05            21954        0     4200
D CHEVRON CORPORATION            COMMON     166751107      426     5000 SH    -  OTHER   05             4000     1000        0
D CHEVRON CORPORATION            COMMON     166751107     2558    30000 SH    -  OTHER   0304          30000        0        0
D CHEVRON CORPORATION            COMMON     166751107   238238  2794580 SH    -  DEFINED 01           376582     4550  2371948
D CHEVRON CORPORATION            COMMON     166751107    14259   167259 SH    -  OTHER   01            20701    91758    54800
D CHEVRON CORPORATION            COMMON     166751107      784     9200 SH    -  OTHER   21                0     9200        0
D CHICOS FAS INC                 COMMON     168615102      190     5600 SH    -  DEFINED 02              300        0     5300
D CHICOS FAS INC                 COMMON     168615102        2       65 SH    -  DEFINED 16               65        0        0
D CHICOS FAS INC                 COMMON     168615102      180     5300 SH    -  DEFINED 20             5300        0        0
D THE CHILDREN'S PLACE RETAIL ST COMMON     168905107        0        3 SH    -  DEFINED 16                3        0        0
D THE CHILDREN'S PLACE RETAIL ST COMMON     168905107      335    13000 SH    -  DEFINED 02            13000        0        0
D THE CHILDREN'S PLACE RETAIL ST COMMON     168905107       13      500 SH    -  DEFINED 02              500        0        0
D THE CHILDREN'S PLACE RETAIL ST COMMON     168905107      417    16200 SH    -  DEFINED 01                0        0    16200
D CHIRON CORP.                   COMMON     170040109      140     3112 SH    -  DEFINED 01             3112        0        0
D CHIRON CORP.                   COMMON     170040109      176     3900 SH    -  DEFINED 16             3900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  71
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CHIRON CORP.                   COMMON     170040109       90     2000 SH    -  DEFINED 06             2000        0        0
D CHITTENDEN CORP.               COMMON     170228100      207     8056 SH    -  DEFINED 01                0        0     8056
D CHOICE ONE COMMUNICATION INC   COMMON     17038P104     3633   298090 SH    -  DEFINED 01           107715        0   190375
D CHOICE ONE COMMUNICATION INC   COMMON     17038P104     3770   309300 SH    -  DEFINED 02           260250        0    49050
D CHOICE ONE COMMUNICATION INC   COMMON     17038P104       67     5525 SH    -  DEFINED 05                0        0     5525
D CHOICE ONE COMMUNICATION INC   COMMON     17038P104     1386   113700 SH    -  DEFINED 02           113700        0        0
D CHRIS CRAFT INDUSTRIES, INC.   COMMON     170520100     3970    48200 SH    -  DEFINED 02            48200        0        0
D CHRIS CRAFT INDUSTRIES, INC.   COMMON     170520100     4588    55700 SH    -  DEFINED 16            55700        0        0
D CHRIS CRAFT INDUSTRIES, INC.   COMMON     170520100     1178    14300 SH    -  DEFINED 02                0        0    14300
D CHUBB CORP.                    COMMON     171232101      845    10675 SH    -  DEFINED 05             5075        0     5600
D CHUBB CORP.                    COMMON     171232101     3570    45123 SH    -  DEFINED 01            35511        0     9612
D CHUBB CORP.                    COMMON     171232101     1843    23296 SH    -  OTHER   01             5864    17432        0
D CHUBB CORP.                    COMMON     171232101     2777    35100 SH    -  DEFINED 17            35100        0        0
D CHURCH & DWIGHT, INC.          COMMON     171340102      598    32544 SH    -  DEFINED 01            32544        0        0
D CHURCH & DWIGHT, INC.          COMMON     171340102    10096   549468 SH    -  OTHER   01                0    15000   534468
D CIBER, INC.                    COMMON     17163B102      162    19600 SH    -  DEFINED 02            19600        0        0
D CIENA CORP                     COMMON     171779101     2944    23968 SH    -  DEFINED 17            23968        0        0
D CIENA CORP                     COMMON     171779101        1        6 SH    -  DEFINED 16                6        0        0
D CIENA CORP                     COMMON     171779101      295     2400 SH    -  DEFINED 20             2400        0        0
D CIENA CORP                     COMMON     171779101      123     1000 SH    -  OTHER   01             1000        0        0
D CIENA CORP                     COMMON     171779101   130357  1061424 SH    -  DEFINED 01             2622        0  1036614
D CIENA CORP                     COMMON     171779101      295     2400 SH    -  DEFINED 05             2400        0        0
D CIENA CORP                     COMMON     171779101    22548   183600 SH    -  DEFINED 02           117200        0    66400
D CIENA CORP                     COMMON     171779101      246     2000 SH    -  OTHER   02                0        0     2000
D CINCINNATI FINANCIAL CORP.     COMMON     172062101     6120   172400 SH    -  DEFINED 02           143400        0    29000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  72
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CINCINNATI FINANCIAL CORP.     COMMON     172062101     4853   136703 SH    -  DEFINED 01                0        0   136703
D CINCINNATI FINANCIAL CORP.     COMMON     172062101       46     1300 SH    -  OTHER   21                0     1300        0
D CINCINNATI FINANCIAL CORP.     COMMON     172062101     2283    64300 SH    -  DEFINED 17            64300        0        0
D CINCINNATI FINANCIAL CORP.     COMMON     172062101     2876    81000 SH    -  DEFINED 02            57100        0    23900
D CINERGY CORP.                  COMMON     172474108    21547   651700 SH    -  DEFINED 02           519300        0   132400
D CINERGY CORP.                  COMMON     172474108       36     1100 SH    -  OTHER   02             1100        0        0
D CINERGY CORP.                  COMMON     172474108       63     1900 SH    -  DEFINED 17             1900        0        0
D CINERGY CORP.                  COMMON     172474108      102     3100 SH    -  DEFINED 20             3100        0        0
D CINERGY CORP.                  COMMON     172474108       96     2900 SH    -  OTHER   21                0     2900        0
D CINERGY CORP.                  COMMON     172474108      273     8250 SH    -  DEFINED 01             3500        0     4750
D CINERGY CORP.                  COMMON     172474108    33941  1026560 SH    -  DEFINED 02           555160        0   471400
D CINERGY CORP.                  COMMON     172474108       13      400 SH    -  OTHER   02                0        0      400
D CINERGY CORP.                  COMMON     172474108       13      400 SH    -  DEFINED 05              400        0        0
D CIRCUIT CITY STORES, INC.      COMMON     172737108       12      500 SH    -  DEFINED 05              500        0        0
D CIRCUIT CITY STORES, INC.      COMMON     172737108      955    41500 SH    -  DEFINED 02             8300        0    33200
D CIRCUIT CITY STORES, INC.      COMMON     172737108     1203    52300 SH    -  DEFINED 01            31900        0    17000
D CIRCUIT CITY STORES, INC.      COMMON     172737108      223     9700 SH    -  OTHER   01                0        0     9700
D CIRCUIT CITY STORES, INC.      COMMON     172737108       69     3000 SH    -  DEFINED 20             3000        0        0
D CIRCUIT CITY STORES, INC.      COMMON     172737108       55     2400 SH    -  DEFINED 17             2400        0        0
D CIRCUIT CITY STORES, INC.      COMMON     172737108      242    10500 SH    -  DEFINED 02            10500        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102   776312 14050900 SH    -  DEFINED 02         10048200        0  4002700
D CISCO SYSTEMS, INC.            COMMON     17275R102     1409    25500 SH    -  OTHER   02            25500        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102     2094    37900 SH    -  DEFINED 18            37900        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102      155     2797 SH    -  DEFINED 16             2797        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102      766    13863 SH    -  DEFINED 19            13863        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102    51758   936800 SH    -  DEFINED 20           936800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  73
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CISCO SYSTEMS, INC.            COMMON     17275R102   573410 10378456 SH    -  DEFINED 01          4721955    62334  5487541
D CISCO SYSTEMS, INC.            COMMON     17275R102   100505  1819087 SH    -  OTHER   01           665995   950780   202312
D CISCO SYSTEMS, INC.            COMMON     17275R102      204     3700 SH    -  OTHER   21                0     3700        0
D CISCO SYSTEMS, INC.            COMMON     17275R102  1963650 35541177 SH    -  DEFINED 02         23942957        0 11598220
D CISCO SYSTEMS, INC.            COMMON     17275R102     3416    61828 SH    -  OTHER   02                0        0    61828
D CISCO SYSTEMS, INC.            COMMON     17275R102    19102   345736 SH    -  DEFINED 05           164287    10900   170549
D CISCO SYSTEMS, INC.            COMMON     17275R102       22      400 SH    -  OTHER   05                0      400        0
D CISCO SYSTEMS, INC.            COMMON     17275R102      995    18000 SH    -  OTHER   11                0    18000        0
D CISCO SYSTEMS, INC.            COMMON     17275R102      995    18000 SH    -  OTHER   10                0    18000        0
D CISCO SYSTEMS, INC.            COMMON     17275R102     6630   120000 SH    -  OTHER   0304         120000        0        0
D CISCO SYSTEMS, INC.            COMMON     17275R102     6995   126600 SH    -  OTHER   09           126600        0        0
D CIRRUS LOGIC INC.              COMMON     172755100     1746    43300 SH    -  DEFINED 02            43300        0        0
D CIRRUS LOGIC INC.              COMMON     172755100     1213    30100 SH    -  DEFINED 01                0        0    30100
D CIRRUS LOGIC INC.              COMMON     172755100       20      506 SH    -  DEFINED 16              506        0        0
D CIRRUS LOGIC INC.              COMMON     172755100     2253    55900 SH    -  DEFINED 02            55900        0        0
D CINTAS CORP.                   COMMON     172908105      212     5000 SH    -  DEFINED 16             5000        0        0
D CINTAS CORP.                   COMMON     172908105      294     6760 SH    -  DEFINED 01              600        0     6160
D CINTAS CORP.                   COMMON     172908105     1196    27450 SH    -  OTHER   01                0    27450        0
D CINTAS CORP.                   COMMON     172908105      828    19000 SH    -  DEFINED 02                0        0    19000
D CITIGROUP INC                  COMMON     172967101  1407740 26038889 SH    -  DEFINED 02         17492617        0  8546272
D CITIGROUP INC                  COMMON     172967101     2483    45933 SH    -  OTHER   02                0        0    45933
D CITIGROUP INC                  COMMON     172967101     2534    46865 SH    -  OTHER   09            46865        0        0
D CITIGROUP INC                  COMMON     172967101     2584    47800 SH    -  OTHER   0304          47800        0        0
D CITIGROUP INC                  COMMON     172967101     6737   124617 SH    -  DEFINED 05            73453     3933    47231
D CITIGROUP INC                  COMMON     172967101      533     9866 SH    -  OTHER   05             7200     2666        0
D CITIGROUP INC                  COMMON     172967101   226890  4196768 SH    -  DEFINED 01          2395777    25321  1760684

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  74
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CITIGROUP INC                  COMMON     172967101    37037   685075 SH    -  OTHER   01           247532   371144    66399
D CITIGROUP INC                  COMMON     172967101     2579    47700 SH    -  OTHER   21                0    47700        0
D CITIGROUP INC                  COMMON     172967101    38630   714531 SH    -  DEFINED 20           714531        0        0
D CITIGROUP INC                  COMMON     172967101   557519 10312388 SH    -  DEFINED 02          7567438        0  2744950
D CITIGROUP INC                  COMMON     172967101      914    16900 SH    -  OTHER   02            16900        0        0
D CITIZENS BANKING CORP. (MI)    COMMON     174420109      221     9600 SH    -  DEFINED 01                0        0     9600
D CITIZENS COMMUNICATIONS CO     COMMON     17453B101      207    15429 SH    -  DEFINED 01            15429        0        0
D CITRIX SYSTEMS INC             BOND       177376AB6    10484 12880000 PRN   -  DEFINED 01                0        0        0
D CITRIX SYSTEMS INC             BOND       177376AB6    10581 13000000 PRN   -  DEFINED 16                0        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100        1       66 SH    -  DEFINED 16               66        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100      534    26600 SH    -  DEFINED 18            26600        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100     5236   261000 SH    -  DEFINED 20           261000        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100     2811   140100 SH    -  DEFINED 02            68000        0    72100
D CITRIX SYSTEMS, INC.           COMMON     177376100     5561   277192 SH    -  DEFINED 01           149665     2950   123227
D CITRIX SYSTEMS, INC.           COMMON     177376100     1508    75150 SH    -  OTHER   01             6615    53035    15500
D CITRIX SYSTEMS, INC.           COMMON     177376100      864    43075 SH    -  DEFINED 05            19975     1300    21800
D CITRIX SYSTEMS, INC.           COMMON     177376100       12      600 SH    -  OTHER   05              600        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100      301    15000 SH    -  OTHER   0304          15000        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100      255    12700 SH    -  OTHER   09            12700        0        0
D CITRIX SYSTEMS, INC.           COMMON     177376100    38424  1915190 SH    -  DEFINED 02          1668330        0   246860
D CITRIX SYSTEMS, INC.           COMMON     177376100       14      700 SH    -  OTHER   02                0        0      700
D CITY NATIONAL CORP.            COMMON     178566105     8629   223400 SH    -  DEFINED 02           194775        0    28625
D CITY NATIONAL CORP.            COMMON     178566105      134     3475 SH    -  DEFINED 05                0        0     3475
D CITY NATIONAL CORP.            COMMON     178566105     9466   245065 SH    -  DEFINED 01           183970        0    61095

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  75
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CITY NATIONAL CORP.            COMMON     178566105     4473   115800 SH    -  DEFINED 02           115800        0        0
D CLAIRE'S STORES, INC.          COMMON     179584107        0        3 SH    -  DEFINED 16                3        0        0
D CLAIRE'S STORES, INC.          COMMON     179584107      429    23850 SH    -  DEFINED 01                0        0    23850
D CLARENT CORP DEL               COMMON     180461105     2867    72800 SH    -  DEFINED 01            18650        0    54150
D CLARENT CORP DEL               COMMON     180461105       63     1600 SH    -  DEFINED 05                0        0     1600
D CLARENT CORP DEL               COMMON     180461105     4848   123125 SH    -  DEFINED 02           101125        0    22000
D CLARENT CORP DEL               COMMON     180461105     2077    52750 SH    -  DEFINED 02            52750        0        0
D CLARK (DICK) PRODUCTIONS, INC. COMMON     181512104       97    10793 SH    -  DEFINED 01                0        0    10793
D CLARUS CORP                    COMMON     182707109        7      300 SH    -  DEFINED 02              300        0        0
D CLARUS CORP                    COMMON     182707109      495    21700 SH    -  DEFINED 02            21700        0        0
D CLAYTON HOMES, INC.            COMMON     184190106      188    18750 SH    -  DEFINED 01            18750        0        0
D CLEAN HARBORS, INC.            COMMON     184496107      901   303306 SH    -  DEFINED 02           303306        0        0
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102     1561    27626 SH    -  DEFINED 16            27626        0        0
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102      305     5400 SH    -  DEFINED 17             5400        0        0
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102      215     3804 SH    -  DEFINED 20             3804        0        0
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102     1919    33956 SH    -  DEFINED 01             8271        0    25685
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102      175     3100 SH    -  OTHER   21                0     3100        0
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102    22128   391652 SH    -  DEFINED 02           310918        0    80734
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102      136     2400 SH    -  OTHER   02                0        0     2400
D CLEAR CHANNEL COMMUNICATIONS,  COMMON     184502102      198     3500 SH    -  DEFINED 05             1900        0     1600
D CLICK2LEARN COM INC            COMMON     18681S106     5006   340800 SH    -  DEFINED 02           290500        0    50300
D CLICK2LEARN COM INC            COMMON     18681S106     3277   223100 SH    -  DEFINED 01           223100        0        0
D CLICK2LEARN COM INC            COMMON     18681S106     2002   136300 SH    -  DEFINED 02           136300        0        0
D CLOROX CO.                     COMMON     189054109    41533  1049800 SH    -  DEFINED 02           766900        0   282900
D CLOROX CO.                     COMMON     189054109       44     1100 SH    -  OTHER   02             1100        0        0
D CLOROX CO.                     COMMON     189054109      633    16000 SH    -  DEFINED 20            16000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  76
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CLOROX CO.                     COMMON     189054109       51     1300 SH    -  DEFINED 17             1300        0        0
D CLOROX CO.                     COMMON     189054109   178884  4521500 SH    -  DEFINED 18          4521500        0        0
D CLOROX CO.                     COMMON     189054109    11688   295440 SH    -  DEFINED 01           166650      200   126590
D CLOROX CO.                     COMMON     189054109      868    21930 SH    -  OTHER   01             7600    13530      800
D CLOROX CO.                     COMMON     189054109       95     2400 SH    -  OTHER   21                0     2400        0
D CLOROX CO.                     COMMON     189054109   133099  3364230 SH    -  DEFINED 02          2511930        0   852300
D CLOROX CO.                     COMMON     189054109      305     7700 SH    -  OTHER   02                0        0     7700
D CLOROX CO.                     COMMON     189054109      257     6500 SH    -  DEFINED 05             4200        0     2300
D CLOROX CO.                     COMMON     189054109      601    15200 SH    -  OTHER   09            15200        0        0
D COACHMEN INDUSTRIES, INC.      COMMON     189873102      200    19200 SH    -  DEFINED 01                0        0    19200
D COAST FEDERAL LITIGATION TRUST COMMON     19034Q110        4     2400 SH    -  DEFINED 01                0        0     2400
D COAST FEDERAL LITIGATION TRUST COMMON     19034Q110       49    31900 SH    -  DEFINED 16            31900        0        0
D COAST FEDERAL LITIGATION TRUST COMMON     19034Q110      600   400000 SH    -  DEFINED 17           400000        0        0
D COASTAL CORP.                  COMMON     190441105      193     2600 SH    -  DEFINED 17             2600        0        0
D COASTAL CORP.                  COMMON     190441105     9410   126950 SH    -  DEFINED 16           126950        0        0
D COASTAL CORP.                  COMMON     190441105      999    13481 SH    -  DEFINED 01             4281        0     9200
D COASTAL CORP.                  COMMON     190441105      482     6500 SH    -  OTHER   01                0     6500        0
D COASTAL CORP.                  COMMON     190441105       43      580 SH    -  DEFINED 05                0        0      580
D COASTAL CORP.                  COMMON     190441105     2320    31300 SH    -  DEFINED 02                0        0    31300
D COBALT NETWORKS INC            COMMON     19074R101     4543    78500 SH    -  DEFINED 02            65800        0    12700
D COBALT NETWORKS INC            COMMON     19074R101       64     1100 SH    -  DEFINED 05                0        0     1100
D COBALT NETWORKS INC            COMMON     19074R101     4890    84495 SH    -  DEFINED 01            51295        0    33200
D COBALT NETWORKS INC            COMMON     19074R101     1563    27000 SH    -  DEFINED 16            27000        0        0
D COBALT NETWORKS INC            COMMON     19074R101     1777    30700 SH    -  DEFINED 02            30700        0        0
D COCA COLA CO.                  COMMON     191216100    86778  1574200 SH    -  DEFINED 02           906700        0   667500
D COCA COLA CO.                  COMMON     191216100        6      100 SH    -  OTHER   02              100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  77
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COCA COLA CO.                  COMMON     191216100      606    11000 SH    -  DEFINED 18            11000        0        0
D COCA COLA CO.                  COMMON     191216100    11152   202300 SH    -  DEFINED 20           202300        0        0
D COCA COLA CO.                  COMMON     191216100   148901  2701150 SH    -  DEFINED 01          1758373    81760   858242
D COCA COLA CO.                  COMMON     191216100    73700  1336964 SH    -  OTHER   01           365830   820634   150500
D COCA COLA CO.                  COMMON     191216100     6137   111334 SH    -  DEFINED 05            47564     1600    62170
D COCA COLA CO.                  COMMON     191216100     1180    21400 SH    -  OTHER   05            20400     1000        0
D COCA COLA CO.                  COMMON     191216100     2646    48000 SH    -  OTHER   12                0    48000        0
D COCA COLA CO.                  COMMON     191216100     1610    29200 SH    -  OTHER   09            29200        0        0
D COCA COLA CO.                  COMMON     191216100     1378    25000 SH    -  OTHER   0304          25000        0        0
D COCA COLA CO.                  COMMON     191216100   210310  3815140 SH    -  DEFINED 02          2497440        0  1317700
D COCA COLA CO.                  COMMON     191216100       55     1000 SH    -  OTHER   02                0        0     1000
D COGNEX CORP.                   COMMON     192422103       83     2100 SH    -  DEFINED 02                0        0     2100
D COGNEX CORP.                   COMMON     192422103      126     3200 SH    -  DEFINED 01                0        0     3200
D COGNEX CORP.                   COMMON     192422103       12      300 SH    -  DEFINED 20              300        0        0
D COGNIZANT TECHNOLOGY SOLUTIO   COMMON     192446102      281     7200 SH    -  DEFINED 02             7200        0        0
D COGNIZANT TECHNOLOGY SOLUTIO   COMMON     192446102       31      800 SH    -  DEFINED 02              800        0        0
D COHERENT, INC.                 COMMON     192479103       54      800 SH    -  DEFINED 01                0        0      800
D COHERENT, INC.                 COMMON     192479103      959    14100 SH    -  DEFINED 02            14100        0        0
D COHERENT, INC.                 COMMON     192479103        1        8 SH    -  DEFINED 16                8        0        0
D COHU, INC.                     COMMON     192576106        0        2 SH    -  DEFINED 16                2        0        0
D COHU, INC.                     COMMON     192576106      332    21700 SH    -  DEFINED 02            21700        0        0
D COHU, INC.                     COMMON     192576106       11      700 SH    -  DEFINED 02              700        0        0
D COLE KENNETH PRODUCTIONS, INC. COMMON     193294105      826    23400 SH    -  DEFINED 01             5400        0    18000
D COLGATE-PALMOLIVE CO.          COMMON     194162103    17181   364003 SH    -  DEFINED 01           230651     3400   126702
D COLGATE-PALMOLIVE CO.          COMMON     194162103     6144   130160 SH    -  OTHER   01            49160    73800     7200
D COLGATE-PALMOLIVE CO.          COMMON     194162103      245     5200 SH    -  DEFINED 02                0        0     5200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  78
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COLGATE-PALMOLIVE CO.          COMMON     194162103     1631    34560 SH    -  DEFINED 05            24400     1600     8560
D COLGATE-PALMOLIVE CO.          COMMON     194162103      661    14000 SH    -  DEFINED 16            14000        0        0
D COLGATE-PALMOLIVE CO.          COMMON     194162103      317     6700 SH    -  DEFINED 17             6700        0        0
D COLLINS & AIKMAN CORP.         COMMON     194830105       33     7100 SH    -  DEFINED 02             7100        0        0
D COLLINS & AIKMAN CORP.         COMMON     194830105       75    16100 SH    -  DEFINED 01                0        0    16100
D COLONIAL BANCGROUP, INC.       COMMON     195493309      220    21200 SH    -  DEFINED 01                0        0    21200
D COLUMBIA ENERGY GROUP          COMMON     197648108     6393    90045 SH    -  DEFINED 01            56545      100    32400
D COLUMBIA ENERGY GROUP          COMMON     197648108     3124    44000 SH    -  OTHER   01             2900    40900      200
D COLUMBIA ENERGY GROUP          COMMON     197648108   220378  3103916 SH    -  DEFINED 02          2632666        0   471250
D COLUMBIA ENERGY GROUP          COMMON     197648108      604     8500 SH    -  OTHER   02                0        0     8500
D COLUMBIA ENERGY GROUP          COMMON     197648108      785    11060 SH    -  DEFINED 05             2700        0     8360
D COLUMBIA ENERGY GROUP          COMMON     197648108       71     1000 SH    -  DEFINED 17             1000        0        0
D COLUMBIA ENERGY GROUP          COMMON     197648108    16792   236500 SH    -  DEFINED 16           236500        0        0
D COLUMBIA ENERGY GROUP          COMMON     197648108      753    10600 SH    -  DEFINED 20            10600        0        0
D COLUMBIA ENERGY GROUP          COMMON     197648108    40328   568000 SH    -  DEFINED 02           303050        0   264950
D COLUMBIA ENERGY GROUP          COMMON     197648108       57      800 SH    -  OTHER   02              800        0        0
D COLUMBIA LABORATORIES, INC.    COMMON     197779101       99    17100 SH    -  DEFINED 01                0        0    17100
D COLUMBIA SPORTSWEAR COMPANY    COMMON     198516106      711    15500 SH    -  DEFINED 02            15500        0        0
D COLUMBIA SPORTSWEAR COMPANY    COMMON     198516106     1908    41600 SH    -  DEFINED 02            41600        0        0
D COLUMBIA SPORTSWEAR COMPANY    COMMON     198516106        0        2 SH    -  DEFINED 16                2        0        0
D COLUMBUS MCKINNON CORP.        COMMON     199333105      307    22600 SH    -  DEFINED 01                0        0    22600
D COMFORT SYS USA INC            COMMON     199908104      222    42800 SH    -  DEFINED 02            42800        0        0
D COMARCO, INC.                  COMMON     200080109      309     8800 SH    -  DEFINED 01                0        0     8800
D COMCAST CORP. CLASS "A"        COMMON     200300101      244     6000 SH    -  DEFINED 01                0        0     6000
D COMCAST CORP. CLASS "A"        COMMON     200300101      348     8550 SH    -  OTHER   01                0        0     8550
D COMCAST CORP. CLASS "A"        COMMON     200300101       41     1000 SH    -  DEFINED 05                0        0     1000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  79
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200      729    17800 SH    -  DEFINED 05                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200     1445    35300 SH    -  OTHER   09                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200   440899 10769924 SH    -  DEFINED 02                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200      864    21100 SH    -  OTHER   02                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200    51029  1246492 SH    -  DEFINED 01                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200    10842   264841 SH    -  OTHER   01                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200      528    12900 SH    -  OTHER   21                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200   134420  3283500 SH    -  DEFINED 02                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200      135     3300 SH    -  OTHER   02                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200       25      599 SH    -  DEFINED 16                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200      438    10700 SH    -  DEFINED 17                0        0        0
D COMCAST CORP. CLASS "A" SPECIA COMMON     200300200     6820   166600 SH    -  DEFINED 20                0        0        0
D COMCAST CORP                   BOND       200300507      120   175000 PRN   -  DEFINED 17                0        0        0
D COMCAST CORP                   BOND       200300507      120   175000 PRN   -  DEFINED 18                0        0        0
D COMCAST CORP                   BOND       200300507      137   200000 PRN   -  DEFINED 16                0        0        0
D COMERICA, INC.                 COMMON     200340107      111     1900 SH    -  DEFINED 17             1900        0        0
D COMERICA, INC.                 COMMON     200340107    10940   187200 SH    -  DEFINED 02           135800        0    51400
D COMERICA, INC.                 COMMON     200340107      142     2429 SH    -  DEFINED 01             1125        0     1304
D COMERICA, INC.                 COMMON     200340107    11863   203000 SH    -  DEFINED 02            75100        0   127900
D COMERICA, INC.                 COMMON     200340107       61     1050 SH    -  DEFINED 05              300        0      750
D COMMERCE BANCORP, INC. (NJ)    COMMON     200519106     2048    35202 SH    -  DEFINED 01                0        0    35202
D COMMERCE GROUP, INC.           COMMON     200641108      122     4200 SH    -  DEFINED 01                0        0     4200
D COMMERCE GROUP, INC.           COMMON     200641108      408    14100 SH    -  DEFINED 02            14100        0        0
D COMMERCE ONE INC DEL           COMMON     200693109      667     8500 SH    -  DEFINED 02             7100        0     1400
D COMMERCE ONE INC DEL           COMMON     200693109      388     4944 SH    -  DEFINED 05             4944        0        0
D COMMERCE ONE INC DEL           COMMON     200693109     2827    36009 SH    -  DEFINED 01            12433     3996    19580

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  80
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COMMERCE ONE INC DEL           COMMON     200693109      572     7281 SH    -  OTHER   01             7281        0        0
D COMMERCE ONE INC DEL           COMMON     200693109     6500    82800 SH    -  DEFINED 18            82800        0        0
D COMMERCE ONE INC DEL           COMMON     200693109       12      154 SH    -  DEFINED 16              154        0        0
D COMMERCIAL FEDERAL CORP.       COMMON     201647104      989    51700 SH    -  DEFINED 02            51700        0        0
D COMMERCIAL METALS CO.          COMMON     201723103       31     1200 SH    -  DEFINED 02             1200        0        0
D COMMERCIAL METALS CO.          COMMON     201723103      303    11866 SH    -  DEFINED 01                0        0    11866
D COMMERCIAL METALS CO.          COMMON     201723103     3506   137500 SH    -  DEFINED 02           137500        0        0
D COMMONWEALTH INDS INC DEL      COMMON     203004106      221    39700 SH    -  DEFINED 01                0        0    39700
D COMMONWEALTH TELEPHONE ENTERPR COMMON     203349105       70     1900 SH    -  DEFINED 01                0        0     1900
D COMMONWEALTH TELEPHONE ENTERPR COMMON     203349105       15      400 SH    -  DEFINED 02              400        0        0
D COMMONWEALTH TELEPHONE ENTERPR COMMON     203349105      173     4700 SH    -  DEFINED 02             4700        0        0
D COMMONWEALTH TELEPHONE ENTERPR COMMON     203349105        0        4 SH    -  DEFINED 16                4        0        0
D COMMSCOPE, INC.                COMMON     203372107        0        3 SH    -  DEFINED 16                3        0        0
D COMMSCOPE, INC.                COMMON     203372107      975    39800 SH    -  DEFINED 02            39800        0        0
D COMMSCOPE, INC.                COMMON     203372107      546    22300 SH    -  DEFINED 01                0        0    22300
D COMMUNITY FIRST BANKSHARES, IN COMMON     203902101      219    12474 SH    -  DEFINED 02                0        0    12474
D COMPANHIA BRASILEIRA DE DIST   COMMON     20440T201     2168    58300 SH    -  DEFINED 18            58300        0        0
D COMPANHIA BRASILEIRA DE DIST   COMMON     20440T201    10335   277900 SH    -  DEFINED 17           277900        0        0
D COMPANHIA SIDERURGICA NACION A COMMON     20440W105      508    16400 SH    -  DEFINED 16            16400        0        0
D COMPANHIA VALE DO RIO DOCE     COMMON     204412100      125     5000 SH    -  DEFINED 18             5000        0        0
D COMPANHIA VALE DO RIO DOCE     COMMON     204412100        4      145 SH    -  DEFINED 01              145        0        0
D COMPANIA ANONIMA NACIONL TEL   COMMON     204421101      733    30000 SH    -  DEFINED 18            30000        0        0
D COMPANIA ANONIMA NACIONL TEL   COMMON     204421101       20      800 SH    -  DEFINED 16              800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  81
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COMPASS BANCSHARES, INC.       COMMON     20449H109       20     1000 SH    -  DEFINED 20             1000        0        0
D COMPASS BANCSHARES, INC.       COMMON     20449H109     5729   293800 SH    -  DEFINED 02           228800        0    65000
D COMPASS BANCSHARES, INC.       COMMON     20449H109       12      600 SH    -  OTHER   02              600        0        0
D COMPASS BANCSHARES, INC.       COMMON     20449H109       12      600 SH    -  DEFINED 01              600        0        0
D COMPASS BANCSHARES, INC.       COMMON     20449H109       51     2600 SH    -  OTHER   21                0     2600        0
D COMPASS BANCSHARES, INC.       COMMON     20449H109     9456   484900 SH    -  DEFINED 02           261900        0   223000
D COMPAQ COMPUTER CORP.          COMMON     204493100   314611 11407200 SH    -  DEFINED 02          7941900        0  3465300
D COMPAQ COMPUTER CORP.          COMMON     204493100      643    23300 SH    -  OTHER   02                0        0    23300
D COMPAQ COMPUTER CORP.          COMMON     204493100     2071    75100 SH    -  DEFINED 05            36800        0    38300
D COMPAQ COMPUTER CORP.          COMMON     204493100      207     7500 SH    -  OTHER   05             7500        0        0
D COMPAQ COMPUTER CORP.          COMMON     204493100      836    30300 SH    -  OTHER   09            30300        0        0
D COMPAQ COMPUTER CORP.          COMMON     204493100      276    10000 SH    -  OTHER   21                0    10000        0
D COMPAQ COMPUTER CORP.          COMMON     204493100    32571  1180948 SH    -  DEFINED 01           575858     1950   603140
D COMPAQ COMPUTER CORP.          COMMON     204493100     2611    94670 SH    -  OTHER   01            70300    22270     2100
D COMPAQ COMPUTER CORP.          COMMON     204493100   120583  4372100 SH    -  DEFINED 02          3062200        0  1309900
D COMPAQ COMPUTER CORP.          COMMON     204493100       88     3200 SH    -  OTHER   02             3200        0        0
D COMPAQ COMPUTER CORP.          COMMON     204493100     1067    38700 SH    -  DEFINED 20            38700        0        0
D COMPAQ COMPUTER CORP.          COMMON     204493100     1556    56400 SH    -  DEFINED 17            56400        0        0
D COMPLETE BUSINESS SOLUTIONS IN COMMON     20452F107      167    12400 SH    -  DEFINED 02            12400        0        0
D COMPLETE BUSINESS SOLUTIONS IN COMMON     20452F107       85     6300 SH    -  DEFINED 01                0        0     6300
D COMPUCREDIT CORP               COMMON     20478N100       67     1200 SH    -  DEFINED 02                0        0     1200
D COMPUCREDIT CORP               COMMON     20478N100    12901   230000 SH    -  DEFINED 19           230000        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109      368    14600 SH    -  DEFINED 20            14600        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109     8816   350000 SH    -  DEFINED 18           350000        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109      403    15983 SH    -  DEFINED 16            15983        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  82
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109     6962   276400 SH    -  DEFINED 02           152200        0   124200
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109    68994  2739170 SH    -  DEFINED 02          2402170        0   337000
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109       45     1800 SH    -  OTHER   02                0        0     1800
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109      423    16800 SH    -  OTHER   09            16800        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109     1133    45000 SH    -  OTHER   0304          45000        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109       10      400 SH    -  DEFINED 05              400        0        0
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109     7570   300548 SH    -  DEFINED 01           158908      200   141440
D COMPUTER ASSOCIATES INT'L, INC COMMON     204912109     1200    47630 SH    -  OTHER   01             8375    29455     9800
D COMPUTER NETWORK TECHNOLOGY CO COMMON     204925101      292     8500 SH    -  DEFINED 01                0        0     8500
D COMPUTER NETWORK TECHNOLOGY CO COMMON     204925101       21      600 SH    -  DEFINED 02              600        0        0
D COMPUTER NETWORK TECHNOLOGY CO COMMON     204925101      801    23300 SH    -  DEFINED 02            23300        0        0
D COMPUTER SCIENCES CORP.        COMMON     205363104      149     2000 SH    -  DEFINED 17             2000        0        0
D COMPUTER SCIENCES CORP.        COMMON     205363104     1106    14892 SH    -  DEFINED 01             5800        0     9092
D COMPUTRON SOFTWARE, INC.       COMMON     205631104       25    16448 SH    -  DEFINED 19            16448        0        0
D COMSTOCK RES INC               COMMON     205768203      603    53000 SH    -  DEFINED 02            53000        0        0
D COMVERSE TECHNOLOGY INC.       COMMON     205862402     1134    10500 SH    -  DEFINED 02            10500        0        0
D COMVERSE TECHNOLOGY INC.       COMMON     205862402      151     1400 SH    -  DEFINED 20             1400        0        0
D COMVERSE TECHNOLOGY INC.       COMMON     205862402      194     1800 SH    -  DEFINED 17             1800        0        0
D COMVERSE TECHNOLOGY INC.       COMMON     205862402     5963    55211 SH    -  DEFINED 01            33177        0    22034
D COMVERSE TECHNOLOGY INC.       COMMON     205862402        2       20 SH    -  OTHER   01               20        0        0
D COMVERSE TECHNOLOGY INC.       COMMON     205862402    24473   226600 SH    -  DEFINED 02           217000        0     9600
D COMVERSE TECHNOLOGY INC.       COMMON     205862402       54      500 SH    -  OTHER   02                0        0      500
D COMPUTER HORIZONS CORP         COMMON     205908106     4839   710300 SH    -  DEFINED 02           609700        0   100600
D COMPUTER HORIZONS CORP         COMMON     205908106     1388   203800 SH    -  DEFINED 01           200000        0     3800
D COMPUTER HORIZONS CORP         COMMON     205908106     2201   323000 SH    -  DEFINED 02           323000        0        0
D CONCORD CAMERA CORP.           COMMON     206156101     2852   111300 SH    -  DEFINED 02           111300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  83
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CONCORD CAMERA CORP.           COMMON     206156101     4579   178700 SH    -  DEFINED 01           178700        0        0
D CONCORD CAMERA CORP.           COMMON     206156101     7042   274800 SH    -  DEFINED 02           234800        0    40000
D CONCORD COMMUNICATIONS, INC.   COMMON     206186108       11      400 SH    -  DEFINED 02              400        0        0
D CONCORD COMMUNICATIONS, INC.   COMMON     206186108      236     8900 SH    -  DEFINED 01                0        0     8900
D CONCORD COMMUNICATIONS, INC.   COMMON     206186108      246     9300 SH    -  DEFINED 02             9300        0        0
D CONCORD COMMUNICATIONS, INC.   COMMON     206186108        0        2 SH    -  DEFINED 16                2        0        0
D CONCORD EFS, INC.              COMMON     206197105     1627    45815 SH    -  DEFINED 01             4810        0    41005
D CONCORD EFS, INC.              COMMON     206197105      170     4800 SH    -  DEFINED 02                0        0     4800
D CONCORD EFS, INC.              COMMON     206197105      270     7593 SH    -  DEFINED 05             7593        0        0
D CONECTIV INC                   COMMON     206829103       85     4750 SH    -  OTHER   01                0     4750        0
D CONECTIV INC                   COMMON     206829103     1242    69500 SH    -  DEFINED 02            69500        0        0
D CONEXANT SYSTEMS INC  'CONV BO BOND       207142AF7        0 16000000 PRN   -  DEFINED 16                0        0        0
D CONEXANT SYSTEMS INC           COMMON     207142100      109     2600 SH    -  DEFINED 17             2600        0        0
D CONEXANT SYSTEMS INC           COMMON     207142100       75     1800 SH    -  DEFINED 20             1800        0        0
D CONEXANT SYSTEMS INC           COMMON     207142100      503    12000 SH    -  DEFINED 01            11400        0      600
D CONEXANT SYSTEMS INC           COMMON     207142100     1750    41800 SH    -  DEFINED 02            32700        0     9100
D CONEXANT SYSTEMS INC           COMMON     207142100       75     1800 SH    -  OTHER   02                0        0     1800
D CONMED CORP.                   COMMON     207410101      182    13300 SH    -  DEFINED 02            13300        0        0
D CONMED CORP.                   COMMON     207410101       22     1600 SH    -  DEFINED 01                0        0     1600
D CONMED CORP.                   COMMON     207410101      509    37200 SH    -  DEFINED 02            37200        0        0
D CONNETICS CORP                 COMMON     208192104      717    29722 SH    -  DEFINED 01                0        0    29722
D CONOCO INC CLASS A             COMMON     208251306       39     1475 SH    -  DEFINED 01             1475        0        0
D CONOCO INC CLASS A             COMMON     208251306        3      100 SH    -  OTHER   21                0      100        0
D CONOCO INC CLASS A             COMMON     208251306     8384   320920 SH    -  DEFINED 02           159020        0   161900
D CONOCO INC CLASS A             COMMON     208251306     3616   138400 SH    -  DEFINED 02           118400        0    20000
D CONOCO INC CLASS A             COMMON     208251306       68     2600 SH    -  DEFINED 20             2600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  84
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CONOCO INC                     COMMON     208251405       43     1600 SH    -  DEFINED 20             1600        0        0
D CONOCO INC                     COMMON     208251405     1078    40000 SH    -  DEFINED 06            40000        0        0
D CONOCO INC                     COMMON     208251405      199     7400 SH    -  DEFINED 17             7400        0        0
D CONOCO INC                     COMMON     208251405    18881   700900 SH    -  DEFINED 02           513000        0   187900
D CONOCO INC                     COMMON     208251405       48     1800 SH    -  OTHER   02             1800        0        0
D CONOCO INC                     COMMON     208251405    24982   927406 SH    -  DEFINED 02           532406        0   395000
D CONOCO INC                     COMMON     208251405     2756   102322 SH    -  DEFINED 05            63071        0    39251
D CONOCO INC                     COMMON     208251405      311    11538 SH    -  OTHER   05            10311     1227        0
D CONOCO INC                     COMMON     208251405       81     3000 SH    -  OTHER   21                0     3000        0
D CONOCO INC                     COMMON     208251405     4726   175448 SH    -  OTHER   01            52352    90665    32431
D CONOCO INC                     COMMON     208251405    23490   872002 SH    -  DEFINED 01           559716    13552   297200
D CONSECO, INC.                  COMMON     208464107      189    24776 SH    -  DEFINED 01                0        0    24776
D CONSECO, INC.                  COMMON     208464107      865   113389 SH    -  DEFINED 17           113389        0        0
D CONSECO, INC.                  COMMON     208464107      204    26700 SH    -  DEFINED 16            26700        0        0
D CONSOLIDATED EDISON INC.       COMMON     209115104       85     2500 SH    -  DEFINED 17             2500        0        0
D CONSOLIDATED EDISON INC.       COMMON     209115104     7136   209100 SH    -  DEFINED 02           209100        0        0
D CONSOLIDATED EDISON INC.       COMMON     209115104        3      100 SH    -  OTHER   02              100        0        0
D CONSOLIDATED EDISON INC.       COMMON     209115104     1600    46900 SH    -  DEFINED 01            41500        0     5400
D CONSOLIDATED EDISON INC.       COMMON     209115104      218     6400 SH    -  OTHER   01                0     6400        0
D CONSOLIDATED EDISON INC.       COMMON     209115104    17612   516100 SH    -  DEFINED 02           229600        0   286500
D CONSOLIDATED STORES CORP.      COMMON     210149100      278    20625 SH    -  DEFINED 01                0        0    20625
D CONSOLIDATED STORES CORP.      COMMON     210149100       18     1300 SH    -  DEFINED 17             1300        0        0
D CONSTELLATION ENERGY CORP      COMMON     210371100       90     1800 SH    -  DEFINED 17             1800        0        0
D CONSTELLATION ENERGY CORP      COMMON     210371100     1493    30000 SH    -  OTHER   01             2100    27900        0
D CONSTELLATION ENERGY CORP      COMMON     210371100      497     9998 SH    -  DEFINED 01             9500        0      498
D CONTINENTAL AIRLINES, INC. CL. COMMON     210795308      877    19300 SH    -  DEFINED 01            10900        0     8400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  85
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CONTINENTAL AIRLINES, INC. CL. COMMON     210795308      636    14000 SH    -  DEFINED 02            10200        0     3800
D CONVERGYS CORP                 COMMON     212485106      824    21200 SH    -  DEFINED 02                0        0    21200
D CONVERGYS CORP                 COMMON     212485106      614    15800 SH    -  DEFINED 01            15800        0        0
D CONVERGYS CORP                 COMMON     212485106       70     1800 SH    -  DEFINED 17             1800        0        0
D COOPER CAMERON CORP.           COMMON     216640102     5180    70300 SH    -  DEFINED 20            70300        0        0
D COOPER CAMERON CORP.           COMMON     216640102    43505   590400 SH    -  DEFINED 02           473300        0   117100
D COOPER CAMERON CORP.           COMMON     216640102       74     1000 SH    -  OTHER   02             1000        0        0
D COOPER CAMERON CORP.           COMMON     216640102    11844   160730 SH    -  DEFINED 01            78228        0    82502
D COOPER CAMERON CORP.           COMMON     216640102     1286    17446 SH    -  OTHER   01             5936     6668     4842
D COOPER CAMERON CORP.           COMMON     216640102       74     1000 SH    -  OTHER   21                0     1000        0
D COOPER CAMERON CORP.           COMMON     216640102   118684  1610625 SH    -  DEFINED 02          1098475        0   512150
D COOPER CAMERON CORP.           COMMON     216640102      155     2100 SH    -  OTHER   02                0        0     2100
D COOPER CAMERON CORP.           COMMON     216640102      116     1575 SH    -  DEFINED 05              100        0     1475
D COOPER COMPANIES, INC.         COMMON     216648402      492    13900 SH    -  DEFINED 02            11800        0     2100
D COOPER COMPANIES, INC.         COMMON     216648402      262     7400 SH    -  DEFINED 02             7400        0        0
D COOPER COMPANIES, INC.         COMMON     216648402       74     2100 SH    -  DEFINED 20             2100        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101     6898   195700 SH    -  DEFINED 20           195700        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101       39     1100 SH    -  DEFINED 17             1100        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101    44103  1251158 SH    -  DEFINED 02           924200        0   326958
D COOPER INDUSTRIES, INC.        COMMON     216669101       81     2300 SH    -  OTHER   02             2300        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101   147776  4192235 SH    -  DEFINED 02          3340416        0   851819
D COOPER INDUSTRIES, INC.        COMMON     216669101      261     7411 SH    -  OTHER   02                0        0     7411
D COOPER INDUSTRIES, INC.        COMMON     216669101       35     1000 SH    -  DEFINED 05             1000        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101     1939    55000 SH    -  OTHER   0304          55000        0        0
D COOPER INDUSTRIES, INC.        COMMON     216669101      222     6300 SH    -  OTHER   21                0     6300        0
D COOPER INDUSTRIES, INC.        COMMON     216669101     6911   196052 SH    -  DEFINED 01           154185     1264    40603

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  86
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COOPER INDUSTRIES, INC.        COMMON     216669101      778    22063 SH    -  OTHER   01            19600     1566      897
D COORS (ADOLPH) CO. CLASS "B"   COMMON     217016104        2       35 SH    -  DEFINED 01               35        0        0
D COORS (ADOLPH) CO. CLASS "B"   COMMON     217016104      619     9800 SH    -  DEFINED 02             9800        0        0
D COORS (ADOLPH) CO. CLASS "B"   COMMON     217016104      518     8200 SH    -  DEFINED 02             8200        0        0
D COORS (ADOLPH) CO. CLASS "B"   COMMON     217016104       25      400 SH    -  DEFINED 17              400        0        0
D COPART, INC.                   COMMON     217204106        0        5 SH    -  DEFINED 16                5        0        0
D COPART, INC.                   COMMON     217204106      350    25200 SH    -  DEFINED 01                0        0    25200
D COPPER MTN NETWORKS INC        COMMON     217510106        8      200 SH    -  DEFINED 01                0        0      200
D COPPER MTN NETWORKS INC        COMMON     217510106      420    11200 SH    -  DEFINED 02                0        0    11200
D COR THERAPEUTICCOR   'CONV BON BOND       217753AD4        0  2000000 PRN   -  DEFINED 16                0        0        0
D COR THERAPEUTICS, INC.         COMMON     217753102      128     2060 SH    -  DEFINED 17             2060        0        0
D COR THERAPEUTICS, INC.         COMMON     217753102       31      500 SH    -  DEFINED 20              500        0        0
D COR THERAPEUTICS, INC.         COMMON     217753102      505     8100 SH    -  DEFINED 02                0        0     8100
D CORILLIAN CORP                 COMMON     218725109     2209   229550 SH    -  DEFINED 02           191300        0    38250
D CORILLIAN CORP                 COMMON     218725109       43     4450 SH    -  DEFINED 05                0        0     4450
D CORILLIAN CORP                 COMMON     218725109     2449   254450 SH    -  DEFINED 01           100720        0   153730
D CORILLIAN CORP                 COMMON     218725109      777    80700 SH    -  DEFINED 02            80700        0        0
D CORINTHIAN COLLEGES INC        COMMON     218868107      437     7400 SH    -  DEFINED 01                0        0     7400
D CORIXA CORP                    COMMON     21887F100     6707   133475 SH    -  DEFINED 01            10475        0   123000
D CORIXA CORP                    COMMON     21887F100      186     3700 SH    -  DEFINED 05                0        0     3700
D CORIXA CORP                    COMMON     21887F100     9373   186525 SH    -  DEFINED 02           154500        0    32025
D CORIXA CORP                    COMMON     21887F100     3221    64100 SH    -  DEFINED 02            64100        0        0
D CORN PRODUCTS INTERNATIONAL, I COMMON     219023108      300    13200 SH    -  DEFINED 02            13200        0        0
D CORN PRODUCTS INTERNATIONAL, I COMMON     219023108     1122    49300 SH    -  DEFINED 02            13400        0    35900
D CORN PRODUCTS INTERNATIONAL, I COMMON     219023108      660    29000 SH    -  DEFINED 01            29000        0        0
D CORN PRODUCTS INTERNATIONAL, I COMMON     219023108        7      300 SH    -  OTHER   01               75      150       75

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  87
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CORNELL CORRECTIONS, INC.      COMMON     219141108      174    20300 SH    -  DEFINED 01                0        0    20300
D CORNING, INC.                  COMMON     219350105   120424   405467 SH    -  DEFINED 01           113850        0   291617
D CORNING, INC.                  COMMON     219350105     2079     7000 SH    -  OTHER   01             1000     6000        0
D CORNING, INC.                  COMMON     219350105   149688   504000 SH    -  DEFINED 02           294600        0   209400
D CORNING, INC.                  COMMON     219350105      297     1000 SH    -  OTHER   02                0        0     1000
D CORNING, INC.                  COMMON     219350105      208      700 SH    -  DEFINED 05              700        0        0
D CORNING, INC.                  COMMON     219350105      356     1200 SH    -  OTHER   05             1200        0        0
D CORNING, INC.                  COMMON     219350105    97297   327600 SH    -  DEFINED 02           245800        0    81800
D CORNING, INC.                  COMMON     219350105      149      500 SH    -  OTHER   02              500        0        0
D CORNING, INC.                  COMMON     219350105     1099     3700 SH    -  DEFINED 20             3700        0        0
D CORUS GROUP PLC                COMMON     22087M101     1924   254400 SH    -  DEFINED 17           254400        0        0
D CORUS GROUP PLC                COMMON     22087M101        2      195 SH    -  DEFINED 01              195        0        0
D CORUS BANKSHARES, INC.         COMMON     220873103       87     2400 SH    -  DEFINED 01                0        0     2400
D CORUS BANKSHARES, INC.         COMMON     220873103      812    22500 SH    -  DEFINED 02                0        0    22500
D CORUS ENTERTAINMENT INC        COMMON     220874101      878    30666 SH    -  OTHER   01                0    30666        0
D CORVIS CORP                    COMMON     221009103     1218    19892 SH    -  DEFINED 01             2859      137    16779
D CORVIS CORP                    COMMON     221009103      174     2851 SH    -  OTHER   01             2126      558      167
D CORVIS CORP                    COMMON     221009103      653    10700 SH    -  DEFINED 02            10700        0        0
D COST PLUS, INC.                COMMON     221485105     5264   174737 SH    -  DEFINED 02           144962        0    29775
D COST PLUS, INC.                COMMON     221485105       75     2475 SH    -  DEFINED 05                0        0     2475
D COST PLUS, INC.                COMMON     221485105     6940   230359 SH    -  DEFINED 01           144609        0    85750
D COST PLUS, INC.                COMMON     221485105        0        4 SH    -  DEFINED 16                4        0        0
D COST PLUS, INC.                COMMON     221485105     1723    57200 SH    -  DEFINED 02            57200        0        0
D COSTCO WHSL CORP NEW           COMMON     22160K105        1       24 SH    -  DEFINED 16               24        0        0
D COSTCO WHSL CORP NEW           COMMON     22160K105      185     5300 SH    -  DEFINED 17             5300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  88
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COSTCO WHSL CORP NEW           COMMON     22160K105       52     1500 SH    -  DEFINED 20             1500        0        0
D COSTCO WHSL CORP NEW           COMMON     22160K105      852    24400 SH    -  DEFINED 01            22900        0     1500
D COSTCO WHSL CORP NEW           COMMON     22160K105     1261    36084 SH    -  OTHER   01                0     4560    31524
D COSTCO WHSL CORP NEW           COMMON     22160K105     2103    60200 SH    -  DEFINED 02            22400        0    37800
D COSTAR GROUP INC               COMMON     22160N109     4418   119400 SH    -  DEFINED 02           102800        0    16600
D COSTAR GROUP INC               COMMON     22160N109     1624    43900 SH    -  DEFINED 02            43900        0        0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON     222372104    11038   292400 SH    -  DEFINED 02           257000        0    35400
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON     222372104       68     1800 SH    -  DEFINED 20             1800        0        0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON     222372104     2567    68000 SH    -  DEFINED 06            68000        0        0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON     222372104       49     1300 SH    -  DEFINED 17             1300        0        0
D COUNTRYWIDE CREDIT INDUSTRIES, COMMON     222372104     6776   179500 SH    -  DEFINED 02            62900        0   116600
D COUSINS PROPERTIES, INC.       COMMON     222795106    25786   598800 SH    -  DEFINED 02           562400        0    36400
D COUSINS PROPERTIES, INC.       COMMON     222795106    12402   288000 SH    -  DEFINED 02           288000        0        0
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204     1358   101500 SH    -  DEFINED 02           101500        0        0
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204     1759   131500 SH    -  DEFINED 18           131500        0        0
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204        0       15 SH    -  DEFINED 16               15        0        0
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204     2806   209800 SH    -  DEFINED 02           144300        0    65500
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204      364    27196 SH    -  DEFINED 05            24796        0     2400
D COVAD COMMUNICATIONS GROUP I   COMMON     222814204     3280   245234 SH    -  DEFINED 01           112075        0   133159
D COVENANT TRANSPORT, INC.       COMMON     22284P105      196    21000 SH    -  DEFINED 01                0        0    21000
D COVENTRY HEALTH CARE INC       COMMON     222862104      504    33300 SH    -  DEFINED 01                0        0    33300
D COVENTRY HEALTH CARE INC       COMMON     222862104      280    18500 SH    -  DEFINED 02            17700        0      800
D COVENTRY HEALTH CARE INC       COMMON     222862104       12      800 SH    -  DEFINED 20              800        0        0
D COVENTRY HEALTH CARE INC       COMMON     222862104      628    41500 SH    -  DEFINED 02            41500        0        0
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107        8      200 SH    -  DEFINED 02                0        0      200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  89
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107      306     8000 SH    -  DEFINED 06             8000        0        0
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107     2570    67200 SH    -  DEFINED 02            54100        0    13100
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107      111     2900 SH    -  OTHER   02                0        0     2900
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107       77     2000 SH    -  DEFINED 05             2000        0        0
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107      999    26112 SH    -  OTHER   01                0    23806     2306
D COX COMMUNICATIONS, INC. CL. " COMMON     224044107     1479    38673 SH    -  DEFINED 01            20760        0    17913
D COX RADIO INC                  COMMON     224051102        1       30 SH    -  DEFINED 01               30        0        0
D COX RADIO INC                  COMMON     224051102        1       45 SH    -  DEFINED 16               45        0        0
D COX RADIO INC                  COMMON     224051102      270    15500 SH    -  DEFINED 02            15500        0        0
D CREDENCE SYSTEMS CORP.         COMMON     225302108     1983    66100 SH    -  DEFINED 02            66100        0        0
D CREDENCE SYSTEMS CORP.         COMMON     225302108       12      400 SH    -  DEFINED 20              400        0        0
D CREDENCE SYSTEMS CORP.         COMMON     225302108      147     4900 SH    -  DEFINED 02                0        0     4900
D CREE INC                       COMMON     225447101      686     5900 SH    -  DEFINED 02                0        0     5900
D CREE INC                       COMMON     225447101       23      200 SH    -  DEFINED 20              200        0        0
D CREE INC                       COMMON     225447101     1163    10000 SH    -  DEFINED 02            10000        0        0
D CRESCENDO PHARMACEUTICALS CORP COMMON     225637107     8975   437800 SH    -  DEFINED 02           437800        0        0
D CRESCENDO PHARMACEUTICALS CORP COMMON     225637107        2      100 SH    -  DEFINED 02                0        0      100
D CRESCENT REAL ESTATE EQUITIES  COMMON     225756105    37165  1665600 SH    -  DEFINED 02          1399000        0   266600
D CRESCENT REAL ESTATE EQUITIES  COMMON     225756105     9126   409000 SH    -  DEFINED 02           364000        0    45000
D CRESCENT REAL ESTATE EQUITIES  COMMON     225756105      127     5700 SH    -  OTHER   21                0     5700        0
D CRESCENT REAL ESTATE EQUITIES  COMMON     225756105      339    15200 SH    -  DEFINED 20            15200        0        0
D CROMPTON CORP                  COMMON     227116100      166    21100 SH    -  DEFINED 02            21100        0        0
D CROSS TIMBERS ROYALTY TRUST -  COMMON     22757R109      194    12100 SH    -  DEFINED 05                0        0    12100
D CROSS TIMBERS OIL CO.          COMMON     227573102     5624   293100 SH    -  DEFINED 02             7200        0   285900
D CROSS TIMBERS OIL CO.          COMMON     227573102      838    43650 SH    -  DEFINED 01                0        0    43650
D CROSS TIMBERS OIL CO.          COMMON     227573102      440    22950 SH    -  DEFINED 20            22950        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  90
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CROSS TIMBERS OIL CO.          COMMON     227573102      944    49200 SH    -  DEFINED 02            49200        0        0
D CROWN CENTRAL PETROLEUM CORP.  COMMON     228219101      107    11900 SH    -  DEFINED 01                0        0    11900
D CROWN CASTLE INTL CORP         COMMON     228227104      730    23500 SH    -  DEFINED 02                0        0    23500
D CROWN CORK & SEAL CO., INC.    COMMON     228255105      135    12600 SH    -  DEFINED 02                0        0    12600
D CROWN CORK & SEAL CO., INC.    COMMON     228255105        6      575 SH    -  DEFINED 01              500        0       75
D CROWN CORK & SEAL CO., INC.    COMMON     228255105       16     1500 SH    -  DEFINED 17             1500        0        0
D CUBIST PHARMACEUTICALS INC     COMMON     229678107      229     4400 SH    -  DEFINED 02             4400        0        0
D CULLEN FROST BANKERS, INC.     COMMON     229899109     1230    37840 SH    -  DEFINED 01                0        0    37840
D CULLEN FROST BANKERS, INC.     COMMON     229899109      111     3400 SH    -  DEFINED 02             3400        0        0
D CUMMINS ENGINE, INC.           COMMON     231021106     2443    81600 SH    -  DEFINED 02            81600        0        0
D CUMMINS ENGINE, INC.           COMMON     231021106       15      500 SH    -  DEFINED 17              500        0        0
D CURAGEN CORP 'CONV BOND'       BOND       23126RAA9        0  1500000 PRN   -  DEFINED 16                0        0        0
D CURAGEN CORP                   COMMON     23126R101      538    10100 SH    -  DEFINED 02            10100        0        0
D CURAGEN CORP                   COMMON     23126R101        5      100 SH    -  DEFINED 02              100        0        0
D CURIS, INC                     COMMON     231269101      881    50692 SH    -  DEFINED 19            50692        0        0
D CYBERONICS, INC.               COMMON     23251P102      309    14400 SH    -  DEFINED 20            14400        0        0
D CYBERONICS, INC.               COMMON     23251P102     4826   225100 SH    -  DEFINED 02           225100        0        0
D CYBERONICS, INC.               COMMON     23251P102     7615   355200 SH    -  DEFINED 02           288400        0    66800
D CYBERONICS, INC.               COMMON     23251P102       91     4225 SH    -  DEFINED 05                0        0     4225
D CYBERONICS, INC.               COMMON     23251P102     7157   333825 SH    -  DEFINED 01           194550        0   139275
D CYMER, INC.                    COMMON     232572107     1194    38918 SH    -  DEFINED 01            21018        0    17900
D CYMER, INC.                    COMMON     232572107     1915    62400 SH    -  DEFINED 02              400        0    62000
D CYMER, INC.                    COMMON     232572107      503    16400 SH    -  DEFINED 02            16400        0        0
D CYMER, INC.                    COMMON     232572107       31     1000 SH    -  DEFINED 20             1000        0        0
D CYMER, INC.                    COMMON     232572107        0        2 SH    -  DEFINED 16                2        0        0
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109      387     9300 SH    -  DEFINED 16             9300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  91
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109     3695    88900 SH    -  DEFINED 20            88900        0        0
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109    15590   375100 SH    -  DEFINED 02           284000        0    91100
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109    42972  1033900 SH    -  DEFINED 02           828600        0   205300
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109       42     1000 SH    -  OTHER   02                0        0     1000
D CYPRESS SEMICONDUCTOR CORP.    COMMON     232806109     4643   111700 SH    -  DEFINED 01            55900        0    55800
D CYTEC INDUSTRIES, INC.         COMMON     232820100        7      213 SH    -  DEFINED 01              213        0        0
D CYTEC INDUSTRIES, INC.         COMMON     232820100       36     1065 SH    -  OTHER   01             1065        0        0
D CYTEC INDUSTRIES, INC.         COMMON     232820100     1291    38600 SH    -  DEFINED 02            25400        0    13200
D CYTEC INDUSTRIES, INC.         COMMON     232820100      368    11000 SH    -  DEFINED 02            11000        0        0
D CYTOGEN CORP.                  COMMON     232824102      242    38300 SH    -  DEFINED 02            38300        0        0
D CYTOGEN CORP.                  COMMON     232824102        3      500 SH    -  DEFINED 02              500        0        0
D DDI CORP                       COMMON     233162106     9444   213425 SH    -  DEFINED 02           181875        0    31550
D DDI CORP                       COMMON     233162106       64     1450 SH    -  DEFINED 05                0        0     1450
D DDI CORP                       COMMON     233162106    12795   289150 SH    -  DEFINED 01           245825        0    43325
D DDI CORP                       COMMON     233162106     2921    66000 SH    -  DEFINED 02            66000        0        0
D DMC STRATEX NETWORKS INC       COMMON     23322L106     1500    93400 SH    -  DEFINED 02            93400        0        0
D DMC STRATEX NETWORKS INC       COMMON     23322L106       10      600 SH    -  DEFINED 20              600        0        0
D DMC STRATEX NETWORKS INC       COMMON     23322L106      651    40500 SH    -  DEFINED 01                0        0    40500
D DMC STRATEX NETWORKS INC       COMMON     23322L106       10      600 SH    -  DEFINED 02                0        0      600
D D. R. HORTON, INC.             COMMON     23331A109     1773   103181 SH    -  DEFINED 02            94679        0     8502
D D. R. HORTON, INC.             COMMON     23331A109      868    50486 SH    -  DEFINED 01                0        0    50486
D D. R. HORTON, INC.             COMMON     23331A109      134     7800 SH    -  DEFINED 20             7800        0        0
D D. R. HORTON, INC.             COMMON     23331A109        0        3 SH    -  DEFINED 16                3        0        0
D D. R. HORTON, INC.             COMMON     23331A109     2979   173310 SH    -  DEFINED 02           173310        0        0
D DSP GROUP, INC.                COMMON     23332B106      505    13500 SH    -  DEFINED 02            13500        0        0
D DSP GROUP, INC.                COMMON     23332B106        0        3 SH    -  DEFINED 16                3        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  92
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DSP GROUP, INC.                COMMON     23332B106     6541   175000 SH    -  DEFINED 02           175000        0        0
D DST SYSTEMS, INC.              COMMON     233326107     1857    15800 SH    -  DEFINED 02                0        0    15800
D DST SYSTEMS, INC.              COMMON     233326107      118     1000 SH    -  DEFINED 05             1000        0        0
D DST SYSTEMS, INC.              COMMON     233326107      663     5642 SH    -  DEFINED 01                0        0     5642
D DTE ENERGY COMPANY             COMMON     233331107    14698   384255 SH    -  DEFINED 01           322650        0    59605
D DTE ENERGY COMPANY             COMMON     233331107      581    15200 SH    -  OTHER   01             4700    10500        0
D DTE ENERGY COMPANY             COMMON     233331107      241     6300 SH    -  OTHER   21                0     6300        0
D DTE ENERGY COMPANY             COMMON     233331107       69     1800 SH    -  DEFINED 05             1800        0        0
D DTE ENERGY COMPANY             COMMON     233331107     1339    35000 SH    -  OTHER   0304          35000        0        0
D DTE ENERGY COMPANY             COMMON     233331107     1235    32300 SH    -  OTHER   09            32300        0        0
D DTE ENERGY COMPANY             COMMON     233331107   161321  4217539 SH    -  DEFINED 02          3356239        0   861300
D DTE ENERGY COMPANY             COMMON     233331107      180     4700 SH    -  OTHER   02                0        0     4700
D DTE ENERGY COMPANY             COMMON     233331107       65     1700 SH    -  DEFINED 17             1700        0        0
D DTE ENERGY COMPANY             COMMON     233331107     7486   195700 SH    -  DEFINED 20           195700        0        0
D DTE ENERGY COMPANY             COMMON     233331107    46703  1221000 SH    -  DEFINED 02          1003500        0   217500
D DTE ENERGY COMPANY             COMMON     233331107       54     1400 SH    -  OTHER   02             1400        0        0
D DAIN RAUSCHER CORPORATION      COMMON     233856103      846     9100 SH    -  DEFINED 02             9100        0        0
D DAIN RAUSCHER CORPORATION      COMMON     233856103       37      400 SH    -  DEFINED 20              400        0        0
D DAIN RAUSCHER CORPORATION      COMMON     233856103     2502    26900 SH    -  DEFINED 16            26900        0        0
D DAIN RAUSCHER CORPORATION      COMMON     233856103      716     7700 SH    -  DEFINED 02             7300        0      400
D DAL-TILE INTL INC              COMMON     23426R108      138    11000 SH    -  DEFINED 02            11000        0        0
D DAL-TILE INTL INC              COMMON     23426R108      364    29100 SH    -  DEFINED 02            29100        0        0
D DALLAS SEMICONDUCTOR CORP.     COMMON     235204104      365    11100 SH    -  DEFINED 02            11100        0        0
D DALLAS SEMICONDUCTOR CORP.     COMMON     235204104       16      500 SH    -  DEFINED 20              500        0        0
D DALLAS SEMICONDUCTOR CORP.     COMMON     235204104      391    11900 SH    -  DEFINED 02                0        0    11900
D DALLAS SEMICONDUCTOR CORP.     COMMON     235204104     1591    48400 SH    -  DEFINED 01                0        0    48400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  93
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DANA CORP.                     COMMON     235811106     3908   181750 SH    -  DEFINED 01           101750        0    80000
D DANA CORP.                     COMMON     235811106     1127    52400 SH    -  OTHER   01             2400    38500    11500
D DANA CORP.                     COMMON     235811106    60564  2816934 SH    -  DEFINED 02          1925534        0   891400
D DANA CORP.                     COMMON     235811106      206     9600 SH    -  OTHER   02                0        0     9600
D DANA CORP.                     COMMON     235811106      144     6700 SH    -  OTHER   21                0     6700        0
D DANA CORP.                     COMMON     235811106     1935    90000 SH    -  OTHER   0304          90000        0        0
D DANA CORP.                     COMMON     235811106        6      300 SH    -  DEFINED 05              300        0        0
D DANA CORP.                     COMMON     235811106      406    18900 SH    -  DEFINED 20            18900        0        0
D DANA CORP.                     COMMON     235811106       39     1800 SH    -  DEFINED 17             1800        0        0
D DANA CORP.                     COMMON     235811106     1000    46500 SH    -  DEFINED 06            46500        0        0
D DANA CORP.                     COMMON     235811106    29263  1361074 SH    -  DEFINED 02           997074        0   364000
D DANA CORP.                     COMMON     235811106       39     1800 SH    -  OTHER   02             1800        0        0
D DANAHER CORP.                  COMMON     235851102       85     1700 SH    -  DEFINED 17             1700        0        0
D DANAHER CORP.                  COMMON     235851102      542    10900 SH    -  DEFINED 02                0        0    10900
D DANAHER CORP.                  COMMON     235851102      369     7412 SH    -  DEFINED 01                0        0     7412
D DARDEN RESTAURANTS, INC.       COMMON     237194105      108     5200 SH    -  DEFINED 01             5200        0        0
D DARDEN RESTAURANTS, INC.       COMMON     237194105      196     9400 SH    -  OTHER   01             2200     7200        0
D DARDEN RESTAURANTS, INC.       COMMON     237194105       31     1500 SH    -  DEFINED 17             1500        0        0
D DARDEN RESTAURANTS, INC.       COMMON     237194105     3318   159400 SH    -  DEFINED 02           159400        0        0
D DATASCOPE CORP.                COMMON     238113104      151     4500 SH    -  OTHER   01                0        0     4500
D DATASCOPE CORP.                COMMON     238113104      164     4900 SH    -  DEFINED 02             4900        0        0
D DAVOX CORP                     COMMON     239208101        5      500 SH    -  DEFINED 02              500        0        0
D DAVOX CORP                     COMMON     239208101       97     9600 SH    -  DEFINED 01                0        0     9600
D DAVOX CORP                     COMMON     239208101      297    29500 SH    -  DEFINED 02            29500        0        0
D DEAN FOODS CO.                 COMMON     242361103      778    23400 SH    -  DEFINED 02            23400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  94
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DEERE & CO.                    COMMON     244199105       57     1700 SH    -  DEFINED 02             1700        0        0
D DEERE & CO.                    COMMON     244199105      352    10600 SH    -  DEFINED 17            10600        0        0
D DEERE & CO.                    COMMON     244199105      535    16100 SH    -  DEFINED 16            16100        0        0
D DEERE & CO.                    COMMON     244199105     8840   265850 SH    -  DEFINED 01           151480      100   114270
D DEERE & CO.                    COMMON     244199105      630    18960 SH    -  OTHER   01             4575    13885      500
D DEERE & CO.                    COMMON     244199105     1147    34500 SH    -  DEFINED 02            24100        0    10400
D DEERE & CO.                    COMMON     244199105       73     2200 SH    -  DEFINED 05             2200        0        0
D DEERE & CO.                    COMMON     244199105      885    26625 SH    -  OTHER   09            26625        0        0
D DELHAIZE AMER INC              COMMON     246688105      384    22000 SH    -  DEFINED 02                0        0    22000
D DELHAIZE AMER INC              COMMON     246688105      314    18000 SH    -  DEFINED 01                0        0    18000
D DELHAIZE AMER INC              COMMON     246688204      302    18000 SH    -  DEFINED 01                0        0    18000
D DELL COMPUTER CORP.            COMMON     247025109    54048  1754066 SH    -  DEFINED 01          1598156     2125   151385
D DELL COMPUTER CORP.            COMMON     247025109      989    32085 SH    -  OTHER   01            27085     5000        0
D DELL COMPUTER CORP.            COMMON     247025109        6      200 SH    -  OTHER   21                0      200        0
D DELL COMPUTER CORP.            COMMON     247025109   441286 14321435 SH    -  DEFINED 02          9140615        0  5180820
D DELL COMPUTER CORP.            COMMON     247025109      727    23600 SH    -  OTHER   02                0        0    23600
D DELL COMPUTER CORP.            COMMON     247025109     2431    78910 SH    -  DEFINED 05            38800     3550    36560
D DELL COMPUTER CORP.            COMMON     247025109     3305   107274 SH    -  DEFINED 16           107274        0        0
D DELL COMPUTER CORP.            COMMON     247025109     2091    67873 SH    -  DEFINED 17            67873        0        0
D DELL COMPUTER CORP.            COMMON     247025109    11575   375751 SH    -  DEFINED 18           375751        0        0
D DELL COMPUTER CORP.            COMMON     247025109     6554   212700 SH    -  DEFINED 20           212700        0        0
D DELL COMPUTER CORP.            COMMON     247025109   204524  6637600 SH    -  DEFINED 02          4705600        0  1932000
D DELL COMPUTER CORP.            COMMON     247025109      367    11900 SH    -  OTHER   02            11900        0        0
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105    44226  2924063 SH    -  DEFINED 02          2302700        0   621363
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105       61     4000 SH    -  OTHER   02             4000        0        0
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105      555    36700 SH    -  DEFINED 20            36700        0        0
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105     3883   256700 SH    -  DEFINED 17           256700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  95
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105    32519  2150000 SH    -  DEFINED 18          2150000        0        0
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105      137     9066 SH    -  DEFINED 05             7110        0     1956
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105       17     1117 SH    -  OTHER   05              698        0      419
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105   102991  6809300 SH    -  DEFINED 02          4861600        0  1947700
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105      185    12200 SH    -  OTHER   02                0        0    12200
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105      316    20900 SH    -  OTHER   21                0    20900        0
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105     5819   384719 SH    -  DEFINED 01           340739        0    43980
D DELPHI AUTOMOTIVE SYS CORP     COMMON     247126105      881    58233 SH    -  OTHER   01            10259    45041     2933
D DELPHI FINANCIAL GROUP, INC. C COMMON     247131105       54     1326 SH    -  OTHER   01                0     1326        0
D DELPHI FINANCIAL GROUP, INC. C COMMON     247131105     4641   114600 SH    -  DEFINED 02            22300        0    92300
D DELPHI FINANCIAL GROUP, INC. C COMMON     247131105     1858    45865 SH    -  DEFINED 02            45865        0        0
D DELTA & PINE LAND CO.          COMMON     247357106     5908   230000 SH    -  DEFINED 02           230000        0        0
D DELTA & PINE LAND CO.          COMMON     247357106        0        2 SH    -  DEFINED 16                2        0        0
D DELTA & PINE LAND CO.          COMMON     247357106       77     3000 SH    -  DEFINED 05                0        0     3000
D DELTA AIR LINES, INC.          COMMON     247361108        4      100 SH    -  DEFINED 05              100        0        0
D DELTA AIR LINES, INC.          COMMON     247361108       36      800 SH    -  OTHER   05                0        0      800
D DELTA AIR LINES, INC.          COMMON     247361108    17098   385300 SH    -  DEFINED 02           186800        0   198500
D DELTA AIR LINES, INC.          COMMON     247361108      226     5100 SH    -  DEFINED 01             3800        0     1300
D DELTA AIR LINES, INC.          COMMON     247361108       49     1100 SH    -  OTHER   21                0     1100        0
D DELTA AIR LINES, INC.          COMMON     247361108       67     1500 SH    -  DEFINED 17             1500        0        0
D DELTA AIR LINES, INC.          COMMON     247361108    14542   327700 SH    -  DEFINED 02           251900        0    75800
D DELTA AIR LINES, INC.          COMMON     247361108       27      600 SH    -  OTHER   02              600        0        0
D DELTATHREE COM INC             COMMON     24783N102      152    41800 SH    -  DEFINED 02            41800        0        0
D DELTATHREE COM INC             COMMON     24783N102        3      900 SH    -  DEFINED 02              900        0        0
D DELTAGEN INC                   COMMON     24783R103     5882   190120 SH    -  DEFINED 02           159780        0    30340

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  96
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DELTAGEN INC                   COMMON     24783R103       84     2710 SH    -  DEFINED 05                0        0     2710
D DELTAGEN INC                   COMMON     24783R103     7022   226985 SH    -  DEFINED 01           134450        0    92535
D DELTAGEN INC                   COMMON     24783R103     2265    73200 SH    -  DEFINED 02            73200        0        0
D DELTA FINANCIAL CORP           COMMON     247918105       12    15600 SH    -  DEFINED 01                0        0    15600
D DELUXE CORP.                   COMMON     248019101      126     6200 SH    -  OTHER   01                0     6200        0
D DELUXE CORP.                   COMMON     248019101     1296    63800 SH    -  DEFINED 02            63800        0        0
D DELUXE CORP.                   COMMON     248019101       18      900 SH    -  DEFINED 17              900        0        0
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105        4      146 SH    -  DEFINED 16              146        0        0
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105        5      200 SH    -  DEFINED 20              200        0        0
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105     1925    71800 SH    -  DEFINED 02            71800        0        0
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105     5358   199837 SH    -  DEFINED 01           119612        0    80225
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105       67     2500 SH    -  DEFINED 05                0        0     2500
D DENDRITE INTERNATIONAL, INC.   COMMON     248239105     5141   191750 SH    -  DEFINED 02           159425        0    32325
D DENTSPLY INTERNATIONAL, INC.   COMMON     249030107     2477    70900 SH    -  DEFINED 02            70900        0        0
D DESC S.A. DE C.V. - A/D/R      COMMON     250309101      275    26614 SH    -  DEFINED 17            26614        0        0
D DEUTSCHE TELEKOM AG            COMMON     251566105     2582    75000 SH    -  DEFINED 17            75000        0        0
D DEUTSCHE TELEKOM AG            COMMON     251566105      165     4800 SH    -  DEFINED 18             4800        0        0
D DEVON ENERGY 'CONV BOND'       BOND       25179MAC7        0  3760000 PRN   -  DEFINED 16                0        0        0
D DEVON ENERGY CORP NEW          COMMON     25179M103    10707   178000 SH    -  DEFINED 02           131900        0    46100
D DEVON ENERGY CORP NEW          COMMON     25179M103       18      300 SH    -  OTHER   02              300        0        0
D DEVON ENERGY CORP NEW          COMMON     25179M103    13875   230675 SH    -  DEFINED 02           127275        0   103400
D DEVON ENERGY CORP NEW          COMMON     25179M103      102     1700 SH    -  OTHER   02                0        0     1700
D DEVON ENERGY CORP NEW          COMMON     25179M103      101     1675 SH    -  DEFINED 05                0        0     1675
D DEVON ENERGY CORP NEW          COMMON     25179M103     7334   121925 SH    -  DEFINED 01            39571        0    82354
D DEVON ENERGY CORP NEW          COMMON     25179M103        6      100 SH    -  OTHER   01              100        0        0
D DEVON ENERGY CORP NEW          COMMON     25179M103       12      200 SH    -  OTHER   21                0      200        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  97
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DEVRY, INC.                    COMMON     251893103      301     8000 SH    -  DEFINED 02                0        0     8000
D DEVRY, INC.                    COMMON     251893103        0        3 SH    -  DEFINED 16                3        0        0
D DEXTER CORP.                   COMMON     252165105        0   164100 SH    -  DEFINED 16           164100        0        0
D DIAGNOSTIC PRODUCTS CORP.      COMMON     252450101      134     2500 SH    -  DEFINED 02             2500        0        0
D DIAGNOSTIC PRODUCTS CORP.      COMMON     252450101     1512    28200 SH    -  DEFINED 02            10600        0    17600
D DIAL CORP NEW                  COMMON     25247D101      186    15990 SH    -  DEFINED 01                0        0    15990
D DIAMOND OFFSHORE DRILLING 'CON BOND       25271CAB8        0  7000000 PRN   -  DEFINED 16                0        0        0
D DIAMOND OFFSHORE DRILLING, INC COMMON     25271C102       45     1100 SH    -  DEFINED 20             1100        0        0
D DIAMOND OFFSHORE DRILLING, INC COMMON     25271C102     3575    87200 SH    -  DEFINED 02            67200        0    20000
D DIAMOND OFFSHORE DRILLING, INC COMMON     25271C102      220     5365 SH    -  DEFINED 01             5365        0        0
D DIAMOND OFFSHORE DRILLING, INC COMMON     25271C102     4945   120600 SH    -  DEFINED 02            51000        0    69600
D DIAMOND OFFSHORE DRILLING, INC COMMON     25271C102        4      100 SH    -  DEFINED 05              100        0        0
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109      293     3950 SH    -  DEFINED 05                0        0     3950
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109    12394   166925 SH    -  DEFINED 02           138900        0    28025
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109    20112   270875 SH    -  DEFINED 01           137800        0   133075
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109      223     3000 SH    -  OTHER   01             3000        0        0
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109     5851    78800 SH    -  DEFINED 02            78800        0        0
D DIAMOND TECHNOLOGY PARTNERS    COMMON     252762109       52      700 SH    -  DEFINED 20              700        0        0
D DIEBOLD, INC.                  COMMON     253651103      310    11681 SH    -  DEFINED 01               65        0    11616
D DIGEX INC DEL                  COMMON     253756100     3582    76406 SH    -  DEFINED 01            52096      950    23035
D DIGEX INC DEL                  COMMON     253756100      609    12990 SH    -  OTHER   01             5015     5775     2200
D DIGEX INC DEL                  COMMON     253756100     1082    23075 SH    -  DEFINED 05            10475      500    12100
D DIGEX INC DEL                  COMMON     253756100       66     1400 SH    -  OTHER   05              300      300      800
D DIGEX INC DEL                  COMMON     253756100       94     2000 SH    -  DEFINED 16             2000        0        0
D DIGEX INC DEL                  COMMON     253756100      375     8000 SH    -  DEFINED 02             8000        0        0
D DIGITAL COURIER TECHNOLOGIES   COMMON     253838106      333   183500 SH    -  DEFINED 02           183500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  98
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DIGITAL COURIER TECHNOLOGIES   COMMON     253838106       23    12500 SH    -  DEFINED 02            12500        0        0
D DIGITAL IS INC DEL             COMMON     25385N101       99     5300 SH    -  DEFINED 02             1700        0     3600
D DIGITAL IS INC DEL             COMMON     25385N101      355    18910 SH    -  DEFINED 01            16190        0     2720
D DIGITAL IS INC DEL             COMMON     25385N101      671    35800 SH    -  DEFINED 02            35800        0        0
D DIGITAL IS INC DEL             COMMON     25385N101     1331    71000 SH    -  DEFINED 18            71000        0        0
D DIGITAL LIGHTWAVE, INC.        COMMON     253855100        9      128 SH    -  DEFINED 16              128        0        0
D DIGITAL LIGHTWAVE, INC.        COMMON     253855100      697     9600 SH    -  DEFINED 02             9600        0        0
D DIGITAL LIGHTWAVE, INC.        COMMON     253855100      240     3300 SH    -  DEFINED 02                0        0     3300
D DIGITALTHINK INC               COMMON     25388M100     2473    58700 SH    -  DEFINED 02            49700        0     9000
D DIGITALTHINK INC               COMMON     25388M100       34      800 SH    -  DEFINED 05                0        0      800
D DIGITALTHINK INC               COMMON     25388M100     2852    67700 SH    -  DEFINED 01            42000        0    25700
D DIGITALTHINK INC               COMMON     25388M100      923    21900 SH    -  DEFINED 02            21900        0        0
D DILLARD'S INC. CL A            COMMON     254067101      253    23800 SH    -  DEFINED 02            23800        0        0
D DILLARD'S INC. CL A            COMMON     254067101       12     1100 SH    -  DEFINED 17             1100        0        0
D DILLARD'S INC. CL A            COMMON     254067101        5      500 SH    -  DEFINED 01              500        0        0
D DIME BANCORP, INC.             COMMON     25429Q102      220    10200 SH    -  OTHER   21                0    10200        0
D DIME BANCORP, INC.             COMMON     25429Q102     5861   271820 SH    -  DEFINED 01           191084        0    80736
D DIME BANCORP, INC.             COMMON     25429Q102       35     1600 SH    -  DEFINED 05             1600        0        0
D DIME BANCORP, INC.             COMMON     25429Q102    82267  3815210 SH    -  DEFINED 02          2961810        0   853400
D DIME BANCORP, INC.             COMMON     25429Q102      336    15600 SH    -  OTHER   02                0        0    15600
D DIME BANCORP, INC.             COMMON     25429Q102      461    21400 SH    -  DEFINED 20            21400        0        0
D DIME BANCORP, INC.             COMMON     25429Q102    29595  1372500 SH    -  DEFINED 02           919100        0   453400
D DIME BANCORP, INC.             COMMON     25429Q102       30     1400 SH    -  OTHER   02             1400        0        0
D DIMON, INC.                    COMMON     254394109       78    24100 SH    -  DEFINED 01                0        0    24100
D DIONEX CORP.                   COMMON     254546104      597    21600 SH    -  DEFINED 01                0        0    21600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE  99
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DIONEX CORP.                   COMMON     254546104        0        3 SH    -  DEFINED 16                3        0        0
D DISNEY (WALT) & CO.            COMMON     254687106     1025    26800 SH    -  DEFINED 17            26800        0        0
D DISNEY (WALT) & CO.            COMMON     254687106    14684   383900 SH    -  DEFINED 20           383900        0        0
D DISNEY (WALT) & CO.            COMMON     254687106    17140   448100 SH    -  DEFINED 02           205800        0   242300
D DISNEY (WALT) & CO.            COMMON     254687106    38016   993878 SH    -  OTHER   01           280716   636022    77140
D DISNEY (WALT) & CO.            COMMON     254687106   102763  2686618 SH    -  DEFINED 01           738551    20438  1883029
D DISNEY (WALT) & CO.            COMMON     254687106      126     3300 SH    -  OTHER   21                0     3300        0
D DISNEY (WALT) & CO.            COMMON     254687106    61751  1614400 SH    -  DEFINED 02          1181900        0   432500
D DISNEY (WALT) & CO.            COMMON     254687106     7284   190434 SH    -  DEFINED 05            64272     3300   122862
D DISNEY (WALT) & CO.            COMMON     254687106      224     5857 SH    -  OTHER   05             4857     1000        0
D DISNEY (WALT) & CO.            COMMON     254687106     1806    47217 SH    -  OTHER   11                0    47217        0
D DISNEY (WALT) & CO.            COMMON     254687106     1806    47217 SH    -  OTHER   10                0    47217        0
D DISNEY WALT CO "GO.COM"        COMMON     254687205        8      770 SH    -  DEFINED 01                0        0      770
D DISNEY WALT CO "GO.COM"        COMMON     254687205      103     9670 SH    -  DEFINED 17             9670        0        0
D DIRECT FOCUS INC               COMMON     254931108        2       59 SH    -  DEFINED 16               59        0        0
D DIRECT FOCUS INC               COMMON     254931108     2266    57000 SH    -  DEFINED 02            57000        0        0
D DIRECT FOCUS INC               COMMON     254931108      316     7950 SH    -  DEFINED 01                0        0     7950
D DIRECT FOCUS INC               COMMON     254931108     3458    87000 SH    -  DEFINED 02            17850        0    69150
D DITECH COMMUNICATIONS CORP     COMMON     25500M103     2610    63650 SH    -  DEFINED 02            49875        0    13775
D DITECH COMMUNICATIONS CORP     COMMON     25500M103       31      750 SH    -  DEFINED 05                0        0      750
D DITECH COMMUNICATIONS CORP     COMMON     25500M103     3813    93003 SH    -  DEFINED 01            39200        0    53803
D DITECH COMMUNICATIONS CORP     COMMON     25500M103      939    22900 SH    -  DEFINED 02            22900        0        0
D DIVERSA CORP                   COMMON     255064107      778    28800 SH    -  DEFINED 02            28800        0        0
D DIVERSA CORP                   COMMON     255064107     2970   110015 SH    -  DEFINED 01            27990        0    82025
D DIVERSA CORP                   COMMON     255064107       15      550 SH    -  DEFINED 05                0        0      550
D DIVERSA CORP                   COMMON     255064107     2144    79425 SH    -  DEFINED 02            67075        0    12350

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 100
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DOCUMENTUM, INC.               COMMON     256159104       24      300 SH    -  DEFINED 02              300        0        0
D DOCUMENTUM, INC.               COMMON     256159104      154     1900 SH    -  DEFINED 01                0        0     1900
D DOCUMENTUM, INC.               COMMON     256159104      877    10800 SH    -  DEFINED 02            10800        0        0
D DOLE FOOD COMPANY, INC.        COMMON     256605106     1206    80400 SH    -  DEFINED 02            64200        0    16200
D DOLLAR GENERAL CORP.           COMMON     256669102     3869   230957 SH    -  DEFINED 01           141406        0    89551
D DOLLAR GENERAL CORP.           COMMON     256669102       66     3950 SH    -  DEFINED 17             3950        0        0
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON     256743105      897    45400 SH    -  DEFINED 02            45400        0        0
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON     256743105      284    14400 SH    -  DEFINED 01                0        0    14400
D DOLLAR THRIFTY AUTOMOTIVE GROU COMMON     256743105     3148   159400 SH    -  DEFINED 02            37900        0   121500
D DOLLAR TREE STORES INC         COMMON     256747106      393     9700 SH    -  DEFINED 02                0        0     9700
D DOLLAR TREE STORES INC         COMMON     256747106    18656   459918 SH    -  DEFINED 01           162150        0   297768
D DOMINION RES INC VA NEW        COMMON     25746U109     7878   135674 SH    -  DEFINED 01            58140      300    77234
D DOMINION RES INC VA NEW        COMMON     25746U109     1493    25718 SH    -  OTHER   01             9100    15818      800
D DOMINION RES INC VA NEW        COMMON     25746U109     8524   146800 SH    -  DEFINED 02            25500        0   121300
D DOMINION RES INC VA NEW        COMMON     25746U109       87     1500 SH    -  DEFINED 05             1500        0        0
D DOMINION RES INC VA NEW        COMMON     25746U109     1173    20200 SH    -  DEFINED 02                0        0    20200
D DOMINION RES INC VA NEW        COMMON     25746U109      164     2825 SH    -  DEFINED 17             2825        0        0
D DOMINION RES INC VA NEW        COMMON     25746U109      255     4400 SH    -  DEFINED 20             4400        0        0
D DONALDSON, INC.                COMMON     257651109      453    20600 SH    -  DEFINED 01                0        0    20600
D DONALDSON LUFKIN & JENRETTE, I COMMON     257661108     9007   100710 SH    -  DEFINED 01            57960        0    42750
D DONALDSON LUFKIN & JENRETTE, I COMMON     257661108      116     1300 SH    -  DEFINED 05                0        0     1300
D DONALDSON LUFKIN & JENRETTE, I COMMON     257661108     7316    81800 SH    -  DEFINED 02            69550        0    12250
D DONALDSON LUFKIN & JENRETTE, I COMMON     257661108    38333   428600 SH    -  DEFINED 16           428600        0        0
D DONALDSON LUFKIN & JENRETTE, I COMMON     257661108     2594    29000 SH    -  DEFINED 02            29000        0        0
D DONALDSON LUFKIN & JENRETTE    COMMON     257661504      124    18000 SH    -  DEFINED 02            18000        0        0
D DONALDSON LUFKIN & JENRETTE    COMMON     257661504      216    31400 SH    -  DEFINED 02            31400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 101
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 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      108     4400 SH    -  DEFINED 05                0        0     4400
D DONNELLEY (R. R.) & SONS, CO.  COMMON     257867101       79     3200 SH    -  DEFINED 01             1000     2200        0
D DONNELLEY (R. R.) & SONS, CO.  COMMON     257867101       76     3100 SH    -  OTHER   01              400     2700        0
D DONNELLEY (R. R.) & SONS, CO.  COMMON     257867101       37     1500 SH    -  DEFINED 17             1500        0        0
D DORAL FINANCIAL CORPORATION    COMMON     25811P100       10      600 SH    -  DEFINED 20              600        0        0
D DORAL FINANCIAL CORPORATION    COMMON     25811P100     2270   140200 SH    -  DEFINED 02           140200        0        0
D DORAL FINANCIAL CORPORATION    COMMON     25811P100     3956   244400 SH    -  DEFINED 01           244400        0        0
D DORAL FINANCIAL CORPORATION    COMMON     25811P100     4805   296800 SH    -  DEFINED 02           241700        0    55100
D DOUBLECLICK INC.               COMMON     258609304    22658   708050 SH    -  DEFINED 02           416200        0   291850
D DOUBLECLICK INC.               COMMON     258609304       83     2600 SH    -  OTHER   02                0        0     2600
D DOUBLECLICK INC.               COMMON     258609304    10475   327349 SH    -  DEFINED 01            18454        0   301139
D DOUBLECLICK INC.               COMMON     258609304        3      100 SH    -  OTHER   01                0        0      100
D DOUBLECLICK INC.               COMMON     258609304       13      400 SH    -  OTHER   21                0      400        0
D DOUBLECLICK INC.               COMMON     258609304    10282   321300 SH    -  DEFINED 02           241900        0    79400
D DOUBLECLICK INC.               COMMON     258609304       16      500 SH    -  OTHER   02              500        0        0
D DOUBLECLICK INC.               COMMON     258609304     1498    46800 SH    -  DEFINED 20            46800        0        0
D DOUBLECLICK INC.               COMMON     258609304        1       43 SH    -  DEFINED 16               43        0        0
D DOVER CORP.                    COMMON     260003108      113     2400 SH    -  DEFINED 17             2400        0        0
D DOVER CORP.                    COMMON     260003108     9742   207542 SH    -  DEFINED 01           111900        0    95642
D DOVER CORP.                    COMMON     260003108     7753   165180 SH    -  OTHER   01                0    29600   135580
D DOVER DOWNS ENTMT INC          COMMON     260086103      274    20400 SH    -  DEFINED 01                0        0    20400
D DOW CHEMICAL CO.               COMMON     260543103     9586   384401 SH    -  DEFINED 01           292781    27600    64020
D DOW CHEMICAL CO.               COMMON     260543103     4684   187812 SH    -  OTHER   01            27561   122271    37980
D DOW CHEMICAL CO.               COMMON     260543103      105     4200 SH    -  OTHER   21                0     4200        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 102
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DOW CHEMICAL CO.               COMMON     260543103    75677  3034600 SH    -  DEFINED 02          1669000        0  1365600
D DOW CHEMICAL CO.               COMMON     260543103       30     1200 SH    -  OTHER   02                0        0     1200
D DOW CHEMICAL CO.               COMMON     260543103      132     5300 SH    -  DEFINED 05              800        0     4500
D DOW CHEMICAL CO.               COMMON     260543103     1322    53000 SH    -  DEFINED 06            53000        0        0
D DOW CHEMICAL CO.               COMMON     260543103      584    23400 SH    -  DEFINED 20            23400        0        0
D DOW CHEMICAL CO.               COMMON     260543103    44836  1797900 SH    -  DEFINED 02          1539600        0   258300
D DOW CHEMICAL CO.               COMMON     260543103       40     1600 SH    -  OTHER   02             1600        0        0
D DOW JONES & CO, INC.           COMMON     260561105      968    16000 SH    -  DEFINED 06            16000        0        0
D DOW JONES & CO, INC.           COMMON     260561105       67     1100 SH    -  DEFINED 17             1100        0        0
D DOW JONES & CO, INC.           COMMON     260561105      732    12100 SH    -  DEFINED 02                0        0    12100
D DOW JONES & CO, INC.           COMMON     260561105      807    13341 SH    -  OTHER   01                0    13341        0
D DOWNEY FINANCIAL CORP.         COMMON     261018105     1315    33300 SH    -  DEFINED 02            33300        0        0
D DOWNEY FINANCIAL CORP.         COMMON     261018105        0        2 SH    -  DEFINED 16                2        0        0
D DOWNEY FINANCIAL CORP.         COMMON     261018105      300     7600 SH    -  DEFINED 02             7600        0        0
D DRESS BARN, INC.               COMMON     261570105       38     1800 SH    -  DEFINED 02             1800        0        0
D DRESS BARN, INC.               COMMON     261570105      634    30200 SH    -  DEFINED 02            30200        0        0
D DRESS BARN, INC.               COMMON     261570105       44     2100 SH    -  DEFINED 01                0        0     2100
D DREYER'S GRAND ICE CREAM, INC. COMMON     261878102      436    20200 SH    -  DEFINED 01                0        0    20200
D DSET CORP                      COMMON     262504103     3256   157875 SH    -  DEFINED 01             9250        0   148625
D DSET CORP                      COMMON     262504103      786    38100 SH    -  DEFINED 02            31500        0     6600
D DSET CORP                      COMMON     262504103       89     4325 SH    -  DEFINED 05                0        0     4325
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109     3466    83635 SH    -  DEFINED 05            44487        0    39148
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109      438    10566 SH    -  OTHER   05             4904      584     5078
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109      344     8300 SH    -  DEFINED 02                0        0     8300
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109    63636  1535702 SH    -  DEFINED 01           745564     6013   783395

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 103
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109     9720   234571 SH    -  OTHER   01            79588   108281    46702
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109      311     7500 SH    -  DEFINED 02                0        0     7500
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109      278     6700 SH    -  DEFINED 16             6700        0        0
D DU PONT (E. I.) DE NEMOURS & C COMMON     263534109    11395   275000 SH    -  DEFINED 18           275000        0        0
D DUKE POWER CO.                 COMMON     264399106      309     3600 SH    -  DEFINED 06             3600        0        0
D DUKE POWER CO.                 COMMON     264399106     1741    20300 SH    -  DEFINED 17            20300        0        0
D DUKE POWER CO.                 COMMON     264399106    25255   294514 SH    -  DEFINED 01           204517     8100    81497
D DUKE POWER CO.                 COMMON     264399106    10661   124327 SH    -  OTHER   01            55274    54175    14878
D DUKE POWER CO.                 COMMON     264399106     4608    53740 SH    -  DEFINED 05            26740        0    27000
D DUKE POWER CO.                 COMMON     264399106      326     3800 SH    -  OTHER   05                0     3800        0
D DUKE REALTY INVESTMENTS, INC.  COMMON     264411505     9649   399978 SH    -  DEFINED 02           399978        0        0
D DUKE REALTY INVESTMENTS, INC.  COMMON     264411505     6238   258588 SH    -  DEFINED 02           258588        0        0
D DUN & BRADSTREET CORPORATION   COMMON     26483B106       65     1900 SH    -  DEFINED 17             1900        0        0
D DUN & BRADSTREET CORPORATION   COMMON     26483B106      871    25300 SH    -  DEFINED 02                0        0    25300
D DUN & BRADSTREET CORPORATION   COMMON     26483B106       69     2000 SH    -  OTHER   05                0        0     2000
D DUN & BRADSTREET CORPORATION   COMMON     26483B106      172     5000 SH    -  OTHER   10                0     5000        0
D DUN & BRADSTREET CORPORATION   COMMON     26483B106      172     5000 SH    -  OTHER   11                0     5000        0
D DUN & BRADSTREET CORPORATION   COMMON     26483B106     1196    34716 SH    -  DEFINED 01            23483      600    10633
D DUN & BRADSTREET CORPORATION   COMMON     26483B106     2887    83835 SH    -  OTHER   01             4532    78303     1000
D DURA AUTOMOTIVE SYSTEMS CORP   COMMON     265903104      145    15680 SH    -  DEFINED 01                0        0    15680
D DURA AUTOMOTIVE SYSTEMS CORP   COMMON     265903104       90     9800 SH    -  DEFINED 02             9800        0        0
D DUPONT PHOTOMASKS, INC.        COMMON     26613X101        0        7 SH    -  DEFINED 16                7        0        0
D DUPONT PHOTOMASKS, INC.        COMMON     26613X101      905    15400 SH    -  DEFINED 02            15400        0        0
D DURA PHARMACEUTICALS, INC.     COMMON     26632S109     2988    84455 SH    -  DEFINED 17            84455        0        0
D DURA PHARMACEUTICALS, INC.     COMMON     26632S109      955    27000 SH    -  DEFINED 01                0        0    27000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 104
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D DYCOM INDUSTRIES, INC.         COMMON     267475101    13869   333200 SH    -  DEFINED 01           233900        0    99300
D DYCOM INDUSTRIES, INC.         COMMON     267475101     5215   125287 SH    -  DEFINED 02           104637        0    20650
D DYCOM INDUSTRIES, INC.         COMMON     267475101      123     2950 SH    -  DEFINED 05                0        0     2950
D DYCOM INDUSTRIES, INC.         COMMON     267475101        1       14 SH    -  DEFINED 16               14        0        0
D DYCOM INDUSTRIES, INC.         COMMON     267475101        8      200 SH    -  DEFINED 20              200        0        0
D DYCOM INDUSTRIES, INC.         COMMON     267475101     1600    38450 SH    -  DEFINED 02            38450        0        0
D DYNEGY INC NEW                 COMMON     26816Q101    41388   726100 SH    -  DEFINED 02           462400        0   263700
D DYNEGY INC NEW                 COMMON     26816Q101       34      600 SH    -  OTHER   02              600        0        0
D DYNEGY INC NEW                 COMMON     26816Q101      986    17300 SH    -  DEFINED 20            17300        0        0
D DYNEGY INC NEW                 COMMON     26816Q101     1596    28000 SH    -  DEFINED 16            28000        0        0
D DYNEGY INC NEW                 COMMON     26816Q101     1995    35000 SH    -  DEFINED 06            35000        0        0
D DYNEGY INC NEW                 COMMON     26816Q101       34      600 SH    -  DEFINED 05              600        0        0
D DYNEGY INC NEW                 COMMON     26816Q101   190556  3343090 SH    -  DEFINED 02          2532690        0   810400
D DYNEGY INC NEW                 COMMON     26816Q101      410     7200 SH    -  OTHER   02                0        0     7200
D DYNEGY INC NEW                 COMMON     26816Q101     4338    76100 SH    -  DEFINED 01            66500        0     9600
D DYNEGY INC NEW                 COMMON     26816Q101       23      400 SH    -  OTHER   01              400        0        0
D DYNEGY INC NEW                 COMMON     26816Q101      171     3000 SH    -  OTHER   21                0     3000        0
D DYNEX CAP INC                  PREF CONV  26817Q308      101    13000 SH    -  OTHER   01                0        0        0
D ECI TELECOMMUNICATIONS LTD. DE COMMON     268258100      251     8184 SH    -  DEFINED 01                0        0     8184
D ECI TELECOMMUNICATIONS LTD. DE COMMON     268258100       92     3000 SH    -  DEFINED 05             3000        0        0
D EMC CORP.                      COMMON     268648102    20427   206077 SH    -  DEFINED 05            75977     6000   124100
D EMC CORP.                      COMMON     268648102      357     3600 SH    -  OTHER   05             2800      800        0
D EMC CORP.                      COMMON     268648102     1586    16000 SH    -  OTHER   11                0    16000        0
D EMC CORP.                      COMMON     268648102     1586    16000 SH    -  OTHER   10                0    16000        0
D EMC CORP.                      COMMON     268648102     5858    59100 SH    -  OTHER   09            59100        0        0
D EMC CORP.                      COMMON     268648102     4362    44000 SH    -  OTHER   0304          44000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 105
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EMC CORP.                      COMMON     268648102   744009  7505770 SH    -  DEFINED 02          5448122        0  2057648
D EMC CORP.                      COMMON     268648102     1031    10400 SH    -  OTHER   02                0        0    10400
D EMC CORP.                      COMMON     268648102   576954  5820472 SH    -  DEFINED 01          2890575    48416  2861375
D EMC CORP.                      COMMON     268648102   135216  1364092 SH    -  OTHER   01           603606   580986   179500
D EMC CORP.                      COMMON     268648102       40      400 SH    -  OTHER   21                0      400        0
D EMC CORP.                      COMMON     268648102    14869   150000 SH    -  DEFINED 18           150000        0        0
D EMC CORP.                      COMMON     268648102     1655    16700 SH    -  DEFINED 16            16700        0        0
D EMC CORP.                      COMMON     268648102    30659   309300 SH    -  DEFINED 20           309300        0        0
D EMC CORP.                      COMMON     268648102   256278  2585400 SH    -  DEFINED 02          1588200        0   997200
D EMC CORP.                      COMMON     268648102      208     2100 SH    -  OTHER   02             2100        0        0
D ENSCO INTERNATIONAL, INC.      COMMON     26874Q100     5018   131200 SH    -  DEFINED 02            91700        0    39500
D ENSCO INTERNATIONAL, INC.      COMMON     26874Q100      180     4700 SH    -  DEFINED 20             4700        0        0
D ENSCO INTERNATIONAL, INC.      COMMON     26874Q100     1725    45100 SH    -  DEFINED 01            12800        0    32300
D ENSCO INTERNATIONAL, INC.      COMMON     26874Q100     7589   198400 SH    -  DEFINED 02            51800        0   146600
D EOG RES INC                    COMMON     26875P101      307     7900 SH    -  DEFINED 02                0        0     7900
D EOG RES INC                    COMMON     26875P101        1       35 SH    -  DEFINED 01               35        0        0
D EOG RES INC                    COMMON     26875P101     5864   150850 SH    -  DEFINED 02           142900        0     7950
D E PIPHANY INC                  COMMON     26881V100     3745    48600 SH    -  DEFINED 02            48600        0        0
D E PIPHANY INC                  COMMON     26881V100       57      962 SH    -  DEFINED 19              962        0        0
D E PIPHANY INC                  COMMON     26881V100     6415    83238 SH    -  DEFINED 01            15747      141    67350
D E PIPHANY INC                  COMMON     26881V100       19      252 SH    -  OTHER   01              252        0        0
D E PIPHANY INC                  COMMON     26881V100     7492    97225 SH    -  DEFINED 02            77475        0    19750
D E PIPHANY INC                  COMMON     26881V100      169     2191 SH    -  DEFINED 05              141        0     2050
D ESS TECHNOLOGY, INC.           COMMON     269151106       14     1000 SH    -  DEFINED 02              800        0      200
D ESS TECHNOLOGY, INC.           COMMON     269151106        3      200 SH    -  DEFINED 20              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 106
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ESS TECHNOLOGY, INC.           COMMON     269151106      256    17900 SH    -  DEFINED 02            17900        0        0
D E'TOWN CORP.                   COMMON     269242103     6614    98900 SH    -  DEFINED 02            98900        0        0
D E'TOWN CORP.                   COMMON     269242103     1899    28400 SH    -  DEFINED 16            28400        0        0
D E'TOWN CORP.                   COMMON     269242103    10874   162600 SH    -  DEFINED 02           140200        0    22400
D E'TOWN CORP.                   COMMON     269242103      181     2700 SH    -  DEFINED 01                0        0     2700
D E TRADE GROUP INC   "CONV BOND BOND       269246AB0        0  4000000 PRN   -  DEFINED 16                0        0        0
D E TRADE GROUP, INC.            COMMON     269246104      126     7681 SH    -  DEFINED 16             7681        0        0
D E TRADE GROUP, INC.            COMMON     269246104      294    17900 SH    -  DEFINED 20            17900        0        0
D E TRADE GROUP, INC.            COMMON     269246104    30765  1871550 SH    -  DEFINED 02          1328550        0   543000
D E TRADE GROUP, INC.            COMMON     269246104       36     2200 SH    -  OTHER   02             2200        0        0
D E TRADE GROUP, INC.            COMMON     269246104    11243   683968 SH    -  DEFINED 01           349668     1300   332000
D E TRADE GROUP, INC.            COMMON     269246104      837    50900 SH    -  OTHER   01            26100    23400     1400
D E TRADE GROUP, INC.            COMMON     269246104       43     2600 SH    -  OTHER   21                0     2600        0
D E TRADE GROUP, INC.            COMMON     269246104   140842  8568070 SH    -  DEFINED 02          7250070        0  1318000
D E TRADE GROUP, INC.            COMMON     269246104      135     8200 SH    -  OTHER   02                0        0     8200
D E TRADE GROUP, INC.            COMMON     269246104       30     1800 SH    -  DEFINED 05             1800        0        0
D E TRADE GROUP, INC.            COMMON     269246104      847    51500 SH    -  OTHER   09            51500        0        0
D EARTHGRAINS CO.                COMMON     270319106      981    53200 SH    -  DEFINED 02             8600        0    44600
D EARTHGRAINS CO.                COMMON     270319106     1047    56800 SH    -  DEFINED 02            56800        0        0
D EARTHLINK INC                  COMMON     270321102        4      418 SH    -  DEFINED 16              418        0        0
D EARTHLINK INC                  COMMON     270321102      235    25800 SH    -  DEFINED 02                0        0    25800
D EASTMAN CHEMICAL CO.           COMMON     277432100        7      200 SH    -  DEFINED 05              200        0        0
D EASTMAN CHEMICAL CO.           COMMON     277432100      113     3051 SH    -  DEFINED 01             1466        0     1585
D EASTMAN CHEMICAL CO.           COMMON     277432100       46     1250 SH    -  OTHER   01                0      562      688
D EASTMAN CHEMICAL CO.           COMMON     277432100       33      900 SH    -  DEFINED 17              900        0        0
D EASTMAN CHEMICAL CO.           COMMON     277432100      369    10000 SH    -  DEFINED 06            10000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 107
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EASTMAN CHEMICAL CO.           COMMON     277432100     3339    90400 SH    -  DEFINED 02            90400        0        0
D EASTMAN KODAK CO.              COMMON     277461109    14584   356800 SH    -  DEFINED 02           216600        0   140200
D EASTMAN KODAK CO.              COMMON     277461109      266     6500 SH    -  DEFINED 17             6500        0        0
D EASTMAN KODAK CO.              COMMON     277461109      270     6600 SH    -  DEFINED 20             6600        0        0
D EASTMAN KODAK CO.              COMMON     277461109       20      500 SH    -  OTHER   21                0      500        0
D EASTMAN KODAK CO.              COMMON     277461109      997    24394 SH    -  OTHER   01              300    20487     3607
D EASTMAN KODAK CO.              COMMON     277461109     4596   112431 SH    -  DEFINED 01            50170     5310    56951
D EASTMAN KODAK CO.              COMMON     277461109       61     1500 SH    -  DEFINED 05             1500        0        0
D EASTMAN KODAK CO.              COMMON     277461109    29070   711194 SH    -  DEFINED 02           321094        0   390100
D EATON CORP.                    COMMON     278058102    85036  1379890 SH    -  DEFINED 02           958590        0   421300
D EATON CORP.                    COMMON     278058102      265     4300 SH    -  OTHER   02                0        0     4300
D EATON CORP.                    COMMON     278058102       74     1200 SH    -  DEFINED 05             1200        0        0
D EATON CORP.                    COMMON     278058102     3205    52000 SH    -  OTHER   0304          52000        0        0
D EATON CORP.                    COMMON     278058102    11924   193495 SH    -  DEFINED 01           105475      800    85220
D EATON CORP.                    COMMON     278058102     6452   104704 SH    -  OTHER   01            22000    59004    23700
D EATON CORP.                    COMMON     278058102      253     4100 SH    -  OTHER   21                0     4100        0
D EATON CORP.                    COMMON     278058102      468     7600 SH    -  DEFINED 20             7600        0        0
D EATON CORP.                    COMMON     278058102       55      900 SH    -  DEFINED 17              900        0        0
D EATON CORP.                    COMMON     278058102    39341   638400 SH    -  DEFINED 02           483300        0   155100
D EATON CORP.                    COMMON     278058102       43      700 SH    -  OTHER   02              700        0        0
D EATON VANCE CORP.              COMMON     278265103        0        2 SH    -  DEFINED 16                2        0        0
D EATON VANCE CORP.              COMMON     278265103     1550    30400 SH    -  DEFINED 01                0        0    30400
D EBAY INC                       COMMON     278642103       34      500 SH    -  DEFINED 01              500        0        0
D EBAY INC                       COMMON     278642103     2061    30000 SH    -  DEFINED 02                0        0    30000
D EBAY INC                       COMMON     278642103       14      200 SH    -  DEFINED 16              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 108
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EBOOKERS COM PLC               COMMON     278725106       53    10000 SH    -  DEFINED 17            10000        0        0
D EBOOKERS COM PLC               COMMON     278725106      193    37685 SH    -  DEFINED 16            37685        0        0
D ECHELON CORP                   COMMON     27874N105     6487   220824 SH    -  DEFINED 01                0        0   220824
D ECHOSTAR COMMUNICATIONS 'CONV  BOND       278762AD1        0 41378000 PRN   -  DEFINED 16                0        0        0
D ECHOSTAR COMMUNICATIONS CL. "A COMMON     278762109        3       54 SH    -  DEFINED 16               54        0        0
D ECHOSTAR COMMUNICATIONS CL. "A COMMON     278762109     2047    38800 SH    -  DEFINED 01                0        0    38800
D ECHOSTAR COMMUNICATIONS CL. "A COMMON     278762109     1619    30700 SH    -  DEFINED 02                0        0    30700
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON     278849104     2333   583300 SH    -  DEFINED 02           504700        0    78600
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON     278849104       30     7375 SH    -  DEFINED 05                0        0     7375
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON     278849104     1159   289725 SH    -  DEFINED 01            65650        0   224075
D ECLIPSE SURGICAL TECHNOLOGIES, COMMON     278849104     1562   390400 SH    -  DEFINED 02           390400        0        0
D ECOLAB, INC.                   COMMON     278865100       58     1600 SH    -  DEFINED 17             1600        0        0
D ECOLAB, INC.                   COMMON     278865100       72     2000 SH    -  DEFINED 01             1600        0      400
D ECOLAB, INC.                   COMMON     278865100      180     5000 SH    -  OTHER   01             5000        0        0
D ECOLAB, INC.                   COMMON     278865100      790    21900 SH    -  DEFINED 02                0        0    21900
D EDISON INTERNATIONAL           COMMON     281020107    18204   942600 SH    -  DEFINED 02           440300        0   502300
D EDISON INTERNATIONAL           COMMON     281020107       19     1000 SH    -  OTHER   21                0     1000        0
D EDISON INTERNATIONAL           COMMON     281020107      924    47850 SH    -  DEFINED 05            14650        0    33200
D EDISON INTERNATIONAL           COMMON     281020107      629    32570 SH    -  DEFINED 01            18100     6000     8470
D EDISON INTERNATIONAL           COMMON     281020107      336    17400 SH    -  OTHER   01             5000     6400     6000
D EDISON INTERNATIONAL           COMMON     281020107       77     4000 SH    -  DEFINED 17             4000        0        0
D EDISON INTERNATIONAL           COMMON     281020107       97     5000 SH    -  DEFINED 06             5000        0        0
D EDISON INTERNATIONAL           COMMON     281020107        8      400 SH    -  DEFINED 20              400        0        0
D EDISON INTERNATIONAL           COMMON     281020107    14846   768700 SH    -  DEFINED 02           634500        0   134200
D EDISON SCHOOLS INC             COMMON     281033100    73819  2917562 SH    -  DEFINED 19          2917562        0        0
D EDISON SCHOOLS INC             COMMON     281033100       13      410 SH    -  DEFINED 16              410        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 109
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EDUCATION MGMT CORP            COMMON     28139T101        0        4 SH    -  DEFINED 16                4        0        0
D EDUCATION MGMT CORP            COMMON     28139T101      431    16000 SH    -  DEFINED 02            16000        0        0
D EDUCATION MGMT CORP            COMMON     28139T101      630    23400 SH    -  DEFINED 02            16800        0     6600
D J D EDWARDS & CO               COMMON     281667105     7514   290400 SH    -  DEFINED 02           290400        0        0
D J D EDWARDS & CO               COMMON     281667105        2       75 SH    -  DEFINED 01               75        0        0
D J D EDWARDS & CO               COMMON     281667105      427    16500 SH    -  DEFINED 02            16500        0        0
D EDWARDS LIFESCIENCES CORP      COMMON     28176E108      423    19400 SH    -  DEFINED 02            19400        0        0
D EDWARDS LIFESCIENCES CORP      COMMON     28176E108       46     2091 SH    -  DEFINED 01             1380        0      711
D EDWARDS LIFESCIENCES CORP      COMMON     28176E108      864    39600 SH    -  DEFINED 02            10800        0    28800
D EDWARDS (A. G.), INC.          COMMON     281760108    59210  1131850 SH    -  DEFINED 02           876200        0   255650
D EDWARDS (A. G.), INC.          COMMON     281760108      162     3100 SH    -  OTHER   02                0        0     3100
D EDWARDS (A. G.), INC.          COMMON     281760108       42      800 SH    -  DEFINED 05              800        0        0
D EDWARDS (A. G.), INC.          COMMON     281760108     1046    20000 SH    -  OTHER   0304          20000        0        0
D EDWARDS (A. G.), INC.          COMMON     281760108     9157   175035 SH    -  DEFINED 01           127345      600    47090
D EDWARDS (A. G.), INC.          COMMON     281760108     2218    42400 SH    -  OTHER   01            32100     6600     3700
D EDWARDS (A. G.), INC.          COMMON     281760108      199     3800 SH    -  OTHER   21                0     3800        0
D EDWARDS (A. G.), INC.          COMMON     281760108    23243   444300 SH    -  DEFINED 02           388800        0    55500
D EDWARDS (A. G.), INC.          COMMON     281760108       26      500 SH    -  OTHER   02              500        0        0
D EDWARDS (A. G.), INC.          COMMON     281760108      105     2000 SH    -  DEFINED 20             2000        0        0
D EFFICIENT NETWORKS INC         COMMON     282056100     5592   149854 SH    -  DEFINED 02           142154        0     7700
D EFUNDS CORP                    COMMON     28224R101     2064   279850 SH    -  DEFINED 02           240500        0    39350
D EFUNDS CORP                    COMMON     28224R101     1247   169150 SH    -  DEFINED 01           169150        0        0
D EFUNDS CORP                    COMMON     28224R101      794   107700 SH    -  DEFINED 02           107700        0        0
D EL PASO ELECTRIC COMPANY       COMMON     283677854     3404   247200 SH    -  DEFINED 02           247200        0        0
D EL PASO ELECTRIC COMPANY       COMMON     283677854      540    39200 SH    -  DEFINED 01                0        0    39200
D EL PASO ELECTRIC COMPANY       COMMON     283677854     1279    92900 SH    -  DEFINED 02            92900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 110
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EL PASO ENERGY CORP DEL        COMMON     283905107    51617   837600 SH    -  DEFINED 02           496300        0   341300
D EL PASO ENERGY CORP DEL        COMMON     283905107      154     2500 SH    -  OTHER   02                0        0     2500
D EL PASO ENERGY CORP DEL        COMMON     283905107       31      500 SH    -  DEFINED 05              500        0        0
D EL PASO ENERGY CORP DEL        COMMON     283905107     6469   104971 SH    -  DEFINED 01            95461        0     9510
D EL PASO ENERGY CORP DEL        COMMON     283905107     1011    16400 SH    -  OTHER   01              500    15900        0
D EL PASO ENERGY CORP DEL        COMMON     283905107      166     2700 SH    -  OTHER   21                0     2700        0
D EL PASO ENERGY CORP DEL        COMMON     283905107    22561   366100 SH    -  DEFINED 02           249600        0   116500
D EL PASO ENERGY CORP DEL        COMMON     283905107       43      700 SH    -  OTHER   02              700        0        0
D EL PASO ENERGY CORP DEL        COMMON     283905107      290     4700 SH    -  DEFINED 20             4700        0        0
D EL PASO ENERGY CORP DEL        COMMON     283905107      173     2800 SH    -  DEFINED 17             2800        0        0
D ELAN PLC A/D/R                 COMMON     284131208      778    13500 SH    -  DEFINED 16            13500        0        0
D ELAN PLC A/D/R                 COMMON     284131208     3631    66326 SH    -  DEFINED 01             2922        0    63404
D ELANTEC SEMICONDUCTOR, INC.    COMMON     284155108      623     6250 SH    -  DEFINED 01                0        0     6250
D ELANTEC SEMICONDUCTOR, INC.    COMMON     284155108       40      400 SH    -  DEFINED 02              400        0        0
D ELANTEC SEMICONDUCTOR, INC.    COMMON     284155108        0        3 SH    -  DEFINED 16                3        0        0
D ELANTEC SEMICONDUCTOR, INC.    COMMON     284155108     2132    21400 SH    -  DEFINED 02            21400        0        0
D ELCOR CORPORATION              COMMON     284443108     1762   121500 SH    -  DEFINED 02           121500        0        0
D ELCOR CORPORATION              COMMON     284443108        0        2 SH    -  DEFINED 16                2        0        0
D ELCOR CORPORATION              COMMON     284443108     4628   319200 SH    -  DEFINED 02           272900        0    46300
D ELCOR CORPORATION              COMMON     284443108     2715   187225 SH    -  DEFINED 01           185200        0     2025
D ELECTRO RENT CORP.             COMMON     285218103      145    11400 SH    -  DEFINED 01                0        0    11400
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON     285229100     8130   231450 SH    -  DEFINED 01           118600        0   112850
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON     285229100     1229    35000 SH    -  DEFINED 02            29975        0     5025
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON     285229100      110     3125 SH    -  DEFINED 05                0        0     3125
D ELECTRO SCIENTIFIC INDUSTRIES, COMMON     285229100      520    14800 SH    -  DEFINED 02            14800        0        0
D ELECTROGLAS, INC.              COMMON     285324109      232    13600 SH    -  DEFINED 02            13600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 111
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ELECTROGLAS, INC.              COMMON     285324109       92     5400 SH    -  DEFINED 02             5400        0        0
D ELECTROGLAS, INC.              COMMON     285324109      155     9100 SH    -  DEFINED 01                0        0     9100
D ELECTRONIC ARTS, INC.          COMMON     285512109     1280    25930 SH    -  DEFINED 01             1600        0    24330
D ELECTRONIC ARTS, INC.          COMMON     285512109      158     3200 SH    -  DEFINED 02             1800        0     1400
D ELECTRONIC ARTS, INC.          COMMON     285512109     3150    63800 SH    -  DEFINED 02            62600        0     1200
D ELECTRONIC ARTS, INC.          COMMON     285512109        3       69 SH    -  DEFINED 16               69        0        0
D ELECTRONIC ARTS, INC.          COMMON     285512109      375     7600 SH    -  DEFINED 17             7600        0        0
D ELECTRONIC ARTS, INC.          COMMON     285512109      593    12000 SH    -  DEFINED 06            12000        0        0
D ELECTRONIC ARTS, INC.          COMMON     285512109       59     1200 SH    -  DEFINED 20             1200        0        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104      577    13900 SH    -  DEFINED 20            13900        0        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104      448    10800 SH    -  DEFINED 17            10800        0        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104    35225   848800 SH    -  DEFINED 02           555700        0   293100
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104       46     1100 SH    -  OTHER   02             1100        0        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104    53318  1284770 SH    -  DEFINED 02           634370        0   650400
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104      216     5200 SH    -  OTHER   02                0        0     5200
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104     3888    93695 SH    -  DEFINED 05            48295     2000    43400
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104       42     1000 SH    -  OTHER   05             1000        0        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104     7144   172143 SH    -  DEFINED 01           116993     1500    52350
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104     1311    31598 SH    -  OTHER   01             4912    26686        0
D ELECTRONIC DATA SYSTEMS CORP.  COMMON     285661104       75     1800 SH    -  OTHER   21                0     1800        0
D ELECTRONICS FOR IMAGING, INC.  COMMON     286082102      118     4675 SH    -  DEFINED 01               75        0     4600
D ELECTRONICS FOR IMAGING, INC.  COMMON     286082102     1394    55200 SH    -  DEFINED 02            55200        0        0
D ELOT INC                       COMMON     290143106       42    25900 SH    -  DEFINED 01                0        0    25900
D ELSEVIER N.V. SPONS. A/D/R     COMMON     290259100      318    14000 SH    -  OTHER   01                0    14000        0
D ELSEVIER N.V. SPONS. A/D/R     COMMON     290259100        3      142 SH    -  DEFINED 01              142        0        0
D ELSEVIER N.V. SPONS. A/D/R     COMMON     290259100      125     5500 SH    -  DEFINED 05              500        0     5000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 112
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EMBRATEL PARTICIPACOES S A     PREFERRED  29081N100        1       70 SH    -  DEFINED 01                0        0        0
D EMBRATEL PARTICIPACOES S A     PREFERRED  29081N100      185    10000 SH    -  DEFINED 18                0        0        0
D EMERSON ELECTRIC CO.           COMMON     291011104      342     5100 SH    -  DEFINED 17             5100        0        0
D EMERSON ELECTRIC CO.           COMMON     291011104       80     1200 SH    -  DEFINED 20             1200        0        0
D EMERSON ELECTRIC CO.           COMMON     291011104    16583   247500 SH    -  DEFINED 02           112300        0   135200
D EMERSON ELECTRIC CO.           COMMON     291011104       67     1000 SH    -  OTHER   02             1000        0        0
D EMERSON ELECTRIC CO.           COMMON     291011104    13843   206606 SH    -  DEFINED 01           115060     5200    86346
D EMERSON ELECTRIC CO.           COMMON     291011104     4118    61463 SH    -  OTHER   01            15958    45505        0
D EMERSON ELECTRIC CO.           COMMON     291011104      114     1700 SH    -  OTHER   21                0     1700        0
D EMERSON ELECTRIC CO.           COMMON     291011104     3128    46680 SH    -  DEFINED 05            14475        0    32205
D EMERSON ELECTRIC CO.           COMMON     291011104      121     1800 SH    -  OTHER   05             1800        0        0
D EMERSON ELECTRIC CO.           COMMON     291011104    44112   658390 SH    -  DEFINED 02           330990        0   327400
D EMERSON ELECTRIC CO.           COMMON     291011104       67     1000 SH    -  OTHER   02                0        0     1000
D EMERSON RADIO CORP.            COMMON     291087203       41    19700 SH    -  DEFINED 01                0        0    19700
D EMISPHERE TECHNOLOGIES, INC.   COMMON     291345106        1       25 SH    -  DEFINED 01               25        0        0
D EMISPHERE TECHNOLOGIES, INC.   COMMON     291345106       18      600 SH    -  DEFINED 02              600        0        0
D EMISPHERE TECHNOLOGIES, INC.   COMMON     291345106      856    28600 SH    -  DEFINED 02            28600        0        0
D EMMIS BROADCASTING CORP. CL. " COMMON     291525103     1384    55900 SH    -  DEFINED 02            55900        0        0
D EMMIS BROADCASTING CORP. CL. " COMMON     291525103       35     1400 SH    -  DEFINED 20             1400        0        0
D EMMIS BROADCASTING CORP. CL. " COMMON     291525103     2161    87300 SH    -  DEFINED 02                0        0    87300
D EMMIS BROADCASTING CORP. CL. " COMMON     291525103       21      834 SH    -  DEFINED 01               34        0      800
D EMPIRE DISTRICT ELECTRIC CO.   COMMON     291641108      368    14000 SH    -  DEFINED 01                0        0    14000
D EMPRESA NACIONAL DE ELCTRCID A COMMON     29244T101        2      150 SH    -  DEFINED 01              150        0        0
D EMPRESA NACIONAL DE ELCTRCID A COMMON     29244T101      223    20280 SH    -  DEFINED 17            20280        0        0
D EMPRESAS ICA SOCIEDAD CONTRL   BOND       292448AC1   366332  6441000 PRN   -  DEFINED 16                0        0        0
D EMULEX CORP.                   COMMON     292475209       37      300 SH    -  DEFINED 20              300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 113
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EMULEX CORP.                   COMMON     292475209     2083    17000 SH    -  DEFINED 02            17000        0        0
D EMULEX CORP.                   COMMON     292475209     2867    23400 SH    -  DEFINED 01                0        0    23400
D EMULEX CORP.                   COMMON     292475209      809     6600 SH    -  DEFINED 02                0        0     6600
D ENCOMPASS SVCS CORP            COMMON     29255U104      390    48000 SH    -  DEFINED 01                0        0    48000
D ENERGEN CORP.                  COMMON     29265N108      583    19600 SH    -  DEFINED 01                0        0    19600
D ENERGEN CORP.                  COMMON     29265N108     1175    39500 SH    -  DEFINED 02            39500        0        0
D ENERGEN CORP.                  COMMON     29265N108     1776    59700 SH    -  DEFINED 02            59700        0        0
D ENERGY CONVERSION DEVICES, INC COMMON     292659109      208     5600 SH    -  DEFINED 01                0        0     5600
D ENERGY EAST CORPORATION        COMMON     29266M109      301    13285 SH    -  DEFINED 01            12400        0      885
D ENERGY EAST CORPORATION        COMMON     29266M109       20      885 SH    -  DEFINED 02                0        0      885
D ENERGIZER HLDGS INC            COMMON     29266R108      111     4549 SH    -  DEFINED 02                0        0     4549
D ENERGIZER HLDGS INC            COMMON     29266R108      953    38884 SH    -  DEFINED 01            34851      300     3733
D ENERGIZER HLDGS INC            COMMON     29266R108      726    29633 SH    -  OTHER   01            15800    13533      300
D ENERGIZER HLDGS INC            COMMON     29266R108       88     3600 SH    -  DEFINED 02                0        0     3600
D ENERSIS S.A. SPONS. A/D/R      COMMON     29274F104      275    15420 SH    -  DEFINED 17            15420        0        0
D ENGAGE INC                     COMMON     292827102       41     5000 SH    -  DEFINED 01                0        0     5000
D ENGAGE INC                     COMMON     292827102       87    10700 SH    -  DEFINED 02                0        0    10700
D ENGELHARD CORP.                COMMON     292845104      208    12800 SH    -  DEFINED 02                0        0    12800
D ENGELHARD CORP.                COMMON     292845104      639    39296 SH    -  DEFINED 01            14296        0    25000
D ENGELHARD CORP.                COMMON     292845104      267    16408 SH    -  OTHER   01                0    16408        0
D ENGELHARD CORP.                COMMON     292845104     3039   187000 SH    -  DEFINED 17           187000        0        0
D ENGELHARD CORP.                COMMON     292845104     2847   175200 SH    -  DEFINED 02           150900        0    24300
D ENGINEERING ANIMATION, INC.    COMMON     292872108     1752   129146 SH    -  DEFINED 16           129146        0        0
D ENGINEERING ANIMATION, INC.    COMMON     292872108      126     9300 SH    -  DEFINED 01                0        0     9300
D ENERGYNORTH, INC.              COMMON     292925104      206     3400 SH    -  DEFINED 01                0        0     3400
D ENESCO GROUP INC               COMMON     292973104      110    18700 SH    -  DEFINED 01                0        0    18700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 114
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ENHANCE FINANCIAL SVCS GROUP,  COMMON     293310108     1940   149200 SH    -  DEFINED 02            26800        0   122400
D ENHANCE FINANCIAL SVCS GROUP,  COMMON     293310108      151    11600 SH    -  DEFINED 02            11600        0        0
D ENNIS BUSINESS FORMS, INC.     COMMON     293389102      815   107700 SH    -  DEFINED 16           107700        0        0
D ENRON CORP.                    COMMON     293561106     9823   112100 SH    -  DEFINED 20           112100        0        0
D ENRON CORP.                    COMMON     293561106      841     9600 SH    -  DEFINED 02                0        0     9600
D ENRON CORP.                    COMMON     293561106    26401   301296 SH    -  DEFINED 02           209362        0    91934
D ENRON CORP.                    COMMON     293561106     1554    17730 SH    -  DEFINED 05             9600        0     8130
D ENRON CORP.                    COMMON     293561106    25460   290557 SH    -  DEFINED 01           131867        0   158690
D ENRON CORP.                    COMMON     293561106     8560    97684 SH    -  OTHER   01            22940    74144      600
D ENRON CORP $10.50 2ND CV PFD S PREF CONV  293561601    52601    21917 SH    -  DEFINED 01                0        0        0
D ENTERCOM COMMUNICATIONS CORP   COMMON     293639100     5389   180010 SH    -  DEFINED 01            80010        0   100000
D ENTERCOM COMMUNICATIONS CORP   COMMON     293639100      275     9200 SH    -  DEFINED 02             7000        0     2200
D ENTERGY CORP.                  COMMON     29364G103   237230  6368600 SH    -  DEFINED 02          4972500        0  1396100
D ENTERGY CORP.                  COMMON     29364G103      522    14000 SH    -  OTHER   02                0        0    14000
D ENTERGY CORP.                  COMMON     29364G103      171     4600 SH    -  DEFINED 05             2600        0     2000
D ENTERGY CORP.                  COMMON     29364G103     2295    61600 SH    -  OTHER   09            61600        0        0
D ENTERGY CORP.                  COMMON     29364G103    40049  1075140 SH    -  DEFINED 01           768540        0   302100
D ENTERGY CORP.                  COMMON     29364G103      373    10000 SH    -  OTHER   21                0    10000        0
D ENTERGY CORP.                  COMMON     29364G103     3535    94895 SH    -  OTHER   01            22100    64795     8000
D ENTERGY CORP.                  COMMON     29364G103    67203  1804100 SH    -  DEFINED 02          1433900        0   370200
D ENTERGY CORP.                  COMMON     29364G103       63     1700 SH    -  OTHER   02             1700        0        0
D ENTERGY CORP.                  COMMON     29364G103      972    26100 SH    -  DEFINED 20            26100        0        0
D ENTERGY CORP.                  COMMON     29364G103       45     1200 SH    -  DEFINED 17             1200        0        0
D ENTERGY CORP.                  COMMON     29364G103       56     1500 SH    -  DEFINED 18             1500        0        0
D ENTRAVISION COMMUNICATIONS C   COMMON     29382R107      175    10100 SH    -  DEFINED 01            10100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 115
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ENTRUST TECHNOLOGIES INC       COMMON     293848107     8638   312700 SH    -  DEFINED 02           312400        0      300
D ENTRUST TECHNOLOGIES INC       COMMON     293848107        8      300 SH    -  DEFINED 20              300        0        0
D ENTRUST TECHNOLOGIES INC       COMMON     293848107     3273   118487 SH    -  DEFINED 02           118487        0        0
D ENZON, INC.                    COMMON     293904108     6224    94300 SH    -  DEFINED 02            94300        0        0
D ENZON, INC.                    COMMON     293904108       26      400 SH    -  DEFINED 20              400        0        0
D ENZON, INC.                    COMMON     293904108    11207   169800 SH    -  DEFINED 02           142200        0    27600
D ENZON, INC.                    COMMON     293904108      229     3475 SH    -  DEFINED 05                0        0     3475
D ENZON, INC.                    COMMON     293904108    15010   227425 SH    -  DEFINED 01           107325        0   120100
D EPRESENCE INC                  COMMON     294348107      144    21400 SH    -  DEFINED 02            21400        0        0
D EPRESENCE INC                  COMMON     294348107      383    56700 SH    -  DEFINED 02            56700        0        0
D EQUIFAX, INC.                  COMMON     294429105     1861    69100 SH    -  DEFINED 02            60700        0     8400
D EQUIFAX, INC.                  COMMON     294429105      229     8500 SH    -  DEFINED 20             8500        0        0
D EQUIFAX, INC.                  COMMON     294429105       46     1700 SH    -  DEFINED 17             1700        0        0
D EQUIFAX, INC.                  COMMON     294429105     4666   173200 SH    -  DEFINED 02             8700        0   164500
D EQUIFAX, INC.                  COMMON     294429105      111     4132 SH    -  DEFINED 01             3832        0      300
D EQUITY OFFICE PROPERTIES TRUST COMMON     294741103    41585  1338722 SH    -  DEFINED 02          1283322        0    55400
D EQUITY OFFICE PROPERTIES TRUST COMMON     294741103       68     2200 SH    -  DEFINED 20             2200        0        0
D EQUITY OFFICE PROPERTIES TRUST COMMON     294741103    21815   702297 SH    -  DEFINED 02           685097        0    17200
D EQUITY OFFICE PROPERTIES TRUST COMMON     294741103      130     4200 SH    -  OTHER   21                0     4200        0
D EQUITY OFFICE PROPERTIES TRU   PREF CONV  294741509     4600   100000 SH    -  DEFINED 02                0        0        0
D EQUITY RESIDENTIAL PROPERTIES  COMMON     29476L107    13276   276593 SH    -  DEFINED 02           276593        0        0
D EQUITY RESIDENTIAL PROPERTIES  COMMON     29476L107    24537   511178 SH    -  DEFINED 02           509178        0     2000
D ERICSSON (L.M.) TELEPHONE CO.  COMMON     294821400      236    15950 SH    -  DEFINED 05            13750     2200        0
D ERICSSON (L.M.) TELEPHONE CO.  COMMON     294821400      119     8000 SH    -  OTHER   05                0     8000        0
D ERICSSON (L.M.) TELEPHONE CO.  COMMON     294821400     3060   206565 SH    -  DEFINED 01           105015     6000    94100
D ERICSSON (L.M.) TELEPHONE CO.  COMMON     294821400     1245    84050 SH    -  OTHER   01            43550    40500        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 116
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ERICSSON (L.M.) TELEPHONE CO.  COMMON     294821400    12219   798200 SH    -  DEFINED 17           798200        0        0
D ERIE INDTY CO                  COMMON     29530P102      405    13800 SH    -  DEFINED 02                0        0    13800
D ESPEED INC                     COMMON     296643109     8942   314425 SH    -  DEFINED 02           262000        0    52425
D ESPEED INC                     COMMON     296643109      156     5475 SH    -  DEFINED 05                0        0     5475
D ESPEED INC                     COMMON     296643109    10003   351765 SH    -  DEFINED 01           149065        0   202700
D ESPEED INC                     COMMON     296643109     3128   110000 SH    -  DEFINED 02           110000        0        0
D ESSEX PROPERTY TRUST, INC.     COMMON     297178105      365     6600 SH    -  DEFINED 02             6600        0        0
D ESTERLINE TECHNOLOGIES CORP.   COMMON     297425100      362    18400 SH    -  DEFINED 02            18400        0        0
D ESTERLINE TECHNOLOGIES CORP.   COMMON     297425100       67     3400 SH    -  DEFINED 01                0        0     3400
D ESTERLINE TECHNOLOGIES CORP.   COMMON     297425100      628    31900 SH    -  DEFINED 02            31900        0        0
D ETHAN ALLEN INTERIORS, INC.    COMMON     297602104      852    30080 SH    -  DEFINED 01            12380        0    17700
D ETHAN ALLEN INTERIORS, INC.    COMMON     297602104      142     5000 SH    -  DEFINED 02             5000        0        0
D ETHYL CORP.                    COMMON     297659104       39    27100 SH    -  DEFINED 02            27100        0        0
D ETHYL CORP.                    COMMON     297659104       73    51000 SH    -  DEFINED 02            51000        0        0
D EVERGREEN RES INC              COMMON     299900308      316     9100 SH    -  DEFINED 01                0        0     9100
D EXAR CORP.                     COMMON     300645108    35752   295467 SH    -  DEFINED 01           183442        0   112025
D EXAR CORP.                     COMMON     300645108    28411   234800 SH    -  DEFINED 02           193075        0    41725
D EXAR CORP.                     COMMON     300645108      417     3450 SH    -  DEFINED 05                0        0     3450
D EXAR CORP.                     COMMON     300645108    16547   136750 SH    -  DEFINED 02           136750        0        0
D EXCALIBUR TECHNOLOGIES CORP. - COMMON     300651205     3763    56000 SH    -  DEFINED 02            56000        0        0
D EXCALIBUR TECHNOLOGIES CORP. - COMMON     300651205       18      275 SH    -  DEFINED 05                0        0      275
D EXCALIBUR TECHNOLOGIES CORP. - COMMON     300651205     8566   127500 SH    -  DEFINED 02           106800        0    20700
D EXCALIBUR TECHNOLOGIES CORP. - COMMON     300651205      931    13850 SH    -  DEFINED 01             6600        0     7250
D EXCEL LEGACY CORP              BOND       300665AA4        0   330000 PRN   -  OTHER   01                0        0        0
D EXCHANGE APPLICATIONS          COMMON     300867108       82    18200 SH    -  DEFINED 01            10400        0     7800
D EXCHANGE APPLICATIONS          COMMON     300867108        1      300 SH    -  DEFINED 02              300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 117
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EXCHANGE APPLICATIONS          COMMON     300867108      151    33400 SH    -  DEFINED 02            33400        0        0
D EXELIXIS INC                   COMMON     30161Q104      624    19900 SH    -  DEFINED 02            19900        0        0
D EXELIXIS INC                   COMMON     30161Q104     2073    66075 SH    -  DEFINED 02            56775        0     9300
D EXELIXIS INC                   COMMON     30161Q104       44     1400 SH    -  DEFINED 05                0        0     1400
D EXELIXIS INC                   COMMON     30161Q104     2966    94535 SH    -  DEFINED 01            43310        0    51225
D EXTENDED SYSTEMS INC           COMMON     301973103        5      100 SH    -  DEFINED 02              100        0        0
D EXTENDED SYSTEMS INC           COMMON     301973103      323     6000 SH    -  DEFINED 02             6000        0        0
D EXIDE CORP.                    COMMON     302051107      696    76800 SH    -  DEFINED 02            76800        0        0
D EXIDE CORP.                    COMMON     302051107      369    40700 SH    -  DEFINED 02            40700        0        0
D EXIDE CORP.                    COMMON     302051107       46     5100 SH    -  DEFINED 01                0        0     5100
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109    23428   474489 SH    -  DEFINED 01           168968     3950   295621
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109     3114    63070 SH    -  OTHER   01            41820    15250     6000
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109    11973   242500 SH    -  DEFINED 02           143700        0    98800
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109       10      200 SH    -  OTHER   02                0        0      200
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109      501    10150 SH    -  DEFINED 05             5600     2950     1600
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109     1521    30800 SH    -  DEFINED 02             8300        0    22500
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109        5      100 SH    -  OTHER   02              100        0        0
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109     5530   112000 SH    -  DEFINED 18           112000        0        0
D EXODUS COMMUNICATIONS, INC.    COMMON     302088109       61     1239 SH    -  DEFINED 16             1239        0        0
D EXPEDITORS INT'L OF WASHINGTON COMMON     302130109        0        4 SH    -  DEFINED 16                4        0        0
D EXPEDITORS INT'L OF WASHINGTON COMMON     302130109       90     2000 SH    -  DEFINED 02                0        0     2000
D EXPEDITORS INT'L OF WASHINGTON COMMON     302130109       36      800 SH    -  DEFINED 01                0        0      800
D EXPEDITORS INT'L OF WASHINGTON COMMON     302130109      361     8000 SH    -  OTHER   01                0     8000        0
D EXPRESS SCRIPTS, INC.          COMMON     302182100      260     3600 SH    -  DEFINED 01                0        0     3600
D EXTENDED STAY AMERICA, INC.    COMMON     30224P101     1826   137800 SH    -  DEFINED 01           137800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 118
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D EXTENDED STAY AMERICA, INC.    COMMON     30224P101     1707   128800 SH    -  DEFINED 02            91900        0    36900
D EXTENDED STAY AMERICA, INC.    COMMON     30224P101     2303   173800 SH    -  DEFINED 02           173800        0        0
D EXTREME NETWORKS INC           COMMON     30226D106     1718    15000 SH    -  DEFINED 02            15000        0        0
D EXTREME NETWORKS INC           COMMON     30226D106     1031     9000 SH    -  DEFINED 02                0        0     9000
D EXXON MOBIL CORP               COMMON     30231G102  1945796 21832208 SH    -  DEFINED 02         15184191        0  6648017
D EXXON MOBIL CORP               COMMON     30231G102     2992    33576 SH    -  OTHER   02                0        0    33576
D EXXON MOBIL CORP               COMMON     30231G102    42690   478994 SH    -  DEFINED 05           374531     1500   102963
D EXXON MOBIL CORP               COMMON     30231G102     8174    91719 SH    -  OTHER   05             9760    70269    11690
D EXXON MOBIL CORP               COMMON     30231G102   160425  1800000 SH    -  OTHER   15          1800000        0        0
D EXXON MOBIL CORP               COMMON     30231G102   215754  2420800 SH    -  OTHER   12                0  2420800        0
D EXXON MOBIL CORP               COMMON     30231G102     6980    78317 SH    -  OTHER   09            78317        0        0
D EXXON MOBIL CORP               COMMON     30231G102     5580    62604 SH    -  OTHER   0304          62604        0        0
D EXXON MOBIL CORP               COMMON     30231G102  1277061 14328878 SH    -  DEFINED 01          4542640   395633  9220751
D EXXON MOBIL CORP               COMMON     30231G102   263290  2954171 SH    -  OTHER   01           407045  2092688   454438
D EXXON MOBIL CORP               COMMON     30231G102     2941    33000 SH    -  OTHER   21                0    33000        0
D EXXON MOBIL CORP               COMMON     30231G102   696852  7818813 SH    -  DEFINED 02          5615281        0  2203532
D EXXON MOBIL CORP               COMMON     30231G102     1096    12300 SH    -  OTHER   02            12300        0        0
D EXXON MOBIL CORP               COMMON     30231G102      713     8000 SH    -  DEFINED 18             8000        0        0
D EXXON MOBIL CORP               COMMON     30231G102     2491    27947 SH    -  DEFINED 17            27947        0        0
D EXXON MOBIL CORP               COMMON     30231G102    56635   635457 SH    -  DEFINED 20           635457        0        0
D FBL FINL GROUP INC             COMMON     30239F106       70     4300 SH    -  DEFINED 02             4300        0        0
D FBL FINL GROUP INC             COMMON     30239F106      676    41600 SH    -  DEFINED 02            41600        0        0
D FEI CO.                        COMMON     30241L109        4      200 SH    -  DEFINED 02              200        0        0
D FEI CO.                        COMMON     30241L109      275    12700 SH    -  DEFINED 02            12700        0        0
D FMC CORP.                      COMMON     302491303     3058    45600 SH    -  DEFINED 02            45600        0        0
D FMC CORP.                      COMMON     302491303       27      400 SH    -  DEFINED 17              400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 119
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FMC CORP.                      COMMON     302491303        3       50 SH    -  DEFINED 01               25        0       25
D FPIC INS GROUP INC             COMMON     302563101       98     7000 SH    -  DEFINED 01                0        0     7000
D FPIC INS GROUP INC             COMMON     302563101       73     5200 SH    -  DEFINED 02             5200        0        0
D FPL GROUP, INC.                COMMON     302571104    65707   999340 SH    -  DEFINED 02           712140        0   287200
D FPL GROUP, INC.                COMMON     302571104       99     1500 SH    -  DEFINED 05                0        0     1500
D FPL GROUP, INC.                COMMON     302571104     6307    95930 SH    -  DEFINED 01            69180     1500    25250
D FPL GROUP, INC.                COMMON     302571104     1532    23300 SH    -  OTHER   01              700    18900     3700
D FPL GROUP, INC.                COMMON     302571104       85     1300 SH    -  OTHER   21                0     1300        0
D FPL GROUP, INC.                COMMON     302571104      796    12100 SH    -  DEFINED 17            12100        0        0
D FPL GROUP, INC.                COMMON     302571104      414     6300 SH    -  DEFINED 20             6300        0        0
D FPL GROUP, INC.                COMMON     302571104    34663   527200 SH    -  DEFINED 02           408200        0   119000
D FPL GROUP, INC.                COMMON     302571104       66     1000 SH    -  OTHER   02             1000        0        0
D FSI INTERTIONAL, INC.          COMMON     302633102      229    16100 SH    -  DEFINED 02            16100        0        0
D F Y I INC                      COMMON     302712104      359     9600 SH    -  DEFINED 02             9600        0        0
D F Y I INC                      COMMON     302712104        0        4 SH    -  DEFINED 16                4        0        0
D FAB INDUSTRIES, INC.           COMMON     302747100      347    32700 SH    -  DEFINED 01                0        0    32700
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103      769    27340 SH    -  DEFINED 01            23300        0     4040
D FAIRCHILD SEMICONDUCTOR INTL   COMMON     303726103      439    15600 SH    -  DEFINED 02                0        0    15600
D FAIRFIELD COMMUNITIES, INC.    COMMON     304231301        6      600 SH    -  DEFINED 02              600        0        0
D FAIRFIELD COMMUNITIES, INC.    COMMON     304231301        0        8 SH    -  DEFINED 16                8        0        0
D FAIRFIELD COMMUNITIES, INC.    COMMON     304231301      124    12200 SH    -  DEFINED 02            12200        0        0
D FAMILY DOLLAR STORES, INC.     COMMON     307000109      537    27900 SH    -  DEFINED 02                0        0    27900
D FAMILY DOLLAR STORES, INC.     COMMON     307000109     7225   375336 SH    -  DEFINED 01            81218        0   294118
D FARGO ELECTRONICS INC          COMMON     30744P102     1381   223100 SH    -  DEFINED 01           223100        0        0
D FARGO ELECTRONICS INC          COMMON     30744P102     1566   253000 SH    -  DEFINED 02           216400        0    36600
D FARGO ELECTRONICS INC          COMMON     30744P102      635   102600 SH    -  DEFINED 02           102600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 120
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FARMER BROTHERS CO.            COMMON     307675108      522     2900 SH    -  DEFINED 01                0        0     2900
D FASTENAL CO.                   COMMON     311900104     1676    29089 SH    -  DEFINED 01               89        0    29000
D FASTENAL CO.                   COMMON     311900104      288     5000 SH    -  DEFINED 02                0        0     5000
D FASTENAL CO.                   COMMON     311900104        0        2 SH    -  DEFINED 16                2        0        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      514     9500 SH    -  DEFINED 17             9500        0        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      595    11000 SH    -  DEFINED 20            11000        0        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301   104169  1926800 SH    -  DEFINED 02          1438900        0   487900
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      227     4200 SH    -  OTHER   02             4200        0        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301   210133  3886820 SH    -  DEFINED 02          2292020        0  1594800
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      357     6600 SH    -  OTHER   02                0        0     6600
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      922    17050 SH    -  DEFINED 05              800        0    16250
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301     1081    20000 SH    -  OTHER   11                0    20000        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301     1081    20000 SH    -  OTHER   10                0    20000        0
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301    16704   308980 SH    -  DEFINED 01           271560        0    37420
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301    17435   322500 SH    -  OTHER   01              400   315100     7000
D FEDERAL HOME LOAN MORTGAGE COR COMMON     313400301      287     5300 SH    -  OTHER   21                0     5300        0
D FEDERAL MOGUL CORP.            COMMON     313549107      109    20000 SH    -  DEFINED 01            20000        0        0
D FEDERAL MOGUL CORP.            COMMON     313549107      315    57900 SH    -  DEFINED 02            57900        0        0
D FEDERAL MOGUL CORP.            COMMON     313549107       27     5000 SH    -  DEFINED 16             5000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109      858    12000 SH    -  DEFINED 17            12000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109    20041   280300 SH    -  DEFINED 20           280300        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109   218990  3062800 SH    -  DEFINED 02          2234600        0   828200
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109      408     5700 SH    -  OTHER   02             5700        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109    88650  1239854 SH    -  DEFINED 01           585585    12425   641844
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109    25693   359338 SH    -  OTHER   01            58550   275068    25720
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109      801    11200 SH    -  OTHER   21                0    11200        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 121
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109     4344    60755 SH    -  DEFINED 05            25150        0    35605
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109     2503    35000 SH    -  OTHER   0304          35000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109     1216    17000 SH    -  OTHER   09            17000        0        0
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109   566159  7918305 SH    -  DEFINED 02          5353805        0  2564500
D FEDERAL NAT'L MORTGAGE ASSOCIA COMMON     313586109      679     9500 SH    -  OTHER   02                0        0     9500
D FEDERAL REALTY INVESTMENT TR.  COMMON     313747206     8384   438400 SH    -  DEFINED 02           438400        0        0
D FEDERAL REALTY INVESTMENT TR.  COMMON     313747206     3892   203500 SH    -  DEFINED 02           203500        0        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101    30673  1174100 SH    -  DEFINED 02           767700        0   406400
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101       57     2200 SH    -  OTHER   02             2200        0        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101      334    12800 SH    -  DEFINED 20            12800        0        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101      500    19000 SH    -  DEFINED 17            19000        0        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101    75087  2874158 SH    -  DEFINED 02          1976358        0   897800
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101      185     7100 SH    -  OTHER   02                0        0     7100
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101       13      500 SH    -  DEFINED 05              500        0        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101      112     4300 SH    -  OTHER   21                0     4300        0
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101      716    27390 SH    -  OTHER   01            18100      490     8800
D FEDERATED DEPARTMENT STORES, I COMMON     31410H101     2791   106850 SH    -  DEFINED 01            82200     1148    23502
D FEDEX CORP                     COMMON     31428X106      801    18085 SH    -  DEFINED 01            11200        0     6885
D FEDEX CORP                     COMMON     31428X106    16854   380100 SH    -  DEFINED 02            90700        0   289400
D FEDEX CORP                     COMMON     31428X106        9      200 SH    -  DEFINED 20              200        0        0
D FEDEX CORP                     COMMON     31428X106      652    14700 SH    -  DEFINED 02             9600        0     5100
D FIDELITY NATIONAL FINANCIAL, I COMMON     316326107      208     8400 SH    -  DEFINED 20             8400        0        0
D FIDELITY NATIONAL FINANCIAL, I COMMON     316326107     2604   105200 SH    -  DEFINED 02            24000        0    81200
D FIDELITY NATIONAL FINANCIAL, I COMMON     316326107     2990   120817 SH    -  DEFINED 01           106428        0    14389
D FIFTH THIRD BANCORP            COMMON     316773100    22077   409786 SH    -  DEFINED 01           162722        0   247064

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 122
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FIFTH THIRD BANCORP            COMMON     316773100     8155   151362 SH    -  OTHER   01                0   151362        0
D FIFTH THIRD BANCORP            COMMON     316773100      323     6000 SH    -  DEFINED 05             6000        0        0
D FIFTH THIRD BANCORP            COMMON     316773100      296     5500 SH    -  DEFINED 17             5500        0        0
D FIFTH THIRD BANCORP            COMMON     316773100       21      384 SH    -  DEFINED 16              384        0        0
D FILENET CORP.                  COMMON     316869106       42     2300 SH    -  DEFINED 20             2300        0        0
D FILENET CORP.                  COMMON     316869106      788    43300 SH    -  DEFINED 02            43300        0        0
D FILENET CORP.                  COMMON     316869106     1257    69100 SH    -  DEFINED 02             2900        0    66200
D FILENET CORP.                  COMMON     316869106      113     6200 SH    -  DEFINED 01                0        0     6200
D FINANCIAL FEDERAL CORP.        COMMON     317492106    13177   544755 SH    -  DEFINED 01           364480        0   180275
D FINANCIAL FEDERAL CORP.        COMMON     317492106      668    27625 SH    -  DEFINED 02            21525        0     6100
D FINANCIAL FEDERAL CORP.        COMMON     317492106      155     6425 SH    -  DEFINED 05                0        0     6425
D FINISAR                        COMMON     31787A101      997    20600 SH    -  DEFINED 02                0        0    20600
D FINISAR                        COMMON     31787A101     8319   171975 SH    -  DEFINED 01              300        0   171675
D FINISAR                        COMMON     31787A101     1166    24100 SH    -  DEFINED 02            24100        0        0
D FINISAR                        COMMON     31787A101       15      313 SH    -  DEFINED 16              313        0        0
D FINISH LINE, INC. CLASS "A"    COMMON     317923100      265    36200 SH    -  DEFINED 01                0        0    36200
D FINISH LINE, INC. CLASS "A"    COMMON     317923100      146    20000 SH    -  OTHER   01                0    20000        0
D FINOVA GROUP, INC.             COMMON     317928109       36     5000 SH    -  DEFINED 01              600        0     4400
D FINOVA GROUP, INC.             COMMON     317928109      336    46300 SH    -  DEFINED 02            46300        0        0
D FINOVA GROUP, INC.             COMMON     317928109     1171   161500 SH    -  DEFINED 02           161500        0        0
D FIREPOND INC                   COMMON     318224102      271    18700 SH    -  DEFINED 02            18700        0        0
D FIREPOND INC                   COMMON     318224102        9      600 SH    -  DEFINED 02              600        0        0
D FIRST AMERICAN FINANCIAL CORP. COMMON     318522307      171     8200 SH    -  DEFINED 02             8200        0        0
D FIRST AMERICAN FINANCIAL CORP. COMMON     318522307      703    33696 SH    -  DEFINED 01                0        0    33696
D FIRST AMERICAN FINANCIAL CORP. COMMON     318522307     1822    87300 SH    -  DEFINED 02            87300        0        0
D FIRST CITIZENS BANCSHARES, INC COMMON     31946M103      351     4900 SH    -  DEFINED 01                0        0     4900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 123
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FIRST COMMONWEALTH FINANCIAL C COMMON     319829107      176    18214 SH    -  DEFINED 05            18214        0        0
D FIRST DATA CORP.               COMMON     319963104      238     6104 SH    -  DEFINED 05             6104        0        0
D FIRST DATA CORP.               COMMON     319963104     5506   140953 SH    -  DEFINED 01            91026        0    49927
D FIRST DATA CORP.               COMMON     319963104     2952    75566 SH    -  OTHER   01            11000    57066     7500
D FIRST DATA CORP.               COMMON     319963104      445    11400 SH    -  DEFINED 17            11400        0        0
D FIRST INDUSTRIAL REALTY TRUST, COMMON     32054K103     1999    65000 SH    -  DEFINED 02            65000        0        0
D FIRST INDUSTRIAL REALTY TRUST, COMMON     32054K103     4367   142000 SH    -  DEFINED 02           127700        0    14300
D FIRST MIDWEST BANCORP, INC. (D COMMON     320867104      428    16068 SH    -  DEFINED 01                0        0    16068
D FIRST HEALTH GROUP CORP.       COMMON     320960107      329    10200 SH    -  DEFINED 01                0        0    10200
D FIRST HEALTH GROUP CORP.       COMMON     320960107        0        4 SH    -  DEFINED 16                4        0        0
D FIRST SECURITY CORP. (DE)      COMMON     336294103     2498   153100 SH    -  DEFINED 17           153100        0        0
D FIRST SECURITY CORP. (DE)      COMMON     336294103      484    29700 SH    -  DEFINED 01            29700        0        0
D FIRST STATE BANCORPORATION     COMMON     336453105      153    12450 SH    -  DEFINED 02                0        0    12450
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101    18703   915100 SH    -  DEFINED 02           481900        0   433200
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101       31     1500 SH    -  OTHER   02                0        0     1500
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101      233    11400 SH    -  DEFINED 05             2200        0     9200
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101       29     1400 SH    -  OTHER   05             1400        0        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101     1226    60000 SH    -  OTHER   0304          60000        0        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101     2258   110480 SH    -  DEFINED 01            64240        0    46240
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101      454    22200 SH    -  OTHER   01            18200     4000        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101       61     3000 SH    -  OTHER   21                0     3000        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101      164     8000 SH    -  DEFINED 16             8000        0        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101      345    16900 SH    -  DEFINED 20            16900        0        0
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101     7470   365500 SH    -  DEFINED 02           262700        0   102800
D FIRST TENNESSEE NATIONAL CORP. COMMON     337162101       14      700 SH    -  OTHER   02              700        0        0
D FIRST UNION CORP.              COMMON     337358105   114422  3554800 SH    -  DEFINED 02          2359017        0  1195783

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 124
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FIRST UNION CORP.              COMMON     337358105      241     7500 SH    -  OTHER   02             7500        0        0
D FIRST UNION CORP.              COMMON     337358105     7136   221700 SH    -  DEFINED 20           221700        0        0
D FIRST UNION CORP.              COMMON     337358105     1609    50000 SH    -  DEFINED 18            50000        0        0
D FIRST UNION CORP.              COMMON     337358105      589    18300 SH    -  OTHER   21                0    18300        0
D FIRST UNION CORP.              COMMON     337358105    63869  1984261 SH    -  DEFINED 01          1278489     8940   693474
D FIRST UNION CORP.              COMMON     337358105    10718   332985 SH    -  OTHER   01           150158   124501    58326
D FIRST UNION CORP.              COMMON     337358105     2591    80500 SH    -  OTHER   0304          80500        0        0
D FIRST UNION CORP.              COMMON     337358105     1829    56825 SH    -  OTHER   09            56825        0        0
D FIRST UNION CORP.              COMMON     337358105     1300    40376 SH    -  DEFINED 05            26940        0    13436
D FIRST UNION CORP.              COMMON     337358105      228     7084 SH    -  OTHER   05                0     7084        0
D FIRST UNION CORP.              COMMON     337358105   357540 11107879 SH    -  DEFINED 02          7930637        0  3177242
D FIRST UNION CORP.              COMMON     337358105      678    21075 SH    -  OTHER   02                0        0    21075
D FIRST VIRGINIA BANKS, INC.     COMMON     337477103       81     1900 SH    -  DEFINED 01             1900        0        0
D FIRST VIRGINIA BANKS, INC.     COMMON     337477103      702    16475 SH    -  OTHER   01              750    15725        0
D FIRST WASHINGTON BANCORP INC   COMMON     33748T104      284    18100 SH    -  DEFINED 02            18100        0        0
D FIRSTWORLD COMMUNICATIONS IN   COMMON     337625305        1      500 SH    -  DEFINED 02              500        0        0
D FIRSTWORLD COMMUNICATIONS IN   COMMON     337625305       23    11200 SH    -  DEFINED 02            11200        0        0
D FIRSTAR CORPORATION            COMMON     33763V109      260    11600 SH    -  DEFINED 17            11600        0        0
D FIRSTAR CORPORATION            COMMON     33763V109      105     4700 SH    -  DEFINED 02                0        0     4700
D FIRSTAR CORPORATION            COMMON     33763V109      248    11100 SH    -  DEFINED 05             1640        0     9460
D FIRSTAR CORPORATION            COMMON     33763V109     5785   258567 SH    -  DEFINED 01           116273      912   141382
D FIRSTAR CORPORATION            COMMON     33763V109      110     4932 SH    -  OTHER   01             2196     2736        0
D FISERV, INC.                   COMMON     337738108       10      175 SH    -  DEFINED 01              175        0        0
D FISERV, INC.                   COMMON     337738108     1706    28500 SH    -  DEFINED 02                0        0    28500
D FISERV, INC.                   COMMON     337738108       16      261 SH    -  DEFINED 16              261        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 125
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FIRSTFED FINANCIAL CORPORATION COMMON     337907109     2560   111300 SH    -  DEFINED 02           111300        0        0
D FIRSTFED FINANCIAL CORPORATION COMMON     337907109     1622    70500 SH    -  DEFINED 02            67900        0     2600
D FISHER SCIENTIFIC INTERNATIONA COMMON     338032204      213     6300 SH    -  DEFINED 01                0        0     6300
D FLEETBOSTON FINL CORP          COMMON     339030108    29024   744211 SH    -  DEFINED 01           379932    18300   344579
D FLEETBOSTON FINL CORP          COMMON     339030108    14632   375180 SH    -  OTHER   01            57248   274198    43734
D FLEETBOSTON FINL CORP          COMMON     339030108       31      800 SH    -  OTHER   21                0      800        0
D FLEETBOSTON FINL CORP          COMMON     339030108    57580  1476400 SH    -  DEFINED 02           709100        0   767300
D FLEETBOSTON FINL CORP          COMMON     339030108      757    19414 SH    -  DEFINED 05             2048        0    17366
D FLEETBOSTON FINL CORP          COMMON     339030108    46543  1193400 SH    -  DEFINED 02           867100        0   326300
D FLEETBOSTON FINL CORP          COMMON     339030108       98     2500 SH    -  OTHER   02             2500        0        0
D FLEETBOSTON FINL CORP          COMMON     339030108      594    15226 SH    -  DEFINED 16            15226        0        0
D FLEETBOSTON FINL CORP          COMMON     339030108     1260    32300 SH    -  DEFINED 17            32300        0        0
D FLEETBOSTON FINL CORP          COMMON     339030108      304     7800 SH    -  DEFINED 06             7800        0        0
D FLEETBOSTON FINL CORP          WARRANT    339030116      114     3276 SH    -  DEFINED 02                0        0     3276
D FLEETBOSTON FINL CORP          WARRANT    339030116       87     2492 SH    -  DEFINED 01                0        0     2492
D FLEMING COMPANIES, INC.        COMMON     339130106      443    33900 SH    -  DEFINED 02            33900        0        0
D FLEMING COMPANIES, INC.        COMMON     339130106      415    31800 SH    -  DEFINED 02            31800        0        0
D FLORIDA EAST COAST INDUSTRIES  COMMON     340632108      816    19900 SH    -  DEFINED 02                0        0    19900
D FLORIDA EAST COAST INDUSTRIES  COMMON     340632108     2132    52000 SH    -  DEFINED 01            52000        0        0
D FLORIDA EAST COAST INDUSTRIES  COMMON     340632108      779    19000 SH    -  OTHER   01                0    17000     2000
D FLORIDA PROGRESS CORP.         COMMON     341109106      175     3300 SH    -  DEFINED 01             3300        0        0
D FLORIDA PROGRESS CORP.         COMMON     341109106      503     9500 SH    -  OTHER   01              500     9000        0
D FLORIDA PROGRESS CORP.         COMMON     341109106     1366    25800 SH    -  DEFINED 02                0        0    25800
D FLORIDA PROGRESS CORP.         COMMON     341109106      119     2250 SH    -  DEFINED 05             2250        0        0
D FLORIDA PROGRESS CORP.         COMMON     341109106     1032    19500 SH    -  DEFINED 06            19500        0        0
D FLORIDA PROGRESS CORP.         COMMON     341109106       64     1200 SH    -  DEFINED 17             1200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 126
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FLORIDA PROGRESS CORP.         COMMON     341109106    17988   339800 SH    -  DEFINED 16           339800        0        0
D FLORIDA ROCK INDUSTRIES, INC.  COMMON     341140101      122     3100 SH    -  DEFINED 02             3100        0        0
D FLORIDA ROCK INDUSTRIES, INC.  COMMON     341140101      414    10500 SH    -  DEFINED 02            10500        0        0
D FLORIDA ROCK INDUSTRIES, INC.  COMMON     341140101        8      200 SH    -  DEFINED 01                0        0      200
D FLOW INTERNATIONAL CORP.       COMMON     343468104      119    10900 SH    -  DEFINED 01                0        0    10900
D FLOWERS INDUSTRIES, INC.       COMMON     343496105    11345   581800 SH    -  DEFINED 16           581800        0        0
D FLOWERS INDUSTRIES, INC.       COMMON     343496105     4190   214900 SH    -  DEFINED 17           214900        0        0
D FLOWERS INDUSTRIES, INC.       COMMON     343496105     3947   202400 SH    -  DEFINED 18           202400        0        0
D FLUOR CORP.                    COMMON     343861100       27      900 SH    -  DEFINED 17              900        0        0
D FLUOR CORP.                    COMMON     343861100     1299    43300 SH    -  DEFINED 02            43300        0        0
D FLUOR CORP.                    COMMON     343861100       60     2000 SH    -  DEFINED 01             2000        0        0
D FLUOR CORP.                    COMMON     343861100      540    18000 SH    -  OTHER   01                0    18000        0
D FLUSHING FINANCIAL CORP.       COMMON     343873105    13430   846007 SH    -  OTHER   01                0   846007        0
D FLUSHING FINANCIAL CORP.       COMMON     343873105      580    36512 SH    -  DEFINED 01            36512        0        0
D FLUSHING FINANCIAL CORP.       COMMON     343873105      860    54200 SH    -  DEFINED 02            54200        0        0
D FOCAL COMMUNICATIONS CORP      COMMON     344155106      151     9800 SH    -  DEFINED 02                0        0     9800
D FOCAL COMMUNICATIONS CORP      COMMON     344155106      299    19400 SH    -  DEFINED 02            19400        0        0
D FOMENTO ECONOMICO MEXICANO, SA COMMON     344419106     5908   151490 SH    -  DEFINED 17           151490        0        0
D FOMENTO ECONOMICO MEXICANO, SA COMMON     344419106        2       47 SH    -  DEFINED 01               47        0        0
D FOOTSTAR INC                   COMMON     344912100       50     1553 SH    -  DEFINED 01             1553        0        0
D FOOTSTAR INC                   COMMON     344912100      433    13400 SH    -  DEFINED 02            13400        0        0
D FOOTSTAR INC                   COMMON     344912100      343    10600 SH    -  DEFINED 02            10600        0        0
D FORD MTR CO DEL                COMMON     345370860   170501  6735702 SH    -  DEFINED 02          4733167        0  2002535
D FORD MTR CO DEL                COMMON     345370860      337    13300 SH    -  OTHER   02            13300        0        0
D FORD MTR CO DEL                COMMON     345370860     2231    88146 SH    -  DEFINED 17            88146        0        0
D FORD MTR CO DEL                COMMON     345370860     3124   123400 SH    -  DEFINED 18           123400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 127
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FORD MTR CO DEL                COMMON     345370860     6459   255146 SH    -  DEFINED 20           255146        0        0
D FORD MTR CO DEL                COMMON     345370860   363492 14359891 SH    -  DEFINED 02          9027165        0  5332726
D FORD MTR CO DEL                COMMON     345370860      580    22898 SH    -  OTHER   02                0        0    22898
D FORD MTR CO DEL                COMMON     345370860     2263    89394 SH    -  DEFINED 05            29897        0    59497
D FORD MTR CO DEL                COMMON     345370860      221     8740 SH    -  OTHER   05             8740        0        0
D FORD MTR CO DEL                COMMON     345370860      701    27700 SH    -  OTHER   21                0    27700        0
D FORD MTR CO DEL                COMMON     345370860    13013   514086 SH    -  DEFINED 01           337655        0   174334
D FORD MTR CO DEL                COMMON     345370860     3862   152570 SH    -  OTHER   01            50811    90344    11415
D FOREST CITY ENTERPRISES, INC.  COMMON     345550107      731    20300 SH    -  DEFINED 01                0        0    20300
D FOREST CITY ENTERPRISES, INC.  COMMON     345550107      108     3000 SH    -  OTHER   01                0        0     3000
D FOREST LABORATORIES, INC.      COMMON     345838106    45091   393160 SH    -  DEFINED 01           210715      280   180865
D FOREST LABORATORIES, INC.      COMMON     345838106     3176    27690 SH    -  OTHER   01             7820    12370     7500
D FOREST LABORATORIES, INC.      COMMON     345838106      356     3100 SH    -  DEFINED 05             3100        0        0
D FOREST LABORATORIES, INC.      COMMON     345838106     2294    20000 SH    -  OTHER   09            20000        0        0
D FOREST LABORATORIES, INC.      COMMON     345838106   148997  1299150 SH    -  DEFINED 02           875750        0   423400
D FOREST LABORATORIES, INC.      COMMON     345838106      287     2500 SH    -  OTHER   02                0        0     2500
D FOREST LABORATORIES, INC.      COMMON     345838106      493     4300 SH    -  DEFINED 20             4300        0        0
D FOREST LABORATORIES, INC.      COMMON     345838106    44132   384800 SH    -  DEFINED 02           335300        0    49500
D FOREST LABORATORIES, INC.      COMMON     345838106      218     1900 SH    -  OTHER   02             1900        0        0
D FORT JAMES CORPORATION         COMMON     347471104    50391  1648761 SH    -  DEFINED 02          1648761        0        0
D FORT JAMES CORPORATION         COMMON     347471104       98     3200 SH    -  DEFINED 20             3200        0        0
D FORT JAMES CORPORATION         COMMON     347471104       76     2500 SH    -  DEFINED 17             2500        0        0
D FORT JAMES CORPORATION         COMMON     347471104    31266  1023000 SH    -  DEFINED 16          1023000        0        0
D FORT JAMES CORPORATION         COMMON     347471104     3646   119300 SH    -  DEFINED 02            35200        0    84100
D FORT JAMES CORPORATION         COMMON     347471104      183     6000 SH    -  DEFINED 05             6000        0        0
D FORT JAMES CORPORATION         COMMON     347471104     2720    89006 SH    -  DEFINED 01            78306        0    10700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 128
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FORTUNE BRANDS, INC.           COMMON     349631101      494    18650 SH    -  DEFINED 01            12000        0     6650
D FORTUNE BRANDS, INC.           COMMON     349631101       85     3200 SH    -  OTHER   01                0     3200        0
D FORTUNE BRANDS, INC.           COMMON     349631101       85     3200 SH    -  DEFINED 05                0        0     3200
D FORTUNE BRANDS, INC.           COMMON     349631101     1007    38000 SH    -  DEFINED 02                0        0    38000
D FORTUNE BRANDS, INC.           COMMON     349631101       50     1900 SH    -  DEFINED 17             1900        0        0
D FOUNDATION HEALTH SYS INC      COMMON     350404109     1160    69800 SH    -  DEFINED 02            69800        0        0
D FOUNDATION HEALTH SYS INC      COMMON     350404109      133     8000 SH    -  DEFINED 02             8000        0        0
D FOUNDRY NETWORKS INC           COMMON     35063R100       13      200 SH    -  DEFINED 02                0        0      200
D FOUNDRY NETWORKS INC           COMMON     35063R100      589     8800 SH    -  DEFINED 01             4400        0     4400
D FOUNDRY NETWORKS INC           COMMON     35063R100     1205    18000 SH    -  DEFINED 17            18000        0        0
D FOUNDRY NETWORKS INC           COMMON     35063R100      386     5760 SH    -  DEFINED 16             5760        0        0
D FOUR SEASONS HOLELS INC 'CONV  BOND       35100EAD6        0  5000000 PRN   -  DEFINED 16                0        0        0
D FOUR SEASONS HOTEL, INC.       COMMON     35100E104     1471    20100 SH    -  DEFINED 02            20100        0        0
D FOUR SEASONS HOTEL, INC.       COMMON     35100E104      915    12500 SH    -  DEFINED 02            12500        0        0
D 4FRONT TECHNOLOGIES INC        COMMON     351042106     1019    56000 SH    -  DEFINED 16            56000        0        0
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107      721    27200 SH    -  DEFINED 20            27200        0        0
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107    19655   741700 SH    -  DEFINED 02           538800        0   202900
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107       19      700 SH    -  OTHER   02              700        0        0
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107    58610  2211700 SH    -  DEFINED 02          1718900        0   492800
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107      228     8600 SH    -  OTHER   02                0        0     8600
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107       13      500 SH    -  DEFINED 05              500        0        0
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107      313    11830 SH    -  DEFINED 01             9900        0     1930
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107       11      400 SH    -  OTHER   01              400        0        0
D FOX ENTERTAINMENT GROUP, INC.  COMMON     35138T107      114     4300 SH    -  OTHER   21                0     4300        0
D FRANCHISE FINANCE CORP. OF AME COMMON     351807102     2513   111700 SH    -  DEFINED 02           111700        0        0
D FRANCHISE FINANCE CORP. OF AME COMMON     351807102     5886   261600 SH    -  DEFINED 02           261600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 129
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FRANKLIN RESOURCES, INC.       COMMON     354613101    43270   973900 SH    -  DEFINED 02           813600        0   160300
D FRANKLIN RESOURCES, INC.       COMMON     354613101       76     1700 SH    -  OTHER   02             1700        0        0
D FRANKLIN RESOURCES, INC.       COMMON     354613101      422     9500 SH    -  DEFINED 20             9500        0        0
D FRANKLIN RESOURCES, INC.       COMMON     354613101      129     2900 SH    -  DEFINED 17             2900        0        0
D FRANKLIN RESOURCES, INC.       COMMON     354613101    96711  2176700 SH    -  DEFINED 02          1490000        0   686700
D FRANKLIN RESOURCES, INC.       COMMON     354613101      253     5700 SH    -  OTHER   02                0        0     5700
D FRANKLIN RESOURCES, INC.       COMMON     354613101       49     1100 SH    -  DEFINED 05             1100        0        0
D FRANKLIN RESOURCES, INC.       COMMON     354613101      147     3300 SH    -  OTHER   21                0     3300        0
D FRANKLIN RESOURCES, INC.       COMMON     354613101     4755   107030 SH    -  DEFINED 01            93650        0    13380
D FRANKLIN RESOURCES, INC.       COMMON     354613101       31      700 SH    -  OTHER   01              700        0        0
D FREEMARKETS INC                COMMON     356602102     2063    36119 SH    -  DEFINED 01                0        0    36119
D FREEMARKETS INC                COMMON     356602102      200     3500 SH    -  DEFINED 02             3500        0        0
D FREEPORT-MCMORAN COPPER 5% CV. PREF CONV  35671D501     2500   200000 SH    -  DEFINED 01                0        0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      235    26622 SH    -  DEFINED 01            23422        0     3200
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     1012   114846 SH    -  OTHER   01                0   114846        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857      509    57800 SH    -  DEFINED 02            57800        0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857     2179   247300 SH    -  DEFINED 02           247300        0        0
D FREEPORT-MCMORAN COPPER & GOLD COMMON     35671D857       17     1900 SH    -  DEFINED 17             1900        0        0
D FREMONT GENERAL CORP.          COMMON     357288109      124    36134 SH    -  DEFINED 01                0        0    36134
D FRESENIUS MED CARE AG          COMMON     358029205     1196    71680 SH    -  DEFINED 01            15030        0    56650
D FRESENIUS MED CARE AG          COMMON     358029205      235    14090 SH    -  DEFINED 02            11730        0     2360
D FRESENIUS MED CARE AG          COMMON     358029205       30     1800 SH    -  DEFINED 05                0        0     1800
D FULLER (H. B.) CO.             COMMON     359694106     2766    96200 SH    -  DEFINED 17            96200        0        0
D FULLER (H. B.) CO.             COMMON     359694106       23      807 SH    -  DEFINED 16              807        0        0
D FULTON FINANCIAL CORP.         COMMON     360271100      903    45587 SH    -  DEFINED 16            45587        0        0
D FULTON FINANCIAL CORP.         COMMON     360271100      131     6603 SH    -  DEFINED 01                0        0     6603

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 130
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D FURNITURE BRANDS INTERNATIONAL COMMON     360921100      323    19400 SH    -  DEFINED 01                0        0    19400
D FURNITURE BRANDS INTERNATIONAL COMMON     360921100      640    38500 SH    -  DEFINED 02            33300        0     5200
D FURNITURE BRANDS INTERNATIONAL COMMON     360921100        0        3 SH    -  DEFINED 16                3        0        0
D FURNITURE BRANDS INTERNATIONAL COMMON     360921100     1438    86500 SH    -  DEFINED 02            86500        0        0
D G & K SERVICES, INC.           COMMON     361268105      362    12900 SH    -  DEFINED 01                0        0    12900
D GATX CORP.                     COMMON     361448103     3459    82600 SH    -  DEFINED 01            82600        0        0
D GATX CORP.                     COMMON     361448103      377     9000 SH    -  OTHER   01                0     9000        0
D GATX CORP.                     COMMON     361448103     5636   134600 SH    -  DEFINED 02           115500        0    19100
D GATX CORP.                     COMMON     361448103     5272   125900 SH    -  DEFINED 02           125900        0        0
D GBC BANCORP (CA)               COMMON     361475106     3049    89500 SH    -  DEFINED 02            89500        0        0
D GBC BANCORP (CA)               COMMON     361475106     2688    78900 SH    -  DEFINED 02            24700        0    54200
D GPU, INC.                      COMMON     36225X100    25724   793010 SH    -  DEFINED 02           438010        0   355000
D GPU, INC.                      COMMON     36225X100      199     6148 SH    -  DEFINED 01             6148        0        0
D GPU, INC.                      COMMON     36225X100      120     3700 SH    -  OTHER   21                0     3700        0
D GPU, INC.                      COMMON     36225X100    17001   524100 SH    -  DEFINED 02           420100        0   104000
D GPU, INC.                      COMMON     36225X100       29      900 SH    -  OTHER   02              900        0        0
D GPU, INC.                      COMMON     36225X100     2271    70000 SH    -  DEFINED 16            70000        0        0
D GPU, INC.                      COMMON     36225X100       45     1400 SH    -  DEFINED 17             1400        0        0
D GPU, INC.                      COMMON     36225X100       78     2400 SH    -  DEFINED 20             2400        0        0
D GABELLI ASSET MGMT INC         COMMON     36239Y102     2385    79500 SH    -  DEFINED 02            79500        0        0
D GABELLI ASSET MGMT INC         COMMON     36239Y102      603    20100 SH    -  DEFINED 02            20100        0        0
D GABLES RESIDENTIAL TRUST S/B/I COMMON     362418105    14227   523300 SH    -  DEFINED 02           523300        0        0
D GABLES RESIDENTIAL TRUST S/B/I COMMON     362418105     8146   299600 SH    -  DEFINED 02           299600        0        0
D GALILEO INTERNATIONAL, INC.    COMMON     363547100      752    48500 SH    -  DEFINED 02            48500        0        0
D GALILEO INTERNATIONAL, INC.    COMMON     363547100      181    11700 SH    -  DEFINED 02                0        0    11700
D GALLAGHER (ARTHUR J.) & CO.    COMMON     363576109     1041    17600 SH    -  DEFINED 01                0        0    17600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 131
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GALLAHER GROUP PLC             COMMON     363595109      279    12000 SH    -  DEFINED 01            12000        0        0
D GALLAHER GROUP PLC             COMMON     363595109       74     3200 SH    -  OTHER   01                0     3200        0
D GALLAHER GROUP PLC             COMMON     363595109     2776   117500 SH    -  DEFINED 17           117500        0        0
D GANNETT, INC.                  COMMON     364730101      170     3200 SH    -  DEFINED 17             3200        0        0
D GANNETT, INC.                  COMMON     364730101     1018    19200 SH    -  DEFINED 06            19200        0        0
D GANNETT, INC.                  COMMON     364730101     1367    25800 SH    -  DEFINED 20            25800        0        0
D GANNETT, INC.                  COMMON     364730101    60250  1136800 SH    -  DEFINED 02           726500        0   410300
D GANNETT, INC.                  COMMON     364730101       58     1100 SH    -  OTHER   02             1100        0        0
D GANNETT, INC.                  COMMON     364730101    13218   249403 SH    -  DEFINED 01           204253        0    45150
D GANNETT, INC.                  COMMON     364730101     7050   133024 SH    -  OTHER   01            47840    69484    15700
D GANNETT, INC.                  COMMON     364730101      382     7200 SH    -  OTHER   21                0     7200        0
D GANNETT, INC.                  COMMON     364730101   148622  2804180 SH    -  DEFINED 02          1906780        0   897400
D GANNETT, INC.                  COMMON     364730101      403     7600 SH    -  OTHER   02                0        0     7600
D GANNETT, INC.                  COMMON     364730101      387     7300 SH    -  DEFINED 05             7300        0        0
D GAP, INC.                      COMMON     364760108      127     6325 SH    -  DEFINED 05             6325        0        0
D GAP, INC.                      COMMON     364760108      781    38800 SH    -  OTHER   09            38800        0        0
D GAP, INC.                      COMMON     364760108     1509    75000 SH    -  OTHER   0304          75000        0        0
D GAP, INC.                      COMMON     364760108   133433  6630200 SH    -  DEFINED 02          4569300        0  2060900
D GAP, INC.                      COMMON     364760108      223    11100 SH    -  OTHER   02                0        0    11100
D GAP, INC.                      COMMON     364760108       48     2400 SH    -  OTHER   21                0     2400        0
D GAP, INC.                      COMMON     364760108    34741  1726251 SH    -  DEFINED 01          1035570     1300   686381
D GAP, INC.                      COMMON     364760108     7255   360498 SH    -  OTHER   01           135305   171662    53531
D GAP, INC.                      COMMON     364760108    71532  3554400 SH    -  DEFINED 02          2663800        0   890600
D GAP, INC.                      COMMON     364760108      145     7200 SH    -  OTHER   02             7200        0        0
D GAP, INC.                      COMMON     364760108     3250   161500 SH    -  DEFINED 20           161500        0        0
D GAP, INC.                      COMMON     364760108       70     3500 SH    -  DEFINED 06             3500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 132
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GAP, INC.                      COMMON     364760108      204    10150 SH    -  DEFINED 17            10150        0        0
D GARDNER DENVER MACHINERY, INC. COMMON     365558105      138     8500 SH    -  DEFINED 02             8500        0        0
D GARDNER DENVER MACHINERY, INC. COMMON     365558105       41     2520 SH    -  DEFINED 01              120        0     2400
D GARDNER DENVER MACHINERY, INC. COMMON     365558105      583    35900 SH    -  DEFINED 02            31400        0     4500
D GARTNER GROUP, INC. CLASS "A"  COMMON     366651107     4604   396000 SH    -  DEFINED 02           330600        0    65400
D GARTNER GROUP, INC. CLASS "A"  COMMON     366651107     1803   155125 SH    -  DEFINED 01           155125        0        0
D GARTNER GROUP, INC. CLASS "A"  COMMON     366651107     2337   201000 SH    -  DEFINED 02           201000        0        0
D GARTNER GROUP INC NEW          COMMON     366651206      116    10663 SH    -  DEFINED 01            10143        0      520
D GARTNER GROUP INC NEW          COMMON     366651206       23     2106 SH    -  OTHER   01                0     1430      676
D GARTNER GROUP INC NEW          COMMON     366651206        2      208 SH    -  OTHER   05                0        0      208
D GARTNER GROUP INC NEW          COMMON     366651206       14     1302 SH    -  OTHER   10                0     1302        0
D GARTNER GROUP INC NEW          COMMON     366651206       14     1302 SH    -  OTHER   11                0     1302        0
D GASONICS INTERNATIONAL CORP.   COMMON     367278108     1123    91700 SH    -  DEFINED 01            88500        0     3200
D GATEWAY INC                    COMMON     367626108     4280    91550 SH    -  DEFINED 01            87060        0     4490
D GATEWAY INC                    COMMON     367626108        9      200 SH    -  OTHER   01              200        0        0
D GATEWAY INC                    COMMON     367626108       14      300 SH    -  DEFINED 05              300        0        0
D GATEWAY INC                    COMMON     367626108     2529    54100 SH    -  DEFINED 02            15400        0    38700
D GATEWAY INC                    COMMON     367626108        9      200 SH    -  DEFINED 02              200        0        0
D GATEWAY INC                    COMMON     367626108      178     3800 SH    -  DEFINED 17             3800        0        0
D GATEWAY INC                    COMMON     367626108      748    16000 SH    -  DEFINED 16            16000        0        0
D GATEWAY INC                    COMMON     367626108      122     2600 SH    -  DEFINED 20             2600        0        0
D GAYLORD CONTAINER CORP. CLASS  COMMON     368145108       72    42500 SH    -  DEFINED 02            42500        0        0
D GAYLORD CONTAINER CORP. CLASS  COMMON     368145108       43    25200 SH    -  DEFINED 02            25200        0        0
D GAYLORD CONTAINER CORP. CLASS  COMMON     368145108       46    27300 SH    -  DEFINED 01                0        0    27300
D GELTEX PHARMACEUTICALS, INC.   COMMON     368538104     1217    26000 SH    -  OTHER   01            26000        0        0
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106     2604    29865 SH    -  DEFINED 01             1013        0    28852

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 133
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106       35      400 SH    -  OTHER   21                0      400        0
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106   123379  1415090 SH    -  DEFINED 02          1023340        0   391750
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106      122     1400 SH    -  OTHER   02                0        0     1400
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106    47047   539600 SH    -  DEFINED 02           417800        0   121800
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106       70      800 SH    -  OTHER   02              800        0        0
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106      488     5600 SH    -  DEFINED 20             5600        0        0
D GEMSTAR-TV GUIDE INTL INC      COMMON     36866W106     2685    30800 SH    -  DEFINED 18            30800        0        0
D GENCORP, INC.                  COMMON     368682100       58     7100 SH    -  DEFINED 20             7100        0        0
D GENCORP, INC.                  COMMON     368682100       20     2400 SH    -  DEFINED 02             2400        0        0
D GENCORP, INC.                  COMMON     368682100      418    51500 SH    -  DEFINED 02            18400        0    33100
D GENENTECH INC                  COMMON     368710406    35039   188700 SH    -  DEFINED 02           176300        0    12400
D GENENTECH INC                  COMMON     368710406      149      800 SH    -  OTHER   02                0        0      800
D GENENTECH INC                  COMMON     368710406     2284    12300 SH    -  DEFINED 05             7750     1000     3550
D GENENTECH INC                  COMMON     368710406       19      100 SH    -  OTHER   21                0      100        0
D GENENTECH INC                  COMMON     368710406    20013   107779 SH    -  DEFINED 01            42475     1650    63054
D GENENTECH INC                  COMMON     368710406     1609     8665 SH    -  OTHER   01             6415     2250        0
D GENENTECH INC                  COMMON     368710406      724     3900 SH    -  DEFINED 02             3900        0        0
D GENENTECH INC                  COMMON     368710406      167      900 SH    -  DEFINED 20              900        0        0
D GENENTECH INC                  COMMON     368710406      952     5127 SH    -  DEFINED 17             5127        0        0
D GENENTECH INC                  COMMON     368710406    11086    59700 SH    -  DEFINED 16            59700        0        0
D GENER S A                      COMMON     368731105      189    14500 SH    -  DEFINED 17            14500        0        0
D GENER S A                      COMMON     368731105        2      145 SH    -  DEFINED 01              145        0        0
D GENERAL BINDING CORP.          COMMON     369154109      167    22600 SH    -  DEFINED 01                0        0    22600
D GENERAL CABLE CORP             COMMON     369300108       14     1900 SH    -  DEFINED 02             1900        0        0
D GENERAL CABLE CORP             COMMON     369300108      157    20800 SH    -  DEFINED 02            20800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 134
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GENERAL CHEMICAL GROUP, INC.   COMMON     369332101      207   221200 SH    -  DEFINED 02           221200        0        0
D GENERAL CHEMICAL GROUP, INC.   COMMON     369332101       10    10600 SH    -  DEFINED 02            10600        0        0
D GENERAL COMMUNICATION, INC. CL COMMON     369385109      116    16200 SH    -  DEFINED 02            16200        0        0
D GENERAL COMMUNICATION, INC. CL COMMON     369385109      132    18400 SH    -  DEFINED 01                0        0    18400
D GENERAL DATACOMM INDUSTRIES, I COMMON     369487103       55    10600 SH    -  DEFINED 01                0        0    10600
D GENERAL DYNAMICS CORP.         COMMON     369550108     2908    46300 SH    -  DEFINED 01            35300        0    11000
D GENERAL DYNAMICS CORP.         COMMON     369550108     3197    50900 SH    -  OTHER   01                0    50400      500
D GENERAL DYNAMICS CORP.         COMMON     369550108      358     5700 SH    -  DEFINED 02                0        0     5700
D GENERAL DYNAMICS CORP.         COMMON     369550108      151     2400 SH    -  DEFINED 17             2400        0        0
D GENERAL DYNAMICS CORP.         COMMON     369550108      930    14800 SH    -  DEFINED 06            14800        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103    12461   216000 SH    -  DEFINED 18           216000        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103    52236   905500 SH    -  DEFINED 20           905500        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103   978266 16957870 SH    -  DEFINED 02         11933700        0  5024170
D GENERAL ELECTRIC COMPANY       COMMON     369604103     1558    27000 SH    -  OTHER   02            27000        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103  2174671 37697120 SH    -  DEFINED 02         23757525        0 13939595
D GENERAL ELECTRIC COMPANY       COMMON     369604103     4004    69400 SH    -  OTHER   02                0        0    69400
D GENERAL ELECTRIC COMPANY       COMMON     369604103    26248   454994 SH    -  DEFINED 05           287620     7200   160174
D GENERAL ELECTRIC COMPANY       COMMON     369604103     3271    56700 SH    -  OTHER   05            29100        0    27600
D GENERAL ELECTRIC COMPANY       COMMON     369604103     4154    72000 SH    -  OTHER   1314              0    72000        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103     2596    45000 SH    -  OTHER   0304          45000        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103     5325    92300 SH    -  OTHER   09            92300        0        0
D GENERAL ELECTRIC COMPANY       COMMON     369604103   335230  5811090 SH    -  OTHER   01          1735998  3543252   531840
D GENERAL ELECTRIC COMPANY       COMMON     369604103   892799 15476333 SH    -  DEFINED 01          8251551   254602  6879280
D GENERAL ELECTRIC COMPANY       COMMON     369604103      404     7000 SH    -  OTHER   21                0     7000        0
D GENERAL GROWTH PROPERTIES, INC COMMON     370021107    24785   770000 SH    -  DEFINED 02           729500        0    40500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 135
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GENERAL GROWTH PROPERTIES, INC COMMON     370021107    13850   430300 SH    -  DEFINED 02           430300        0        0
D GENERAL MAGIC, INC.            COMMON     370253106      180    30600 SH    -  DEFINED 01                0        0    30600
D GENERAL MILLS, INC.            COMMON     370334104     3783   106550 SH    -  OTHER   01             9900    96450      200
D GENERAL MILLS, INC.            COMMON     370334104     5666   159612 SH    -  DEFINED 01           141872     1000    14740
D GENERAL MILLS, INC.            COMMON     370334104      135     3800 SH    -  OTHER   21                0     3800        0
D GENERAL MILLS, INC.            COMMON     370334104    30187   850330 SH    -  DEFINED 02           427830        0   422500
D GENERAL MILLS, INC.            COMMON     370334104     2627    74000 SH    -  OTHER   0304          74000        0        0
D GENERAL MILLS, INC.            COMMON     370334104       89     2500 SH    -  DEFINED 05             2500        0        0
D GENERAL MILLS, INC.            COMMON     370334104      369    10400 SH    -  OTHER   05                0        0    10400
D GENERAL MILLS, INC.            COMMON     370334104    14434   406600 SH    -  DEFINED 02           215400        0   191200
D GENERAL MILLS, INC.            COMMON     370334104      124     3500 SH    -  DEFINED 20             3500        0        0
D GENERAL MILLS, INC.            COMMON     370334104      124     3500 SH    -  DEFINED 17             3500        0        0
D GENERAL MOTORS CORP.           COMMON     370442105     3835    58996 SH    -  DEFINED 17            58996        0        0
D GENERAL MOTORS CORP.           COMMON     370442105    18467   284104 SH    -  DEFINED 18           284104        0        0
D GENERAL MOTORS CORP.           COMMON     370442105     5382    81704 SH    -  DEFINED 16            81704        0        0
D GENERAL MOTORS CORP.           COMMON     370442105     7020   108000 SH    -  DEFINED 20           108000        0        0
D GENERAL MOTORS CORP.           COMMON     370442105   140489  2161365 SH    -  DEFINED 02          1576031        0   585334
D GENERAL MOTORS CORP.           COMMON     370442105      280     4300 SH    -  OTHER   02             4300        0        0
D GENERAL MOTORS CORP.           COMMON     370442105      496     7625 SH    -  DEFINED 05             5147        0     2478
D GENERAL MOTORS CORP.           COMMON     370442105      103     1579 SH    -  OTHER   05              752        0      827
D GENERAL MOTORS CORP.           COMMON     370442105   283185  4356690 SH    -  DEFINED 02          2669590        0  1687100
D GENERAL MOTORS CORP.           COMMON     370442105      533     8200 SH    -  OTHER   02                0        0     8200
D GENERAL MOTORS CORP.           COMMON     370442105      566     8700 SH    -  OTHER   21                0     8700        0
D GENERAL MOTORS CORP.           COMMON     370442105    16582   255114 SH    -  DEFINED 01           207023      111    47980
D GENERAL MOTORS CORP.           COMMON     370442105     4981    76626 SH    -  OTHER   01            12649    60818     3159
D GENERAL MOTORS CORPORATION CL  COMMON     370442832     1963    52795 SH    -  DEFINED 01            30732      117    21946

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 136
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GENERAL MOTORS CORPORATION CL  COMMON     370442832      740    19896 SH    -  OTHER   01            11295     5280     3321
D GENERAL MOTORS CORPORATION CL  COMMON     370442832      236     6354 SH    -  DEFINED 05             5328        0     1026
D GENERAL MOTORS CORPORATION CL  COMMON     370442832       62     1662 SH    -  OTHER   05              792        0      870
D GENERAL MOTORS CORPORATION CL  COMMON     370442832      150     4043 SH    -  DEFINED 02                2        0     4041
D GENERAL MOTORS CORPORATION CL  COMMON     370442832      161     4332 SH    -  DEFINED 16             4332        0        0
D GENERAL SEMICONDUCTOR, INC.    COMMON     370787103        0        4 SH    -  DEFINED 16                4        0        0
D GENERAL SEMICONDUCTOR, INC.    COMMON     370787103      225    18500 SH    -  DEFINED 20            18500        0        0
D GENERAL SEMICONDUCTOR, INC.    COMMON     370787103      975    80000 SH    -  DEFINED 02            80000        0        0
D GENERAL SEMICONDUCTOR, INC.    COMMON     370787103      258    21200 SH    -  DEFINED 02             2700        0    18500
D GENESCO, INC.                  COMMON     371532102     7463   440600 SH    -  DEFINED 02           385000        0    55600
D GENESCO, INC.                  COMMON     371532102     4024   237600 SH    -  DEFINED 01           237600        0        0
D GENESCO, INC.                  COMMON     371532102     5412   319500 SH    -  DEFINED 02           319500        0        0
D GENTEX CORP.                   COMMON     371901109        0        3 SH    -  DEFINED 16                3        0        0
D GENTEX CORP.                   COMMON     371901109      800    32000 SH    -  DEFINED 01                0        0    32000
D GENTEX CORP.                   COMMON     371901109      140     5600 SH    -  DEFINED 02                0        0     5600
D GENESIS MICROCHIP INC.         COMMON     371933102     1657    90800 SH    -  DEFINED 02            74900        0    15900
D GENESIS MICROCHIP INC.         COMMON     371933102       44     2425 SH    -  DEFINED 05                0        0     2425
D GENESIS MICROCHIP INC.         COMMON     371933102     2606   142775 SH    -  DEFINED 01            57250        0    85525
D GENESIS MICROCHIP INC.         COMMON     371933102      610    33400 SH    -  DEFINED 02            33400        0        0
D GENOME THERAPEUTICS CORP.      COMMON     372430108     1098    53400 SH    -  DEFINED 02            53400        0        0
D GENOME THERAPEUTICS CORP.      COMMON     372430108       25     1200 SH    -  DEFINED 02             1200        0        0
D GENRAD, INC.                   COMMON     372447102        2      200 SH    -  DEFINED 02              200        0        0
D GENRAD, INC.                   COMMON     372447102      111    10100 SH    -  DEFINED 01                0        0    10100
D GENRAD, INC.                   COMMON     372447102        8      700 SH    -  DEFINED 02              700        0        0
D GENTEK INC                     COMMON     37245X104     6773   444100 SH    -  DEFINED 02           444100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 137
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GENTEK INC                     COMMON     37245X104    13922   912950 SH    -  DEFINED 01           600400        0   312550
D GENTEK INC                     COMMON     37245X104    11769   771715 SH    -  DEFINED 02           671135        0   100580
D GENTEK INC                     COMMON     37245X104      139     9100 SH    -  DEFINED 05                0        0     9100
D GENZYME TRANSGENICS CORP       COMMON     37246E105       14      400 SH    -  DEFINED 02              400        0        0
D GENZYME TRANSGENICS CORP       COMMON     37246E105      793    22500 SH    -  DEFINED 02            22500        0        0
D GENUINE PARTS CO.              COMMON     372460105       40     2100 SH    -  DEFINED 17             2100        0        0
D GENUINE PARTS CO.              COMMON     372460105      517    27100 SH    -  DEFINED 06            27100        0        0
D GENUINE PARTS CO.              COMMON     372460105      711    37275 SH    -  DEFINED 01            32200        0     5075
D GENUINE PARTS CO.              COMMON     372460105      396    20798 SH    -  OTHER   01            13086     7712        0
D GENZYME CORP.                  COMMON     372917104     3609    52933 SH    -  DEFINED 01            24473        0    28460
D GENZYME CORP.                  COMMON     372917104      457     6700 SH    -  OTHER   01              700     5000     1000
D GENZYME CORP.                  COMMON     372917104       34      500 SH    -  OTHER   21                0      500        0
D GENZYME CORP.                  COMMON     372917104    27356   401182 SH    -  DEFINED 02           259182        0   142000
D GENZYME CORP.                  COMMON     372917104       82     1200 SH    -  OTHER   02                0        0     1200
D GENZYME CORP.                  COMMON     372917104       14      200 SH    -  DEFINED 05              200        0        0
D GENZYME CORP.                  COMMON     372917104       68     1000 SH    -  DEFINED 20             1000        0        0
D GENZYME CORP.                  COMMON     372917104    13999   205300 SH    -  DEFINED 02           167300        0    38000
D GENZYME CORP.                  COMMON     372917104       27      400 SH    -  OTHER   02              400        0        0
D GEORGIA GULF CORP.             COMMON     373200203     4317   377400 SH    -  DEFINED 02           377400        0        0
D GEORGIA GULF CORP.             COMMON     373200203        3      300 SH    -  DEFINED 20              300        0        0
D GEORGIA GULF CORP.             COMMON     373200203       71     6225 SH    -  DEFINED 05                0        0     6225
D GEORGIA GULF CORP.             COMMON     373200203     7788   680925 SH    -  DEFINED 02           586350        0    94575
D GEORGIA GULF CORP.             COMMON     373200203     7230   632065 SH    -  DEFINED 01           392015        0   240050
D GEORGIA PACIFIC CORP.          COMMON     373298108      701    29830 SH    -  DEFINED 01            18900        0    10930
D GEORGIA PACIFIC CORP.          COMMON     373298108      654    27850 SH    -  OTHER   01            13000     4050    10800
D GEORGIA PACIFIC CORP.          COMMON     373298108    14065   598500 SH    -  DEFINED 02           307700        0   290800

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 138
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GEORGIA PACIFIC CORP.          COMMON     373298108       24     1000 SH    -  OTHER   02                0        0     1000
D GEORGIA PACIFIC CORP.          COMMON     373298108       78     3300 SH    -  DEFINED 20             3300        0        0
D GEORGIA PACIFIC CORP.          COMMON     373298108       47     2000 SH    -  DEFINED 17             2000        0        0
D GEORGIA PACIFIC CORP.          COMMON     373298108     9008   383300 SH    -  DEFINED 02           267900        0   115400
D GEORGIA PACIFIC CORPORATION    COMMON     373298702     3217   119700 SH    -  DEFINED 02           119700        0        0
D GEORGIA PACIFIC CORPORATION    COMMON     373298702       27     1000 SH    -  DEFINED 01                0        0     1000
D GEORGIA PACIFIC CORPORATION    COMMON     373298702      145     5400 SH    -  OTHER   01                0        0     5400
D GEOWORKS CORP                  COMMON     373692102      277    37500 SH    -  DEFINED 02                0        0    37500
D GEOWORKS CORP                  COMMON     373692102      145    19600 SH    -  DEFINED 02            19600        0        0
D GERBER SCIENTIFIC, INC.        COMMON     373730100       24     2800 SH    -  DEFINED 02             2800        0        0
D GERBER SCIENTIFIC, INC.        COMMON     373730100       40     4600 SH    -  DEFINED 02             4600        0        0
D GERBER SCIENTIFIC, INC.        COMMON     373730100       80     9300 SH    -  DEFINED 01                0        0     9300
D GETTHERE INC                   COMMON     374266104       23     1300 SH    -  DEFINED 02             1300        0        0
D GETTHERE INC                   COMMON     374266104      437    24700 SH    -  DEFINED 02            24700        0        0
D GETTHERE INC                   COMMON     374266104     2508   141795 SH    -  DEFINED 16           141795        0        0
D GETTY IMAGES INC   'CONV BOND' BOND       374276AD5        0  2000000 PRN   -  DEFINED 16                0        0        0
D GETTY IMAGES INC               COMMON     374276103     3190   104800 SH    -  DEFINED 02           104800        0        0
D GETTY IMAGES INC               COMMON     374276103     7091   232950 SH    -  DEFINED 02           192375        0    40575
D GETTY IMAGES INC               COMMON     374276103      148     4850 SH    -  DEFINED 05                0        0     4850
D GETTY IMAGES INC               COMMON     374276103    10138   333080 SH    -  DEFINED 01           171855        0   161225
D GIANT INDUSTRIES, INC.         COMMON     374508109       80    15200 SH    -  DEFINED 01                0        0    15200
D GILEAD SCIENCES, INC.          COMMON     375558103    20197   184134 SH    -  DEFINED 01            31860        0   152274
D GILEAD SCIENCES, INC.          COMMON     375558103      417     3800 SH    -  DEFINED 05                0        0     3800
D GILEAD SCIENCES, INC.          COMMON     375558103    11802   107600 SH    -  DEFINED 02            87025        0    20575
D GILEAD SCIENCES, INC.          COMMON     375558103     3400    31000 SH    -  DEFINED 02            31000        0        0
D GILEAD SCIENCES, INC.          COMMON     375558103       11      103 SH    -  DEFINED 16              103        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 139
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GILEAD SCIENCES, INC.          COMMON     375558103      154     1400 SH    -  DEFINED 17             1400        0        0
D GILEAD SCIENCES, INC.          COMMON     375558103       44      400 SH    -  DEFINED 20              400        0        0
D GILLETTE CO.                   COMMON     375766102     8346   270300 SH    -  DEFINED 20           270300        0        0
D GILLETTE CO.                   COMMON     375766102      401    13000 SH    -  DEFINED 18            13000        0        0
D GILLETTE CO.                   COMMON     375766102      114     3700 SH    -  DEFINED 16             3700        0        0
D GILLETTE CO.                   COMMON     375766102   146218  4735810 SH    -  DEFINED 02          3473010        0  1262800
D GILLETTE CO.                   COMMON     375766102      303     9800 SH    -  OTHER   02             9800        0        0
D GILLETTE CO.                   COMMON     375766102   364457 11804280 SH    -  DEFINED 02          7905880        0  3898400
D GILLETTE CO.                   COMMON     375766102      392    12700 SH    -  OTHER   02                0        0    12700
D GILLETTE CO.                   COMMON     375766102     4326   140128 SH    -  DEFINED 05            71428     2500    66200
D GILLETTE CO.                   COMMON     375766102      247     8000 SH    -  OTHER   05             8000        0        0
D GILLETTE CO.                   COMMON     375766102      988    32000 SH    -  OTHER   11                0    32000        0
D GILLETTE CO.                   COMMON     375766102      988    32000 SH    -  OTHER   10                0    32000        0
D GILLETTE CO.                   COMMON     375766102     1853    60000 SH    -  OTHER   0304          60000        0        0
D GILLETTE CO.                   COMMON     375766102     1124    36400 SH    -  OTHER   09            36400        0        0
D GILLETTE CO.                   COMMON     375766102      148     4800 SH    -  OTHER   21                0     4800        0
D GILLETTE CO.                   COMMON     375766102    57793  1871831 SH    -  DEFINED 01           944561    13500   909170
D GILLETTE CO.                   COMMON     375766102    30271   980436 SH    -  OTHER   01            74910   842940    62586
D GLAXO WELLCOME PLC SPONSRD. A/ COMMON     37733W105      828    13700 SH    -  DEFINED 01              600        0    13100
D GLENAYRE TECHNOLOGIES, INC.    COMMON     377899109      284    26150 SH    -  DEFINED 01                0        0    26150
D GLENAYRE TECHNOLOGIES, INC.    COMMON     377899109      294    27000 SH    -  DEFINED 02            27000        0        0
D GLENAYRE TECHNOLOGIES, INC.    COMMON     377899109      842    77400 SH    -  DEFINED 02            77400        0        0
D GLOBAL TECHNOLOGIES, INC       COMMON     378949101       55    12664 SH    -  DEFINED 01                0        0    12664
D GLOBAL INDUSTRIES LTD.         COMMON     379336100     5269   421525 SH    -  DEFINED 01           174800        0   246725
D GLOBAL INDUSTRIES LTD.         COMMON     379336100     3879   310300 SH    -  DEFINED 02           263200        0    47100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 140
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GLOBAL INDUSTRIES LTD.         COMMON     379336100       86     6850 SH    -  DEFINED 05                0        0     6850
D GLOBAL INDUSTRIES LTD.         COMMON     379336100     1729   138300 SH    -  DEFINED 02           138300        0        0
D GLOBAL MARINE, INC.            COMMON     379352404    71417  2313100 SH    -  DEFINED 02          1684700        0   628400
D GLOBAL MARINE, INC.            COMMON     379352404      102     3300 SH    -  OTHER   02             3300        0        0
D GLOBAL MARINE, INC.            COMMON     379352404     1158    37500 SH    -  DEFINED 20            37500        0        0
D GLOBAL MARINE, INC.            COMMON     379352404      142     4600 SH    -  DEFINED 05              800        0     3800
D GLOBAL MARINE, INC.            COMMON     379352404   204068  6609480 SH    -  DEFINED 02          5063130        0  1546350
D GLOBAL MARINE, INC.            COMMON     379352404      438    14200 SH    -  OTHER   02                0        0    14200
D GLOBAL MARINE, INC.            COMMON     379352404    20293   657260 SH    -  DEFINED 01           414735     1850   240675
D GLOBAL MARINE, INC.            COMMON     379352404      215     6965 SH    -  OTHER   01             3965     3000        0
D GLOBAL MARINE, INC.            COMMON     379352404      164     5300 SH    -  OTHER   21                0     5300        0
D GLOBAL TELESYSTEMS GROUP, INC. COMMON     37936U104      208    45600 SH    -  DEFINED 02                0        0    45600
D GLOBALNET FINANCIAL COM INC    COMMON     37937R209       13     2000 SH    -  DEFINED 02             2000        0        0
D GLOBALNET FINANCIAL COM INC    COMMON     37937R209      161    25500 SH    -  DEFINED 02            25500        0        0
D GLOBESPAN INC                  COMMON     379571102     1549    12700 SH    -  DEFINED 02                0        0    12700
D GOAMERICA INC                  COMMON     38020R106      312    35250 SH    -  DEFINED 02            29300        0     5950
D GOAMERICA INC                  COMMON     38020R106       36     4050 SH    -  DEFINED 05                0        0     4050
D GOAMERICA INC                  COMMON     38020R106     1475   166790 SH    -  DEFINED 01            34165        0   132625
D GOAMERICA INC                  COMMON     38020R106       54     6100 SH    -  DEFINED 02             6100        0        0
D GOLD FIELDS LTD NEW            COMMON     38059T106      280    91500 SH    -  DEFINED 16            91500        0        0
D GOLDEN STATE BANCORP INC.      COMMON     381197102      142     6000 SH    -  DEFINED 01             6000        0        0
D GOLDEN STATE BANCORP INC.      COMMON     381197102      140     5940 SH    -  DEFINED 02                0        0     5940
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106    18072   337014 SH    -  DEFINED 02           169014        0   168000
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106       78     1450 SH    -  DEFINED 01              400        0     1050
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106      102     1900 SH    -  DEFINED 17             1900        0        0
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106       91     1700 SH    -  DEFINED 20             1700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 141
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106    14286   266400 SH    -  DEFINED 02           177800        0    88600
D GOLDEN WEST FINANCIAL CORP.    COMMON     381317106        5      100 SH    -  OTHER   02              100        0        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104   150569  1321500 SH    -  DEFINED 02          1016000        0   305500
D GOLDMAN SACHS GROUP INC        COMMON     38141G104      353     3100 SH    -  OTHER   02             3100        0        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104    20486   179800 SH    -  DEFINED 20           179800        0        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104      729     6400 SH    -  DEFINED 16             6400        0        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104    87974   772124 SH    -  DEFINED 01           389322     6175   375302
D GOLDMAN SACHS GROUP INC        COMMON     38141G104     7228    63434 SH    -  OTHER   01            21600    29009    12825
D GOLDMAN SACHS GROUP INC        COMMON     38141G104      399     3500 SH    -  OTHER   21                0     3500        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104   496582  4358350 SH    -  DEFINED 02          3283650        0  1074700
D GOLDMAN SACHS GROUP INC        COMMON     38141G104      661     5800 SH    -  OTHER   02                0        0     5800
D GOLDMAN SACHS GROUP INC        COMMON     38141G104     7133    62600 SH    -  DEFINED 05            29300     1200    32100
D GOLDMAN SACHS GROUP INC        COMMON     38141G104      296     2600 SH    -  OTHER   05             2600        0        0
D GOLDMAN SACHS GROUP INC        COMMON     38141G104     2860    25100 SH    -  OTHER   09            25100        0        0
D GOODRICH (B. F.) CO.           COMMON     382388106       12      300 SH    -  DEFINED 05              300        0        0
D GOODRICH (B. F.) CO.           COMMON     382388106    82917  2115882 SH    -  DEFINED 02          1620482        0   495400
D GOODRICH (B. F.) CO.           COMMON     382388106      222     5668 SH    -  OTHER   02                0        0     5668
D GOODRICH (B. F.) CO.           COMMON     382388106      223     5700 SH    -  OTHER   21                0     5700        0
D GOODRICH (B. F.) CO.           COMMON     382388106     2334    59559 SH    -  DEFINED 01            42863        0    16696
D GOODRICH (B. F.) CO.           COMMON     382388106       51     1300 SH    -  DEFINED 17             1300        0        0
D GOODRICH (B. F.) CO.           COMMON     382388106      600    15300 SH    -  DEFINED 20            15300        0        0
D GOODRICH (B. F.) CO.           COMMON     382388106    31042   792128 SH    -  DEFINED 02           523900        0   268228
D GOODRICH (B. F.) CO.           COMMON     382388106       27      700 SH    -  OTHER   02              700        0        0
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101    16519   917700 SH    -  DEFINED 02           553300        0   364400
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101       23     1300 SH    -  OTHER   02             1300        0        0
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101      176     9800 SH    -  DEFINED 20             9800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 142
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101     1508    83800 SH    -  DEFINED 17            83800        0        0
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101      999    55500 SH    -  DEFINED 06            55500        0        0
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101      105     5850 SH    -  DEFINED 01             4200        0     1650
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101       36     2000 SH    -  OTHER   01                0     2000        0
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101    30397  1688700 SH    -  DEFINED 02           976500        0   712200
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101       50     2800 SH    -  OTHER   02                0        0     2800
D GOODYEAR TIRE & RUBBER CO.     COMMON     382550101      119     6600 SH    -  OTHER   21                0     6600        0
D GO2NET INC                     COMMON     383486107      233     4300 SH    -  DEFINED 02              300        0     4000
D GO2NET INC                     COMMON     383486107      608    11200 SH    -  DEFINED 01                0        0    11200
D GO2NET INC                     COMMON     383486107     6654   122610 SH    -  DEFINED 16           122610        0        0
D GO2NET INC                     COMMON     383486107       33      600 SH    -  DEFINED 20              600        0        0
D GO2NET INC                     COMMON     383486107     1281    23600 SH    -  DEFINED 02            23600        0        0
D GRACE W R & CO                 COMMON     38388F108     1505   218900 SH    -  DEFINED 02           218900        0        0
D GRACE W R & CO                 COMMON     38388F108       92    13400 SH    -  DEFINED 20            13400        0        0
D GRACE W R & CO                 COMMON     38388F108        6      800 SH    -  DEFINED 17              800        0        0
D GRACE W R & CO                 COMMON     38388F108       14     2000 SH    -  OTHER   01                0     2000        0
D GRACE W R & CO                 COMMON     38388F108      385    56000 SH    -  DEFINED 02            42600        0    13400
D GRACO, INC.                    COMMON     384109104       65     2000 SH    -  DEFINED 02             2000        0        0
D GRACO, INC.                    COMMON     384109104      686    21262 SH    -  DEFINED 01                0        0    21262
D GRACO, INC.                    COMMON     384109104      554    17186 SH    -  DEFINED 16            17186        0        0
D GRACO, INC.                    COMMON     384109104       90     2800 SH    -  DEFINED 02             2800        0        0
D GRAINGER (W. W.), INC.         COMMON     384802104    13709   521000 SH    -  DEFINED 02           433600        0    87400
D GRAINGER (W. W.), INC.         COMMON     384802104       32     1200 SH    -  OTHER   02             1200        0        0
D GRAINGER (W. W.), INC.         COMMON     384802104       29     1100 SH    -  DEFINED 17             1100        0        0
D GRAINGER (W. W.), INC.         COMMON     384802104      247     9400 SH    -  DEFINED 20             9400        0        0
D GRAINGER (W. W.), INC.         COMMON     384802104     1722    65450 SH    -  DEFINED 01            39850     1000    24600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 143
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GRAINGER (W. W.), INC.         COMMON     384802104      433    16450 SH    -  OTHER   01             7250     6700     2500
D GRAINGER (W. W.), INC.         COMMON     384802104      153     5800 SH    -  OTHER   21                0     5800        0
D GRAINGER (W. W.), INC.         COMMON     384802104    34404  1307500 SH    -  DEFINED 02           935400        0   372100
D GRAINGER (W. W.), INC.         COMMON     384802104      132     5000 SH    -  OTHER   02                0        0     5000
D GRAINGER (W. W.), INC.         COMMON     384802104     1218    46300 SH    -  DEFINED 05            19200        0    27100
D GRANITE CONSTRUCTION, INC.     COMMON     387328107      529    21825 SH    -  DEFINED 01                0        0    21825
D GRANT PRIDECO INC              COMMON     38821G101       24     1100 SH    -  OTHER   01                0     1100        0
D GRANT PRIDECO INC              COMMON     38821G101      396    18062 SH    -  DEFINED 01             2000        0    16062
D GRANT PRIDECO INC              COMMON     38821G101       15      700 SH    -  DEFINED 02                0        0      700
D GREAT AMERN FINL RES INC       COMMON     389915109      225    12310 SH    -  DEFINED 01                0        0    12310
D GREAT ATLANTIC & PACIFIC TEA,  COMMON     390064103      107     9700 SH    -  DEFINED 02             9700        0        0
D GREAT ATLANTIC & PACIFIC TEA,  COMMON     390064103        6      500 SH    -  DEFINED 17              500        0        0
D GREAT ATLANTIC & PACIFIC TEA,  COMMON     390064103      100     9000 SH    -  DEFINED 02             9000        0        0
D GREAT LAKES CHEMICAL CORP.     COMMON     390568103       18      600 SH    -  DEFINED 17              600        0        0
D GREAT LAKES CHEMICAL CORP.     COMMON     390568103      261     8900 SH    -  OTHER   01                0     8900        0
D GREAT LAKES REIT INC           COMMON     390752103      321    18500 SH    -  DEFINED 01                0        0    18500
D GREAT PLAINS SOFTWARE, INC.    COMMON     39119E105        3      100 SH    -  DEFINED 02              100        0        0
D GREAT PLAINS SOFTWARE, INC.    COMMON     39119E105      284    10100 SH    -  DEFINED 02            10100        0        0
D GREENBRIER COS INC             COMMON     393657101     5148   605600 SH    -  DEFINED 17           605600        0        0
D GREENPOINT FINANCIAL CORP.     COMMON     395384100      723    24400 SH    -  DEFINED 20            24400        0        0
D GREENPOINT FINANCIAL CORP.     COMMON     395384100    40690  1373500 SH    -  DEFINED 02           992400        0   381100
D GREENPOINT FINANCIAL CORP.     COMMON     395384100       18      600 SH    -  OTHER   02              600        0        0
D GREENPOINT FINANCIAL CORP.     COMMON     395384100    84772  2861500 SH    -  DEFINED 02          2158000        0   703500
D GREENPOINT FINANCIAL CORP.     COMMON     395384100      364    12300 SH    -  OTHER   02                0        0    12300
D GREENPOINT FINANCIAL CORP.     COMMON     395384100       65     2200 SH    -  DEFINED 05             2200        0        0
D GREENPOINT FINANCIAL CORP.     COMMON     395384100       41     1400 SH    -  OTHER   01             1400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 144
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GREENPOINT FINANCIAL CORP.     COMMON     395384100     6996   236152 SH    -  DEFINED 01           200042        0    36110
D GREENPOINT FINANCIAL CORP.     COMMON     395384100      198     6700 SH    -  OTHER   21                0     6700        0
D GREIF BROTHERS CORP. CLASS A   COMMON     397624107      193     5800 SH    -  DEFINED 01                0        0     5800
D GREIF BROTHERS CORP. CLASS A   COMMON     397624107      200     6000 SH    -  DEFINED 02             6000        0        0
D GREY GLOBAL GROUP INC          COMMON     39787M108      620     1000 SH    -  DEFINED 01                0        0     1000
D GREY WOLF INC                  COMMON     397888108       61    10600 SH    -  DEFINED 01                0        0    10600
D GRIFFON CORP.                  COMMON     398433102       70     9200 SH    -  DEFINED 01                0        0     9200
D GRIFFON CORP.                  COMMON     398433102       52     6900 SH    -  DEFINED 02             6900        0        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109       13     1200 SH    -  DEFINED 02             1200        0        0
D GROUP 1 AUTOMOTIVE INC         COMMON     398905109      154    14200 SH    -  DEFINED 01                0        0    14200
D CGI GROUP, INC.                COMMON     39945C109       92    12000 SH    -  DEFINED 01                0        0    12000
D GRUPO TELEVISA SA DE CV ADR    COMMON     40049J206      288     5000 SH    -  OTHER   01                0     5000        0
D GRUPO TELEVISA SA DE CV ADR    COMMON     40049J206      121     2100 SH    -  DEFINED 16             2100        0        0
D GRUPO IUSACELL S A DE C V NE   COMMON     40050B100      704    59300 SH    -  DEFINED 17            59300        0        0
D GRUPO IUSACELL S A DE C V NE   COMMON     40050B100       83     7000 SH    -  DEFINED 18             7000        0        0
D GTECH HOLDINGS CORP.           COMMON     400518106      394    23800 SH    -  DEFINED 02            23800        0        0
D GTECH HOLDINGS CORP.           COMMON     400518106     1718   103700 SH    -  DEFINED 02            24900        0    78800
D GUIDANT CORP.                  COMMON     401698105    58141   822500 SH    -  DEFINED 02           448200        0   374300
D GUIDANT CORP.                  COMMON     401698105      163     2300 SH    -  OTHER   02                0        0     2300
D GUIDANT CORP.                  COMMON     401698105      219     3100 SH    -  DEFINED 05             1100        0     2000
D GUIDANT CORP.                  COMMON     401698105     3052    43179 SH    -  DEFINED 01            36600        0     6579
D GUIDANT CORP.                  COMMON     401698105      269     3800 SH    -  OTHER   01              200        0     3600
D GUIDANT CORP.                  COMMON     401698105    41218   583100 SH    -  DEFINED 02           341700        0   241400
D GUIDANT CORP.                  COMMON     401698105       57      800 SH    -  OTHER   02              800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 145
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D GUIDANT CORP.                  COMMON     401698105      474     6700 SH    -  DEFINED 20             6700        0        0
D GUILFORD PHARMACEUTICALS INC   COMMON     401829106      144     6256 SH    -  DEFINED 01                0        0     6256
D GUILFORD PHARMACEUTICALS INC   COMMON     401829106      115     5000 SH    -  DEFINED 02             5000        0        0
D GUITAR CTR MGMT INC            COMMON     402040109      119     9700 SH    -  DEFINED 01                0        0     9700
D GUITAR CTR MGMT INC            COMMON     402040109      378    30700 SH    -  DEFINED 02            30700        0        0
D GULF CANADA RESOURCES LTD. - O COMMON     40218L305      188    35000 SH    -  DEFINED 16            35000        0        0
D GULF ISLAND FABRICATION INC    COMMON     402307102      596    33800 SH    -  DEFINED 02            33800        0        0
D GULF ISLAND FABRICATION INC    COMMON     402307102     1722    97725 SH    -  DEFINED 01            55600        0    42125
D GULF ISLAND FABRICATION INC    COMMON     402307102     1711    97050 SH    -  DEFINED 02            83225        0    13825
D GULF ISLAND FABRICATION INC    COMMON     402307102       20     1150 SH    -  DEFINED 05                0        0     1150
D HCA-HEALTHCARE CO              COMMON     404119109       22      600 SH    -  DEFINED 05              600        0        0
D HCA-HEALTHCARE CO              COMMON     404119109   186126  5013500 SH    -  DEFINED 02          2975700        0  2037800
D HCA-HEALTHCARE CO              COMMON     404119109      304     8200 SH    -  OTHER   02                0        0     8200
D HCA-HEALTHCARE CO              COMMON     404119109     4553   122645 SH    -  DEFINED 01           104575        0    18070
D HCA-HEALTHCARE CO              COMMON     404119109       26      700 SH    -  OTHER   01              700        0        0
D HCA-HEALTHCARE CO              COMMON     404119109      204     5500 SH    -  OTHER   21                0     5500        0
D HCA-HEALTHCARE CO              COMMON     404119109   106161  2859550 SH    -  DEFINED 02          2206100        0   653450
D HCA-HEALTHCARE CO              COMMON     404119109      219     5900 SH    -  OTHER   02             5900        0        0
D HCA-HEALTHCARE CO              COMMON     404119109      119     3200 SH    -  DEFINED 16             3200        0        0
D HCA-HEALTHCARE CO              COMMON     404119109     5379   144900 SH    -  DEFINED 18           144900        0        0
D HCA-HEALTHCARE CO              COMMON     404119109      694    18700 SH    -  DEFINED 20            18700        0        0
D HCA-HEALTHCARE CO              COMMON     404119109   781134 21040648 SH    -  DEFINED 19         21040648        0        0
D HNC SOFTWARE, INC.             COMMON     40425P107       16      200 SH    -  DEFINED 20              200        0        0
D HNC SOFTWARE, INC.             COMMON     40425P107      415     5073 SH    -  DEFINED 01               73        0     5000
D HNC SOFTWARE, INC.             COMMON     40425P107       41      500 SH    -  DEFINED 02              300        0      200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 146
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HS RESOURCES, INC.             COMMON     404297103     2263    67300 SH    -  DEFINED 02            25300        0    42000
D HS RESOURCES, INC.             COMMON     404297103      622    18500 SH    -  DEFINED 01                0        0    18500
D HALLIBURTON COMPANY            COMMON     406216101     6575   134345 SH    -  DEFINED 01           102086     1600    24159
D HALLIBURTON COMPANY            COMMON     406216101     2947    60223 SH    -  OTHER   01            10535    33588    16100
D HALLIBURTON COMPANY            COMMON     406216101    12107   247400 SH    -  DEFINED 02            33900        0   213500
D HALLIBURTON COMPANY            COMMON     406216101     3524    72000 SH    -  DEFINED 05            43400     1700    26900
D HALLIBURTON COMPANY            COMMON     406216101      171     3500 SH    -  OTHER   05             3500        0        0
D HALLIBURTON COMPANY            COMMON     406216101      122     2500 SH    -  DEFINED 20             2500        0        0
D HALLIBURTON COMPANY            COMMON     406216101      259     5300 SH    -  DEFINED 17             5300        0        0
D HAMILTON BANCORP, INC.         COMMON     407013101     2178   128100 SH    -  DEFINED 02           128100        0        0
D HAMILTON BANCORP, INC.         COMMON     407013101     3534   207900 SH    -  DEFINED 02           176600        0    31300
D HAMILTON BANCORP, INC.         COMMON     407013101      513    30200 SH    -  DEFINED 01            30200        0        0
D JOHN HANCOCK BK &THRIFT OPP    COMMON     409735107      428    53881 SH    -  DEFINED 01            53881        0        0
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106     6645   247260 SH    -  DEFINED 01           218000        0    29260
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106       40     1500 SH    -  OTHER   01             1500        0        0
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106      129     4800 SH    -  OTHER   21                0     4800        0
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106   110908  4126800 SH    -  DEFINED 02          2728300        0  1398500
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106      175     6500 SH    -  OTHER   02                0        0     6500
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106       54     2000 SH    -  DEFINED 05             2000        0        0
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106    50412  1875800 SH    -  DEFINED 02          1556400        0   319400
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106       75     2800 SH    -  OTHER   02             2800        0        0
D HANCOCK JOHN FINL SVCS INC     COMMON     41014S106      632    23500 SH    -  DEFINED 20            23500        0        0
D HANDLEMAN CO.                  COMMON     410252100      244    19700 SH    -  DEFINED 02            19700        0        0
D HANDLEMAN CO.                  COMMON     410252100      450    36400 SH    -  DEFINED 02            36400        0        0
D HANOVER COMPRESSOR COMPANY     COMMON     410768105      474    14400 SH    -  OTHER   01                0    14400        0
D HANOVER COMPRESSOR COMPANY     COMMON     410768105        0        5 SH    -  DEFINED 16                5        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 147
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HANSON PLC                     COMMON     411352404      320    12000 SH    -  DEFINED 17            12000        0        0
D HARCOURT GENERAL, INC.         COMMON     41163G101       53      900 SH    -  DEFINED 17              900        0        0
D HARCOURT GENERAL, INC.         COMMON     41163G101     2655    45000 SH    -  OTHER   01                0    45000        0
D HARKEN ENERGY CORP.            COMMON     412552101       20    32700 SH    -  DEFINED 01             1000        0    31700
D HARLAND (JOHN H.) CO.          COMMON     412693103      165    10800 SH    -  DEFINED 01                0        0    10800
D HARLAND (JOHN H.) CO.          COMMON     412693103      360    23500 SH    -  DEFINED 02            23500        0        0
D HARLAND (JOHN H.) CO.          COMMON     412693103      516    33700 SH    -  DEFINED 02            33700        0        0
D HARLEY DAVIDSON, INC.          COMMON     412822108      306     6400 SH    -  DEFINED 01                0        0     6400
D HARLEYSVILLE GROUP, INC.       COMMON     412824104       46     2400 SH    -  DEFINED 01                0        0     2400
D HARLEYSVILLE GROUP, INC.       COMMON     412824104      164     8600 SH    -  DEFINED 02             8600        0        0
D HARMAN INTERNATIONAL INDUSTRIE COMMON     413086109      287     7350 SH    -  DEFINED 01                0        0     7350
D HARMONIC LIGHTWAVES, INC.      COMMON     413160102      233     9695 SH    -  DEFINED 01                0        0     9695
D HARMONIC LIGHTWAVES, INC.      COMMON     413160102      122     5100 SH    -  DEFINED 02                0        0     5100
D HARMONIC LIGHTWAVES, INC.      COMMON     413160102       70     2930 SH    -  DEFINED 16             2930        0        0
D HARMONIC LIGHTWAVES, INC.      COMMON     413160102      622    25900 SH    -  DEFINED 02            25900        0        0
D HARRAH'S ENTERTAINMENT, INC.   COMMON     413619107     4128   150100 SH    -  DEFINED 02           150100        0        0
D HARRAH'S ENTERTAINMENT, INC.   COMMON     413619107     1400    50900 SH    -  DEFINED 01            45000        0     5900
D HARRIS CORP.                   COMMON     413875105      263     9255 SH    -  DEFINED 01             6055     1900     1300
D HARRIS CORP.                   COMMON     413875105      193     6800 SH    -  OTHER   01             2000      100     4700
D HARRIS CORP.                   COMMON     413875105        6      200 SH    -  OTHER   05                0        0      200
D HARRIS CORP.                   COMMON     413875105    13511   475100 SH    -  DEFINED 02           469000        0     6100
D HARRIS CORP.                   COMMON     413875105       40     1400 SH    -  OTHER   02                0        0     1400
D HARRIS CORP.                   COMMON     413875105      137     4800 SH    -  DEFINED 20             4800        0        0
D HARRIS CORP.                   COMMON     413875105     1797    63200 SH    -  DEFINED 02             6800        0    56400
D HARSCO CORP.                   COMMON     415864107      249    11300 SH    -  DEFINED 02            11300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 148
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HARTE-HANKS COMMUNICATIONS, IN COMMON     416196103      954    35000 SH    -  DEFINED 02            35000        0        0
D HARTE-HANKS COMMUNICATIONS, IN COMMON     416196103     1232    45200 SH    -  DEFINED 02                0        0    45200
D HARTE-HANKS COMMUNICATIONS, IN COMMON     416196103      269     9876 SH    -  DEFINED 05             9876        0        0
D HARTE-HANKS COMMUNICATIONS, IN COMMON     416196103     1308    48000 SH    -  OTHER   01            15000    33000        0
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104    10375   142244 SH    -  DEFINED 01            87282     3000    49862
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104     2321    31822 SH    -  OTHER   01            28400     3022      400
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104      336     4600 SH    -  OTHER   21                0     4600        0
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104       36      500 SH    -  DEFINED 05              500        0        0
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104   127128  1742960 SH    -  DEFINED 02          1016460        0   726500
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104      336     4600 SH    -  OTHER   02                0        0     4600
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104    59773   819500 SH    -  DEFINED 02           607300        0   212200
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104      109     1500 SH    -  OTHER   02             1500        0        0
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104      948    13000 SH    -  DEFINED 20            13000        0        0
D HARTFORD FINANCIAL SVCS GROUP  COMMON     416515104     4595    63000 SH    -  DEFINED 17            63000        0        0
D HASBRO, INC.                   COMMON     418056107       24     2100 SH    -  DEFINED 17             2100        0        0
D HASBRO, INC.                   COMMON     418056107       92     8000 SH    -  DEFINED 20             8000        0        0
D HASBRO, INC.                   COMMON     418056107     8222   718800 SH    -  DEFINED 02           557900        0   160900
D HASBRO, INC.                   COMMON     418056107       13     1100 SH    -  OTHER   02             1100        0        0
D HASBRO, INC.                   COMMON     418056107    19127  1672200 SH    -  DEFINED 02          1057400        0   614800
D HASBRO, INC.                   COMMON     418056107       22     1900 SH    -  OTHER   02                0        0     1900
D HASBRO, INC.                   COMMON     418056107       24     2100 SH    -  DEFINED 05             2100        0        0
D HASBRO, INC.                   COMMON     418056107       48     4200 SH    -  OTHER   21                0     4200        0
D HASBRO, INC.                   COMMON     418056107     2709   236830 SH    -  DEFINED 01           206500        0    30330
D HASBRO, INC.                   COMMON     418056107       15     1300 SH    -  OTHER   01             1300        0        0
D HAVERTY FURNITURE, INC.        COMMON     419596101      121    11100 SH    -  DEFINED 01                0        0    11100
D HAVERTY FURNITURE, INC.        COMMON     419596101      135    12300 SH    -  DEFINED 02            12300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 149
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HEATLHSOUTH CORPORATION 3.25%  BOND       421924AF8     1505  2000000 PRN   -  DEFINED 16                0        0        0
D HEATLHSOUTH CORPORATION 3.25%  BOND       421924AF8     3010  4000000 PRN   -  DEFINED 01                0        0        0
D HEALTHSOUTH REHABILITATION COR COMMON     421924101      335    41186 SH    -  DEFINED 01                0        0    41186
D HEALTHSOUTH REHABILITATION COR COMMON     421924101      878   108000 SH    -  DEFINED 16           108000        0        0
D HEALTHSOUTH REHABILITATION COR COMMON     421924101     4152   511000 SH    -  DEFINED 02           511000        0        0
D HEALTHSOUTH REHABILITATION COR COMMON     421924101      785    96600 SH    -  DEFINED 02            96600        0        0
D HEALTHSOUTH REHABILITATION COR COMMON     421924101       37     4600 SH    -  DEFINED 17             4600        0        0
D HEALTH MANAGEMENT ASSOC 'CONV  BOND       421933AA0        0   700000 PRN   -  DEFINED 16                0        0        0
D HEALTH MANAGEMENT ASSOCIATES,  COMMON     421933102        9      450 SH    -  DEFINED 05              450        0        0
D HEALTH MANAGEMENT ASSOCIATES,  COMMON     421933102      112     5400 SH    -  DEFINED 02                0        0     5400
D HEALTH MANAGEMENT ASSOCIATES,  COMMON     421933102     5616   269821 SH    -  DEFINED 01            23737     3037   238022
D HEALTH MANAGEMENT ASSOCIATES,  COMMON     421933102      270    12973 SH    -  OTHER   01                0        0    12973
D HEALTHCARE REALTY TRUST, INC.  COMMON     421946104      900    42600 SH    -  DEFINED 02            42600        0        0
D HEARST-ARGYLE TELEVISION INC   COMMON     422317107     6228   311400 SH    -  DEFINED 02           259200        0    52200
D HEARST-ARGYLE TELEVISION INC   COMMON     422317107     4282   214100 SH    -  DEFINED 01           214100        0        0
D HEARST-ARGYLE TELEVISION INC   COMMON     422317107     2696   134800 SH    -  DEFINED 02           134800        0        0
D HEINZ (H.J.) CO.               COMMON     423074103    50717  1368400 SH    -  DEFINED 02          1006500        0   361900
D HEINZ (H.J.) CO.               COMMON     423074103       89     2400 SH    -  OTHER   02             2400        0        0
D HEINZ (H.J.) CO.               COMMON     423074103     2298    62000 SH    -  DEFINED 17            62000        0        0
D HEINZ (H.J.) CO.               COMMON     423074103     1408    38000 SH    -  DEFINED 06            38000        0        0
D HEINZ (H.J.) CO.               COMMON     423074103      515    13900 SH    -  DEFINED 20            13900        0        0
D HEINZ (H.J.) CO.               COMMON     423074103     5403   145782 SH    -  DEFINED 01            97001        0    48781
D HEINZ (H.J.) CO.               COMMON     423074103     2544    68650 SH    -  OTHER   01             4700    61550     2400
D HEINZ (H.J.) CO.               COMMON     423074103      278     7500 SH    -  OTHER   21                0     7500        0
D HEINZ (H.J.) CO.               COMMON     423074103   108966  2940020 SH    -  DEFINED 02          1741820        0  1198200
D HEINZ (H.J.) CO.               COMMON     423074103      200     5400 SH    -  OTHER   02                0        0     5400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 150
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HEINZ (H.J.) CO.               COMMON     423074103      402    10850 SH    -  DEFINED 05             2600        0     8250
D HEINZ (H.J.) CO.               COMMON     423074103      185     5000 SH    -  OTHER   05                0     5000        0
D HELIX TECHNOLOGY CORP.         COMMON     423319102        0        2 SH    -  DEFINED 16                2        0        0
D HELIX TECHNOLOGY CORP.         COMMON     423319102     1300    43500 SH    -  DEFINED 02              200        0    43300
D HELIX TECHNOLOGY CORP.         COMMON     423319102      373    12500 SH    -  DEFINED 01                0        0    12500
D HELIX TECHNOLOGY CORP.         COMMON     423319102       33     1100 SH    -  DEFINED 20             1100        0        0
D HELIX TECHNOLOGY CORP.         COMMON     423319102      418    14000 SH    -  DEFINED 02            14000        0        0
D HELLENIC TELECOMMUNCIATION ORG COMMON     423325307     2359   255000 SH    -  DEFINED 16           255000        0        0
D HELLER FINANCIAL INC           COMMON     423328103      124     4325 SH    -  DEFINED 05                0        0     4325
D HELLER FINANCIAL INC           COMMON     423328103    16994   594950 SH    -  DEFINED 02           511500        0    83450
D HELLER FINANCIAL INC           COMMON     423328103    13385   468600 SH    -  DEFINED 01           323375        0   145225
D HELLER FINANCIAL INC           COMMON     423328103    10728   375600 SH    -  DEFINED 02           375600        0        0
D HERCULES, INC.                 COMMON     427056106      177    12500 SH    -  DEFINED 02            12500        0        0
D HERCULES, INC.                 COMMON     427056106       18     1300 SH    -  DEFINED 17             1300        0        0
D HERSHEY FOODS CORP.            COMMON     427866108      103     1900 SH    -  DEFINED 17             1900        0        0
D HERSHEY FOODS CORP.            COMMON     427866108      124     2300 SH    -  DEFINED 20             2300        0        0
D HERSHEY FOODS CORP.            COMMON     427866108     6944   128300 SH    -  DEFINED 02              500        0   127800
D HERSHEY FOODS CORP.            COMMON     427866108       22      400 SH    -  OTHER   01              400        0        0
D HERSHEY FOODS CORP.            COMMON     427866108     1376    25416 SH    -  DEFINED 01             7600        0    17816
D HERSHEY FOODS CORP.            COMMON     427866108        5      100 SH    -  OTHER   21                0      100        0
D HERSHEY FOODS CORP.            COMMON     427866108    16849   311300 SH    -  DEFINED 02           125400        0   185900
D HERSHEY FOODS CORP.            COMMON     427866108      119     2200 SH    -  OTHER   02                0        0     2200
D HERSHEY FOODS CORP.            COMMON     427866108      557    10300 SH    -  DEFINED 05             4300        0     6000
D HERTZ CORPORATION CL A         COMMON     428040109     4337   136600 SH    -  OTHER   01                0   136600        0
D HEWLETT PACKARD CO    BOND     BOND       428236AC7     4263  8100000 PRN   -  DEFINED 17                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 151
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HEWLETT-PACKARD CO.            COMMON     428236103       87      900 SH    -  DEFINED 18              900        0        0
D HEWLETT-PACKARD CO.            COMMON     428236103      689     7100 SH    -  DEFINED 20             7100        0        0
D HEWLETT-PACKARD CO.            COMMON     428236103    78564   809940 SH    -  DEFINED 02           438000        0   371940
D HEWLETT-PACKARD CO.            COMMON     428236103    62855   647992 SH    -  DEFINED 01           322188     3300   315004
D HEWLETT-PACKARD CO.            COMMON     428236103    14008   144411 SH    -  OTHER   01            37369    96586    10456
D HEWLETT-PACKARD CO.            COMMON     428236103       49      500 SH    -  OTHER   21                0      500        0
D HEWLETT-PACKARD CO.            COMMON     428236103     1888    19460 SH    -  DEFINED 05            15450        0     4010
D HEWLETT-PACKARD CO.            COMMON     428236103      407     4200 SH    -  OTHER   05             2000        0     2200
D HEWLETT-PACKARD CO.            COMMON     428236103      281     2901 SH    -  DEFINED 16             2901        0        0
D HEWLETT-PACKARD CO.            COMMON     428236103   155434  1602415 SH    -  DEFINED 02           740215        0   862200
D HI / FN INC                    COMMON     428358105    11411   167500 SH    -  DEFINED 02           140500        0    27000
D HI / FN INC                    COMMON     428358105      184     2700 SH    -  DEFINED 05                0        0     2700
D HI / FN INC                    COMMON     428358105    14588   214135 SH    -  DEFINED 01           126775        0    87360
D HI / FN INC                    COMMON     428358105     4360    64000 SH    -  DEFINED 02            64000        0        0
D HIBERNIA CORP. CLASS "A"       COMMON     428656102     9485   774300 SH    -  DEFINED 02           617200        0   157100
D HIBERNIA CORP. CLASS "A"       COMMON     428656102        9      700 SH    -  OTHER   02              700        0        0
D HIBERNIA CORP. CLASS "A"       COMMON     428656102      214    17500 SH    -  DEFINED 01             6500        0    11000
D HIBERNIA CORP. CLASS "A"       COMMON     428656102       96     7800 SH    -  OTHER   21                0     7800        0
D HIBERNIA CORP. CLASS "A"       COMMON     428656102        5      400 SH    -  DEFINED 05              400        0        0
D HIBERNIA CORP. CLASS "A"       COMMON     428656102    23978  1957426 SH    -  DEFINED 02          1521826        0   435600
D HIBERNIA CORP. CLASS "A"       COMMON     428656102      174    14200 SH    -  OTHER   02                0        0    14200
D HIGH SPEED ACCESS CORP         COMMON     42979U102       29     8047 SH    -  DEFINED 16             8047        0        0
D HIGH SPEED ACCESS CORP         COMMON     42979U102      218    60000 SH    -  DEFINED 01                0        0    60000
D HILB, ROGAL & HAMILTON CO.     COMMON     431294107      905    21700 SH    -  DEFINED 01                0        0    21700
D HILB, ROGAL & HAMILTON CO.     COMMON     431294107        2       49 SH    -  DEFINED 16               49        0        0
D HILTON HOTELS CORP. 5% CSD 6/1 BOND       432848AL3      836  1000000 PRN   -  OTHER   01                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 152
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HILTON HOTELS CORP.            COMMON     432848109      364    31502 SH    -  DEFINED 01             5400        0    26102
D HILTON HOTELS CORP.            COMMON     432848109      382    33000 SH    -  DEFINED 02            25400        0     7600
D HISPANIC BROADCASTING CORP     COMMON     43357B104      831    29800 SH    -  DEFINED 02                0        0    29800
D HISPANIC BROADCASTING CORP     COMMON     43357B104      390    14000 SH    -  DEFINED 01             8000        0     6000
D HOLLINGER INTERNATIONAL, INC.  COMMON     435569108      121     7200 SH    -  DEFINED 01                0        0     7200
D HOLLINGER INTERNATIONAL, INC.  COMMON     435569108      126     7500 SH    -  OTHER   01                0     5000     2500
D HOLLINGER INTERNATIONAL, INC.  COMMON     435569108     1107    66100 SH    -  DEFINED 02            66100        0        0
D HOLLYWOOD COM INC              COMMON     436137103      786   130347 SH    -  DEFINED 01                0        0   130347
D HOLLYWOOD ENTERTAINMENT CORP.  COMMON     436141105       30     4000 SH    -  DEFINED 02                0        0     4000
D HOLLYWOOD ENTERTAINMENT CORP.  COMMON     436141105      137    18400 SH    -  DEFINED 02            18400        0        0
D HOLLYWOOD ENTERTAINMENT CORP.  COMMON     436141105       30     4000 SH    -  DEFINED 20             4000        0        0
D HOME DEPOT, INC.               COMMON     437076102    16144   304250 SH    -  DEFINED 20           304250        0        0
D HOME DEPOT, INC.               COMMON     437076102     1210    22800 SH    -  DEFINED 18            22800        0        0
D HOME DEPOT, INC.               COMMON     437076102   148396  2796600 SH    -  DEFINED 02          1971600        0   825000
D HOME DEPOT, INC.               COMMON     437076102      249     4700 SH    -  OTHER   02             4700        0        0
D HOME DEPOT, INC.               COMMON     437076102   313808  5913870 SH    -  DEFINED 02          3660670        0  2253200
D HOME DEPOT, INC.               COMMON     437076102      589    11100 SH    -  OTHER   02                0        0    11100
D HOME DEPOT, INC.               COMMON     437076102     1061    20000 SH    -  OTHER   0304          20000        0        0
D HOME DEPOT, INC.               COMMON     437076102     1220    23000 SH    -  OTHER   09            23000        0        0
D HOME DEPOT, INC.               COMMON     437076102     8299   156390 SH    -  DEFINED 05            83000     3000    70390
D HOME DEPOT, INC.               COMMON     437076102     1122    21150 SH    -  OTHER   05            21150        0        0
D HOME DEPOT, INC.               COMMON     437076102   136659  2575409 SH    -  DEFINED 01           961371    12900  1588088
D HOME DEPOT, INC.               COMMON     437076102    19175   361359 SH    -  OTHER   01           142306   172453    46600
D HOME PROPERTIES OF NEW YORK, I COMMON     437306103     4908   164300 SH    -  DEFINED 02           164300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 153
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HOME PROPERTIES OF NEW YORK, I COMMON     437306103     2539    85000 SH    -  DEFINED 02            85000        0        0
D HOMESTORE COM INC              COMMON     437852106     9321   202358 SH    -  DEFINED 19           202358        0        0
D HOMESTORE COM INC              COMMON     437852106      519    11100 SH    -  DEFINED 02                0        0    11100
D HONDA MOTOR LTD                COMMON     438128308      293     4000 SH    -  OTHER   01                0     4000        0
D HONEYWELL INTL INC             COMMON     438516106    81665  2292352 SH    -  DEFINED 01          1304930    17385   963726
D HONEYWELL INTL INC             COMMON     438516106    23433   657761 SH    -  OTHER   01           241264   310497   106000
D HONEYWELL INTL INC             COMMON     438516106      128     3600 SH    -  OTHER   21                0     3600        0
D HONEYWELL INTL INC             COMMON     438516106   206741  5803270 SH    -  DEFINED 02          3728161        0  2075109
D HONEYWELL INTL INC             COMMON     438516106      381    10700 SH    -  OTHER   02                0        0    10700
D HONEYWELL INTL INC             COMMON     438516106     2432    68263 SH    -  DEFINED 05            42120        0    26143
D HONEYWELL INTL INC             COMMON     438516106      494    13874 SH    -  OTHER   05            12000      874     1000
D HONEYWELL INTL INC             COMMON     438516106     1462    41038 SH    -  OTHER   09            41038        0        0
D HONEYWELL INTL INC             COMMON     438516106     3028    85000 SH    -  OTHER   0304          85000        0        0
D HONEYWELL INTL INC             COMMON     438516106      720    20200 SH    -  DEFINED 20            20200        0        0
D HONEYWELL INTL INC             COMMON     438516106     5713   160363 SH    -  DEFINED 18           160363        0        0
D HONEYWELL INTL INC             COMMON     438516106     2709    76037 SH    -  DEFINED 17            76037        0        0
D HONEYWELL INTL INC             COMMON     438516106    69168  1941570 SH    -  DEFINED 02          1289400        0   652170
D HONEYWELL INTL INC             COMMON     438516106      110     3100 SH    -  OTHER   02             3100        0        0
D HOOPER HOLMES, INC.            COMMON     439104100     3059   321700 SH    -  DEFINED 02           321700        0        0
D HOOPER HOLMES, INC.            COMMON     439104100        0        4 SH    -  DEFINED 16                4        0        0
D HOOPER HOLMES, INC.            COMMON     439104100       56     5900 SH    -  DEFINED 05                0        0     5900
D HOOPER HOLMES, INC.            COMMON     439104100     8545   898500 SH    -  DEFINED 02           773650        0   124850
D HOOPER HOLMES, INC.            COMMON     439104100     7660   805420 SH    -  DEFINED 01           600120        0   205300
D HORMEL (GEORGE A.) & CO.       COMMON     440452100       33     2000 SH    -  DEFINED 02                0        0     2000
D HORMEL (GEORGE A.) & CO.       COMMON     440452100     1080    64700 SH    -  DEFINED 02            64700        0        0
D HOUGHTON MIFFLIN CO.           COMMON     441560109      361     9200 SH    -  DEFINED 01             4000        0     5200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 154
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107     3192    56375 SH    -  DEFINED 01            39072        0    17303
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107       96     1700 SH    -  OTHER   21                0     1700        0
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107    70005  1236300 SH    -  DEFINED 02           598500        0   637800
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107      832    14700 SH    -  DEFINED 05                0        0    14700
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107    54439   961400 SH    -  DEFINED 02           778000        0   183400
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107       17      300 SH    -  OTHER   02              300        0        0
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107      317     5600 SH    -  DEFINED 17             5600        0        0
D HOUSEHOLD INTERNATIONAL, INC.  COMMON     441815107       79     1400 SH    -  DEFINED 20             1400        0        0
D HOUSTON EXPL CO                COMMON     442120101      179     7100 SH    -  DEFINED 02             7100        0        0
D HOUSTON EXPL CO                COMMON     442120101      338    13400 SH    -  DEFINED 02            13400        0        0
D HOUSTON EXPL CO                COMMON     442120101      359    14200 SH    -  DEFINED 01                0        0    14200
D HOVNANIAN ENTERPRISES, INC. CL COMMON     442487203      184    24750 SH    -  DEFINED 01                0        0    24750
D HUDSON CITY BANCORP            COMMON     443683107     1233    72500 SH    -  OTHER   01                0    72500        0
D HUDSON UNITED BANCORP          COMMON     444165104       51     1855 SH    -  DEFINED 01                0        0     1855
D HUDSON UNITED BANCORP          COMMON     444165104     2061    74600 SH    -  DEFINED 02            24800        0    49800
D HUGHES SUPPLY, INC.            COMMON     444482103      206    10500 SH    -  DEFINED 02            10500        0        0
D HUGHES SUPPLY, INC.            COMMON     444482103       38     1950 SH    -  DEFINED 01                0        0     1950
D HUMAN GENOME SCIENCES  "CONV B BOND       444903AF5        0  2460000 PRN   -  DEFINED 16                0        0        0
D HUMAN GENOME SCIENCES INC 'CON BOND       444903AH1        0 12075000 PRN   -  DEFINED 16                0        0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      606     3500 SH    -  DEFINED 05                0        0     3500
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108   122564   707950 SH    -  DEFINED 02           575050        0   132900
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      121      700 SH    -  OTHER   02                0        0      700
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108    70997   410090 SH    -  DEFINED 01           261625        0   148465
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108     1316     7600 SH    -  OTHER   01             5000      400     2200
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108       52      300 SH    -  OTHER   21                0      300        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 155
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      104      600 SH    -  DEFINED 17              600        0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108      329     1900 SH    -  DEFINED 20             1900        0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108       17      100 SH    -  OTHER   02              100        0        0
D HUMAN GENOME SCIENCES, INC.    COMMON     444903108    33933   196000 SH    -  DEFINED 02           170500        0    25500
D HUNT (J.B.) TRANSPORT SERVICES COMMON     445658107      491    38500 SH    -  DEFINED 02            38500        0        0
D HUNTINGTON BANCSHARES, INC.    COMMON     446150104     3187   217000 SH    -  DEFINED 02            66400        0   150600
D HUNTINGTON BANCSHARES, INC.    COMMON     446150104      297    20238 SH    -  DEFINED 01                0        0    20238
D HUNTINGTON BANCSHARES, INC.    COMMON     446150104       22     1500 SH    -  DEFINED 20             1500        0        0
D HUNTINGTON BANCSHARES, INC.    COMMON     446150104       43     2920 SH    -  DEFINED 17             2920        0        0
D HUTCHINSON TECHNOLOGY, INC.    COMMON     448407106     1921    91200 SH    -  DEFINED 02                0        0    91200
D ICN PHARMACEUTICALS, INC.      COMMON     448924100      537    16145 SH    -  DEFINED 01             3748        0    12397
D ICN PHARMACEUTICALS, INC.      COMMON     448924100     8315   250080 SH    -  DEFINED 18           250080        0        0
D ICN PHARMACEUTICALS, INC.      COMMON     448924100     1167    35100 SH    -  DEFINED 02            35100        0        0
D IDT CORP.                      COMMON     448947101       51     1300 SH    -  DEFINED 20             1300        0        0
D IDT CORP.                      COMMON     448947101      673    17300 SH    -  DEFINED 01                0        0    17300
D IDT CORP.                      COMMON     448947101       51     1300 SH    -  DEFINED 02                0        0     1300
D IDT CORP.                      COMMON     448947101      595    15300 SH    -  DEFINED 16            15300        0        0
D HYPERCOM CORPORATION           COMMON     44913M105      146    14100 SH    -  DEFINED 01                0        0    14100
D HYPERION SOLUTIONS CORP        COMMON     44914M104      396    15310 SH    -  DEFINED 01                0        0    15310
D HYPERION SOLUTIONS CORP        COMMON     44914M104       52     2000 SH    -  OTHER   10                0     2000        0
D HYPERION SOLUTIONS CORP        COMMON     44914M104       78     3000 SH    -  OTHER   11                0     3000        0
D HYPERION SOLUTIONS CORP        COMMON     44914M104       28     1100 SH    -  DEFINED 02             1100        0        0
D HYPERION SOLUTIONS CORP        COMMON     44914M104      329    12700 SH    -  DEFINED 02            12700        0        0
D IBP, INC.                      COMMON     449223106     2899   158300 SH    -  DEFINED 02           158300        0        0
D IBP, INC.                      COMMON     449223106       27     1494 SH    -  DEFINED 01             1494        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 156
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ICOS CORP.                     COMMON     449295104     1276    23575 SH    -  DEFINED 01                0        0    23575
D ICOS CORP.                     COMMON     449295104        7      123 SH    -  DEFINED 16              123        0        0
D IDEC PHARMACEUTICALS CORP.     COMMON     449370105     1193     6803 SH    -  DEFINED 05             5003        0     1800
D IDEC PHARMACEUTICALS CORP.     COMMON     449370105    60920   347400 SH    -  DEFINED 02           327225        0    20175
D IDEC PHARMACEUTICALS CORP.     COMMON     449370105    29831   170115 SH    -  DEFINED 01            85790        0    84325
D IDEC PHARMACEUTICALS CORP.     COMMON     449370105    11223    64000 SH    -  DEFINED 02            64000        0        0
D IDEC PHARMACEUTICALS CORP.     COMMON     449370105      163      930 SH    -  DEFINED 17              930        0        0
D IHOP CORP.                     COMMON     449623107      254    13300 SH    -  DEFINED 01                0        0    13300
D IMC GLOBAL INC                 COMMON     449669100      190    13081 SH    -  DEFINED 01              581        0    12500
D IMC GLOBAL INC                 COMMON     449669100      277    19089 SH    -  OTHER   01                0    19089        0
D IMC GLOBAL INC                 COMMON     449669100      328    22600 SH    -  DEFINED 02             1400        0    21200
D IMC GLOBAL INC                 COMMON     449669100    78300  5400000 SH    -  DEFINED 18          5400000        0        0
D IMC GLOBAL INC                 COMMON     449669118        1    80933 SH    -  DEFINED 17            80933        0        0
D IMC GLOBAL INC                 COMMON     449669118        0     1966 SH    -  DEFINED 02                0        0     1966
D IMC GLOBAL INC                 COMMON     449669118        0      218 SH    -  DEFINED 01              218        0        0
D IMC GLOBAL INC                 COMMON     449669118        0     6810 SH    -  OTHER   01              630     6180        0
D IMS HEALTH INCORPORATED        COMMON     449934108     2110   101684 SH    -  DEFINED 01            97334        0     4350
D IMS HEALTH INCORPORATED        COMMON     449934108      965    46498 SH    -  OTHER   01             8000    26612    11886
D IMS HEALTH INCORPORATED        COMMON     449934108      720    34700 SH    -  DEFINED 02                0        0    34700
D IMS HEALTH INCORPORATED        COMMON     449934108       83     4000 SH    -  OTHER   05                0        0     4000
D IMS HEALTH INCORPORATED        COMMON     449934108      208    10000 SH    -  OTHER   11                0    10000        0
D IMS HEALTH INCORPORATED        COMMON     449934108      208    10000 SH    -  OTHER   10                0    10000        0
D IMS HEALTH INCORPORATED        COMMON     449934108     1038    50000 SH    -  DEFINED 16            50000        0        0
D IMS HEALTH INCORPORATED        COMMON     449934108       73     3500 SH    -  DEFINED 17             3500        0        0
D IRSA INVERSIONERS Y REP S A    COMMON     450047204     1470    63558 SH    -  DEFINED 17            63558        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 157
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D IRT PROPERTY CO.               COMMON     450058102     1625   185700 SH    -  DEFINED 02           185700        0        0
D IRT PROPERTY CO.               COMMON     450058102     3983   455200 SH    -  DEFINED 02           455200        0        0
D ITC DELTACOM, INC.             COMMON     45031T104     4046   351800 SH    -  DEFINED 02           295100        0    56700
D ITC DELTACOM, INC.             COMMON     45031T104       49     4225 SH    -  DEFINED 05                0        0     4225
D ITC DELTACOM, INC.             COMMON     45031T104     1744   151650 SH    -  DEFINED 01             8775        0   142875
D ITC DELTACOM, INC.             COMMON     45031T104     1878   163300 SH    -  DEFINED 02           163300        0        0
D I-STAT CORP.                   COMMON     450312103     2810   124200 SH    -  DEFINED 02           124200        0        0
D I-STAT CORP.                   COMMON     450312103     4527   200100 SH    -  DEFINED 01           200100        0        0
D I-STAT CORP.                   COMMON     450312103     6903   305100 SH    -  DEFINED 02           255400        0    49700
D IBEAM BROADCASTING CORP        COMMON     45073P101      813   119291 SH    -  DEFINED 02            95023        0    24268
D IBEAM BROADCASTING CORP        COMMON     45073P101       24     3496 SH    -  DEFINED 05                0        0     3496
D IBEAM BROADCASTING CORP        COMMON     45073P101     1566   229783 SH    -  DEFINED 01           153195        0    76588
D IBEAM BROADCASTING CORP        COMMON     45073P101      294    43214 SH    -  DEFINED 02            43214        0        0
D IBASIS INC                     BOND       450732AA0     6150  6150000 PRN   -  DEFINED 16                0        0        0
D IBASIS INC                     COMMON     450732102      136     8575 SH    -  DEFINED 05                0        0     8575
D IBASIS INC                     COMMON     450732102     6644   418550 SH    -  DEFINED 02           347575        0    70975
D IBASIS INC                     COMMON     450732102    10443   657845 SH    -  DEFINED 01           342320        0   315525
D IBASIS INC                     COMMON     450732102     2575   162200 SH    -  DEFINED 02           162200        0        0
D ITT INDUSTRIES, INC.           COMMON     450911102    19764   609300 SH    -  DEFINED 02           435800        0   173500
D ITT INDUSTRIES, INC.           COMMON     450911102       29      900 SH    -  OTHER   02              900        0        0
D ITT INDUSTRIES, INC.           COMMON     450911102       36     1100 SH    -  DEFINED 17             1100        0        0
D ITT INDUSTRIES, INC.           COMMON     450911102      405    12500 SH    -  DEFINED 20            12500        0        0
D ITT INDUSTRIES, INC.           COMMON     450911102     2222    68500 SH    -  DEFINED 01            53300        0    15200
D ITT INDUSTRIES, INC.           COMMON     450911102       10      300 SH    -  OTHER   01              300        0        0
D ITT INDUSTRIES, INC.           COMMON     450911102      224     6900 SH    -  OTHER   21                0     6900        0
D ITT INDUSTRIES, INC.           COMMON     450911102    55249  1703212 SH    -  DEFINED 02          1082312        0   620900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 158
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ITT INDUSTRIES, INC.           COMMON     450911102      250     7700 SH    -  OTHER   02                0        0     7700
D ITT INDUSTRIES, INC.           COMMON     450911102       19      600 SH    -  DEFINED 05              600        0        0
D IDEX CORP.                     COMMON     45167R104     6037   216100 SH    -  DEFINED 02           188500        0    27600
D IDEX CORP.                     COMMON     45167R104      245     8775 SH    -  DEFINED 01                0        0     8775
D IDEX CORP.                     COMMON     45167R104     3096   110800 SH    -  DEFINED 02           110800        0        0
D IDEXX LABORATORIES, INC.       COMMON     45168D104     1664    62200 SH    -  DEFINED 02            62200        0        0
D IDEXX LABORATORIES, INC.       COMMON     45168D104      447    16700 SH    -  DEFINED 01                0        0    16700
D IDEXX LABORATORIES, INC.       COMMON     45168D104      118     4400 SH    -  DEFINED 02              400        0     4000
D IKON OFFICE SOLUTIONS INC      COMMON     451713101      145    36700 SH    -  DEFINED 02            36700        0        0
D IKON OFFICE SOLUTIONS INC      COMMON     451713101      311    79100 SH    -  DEFINED 02            79100        0        0
D IKON OFFICE SOLUTIONS INC      COMMON     451713101        6     1500 SH    -  DEFINED 17             1500        0        0
D ILEX ONCOLOGY INC              COMMON     451923106     1762    58500 SH    -  DEFINED 02            58500        0        0
D ILEX ONCOLOGY INC              COMMON     451923106     2660    88300 SH    -  DEFINED 02            74825        0    13475
D ILEX ONCOLOGY INC              COMMON     451923106     3963   131563 SH    -  DEFINED 01            69730        0    61833
D ILEX ONCOLOGY INC              COMMON     451923106       38     1250 SH    -  DEFINED 05                0        0     1250
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      965    17277 SH    -  DEFINED 01            10682        0     6595
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      520     9312 SH    -  OTHER   01                0     9312        0
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      358     6400 SH    -  OTHER   21                0     6400        0
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109    77253  1382600 SH    -  DEFINED 02           844800        0   537800
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      179     3200 SH    -  OTHER   02                0        0     3200
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109    39135   700400 SH    -  DEFINED 02           468600        0   231800
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109       28      500 SH    -  OTHER   02              500        0        0
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      201     3600 SH    -  DEFINED 17             3600        0        0
D ILLINOIS TOOL WORKS, INC.      COMMON     452308109      352     6300 SH    -  DEFINED 20             6300        0        0
D ILLUMINET HLDGS INC            COMMON     452334105      236     8500 SH    -  DEFINED 02             8500        0        0
D ILLUMINET HLDGS INC            COMMON     452334105        8      300 SH    -  DEFINED 02              300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 159
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ILLUMINET HLDGS INC            COMMON     452334105     1005    36200 SH    -  DEFINED 01            36200        0        0
D IMATION CORP.                  COMMON     45245A107      104     5600 SH    -  DEFINED 01             1400        0     4200
D IMATION CORP.                  COMMON     45245A107        3      160 SH    -  OTHER   01                0      160        0
D IMATION CORP.                  COMMON     45245A107      510    27400 SH    -  DEFINED 02            27400        0        0
D IMATION CORP.                  COMMON     45245A107     1445    77600 SH    -  DEFINED 02            77600        0        0
D IMCLONE SYSTEMS, INC.          COMMON     45245W109       23      200 SH    -  DEFINED 20              200        0        0
D IMCLONE SYSTEMS, INC.          COMMON     45245W109      258     2200 SH    -  DEFINED 02                0        0     2200
D IMCLONE SYSTEMS, INC.          COMMON     45245W109      905     7731 SH    -  DEFINED 01               31        0     7700
D IMMUNEX CORP.                  COMMON     452528102       26      600 SH    -  DEFINED 01              600        0        0
D IMMUNEX CORP.                  COMMON     452528102      641    14730 SH    -  DEFINED 17            14730        0        0
D IMPERIAL BANCORP               COMMON     452556103      455    23815 SH    -  DEFINED 01                0        0    23815
D IMMUNOMEDICS, INC.             COMMON     452907108      704    33600 SH    -  DEFINED 02            33600        0        0
D IMMUNOMEDICS, INC.             COMMON     452907108       15      700 SH    -  DEFINED 02              700        0        0
D IMPERIAL SUGAR CO NEW          COMMON     453096109       49    43200 SH    -  DEFINED 01                0        0    43200
D INAMED CORP                    COMMON     453235103       14      500 SH    -  DEFINED 02              500        0        0
D INAMED CORP                    COMMON     453235103      520    18500 SH    -  DEFINED 02            18500        0        0
D INCO, LTD. 7.75% CSD DUE 3/15/ BOND       453258AH8      158   183000 PRN   -  OTHER   01                0        0        0
D INCO LTD. 5.75% CSD DUE 7/01/2 BOND       453258AK1      235   272000 PRN   -  DEFINED 16                0        0        0
D INCO, LTD.                     COMMON     453258402      153     9500 SH    -  DEFINED 16             9500        0        0
D INCO, LTD.                     COMMON     453258402       35     2200 SH    -  DEFINED 17             2200        0        0
D INCYTE PHARMACEUTICALS, INC.   COMMON     45337C102       58     1400 SH    -  DEFINED 20             1400        0        0
D INCYTE PHARMACEUTICALS, INC.   COMMON     45337C102     3952    96100 SH    -  DEFINED 02            80300        0    15800
D INCYTE PHARMACEUTICALS, INC.   COMMON     45337C102      868    21100 SH    -  DEFINED 01             9600        0    11500
D INCYTE PHARMACEUTICALS, INC.   COMMON     45337C102     8143   198000 SH    -  DEFINED 02           138600        0    59400
D INCYTE PHARMACEUTICALS, INC.   COMMON     45337C102       82     2000 SH    -  OTHER   02                0        0     2000
D INMC MORTGAGE HOLDINGS, INC.   COMMON     456607100      243    11800 SH    -  DEFINED 01                0        0    11800

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 160
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INFINITY BROADCASTING CP NEW   COMMON     45662S102      878    26600 SH    -  DEFINED 01            26600        0        0
D INFINITY BROADCASTING CP NEW   COMMON     45662S102     1858    56300 SH    -  DEFINED 02                0        0    56300
D INET TECHNOLOGIES INC          COMMON     45662V105      211     7200 SH    -  DEFINED 02                0        0     7200
D INET TECHNOLOGIES INC          COMMON     45662V105      497    17000 SH    -  DEFINED 02            17000        0        0
D INET TECHNOLOGIES INC          COMMON     45662V105        3      100 SH    -  DEFINED 20              100        0        0
D INFOCUS CORP                   COMMON     45665B106       32      600 SH    -  DEFINED 20              600        0        0
D INFOCUS CORP                   COMMON     45665B106      885    16700 SH    -  DEFINED 02            16700        0        0
D INFOCUS CORP                   COMMON     45665B106      774    14600 SH    -  DEFINED 01                0        0    14600
D INFOCUS CORP                   COMMON     45665B106     7065   133300 SH    -  DEFINED 02             9600        0   123700
D INFORMATICA CORP               COMMON     45666Q102    16053   172150 SH    -  DEFINED 02           143525        0    28625
D INFORMATICA CORP               COMMON     45666Q102      296     3175 SH    -  DEFINED 05                0        0     3175
D INFORMATICA CORP               COMMON     45666Q102    23827   255514 SH    -  DEFINED 01           151364        0   104150
D INFORMATICA CORP               COMMON     45666Q102     6621    71000 SH    -  DEFINED 02            71000        0        0
D INFORMATICA CORP               COMMON     45666Q102       19      200 SH    -  DEFINED 20              200        0        0
D INFONET SVCS CORP              COMMON     45666T106     2500   236700 SH    -  DEFINED 02           172500        0    64200
D INFORMATION ARCHITECTS CORP    COMMON     45669R107       51    15300 SH    -  DEFINED 01                0        0    15300
D INFORMATION ARCHITECTS CORP    COMMON     45669R107      126    38100 SH    -  DEFINED 02            38100        0        0
D INFORMATION RESOURCE ENGR IN   COMMON     45675F303      629    20800 SH    -  DEFINED 02            20800        0        0
D INFORMATION RESOURCE ENGR IN   COMMON     45675F303     3903   129040 SH    -  DEFINED 01            51815        0    77225
D INFORMATION RESOURCE ENGR IN   COMMON     45675F303     2081    68800 SH    -  DEFINED 02            58100        0    10700
D INFORMATION RESOURCE ENGR IN   COMMON     45675F303       61     2000 SH    -  DEFINED 05                0        0     2000
D INFORMIX CORP.                 COMMON     456779107       31     7400 SH    -  DEFINED 02                0        0     7400
D INFORMIX CORP.                 COMMON     456779107      284    68800 SH    -  DEFINED 01             5000        0    63800
D INFORMIX CORP.                 COMMON     456779107       10     2400 SH    -  DEFINED 20             2400        0        0
D INFOSPACE INC                  COMMON     45678T102        3       96 SH    -  DEFINED 01               96        0        0
D INFOSPACE INC                  COMMON     45678T102     1035    34200 SH    -  DEFINED 02                0        0    34200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 161
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INFOSYS TECHNOLOGIES LTD       COMMON     456788108     1054     7985 SH    -  DEFINED 17             7985        0        0
D INFOUSA INC NEW                COMMON     456818301       11     2100 SH    -  DEFINED 02             2100        0        0
D INFOUSA INC NEW                COMMON     456818301      107    21300 SH    -  DEFINED 01                0        0    21300
D ING GROEP N.V.                 COMMON     456837103   228265  3465126 SH    -  DEFINED 01          3380763        0    84363
D ING GROEP N.V.                 COMMON     456837103     3941    59825 SH    -  OTHER   01            59825        0        0
D INGERSOLL-RAND CO.             COMMON     456866102       64     1900 SH    -  DEFINED 17             1900        0        0
D INGERSOLL-RAND CO.             COMMON     456866102      166     4900 SH    -  DEFINED 20             4900        0        0
D INGERSOLL-RAND CO.             COMMON     456866102    22266   657300 SH    -  DEFINED 02           514200        0   143100
D INGERSOLL-RAND CO.             COMMON     456866102       54     1600 SH    -  OTHER   02             1600        0        0
D INGERSOLL-RAND CO.             COMMON     456866102      308     9100 SH    -  DEFINED 01             6420        0     2680
D INGERSOLL-RAND CO.             COMMON     456866102      112     3300 SH    -  OTHER   21                0     3300        0
D INGERSOLL-RAND CO.             COMMON     456866102    41900  1236900 SH    -  DEFINED 02           780600        0   456300
D INGERSOLL-RAND CO.             COMMON     456866102       24      700 SH    -  OTHER   02                0        0      700
D INGERSOLL-RAND CO.             COMMON     456866102      252     7438 SH    -  DEFINED 05             3688        0     3750
D INGERSOLL-RAND CO.             COMMON     456866102       34     1000 SH    -  OTHER   05                0     1000        0
D INGLES MARKETS, INC.           COMMON     457030104      276    25100 SH    -  DEFINED 01                0        0    25100
D INGRAM MICRO INC               COMMON     457153104     1181    85900 SH    -  DEFINED 02            85900        0        0
D INHALE THERAPEUTIC SYSTEMS     COMMON     457191104       17      300 SH    -  DEFINED 20              300        0        0
D INHALE THERAPEUTIC SYSTEMS     COMMON     457191104      496     8800 SH    -  DEFINED 01                0        0     8800
D INHALE THERAPEUTIC SYSTEMS     COMMON     457191104       17      300 SH    -  DEFINED 02                0        0      300
D INKTOMI CORPORATION            COMMON     457277101     6589    57800 SH    -  DEFINED 02            33900        0    23900
D INKTOMI CORPORATION            COMMON     457277101       68      600 SH    -  OTHER   02                0        0      600
D INKTOMI CORPORATION            COMMON     457277101        3       25 SH    -  DEFINED 16               25        0        0
D INKTOMI CORPORATION            COMMON     457277101      125     1100 SH    -  DEFINED 01             1100        0        0
D INKTOMI CORPORATION            COMMON     457277101       68      600 SH    -  DEFINED 20              600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 162
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INNKEEPERS USA TR              COMMON     4576J0104     1226   119600 SH    -  DEFINED 02           119600        0        0
D INNKEEPERS USA TR              COMMON     4576J0104      464    45300 SH    -  DEFINED 02            45300        0        0
D INNOVEX, INC.                  COMMON     457647105      270    19800 SH    -  DEFINED 01                0        0    19800
D INSIGHT ENTERPRISES, INC.      COMMON     45765U103       33     1200 SH    -  DEFINED 02             1200        0        0
D INSIGHT ENTERPRISES, INC.      COMMON     45765U103        0        5 SH    -  DEFINED 16                5        0        0
D INSIGHT ENTERPRISES, INC.      COMMON     45765U103     1104    40500 SH    -  DEFINED 02            40500        0        0
D INSITUFORM TECHNOLOGIES, INC.  COMMON     457667103      356    10600 SH    -  DEFINED 02            10600        0        0
D INSIGHT COMMUNICATIONS INC     COMMON     45768V108     1414    89100 SH    -  DEFINED 02            89100        0        0
D INSIGHT COMMUNICATIONS INC     COMMON     45768V108     4430   279050 SH    -  DEFINED 01           166950        0   112100
D INSIGHT COMMUNICATIONS INC     COMMON     45768V108       62     3875 SH    -  DEFINED 05                0        0     3875
D INSIGHT COMMUNICATIONS INC     COMMON     45768V108     3837   241700 SH    -  DEFINED 02           202825        0    38875
D INNOVATIVE SOLUTIONS & SUPPO   COMMON     45769N105     1889   110300 SH    -  DEFINED 02            92800        0    17500
D INNOVATIVE SOLUTIONS & SUPPO   COMMON     45769N105     1346    78600 SH    -  DEFINED 01            78600        0        0
D INNOVATIVE SOLUTIONS & SUPPO   COMMON     45769N105      839    49000 SH    -  DEFINED 02            49000        0        0
D INTEGRATED CIRCUIT SYS INC     COMMON     45811K208     1621    87600 SH    -  DEFINED 02            87600        0        0
D INTEGRATED CIRCUIT SYS INC     COMMON     45811K208     4964   268330 SH    -  DEFINED 01           160530        0   107800
D INTEGRATED CIRCUIT SYS INC     COMMON     45811K208     4525   244575 SH    -  DEFINED 02           207375        0    37200
D INTEGRATED CIRCUIT SYS INC     COMMON     45811K208       53     2875 SH    -  DEFINED 05                0        0     2875
D INTEGRATED DEVICE TECHNOLOGY,  COMMON     458118106      443     4900 SH    -  DEFINED 05                0        0     4900
D INTEGRATED DEVICE TECHNOLOGY,  COMMON     458118106     1385    15300 SH    -  DEFINED 02                0        0    15300
D INTEGRATED DEVICE TECHNOLOGY,  COMMON     458118106    17091   188850 SH    -  DEFINED 01            16700        0   172150
D INTEGRATED DEVICE TECHNOLOGY,  COMMON     458118106       81      900 SH    -  DEFINED 20              900        0        0
D INTEGRATED SILICON SOLUTION, I COMMON     45812P107      428    30200 SH    -  DEFINED 02            30200        0        0
D INTEGRATED SILICON SOLUTION, I COMMON     45812P107        9      600 SH    -  DEFINED 02              600        0        0
D INTEGRATED SURGICAL SYS INC    COMMON     45812Y108       23    50000 SH    -  DEFINED 02                0        0    50000
D INTEGRATED SURGICAL SYS INC    WARRANT    45812Y116       16    50000 SH    -  DEFINED 02                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 163
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INTELIDATA TECHNOLOGIES CORP   COMMON     45814T107       14     2700 SH    -  DEFINED 02             2700        0        0
D INTELIDATA TECHNOLOGIES CORP   COMMON     45814T107      670   128100 SH    -  DEFINED 02           128100        0        0
D INTEL CORP.                    COMMON     458140100   490549 11802530 SH    -  DEFINED 02          8322100        0  3480430
D INTEL CORP.                    COMMON     458140100      894    21500 SH    -  OTHER   02            21500        0        0
D INTEL CORP.                    COMMON     458140100    29360   706400 SH    -  DEFINED 20           706400        0        0
D INTEL CORP.                    COMMON     458140100     5619   135200 SH    -  DEFINED 17           135200        0        0
D INTEL CORP.                    COMMON     458140100    29564   711316 SH    -  DEFINED 18           711316        0        0
D INTEL CORP.                    COMMON     458140100  1267798 30503044 SH    -  DEFINED 02         20344044        0 10159000
D INTEL CORP.                    COMMON     458140100     2215    53300 SH    -  OTHER   02                0        0    53300
D INTEL CORP.                    COMMON     458140100   379425  9128907 SH    -  DEFINED 01          3915508    34950  5091349
D INTEL CORP.                    COMMON     458140100    65436  1574376 SH    -  OTHER   01           304042   842134   428200
D INTEL CORP.                    COMMON     458140100      116     2800 SH    -  OTHER   21                0     2800        0
D INTEL CORP.                    COMMON     458140100    18089   435210 SH    -  DEFINED 05           217330    10000   207880
D INTEL CORP.                    COMMON     458140100      599    14400 SH    -  OTHER   05            12000     2400        0
D INTEL CORP.                    COMMON     458140100    13626   324422 SH    -  DEFINED 16           324422        0        0
D INTEL CORP.                    COMMON     458140100     3998    96200 SH    -  OTHER   09            96200        0        0
D INTEL CORP.                    COMMON     458140100     2909    70000 SH    -  OTHER   0304          70000        0        0
D INTELLIGENT SYSTEMS CORPORATIO COMMON     45816D100       62    15000 SH    -  DEFINED 01                0        0    15000
D INTERDIGITAL COMMUNICATIONS CO COMMON     45866A105      158    11300 SH    -  DEFINED 01                0        0    11300
D INTERDIGITAL COMMUNICATIONS CO COMMON     45866A105       18     1300 SH    -  DEFINED 02             1300        0        0
D INTERDIGITAL COMMUNICATIONS CO COMMON     45866A105      749    53500 SH    -  DEFINED 02            53500        0        0
D INTERLIANT INC    'CONV BOND'  BOND       458742AB9        0  2000000 PRN   -  DEFINED 16                0        0        0
D INTERLIANT INC                 COMMON     458742103      235    29400 SH    -  DEFINED 02            29400        0        0
D INTERLIANT INC                 COMMON     458742103       10     1250 SH    -  DEFINED 01                0        0     1250
D INTERLIANT INC                 COMMON     458742103        7      900 SH    -  DEFINED 02              900        0        0
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107      679    23000 SH    -  DEFINED 02            19900        0     3100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 164
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107      531    18000 SH    -  DEFINED 01                0        0    18000
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107     1212    41100 SH    -  DEFINED 02            41100        0        0
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107    12826   434777 SH    -  DEFINED 16           434777        0        0
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107       91     3100 SH    -  DEFINED 17             3100        0        0
D INTERMEDIA COMMUNICATIONS, INC COMMON     458801107       83     2800 SH    -  DEFINED 20             2800        0        0
D INTERMET CORP.                 COMMON     45881K104     1072   147900 SH    -  DEFINED 02           147900        0        0
D INTERMET CORP.                 COMMON     45881K104       63     8700 SH    -  DEFINED 01                0        0     8700
D INTERMET CORP.                 COMMON     45881K104      189    26100 SH    -  DEFINED 02            26100        0        0
D INTERNAP NETWORK SVCS CORP     COMMON     45885A102     7396   228900 SH    -  DEFINED 02           210100        0    18800
D INTERNAP NETWORK SVCS CORP     COMMON     45885A102     7709   238562 SH    -  DEFINED 01           238562        0        0
D INTERNAP NETWORK SVCS CORP     COMMON     45885A102      385    11900 SH    -  DEFINED 02            11900        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101   203681  1810500 SH    -  DEFINED 02          1187000        0   623500
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101      225     2000 SH    -  OTHER   02             2000        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101   425337  3780776 SH    -  DEFINED 01          2417370    27924  1316782
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101   203903  1812469 SH    -  OTHER   01           216218  1484707   111544
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101    12409   110300 SH    -  DEFINED 20           110300        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101     1977    17576 SH    -  DEFINED 17            17576        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101    14915   132580 SH    -  DEFINED 18           132580        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101    37744   330000 SH    -  DEFINED 16           330000        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101   445644  3961279 SH    -  DEFINED 02          2460579        0  1500700
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101      551     4900 SH    -  OTHER   02                0        0     4900
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101     2138    19000 SH    -  OTHER   0304          19000        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101     2537    22550 SH    -  OTHER   09            22550        0        0
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101     9707    86280 SH    -  DEFINED 05            53830     1180    31270
D INTERNATIONAL BUSINESS MACHINE COMMON     459200101     1028     9136 SH    -  OTHER   05                0     9136        0
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101      274    15000 SH    -  OTHER   12                0    15000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 165
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101    99330  5442762 SH    -  OTHER   1314              0  5442762        0
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101     1442    79000 SH    -  DEFINED 06            79000        0        0
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101     2544   139400 SH    -  DEFINED 17           139400        0        0
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101    17699   969823 SH    -  DEFINED 01           302858        0   666965
D INT'L FLAVORS & FRAGRANCES, IN COMMON     459506101       78     4284 SH    -  OTHER   01             4284        0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102     2451    72878 SH    -  DEFINED 01            49055        0    23823
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      361    10737 SH    -  OTHER   01                0     2251     8486
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102    23743   706098 SH    -  DEFINED 02           623098        0    83000
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102       17      500 SH    -  OTHER   02              500        0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102        3      100 SH    -  DEFINED 20              100        0        0
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102    30235   899180 SH    -  DEFINED 02           563796        0   335384
D INTERNATIONAL GAME TECHNOLOGY  COMMON     459902102      165     4900 SH    -  OTHER   02                0        0     4900
D INTERNATIONAL PAPER CO.        COMMON     460146103    50663  1766000 SH    -  DEFINED 02           966500        0   799500
D INTERNATIONAL PAPER CO.        COMMON     460146103       63     2200 SH    -  OTHER   02                0        0     2200
D INTERNATIONAL PAPER CO.        COMMON     460146103      155     5400 SH    -  OTHER   21                0     5400        0
D INTERNATIONAL PAPER CO.        COMMON     460146103      135     4700 SH    -  DEFINED 05             3900        0      800
D INTERNATIONAL PAPER CO.        COMMON     460146103       57     2000 SH    -  OTHER   05             2000        0        0
D INTERNATIONAL PAPER CO.        COMMON     460146103      172     6000 SH    -  DEFINED 20             6000        0        0
D INTERNATIONAL PAPER CO.        COMMON     460146103      166     5800 SH    -  DEFINED 17             5800        0        0
D INTERNATIONAL PAPER CO.        COMMON     460146103    27204   948282 SH    -  DEFINED 02           726482        0   221800
D INTERNATIONAL PAPER CO.        COMMON     460146103       55     1900 SH    -  OTHER   02             1900        0        0
D INTERNATIONAL PAPER CO.        COMMON     460146103     8455   294731 SH    -  DEFINED 01           238601     9303    46827
D INTERNATIONAL PAPER CO.        COMMON     460146103     4319   150534 SH    -  OTHER   01            38200    92732    19602
D INTL.RECTIFIER CORPOR (CONV.BO BOND       460254AD7        0  3930000 PRN   -  DEFINED 16                0        0        0
D INTERNATIONAL RECTIFIER CORP.  COMMON     460254105       30      600 SH    -  DEFINED 20              600        0        0
D INTERNATIONAL RECTIFIER CORP.  COMMON     460254105     1342    26570 SH    -  DEFINED 01                0        0    26570

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 166
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INTERNATIONAL RECTIFIER CORP.  COMMON     460254105     4085    80900 SH    -  DEFINED 02            80900        0        0
D INTERNATIONAL RECTIFIER CORP.  COMMON     460254105      404     8000 SH    -  DEFINED 02                0        0     8000
D INTERNATIONAL SPEEDWAY CORP    COMMON     460335201      218     5600 SH    -  DEFINED 01                0        0     5600
D INTERNET CAP GROUP INC         COMMON     46059C106        7      378 SH    -  DEFINED 01              300        0       78
D INTERNET CAP GROUP INC         COMMON     46059C106      391    22413 SH    -  OTHER   01            14913     7500        0
D INTERNET CAP GROUP INC         COMMON     46059C106      906    51896 SH    -  DEFINED 19            51896        0        0
D INTERNET CAP GROUP INC         COMMON     46059C106     2341   134256 SH    -  DEFINED 16           134256        0        0
D INTERNET PICTURES CORP         COMMON     46059S101      343    63008 SH    -  DEFINED 01                0        0    63008
D INTERNET SEC SYS INC           COMMON     46060X107    17608   234380 SH    -  DEFINED 01           126570        0   107810
D INTERNET SEC SYS INC           COMMON     46060X107     6070    80800 SH    -  DEFINED 02            80800        0        0
D INTERNET SEC SYS INC           COMMON     46060X107       15      200 SH    -  DEFINED 20              200        0        0
D INTERNET SEC SYS INC           COMMON     46060X107    12959   172500 SH    -  DEFINED 02           139950        0    32550
D INTERNET SEC SYS INC           COMMON     46060X107      214     2850 SH    -  DEFINED 05                0        0     2850
D INTERPOOL, INC.                COMMON     46062R108       34     3000 SH    -  DEFINED 02             3000        0        0
D INTERPOOL, INC.                COMMON     46062R108      140    12200 SH    -  DEFINED 01                0        0    12200
D INTERSIL HLDG CORP             COMMON     46069S109     1196    23986 SH    -  DEFINED 16            23986        0        0
D INTERPUBLIC GROUP COMPANY, INC COMMON     460690100      123     3600 SH    -  DEFINED 17             3600        0        0
D INTERPUBLIC GROUP COMPANY, INC COMMON     460690100     4181   122740 SH    -  DEFINED 01           115740        0     7000
D INTERPUBLIC GROUP COMPANY, INC COMMON     460690100      347    10200 SH    -  OTHER   01                0    10200        0
D INTERPUBLIC GROUP COMPANY, INC COMMON     460690100      158     4650 SH    -  DEFINED 05                0        0     4650
D INTERSTATE BAKERIES CORP.      COMMON     46072H108      519    35500 SH    -  DEFINED 02                0        0    35500
D INTERSTATE BAKERIES CORP.      COMMON     46072H108      532    36400 SH    -  DEFINED 01                0        0    36400
D INTERSTATE BAKERIES CORP.      COMMON     46072H108     1397    95500 SH    -  DEFINED 02            95500        0        0
D INTRANET SOLUTIONS INC         COMMON     460939309      520    10400 SH    -  DEFINED 02            10400        0        0
D INTRANET SOLUTIONS INC         COMMON     460939309       20      400 SH    -  DEFINED 02              400        0        0
D INTERNET COM CORP              COMMON     460967102     2772    89600 SH    -  DEFINED 02            75300        0    14300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 167
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D INTERNET COM CORP              COMMON     460967102       41     1325 SH    -  DEFINED 05                0        0     1325
D INTERNET COM CORP              COMMON     460967102     1067    34500 SH    -  DEFINED 02            34500        0        0
D INTERNET COM CORP              COMMON     460967102     3197   103350 SH    -  DEFINED 01            58500        0    44850
D INTERTRUST TECHNOLOGIES CORP   COMMON     46113Q109       24     2000 SH    -  DEFINED 01                0        0     2000
D INTERTRUST TECHNOLOGIES CORP   COMMON     46113Q109       39     3200 SH    -  DEFINED 02              700        0     2500
D INTERTRUST TECHNOLOGIES CORP   COMMON     46113Q109      784    65000 SH    -  DEFINED 20            65000        0        0
D INTERTRUST TECHNOLOGIES CORP   COMMON     46113Q109     1027    85100 SH    -  DEFINED 02            76200        0     8900
D INTERWOVEN INC                 COMMON     46114T102      565     5000 SH    -  DEFINED 02              500        0     4500
D INTERWOVEN INC                 COMMON     46114T102     2487    22000 SH    -  DEFINED 02            22000        0        0
D INTERWOVEN INC                 COMMON     46114T102        5       46 SH    -  DEFINED 01               46        0        0
D INTERVOICE, INC.               COMMON     461142101      151    14400 SH    -  DEFINED 01                0        0    14400
D INTERVOICE, INC.               COMMON     461142101      166    15800 SH    -  DEFINED 02            15800        0        0
D INTUIT, INC.                   COMMON     461202103     2993    52500 SH    -  DEFINED 01            52500        0        0
D INTUIT, INC.                   COMMON     461202103      513     9000 SH    -  OTHER   11                0     9000        0
D INTUIT, INC.                   COMMON     461202103      513     9000 SH    -  OTHER   10                0     9000        0
D INVACARE CORP.                 COMMON     461203101      244     7600 SH    -  DEFINED 02             7600        0        0
D INVACARE CORP.                 COMMON     461203101      366    11400 SH    -  DEFINED 01                0        0    11400
D INVESTMENT TECHNOLOGY GRP NE   COMMON     46145F105      431    10800 SH    -  DEFINED 01                0        0    10800
D INVITROGEN CORP                COMMON     46185R100      327     4600 SH    -  DEFINED 02             4600        0        0
D INVESTORS FINANCIAL SERVICES C COMMON     461915100      640    10140 SH    -  DEFINED 01                0        0    10140
D INVESTORS FINANCIAL SERVICES C COMMON     461915100        7      111 SH    -  DEFINED 16              111        0        0
D IOMEGA CORP.                   COMMON     462030107      685   137000 SH    -  DEFINED 02           137000        0        0
D IOMEGA CORP.                   COMMON     462030107      111    22100 SH    -  DEFINED 02            22100        0        0
D IONICS, INC.                   COMMON     462218108      115     5400 SH    -  DEFINED 02             5400        0        0
D IONICS, INC.                   COMMON     462218108       23     1100 SH    -  DEFINED 01                0        0     1100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 168
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D IONICS, INC.                   COMMON     462218108       64     3000 SH    -  OTHER   01             3000        0        0
D IPALCO ENTERPRISES, INC.       COMMON     462613100      480    21000 SH    -  DEFINED 01            21000        0        0
D IPALCO ENTERPRISES, INC.       COMMON     462613100     1105    48300 SH    -  DEFINED 16            48300        0        0
D IRON MTN INC PA                COMMON     462846106      901    24350 SH    -  DEFINED 01                0        0    24350
D IRWIN FINANCIAL CORP.          COMMON     464119106      252    15400 SH    -  DEFINED 02            15400        0        0
D ISHARES INC                    COMMON     464286830      333    63500 SH    -  OTHER   01            63500        0        0
D ISIS PHARMACEUTICALS, INC.     COMMON     464330109      278    24200 SH    -  DEFINED 01                0        0    24200
D ISIS PHARMACEUTICALS, INC.     COMMON     464330109        5      400 SH    -  DEFINED 02              400        0        0
D ISLE OF CAPRI CASINOS INC      COMMON     464592104       65     4200 SH    -  DEFINED 02             4200        0        0
D ISLE OF CAPRI CASINOS INC      COMMON     464592104      862    55600 SH    -  DEFINED 02            55600        0        0
D I2 TECHNOLOGIES, INC.          COMMON     465754109      855     4570 SH    -  DEFINED 01              600        0     3970
D I2 TECHNOLOGIES, INC.          COMMON     465754109      150      800 SH    -  DEFINED 20              800        0        0
D I2 TECHNOLOGIES, INC.          COMMON     465754109    14909    79700 SH    -  DEFINED 02            41300        0    38400
D I2 TECHNOLOGIES, INC.          COMMON     465754109      131      700 SH    -  OTHER   02                0        0      700
D I2 TECHNOLOGIES, INC.          COMMON     465754109      196     1050 SH    -  DEFINED 16             1050        0        0
D IVAX CORPORATION  'CONV BOND'  BOND       465823AB8        0  4265000 PRN   -  DEFINED 16                0        0        0
D IVAX CORP.                     COMMON     465823102      911    19800 SH    -  DEFINED 02                0        0    19800
D IVAX CORP.                     COMMON     465823102     1407    30583 SH    -  DEFINED 01                0        0    30583
D IVEX PACKAGING CORPORATION     COMMON     465855104      251    25600 SH    -  DEFINED 01                0        0    25600
D IVEX PACKAGING CORPORATION     COMMON     465855104      622    63400 SH    -  DEFINED 02            63400        0        0
D IVEX PACKAGING CORPORATION     COMMON     465855104       67     6800 SH    -  DEFINED 02             6800        0        0
D JDS UNIPHASE CORP              COMMON     46612J101   238046  2514000 SH    -  DEFINED 02          1422700        0  1091300
D JDS UNIPHASE CORP              COMMON     46612J101      606     6400 SH    -  OTHER   02                0        0     6400
D JDS UNIPHASE CORP              COMMON     46612J101        9      100 SH    -  OTHER   21                0      100        0
D JDS UNIPHASE CORP              COMMON     46612J101      269     2855 SH    -  DEFINED 16             2855        0        0
D JDS UNIPHASE CORP              COMMON     46612J101      365     3850 SH    -  DEFINED 05             3050      800        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 169
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D JDS UNIPHASE CORP              COMMON     46612J101   148831  1571800 SH    -  DEFINED 02          1135100        0   436700
D JDS UNIPHASE CORP              COMMON     46612J101      246     2600 SH    -  OTHER   02             2600        0        0
D JDS UNIPHASE CORP              COMMON     46612J101    24728   261148 SH    -  DEFINED 01           151830     2200   106618
D JDS UNIPHASE CORP              COMMON     46612J101     2716    28680 SH    -  OTHER   01            14315    12365     2000
D JDS UNIPHASE CORP              COMMON     46612J101     1458    15400 SH    -  DEFINED 20            15400        0        0
D JDS UNIPHASE CORP              COMMON     46612J101     7043    74380 SH    -  DEFINED 17            74380        0        0
D JDS UNIPHASE CORP              COMMON     46612J101      947    10000 SH    -  DEFINED 18            10000        0        0
D JDA SOFTWARE GROUP INC         COMMON     46612K108       24     1900 SH    -  DEFINED 01                0        0     1900
D JDA SOFTWARE GROUP INC         COMMON     46612K108      873    68500 SH    -  DEFINED 02            68500        0        0
D JDA SOFTWARE GROUP INC         COMMON     46612K108     1079    84600 SH    -  DEFINED 02            20300        0    64300
D JLG INDUSTRIES, INC.           COMMON     466210101      353    29000 SH    -  DEFINED 01                0        0    29000
D JNI CORP                       COMMON     46622G105    10909   122570 SH    -  DEFINED 01            25770        0    96800
D JNI CORP                       COMMON     46622G105     1647    18500 SH    -  DEFINED 02            18500        0        0
D JNI CORP                       COMMON     46622G105     9961   111925 SH    -  DEFINED 02           101100        0    10825
D JNI CORP                       COMMON     46622G105      263     2950 SH    -  DEFINED 05                0        0     2950
D JACK IN THE BOX INC            COMMON     466367109      592    27600 SH    -  DEFINED 02             4200        0    23400
D JACK IN THE BOX INC            COMMON     466367109     1406    65600 SH    -  DEFINED 02            65600        0        0
D JACK IN THE BOX INC            COMMON     466367109      593    27640 SH    -  DEFINED 01                0        0    27640
D JACK IN THE BOX INC            COMMON     466367109       34     1600 SH    -  DEFINED 20             1600        0        0
D JAKKS PAC INC                  COMMON     47012E106       20     2100 SH    -  DEFINED 20             2100        0        0
D JAKKS PAC INC                  COMMON     47012E106      656    69700 SH    -  DEFINED 01            69700        0        0
D JAKKS PAC INC                  COMMON     47012E106      905    96200 SH    -  DEFINED 02            96200        0        0
D JAKKS PAC INC                  COMMON     47012E106     1367   145300 SH    -  DEFINED 02           125600        0    19700
D JAKKS PAC INC                  COMMON     47012E106        0        4 SH    -  DEFINED 16                4        0        0
D JEFFERIES GROUP INC NEW        COMMON     472319102      384    14300 SH    -  DEFINED 01                0        0    14300
D JEFFERSON PILOT CORP.          COMMON     475070108       48      700 SH    -  DEFINED 01                0        0      700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 170
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D JEFFERSON PILOT CORP.          COMMON     475070108     1229    18100 SH    -  DEFINED 17            18100        0        0
D JEFFERSON PILOT CORP.          COMMON     475070108      855    12600 SH    -  OTHER   10                0    12600        0
D JEFFERSON PILOT CORP.          COMMON     475070108      855    12600 SH    -  OTHER   11                0    12600        0
D JEFFERSON PILOT CORP.          COMMON     475070108      333     4900 SH    -  DEFINED 02             4900        0        0
D JOHNS MANVILLE CORP.           COMMON     478129109        1      125 SH    -  DEFINED 01                0        0      125
D JOHNS MANVILLE CORP.           COMMON     478129109    14403  1273100 SH    -  DEFINED 02          1273100        0        0
D JOHNSON & JOHNSON              COMMON     478160104    81642   869100 SH    -  DEFINED 02           446900        0   422200
D JOHNSON & JOHNSON              COMMON     478160104        9      100 SH    -  OTHER   02              100        0        0
D JOHNSON & JOHNSON              COMMON     478160104   145038  1543975 SH    -  DEFINED 01           704721    20034   800640
D JOHNSON & JOHNSON              COMMON     478160104    98453  1048068 SH    -  OTHER   01           330378   655648    62042
D JOHNSON & JOHNSON              COMMON     478160104     2349    25008 SH    -  DEFINED 18            25008        0        0
D JOHNSON & JOHNSON              COMMON     478160104     8670    92300 SH    -  DEFINED 20            92300        0        0
D JOHNSON & JOHNSON              COMMON     478160104   344696  3669400 SH    -  DEFINED 02          2807500        0   861900
D JOHNSON & JOHNSON              COMMON     478160104      695     7400 SH    -  OTHER   02                0        0     7400
D JOHNSON & JOHNSON              COMMON     478160104      789     8400 SH    -  OTHER   21                0     8400        0
D JOHNSON & JOHNSON              COMMON     478160104     2255    24000 SH    -  OTHER   1314              0    24000        0
D JOHNSON & JOHNSON              COMMON     478160104     7708    82055 SH    -  DEFINED 05            25530      800    55725
D JOHNSON & JOHNSON              COMMON     478160104     1675    17832 SH    -  OTHER   05             6000        0    11832
D JOHNSON & JOHNSON              COMMON     478160104       84      889 SH    -  DEFINED 16              889        0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1234    23200 SH    -  OTHER   09            23200        0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     2128    40000 SH    -  OTHER   0304          40000        0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     1939    36450 SH    -  DEFINED 05            11850        0    24600
D JOHNSON CONTROLS, INC.         COMMON     478366107      154     2900 SH    -  OTHER   21                0     2900        0
D JOHNSON CONTROLS, INC.         COMMON     478366107    69070  1298600 SH    -  DEFINED 02           968200        0   330400
D JOHNSON CONTROLS, INC.         COMMON     478366107      181     3400 SH    -  OTHER   02                0        0     3400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 171
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D JOHNSON CONTROLS, INC.         COMMON     478366107      420     7900 SH    -  DEFINED 20             7900        0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107       53     1000 SH    -  DEFINED 17             1000        0        0
D JOHNSON CONTROLS, INC.         COMMON     478366107     6388   120100 SH    -  OTHER   01            43825    70875     5400
D JOHNSON CONTROLS, INC.         COMMON     478366107    33124   622770 SH    -  DEFINED 01           398320     7000   216850
D JOHNSON CONTROLS, INC.         COMMON     478366107    27647   519800 SH    -  DEFINED 02           417300        0   102500
D JOHNSON CONTROLS, INC.         COMMON     478366107       32      600 SH    -  OTHER   02              600        0        0
D JONES APPAREL GROUP, INC.      COMMON     480074103    34927  1318000 SH    -  DEFINED 02           963100        0   354900
D JONES APPAREL GROUP, INC.      COMMON     480074103       37     1400 SH    -  OTHER   02             1400        0        0
D JONES APPAREL GROUP, INC.      COMMON     480074103     4061   153240 SH    -  DEFINED 01           129400        0    23840
D JONES APPAREL GROUP, INC.      COMMON     480074103     1614    60900 SH    -  OTHER   01              900    60000        0
D JONES APPAREL GROUP, INC.      COMMON     480074103      474    17900 SH    -  DEFINED 20            17900        0        0
D JONES APPAREL GROUP, INC.      COMMON     480074103    77762  2934400 SH    -  DEFINED 02          2157800        0   776600
D JONES APPAREL GROUP, INC.      COMMON     480074103      270    10200 SH    -  OTHER   02                0        0    10200
D JONES APPAREL GROUP, INC.      COMMON     480074103      167     6300 SH    -  OTHER   21                0     6300        0
D JONES APPAREL GROUP, INC.      COMMON     480074103       29     1100 SH    -  DEFINED 05             1100        0        0
D JONES LANG LASALLE INC         COMMON     48020Q107      222    17100 SH    -  DEFINED 02            17100        0        0
D JOURNAL REGISTER CO            COMMON     481138105      128     7700 SH    -  DEFINED 02             7700        0        0
D JOURNAL REGISTER CO            COMMON     481138105      163     9800 SH    -  DEFINED 02             9800        0        0
D JUNIPER NETWORKS INC  'CONV BO BOND       48203RAA2        0 15294000 PRN   -  DEFINED 16                0        0        0
D JUNIPER NETWORKS INC           COMMON     48203R104      274     1250 SH    -  DEFINED 05             1000      250        0
D JUNIPER NETWORKS INC           COMMON     48203R104    31877   145600 SH    -  DEFINED 02            85700        0    59900
D JUNIPER NETWORKS INC           COMMON     48203R104      307     1400 SH    -  OTHER   02                0        0     1400
D JUNIPER NETWORKS INC           COMMON     48203R104     9920    45311 SH    -  DEFINED 01             9944      500    34667
D JUNIPER NETWORKS INC           COMMON     48203R104      213      975 SH    -  OTHER   01              125      850        0
D JUNIPER NETWORKS INC           COMMON     48203R104      394     1800 SH    -  DEFINED 20             1800        0        0
D KLA INSTRUMENTS CORP.          COMMON     482480100     4032    97900 SH    -  DEFINED 20            97900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 172
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KLA INSTRUMENTS CORP.          COMMON     482480100       91     2200 SH    -  DEFINED 17             2200        0        0
D KLA INSTRUMENTS CORP.          COMMON     482480100     1190    28900 SH    -  DEFINED 01             1300        0    27600
D KLA INSTRUMENTS CORP.          COMMON     482480100     3785    91900 SH    -  DEFINED 02            72300        0    19600
D KLA INSTRUMENTS CORP.          COMMON     482480100       58     1400 SH    -  OTHER   02                0        0     1400
D KLA INSTRUMENTS CORP.          COMMON     482480100      196     4749 SH    -  DEFINED 16             4749        0        0
D K MART CORP.                   COMMON     482584109       33     5500 SH    -  DEFINED 16             5500        0        0
D K MART CORP.                   COMMON     482584109       16     2600 SH    -  DEFINED 02                0        0     2600
D K MART CORP.                   COMMON     482584109       34     5700 SH    -  DEFINED 17             5700        0        0
D K MART CORP.                   COMMON     482584109       16     2600 SH    -  DEFINED 20             2600        0        0
D K-V PHARMACEUTICAL CO.         COMMON     482740107      272     7875 SH    -  DEFINED 01                0        0     7875
D KANA COMMUNICATIONS            COMMON     483600102       25     1109 SH    -  DEFINED 01             1109        0        0
D KANA COMMUNICATIONS            COMMON     483600102      148     6655 SH    -  OTHER   01             6655        0        0
D KANA COMMUNICATIONS            COMMON     483600102      601    27000 SH    -  DEFINED 02            27000        0        0
D KANA COMMUNICATIONS            COMMON     483600102      740    33275 SH    -  DEFINED 19            33275        0        0
D KANA COMMUNICATIONS            COMMON     483600102      300    13500 SH    -  DEFINED 02                0        0    13500
D KANA COMMUNICATIONS            COMMON     483600102       25     1109 SH    -  DEFINED 05                0        0     1109
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107        0        2 SH    -  DEFINED 16                2        0        0
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107     7871   292200 SH    -  DEFINED 02            92000        0   200200
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107      264     9800 SH    -  DEFINED 20             9800        0        0
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107       16      600 SH    -  DEFINED 17              600        0        0
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107     1210    44900 SH    -  DEFINED 02            44900        0        0
D KAUFMAN & BROAD HOME CORP.     COMMON     486168107      517    19200 SH    -  DEFINED 01                0        0    19200
D KEANE, INC.                    COMMON     486665102      653    37500 SH    -  DEFINED 01                0        0    37500
D KEEBLER FOODS CO               COMMON     487256109    16247   386826 SH    -  DEFINED 01           293701        0    93125
D KEEBLER FOODS CO               COMMON     487256109     8996   214200 SH    -  DEFINED 02           214200        0        0
D KEEBLER FOODS CO               COMMON     487256109    14408   343050 SH    -  DEFINED 02           292375        0    50675

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 173
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KEEBLER FOODS CO               COMMON     487256109       98     2325 SH    -  DEFINED 05                0        0     2325
D KEITHLEY INSTRUMENTS, INC.     COMMON     487584104      210     3000 SH    -  DEFINED 02             3000        0        0
D KELLOGG CO.                    COMMON     487836108    33967  1404300 SH    -  DEFINED 02          1015600        0   388700
D KELLOGG CO.                    COMMON     487836108        7      300 SH    -  OTHER   02              300        0        0
D KELLOGG CO.                    COMMON     487836108     1964    81190 SH    -  DEFINED 01            56000        0    25190
D KELLOGG CO.                    COMMON     487836108     1195    49420 SH    -  OTHER   01             8228    31192    10000
D KELLOGG CO.                    COMMON     487836108      177     7300 SH    -  OTHER   21                0     7300        0
D KELLOGG CO.                    COMMON     487836108     1036    42820 SH    -  DEFINED 17            42820        0        0
D KELLOGG CO.                    COMMON     487836108      319    13200 SH    -  DEFINED 20            13200        0        0
D KELLOGG CO.                    COMMON     487836108       41     1700 SH    -  DEFINED 05              900        0      800
D KELLOGG CO.                    COMMON     487836108       87     3600 SH    -  OTHER   05                0        0     3600
D KELLOGG CO.                    COMMON     487836108    68379  2827000 SH    -  DEFINED 02          1602300        0  1224700
D KELLOGG CO.                    COMMON     487836108       85     3500 SH    -  OTHER   02                0        0     3500
D KELLSTROM INDUSTRIES INC       COMMON     488035106       60    11500 SH    -  DEFINED 01                0        0    11500
D KELLWOOD CO.                   COMMON     488044108       64     3500 SH    -  DEFINED 01                0        0     3500
D KELLWOOD CO.                   COMMON     488044108     1325    72600 SH    -  DEFINED 02             6400        0    66200
D KEMET CORP.                    COMMON     488360108      163     5900 SH    -  DEFINED 02                0        0     5900
D KEMET CORP.                    COMMON     488360108        2       60 SH    -  DEFINED 01               60        0        0
D KEMET CORP.                    COMMON     488360108     4202   152100 SH    -  DEFINED 02           152100        0        0
D KEMET CORP.                    COMMON     488360108       19      700 SH    -  DEFINED 20              700        0        0
D KENAN TRANSPORT COMPANY        COMMON     488539107      541    22100 SH    -  DEFINED 01             1200        0    20900
D KENAN TRANSPORT COMPANY        COMMON     488539107     7350   300000 SH    -  OTHER   15           300000        0        0
D KENNAMETAL, INC.               COMMON     489170100     3517   136600 SH    -  DEFINED 02           121400        0    15200
D KENNAMETAL, INC.               COMMON     489170100      139     5400 SH    -  DEFINED 01                0        0     5400
D KENNAMETAL, INC.               COMMON     489170100     1079    41900 SH    -  DEFINED 02            41900        0        0
D KENSEY NASH CORP.              COMMON     490057106     1281    98500 SH    -  DEFINED 01             5650        0    92850

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 174
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KENSEY NASH CORP.              COMMON     490057106      418    32150 SH    -  DEFINED 02            22775        0     9375
D KENSEY NASH CORP.              COMMON     490057106       40     3050 SH    -  DEFINED 05                0        0     3050
D KENT ELECTRONICS CORP.         COMMON     490553104       17      700 SH    -  DEFINED 02              700        0        0
D KENT ELECTRONICS CORP.         COMMON     490553104      719    30100 SH    -  DEFINED 01            20500        0     9600
D KERR-MCGEE CORP  "CONV BOND"   BOND       492386AP2        0   226000 PRN   -  DEFINED 16                0        0        0
D KERR-MCGEE CORP.               COMMON     492386107        2       36 SH    -  DEFINED 02                0        0       36
D KERR-MCGEE CORP.               COMMON     492386107      361     5450 SH    -  DEFINED 01             3550        0     1900
D KERR-MCGEE CORP.               COMMON     492386107     5042    76100 SH    -  DEFINED 17            76100        0        0
D KEY ENERGY SVCS INC            COMMON     492914106      201    20500 SH    -  DEFINED 02            20500        0        0
D KEY PRODTN INC                 COMMON     493138101      792    35900 SH    -  DEFINED 02            35900        0        0
D KEYCORP                        COMMON     493267108    63895  2524200 SH    -  DEFINED 02          1726900        0   797300
D KEYCORP                        COMMON     493267108       89     3500 SH    -  OTHER   02             3500        0        0
D KEYCORP                        COMMON     493267108    43951  1736289 SH    -  DEFINED 01          1283854      500   447935
D KEYCORP                        COMMON     493267108     6322   249735 SH    -  OTHER   01            61310   137425    51000
D KEYCORP                        COMMON     493267108      633    25000 SH    -  OTHER   21                0    25000        0
D KEYCORP                        COMMON     493267108     8189   323500 SH    -  DEFINED 20           323500        0        0
D KEYCORP                        COMMON     493267108      471    18600 SH    -  OTHER   02                0        0    18600
D KEYCORP                        COMMON     493267108   247997  9797200 SH    -  DEFINED 02          7618300        0  2178900
D KEYCORP                        COMMON     493267108     3924   155000 SH    -  OTHER   0304         155000        0        0
D KEYCORP                        COMMON     493267108     1192    47100 SH    -  OTHER   09            47100        0        0
D KEYCORP                        COMMON     493267108      223     8800 SH    -  DEFINED 05             8800        0        0
D KEYNOTE SYS INC                COMMON     493308100       11      400 SH    -  DEFINED 02              400        0        0
D KEYNOTE SYS INC                COMMON     493308100      267     9980 SH    -  DEFINED 01             8680        0     1300
D KEYNOTE SYS INC                COMMON     493308100      262     9800 SH    -  DEFINED 02             9800        0        0
D KFORCE COM INC                 COMMON     493732101      239    68300 SH    -  DEFINED 02            68300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 175
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KFORCE COM INC                 COMMON     493732101        2      600 SH    -  DEFINED 01                0        0      600
D KFORCE COM INC                 COMMON     493732101       29     8300 SH    -  DEFINED 02             8300        0        0
D KILROY RLTY CORP               COMMON     49427F108     2693   100900 SH    -  DEFINED 02           100900        0        0
D KILROY RLTY CORP               COMMON     49427F108     2474    92700 SH    -  DEFINED 02            92700        0        0
D KIMBERLY-CLARK CORP.           COMMON     494368103    85111  1524928 SH    -  DEFINED 02          1147628        0   377300
D KIMBERLY-CLARK CORP.           COMMON     494368103      151     2700 SH    -  OTHER   02             2700        0        0
D KIMBERLY-CLARK CORP.           COMMON     494368103    19250   344905 SH    -  DEFINED 01           239153     4466   101286
D KIMBERLY-CLARK CORP.           COMMON     494368103    16691   299061 SH    -  OTHER   01            51822   225879    21360
D KIMBERLY-CLARK CORP.           COMMON     494368103      380     6800 SH    -  OTHER   21                0     6800        0
D KIMBERLY-CLARK CORP.           COMMON     494368103      776    13900 SH    -  DEFINED 20            13900        0        0
D KIMBERLY-CLARK CORP.           COMMON     494368103      368     6600 SH    -  DEFINED 17             6600        0        0
D KIMBERLY-CLARK CORP.           COMMON     494368103   161087  2886200 SH    -  DEFINED 02          1669900        0  1216300
D KIMBERLY-CLARK CORP.           COMMON     494368103      145     2600 SH    -  OTHER   02                0        0     2600
D KIMBERLY-CLARK CORP.           COMMON     494368103     1053    18860 SH    -  DEFINED 05              600        0    18260
D KIMBERLY-CLARK CORP.           COMMON     494368103      432     7744 SH    -  OTHER   05                0        0     7744
D KIMCO REALTY CORP.             COMMON     49446R109    10013   237000 SH    -  DEFINED 02           235300        0     1700
D KIMCO REALTY CORP.             COMMON     49446R109        8      200 SH    -  DEFINED 20              200        0        0
D KIMCO REALTY CORP.             COMMON     49446R109     6261   148200 SH    -  DEFINED 02           148200        0        0
D KIMCO REALTY CORP.             COMMON     49446R109       34      800 SH    -  OTHER   21                0      800        0
D KINDER MORGAN INC KANS         COMMON     49455P101     6853   167400 SH    -  DEFINED 02           167400        0        0
D KINDER MORGAN INC KANS         COMMON     49455P101     4671   114100 SH    -  DEFINED 01           104200        0     9900
D KINDER MORGAN INC KANS         COMMON     49455P101     1391    33970 SH    -  DEFINED 17            33970        0        0
D KINDER MORGAN INC KANS         COMMON     49455P101     1064    26000 SH    -  DEFINED 18            26000        0        0
D KINDER MORGAN INC KANS         COMMON     49455P101     8646   211200 SH    -  DEFINED 02           173500        0    37700
D KING PHARMACEUTICALS INC       COMMON     495582108      464    13862 SH    -  DEFINED 02                0        0    13862
D KING PHARMACEUTICALS INC       COMMON     495582108     1755    52500 SH    -  DEFINED 16            52500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 176
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KING PHARMACEUTICALS INC       COMMON     495582108     1672    50000 SH    -  DEFINED 06            50000        0        0
D KING PHARMACEUTICALS INC       COMMON     495582108       39     1162 SH    -  DEFINED 20             1162        0        0
D KING PHARMACEUTICALS INC       COMMON     495582108       34     1012 SH    -  DEFINED 01                0        0     1012
D KING PHARMACEUTICALS INC       COMMON     495582108     4080   122012 SH    -  DEFINED 02           122012        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103    21631   425700 SH    -  DEFINED 02           277500        0   148200
D KNIGHT RIDDER, INC.            COMMON     499040103       15      300 SH    -  OTHER   02              300        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103     4267    83980 SH    -  DEFINED 01            75700        0     8280
D KNIGHT RIDDER, INC.            COMMON     499040103     3968    78100 SH    -  OTHER   01              300     7800    70000
D KNIGHT RIDDER, INC.            COMMON     499040103      158     3100 SH    -  OTHER   21                0     3100        0
D KNIGHT RIDDER, INC.            COMMON     499040103      640    12600 SH    -  DEFINED 20            12600        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103     1423    28000 SH    -  DEFINED 06            28000        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103       46      900 SH    -  DEFINED 17              900        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103       25      500 SH    -  DEFINED 05              500        0        0
D KNIGHT RIDDER, INC.            COMMON     499040103    54989  1082190 SH    -  DEFINED 02           753390        0   328800
D KNIGHT RIDDER, INC.            COMMON     499040103      102     2000 SH    -  OTHER   02                0        0     2000
D KNIGHT TRADING GROUP INC       COMMON     499063105      871    24200 SH    -  DEFINED 02                0        0    24200
D KNIGHT TRADING GROUP INC       COMMON     499063105      216     6000 SH    -  DEFINED 16             6000        0        0
D KNIGHT TRADING GROUP INC       COMMON     499063105       18      500 SH    -  DEFINED 01                0        0      500
D KNIGHT TRADING GROUP INC       COMMON     499063105     2437    67700 SH    -  DEFINED 02            67700        0        0
D KOHL'S CORP.                   COMMON     500255104      185     3202 SH    -  DEFINED 01             3202        0        0
D KOHL'S CORP.                   COMMON     500255104      225     3900 SH    -  DEFINED 17             3900        0        0
D KOHL'S CORP.                   COMMON     500255104      173     3000 SH    -  DEFINED 05                0        0     3000
D KONINKLIJKE PHILIPS ELECTRS    COMMON     500472303     5011   119947 SH    -  DEFINED 17           119947        0        0
D KONINKLIJKE PHILIPS ELECTRS    COMMON     500472303       75     1754 SH    -  DEFINED 01              180        0     1574
D KONINKLIJKE PHILIPS ELECTRS    COMMON     500472303      728    17135 SH    -  DEFINED 02                0        0    17135
D KOPIN CORP.                    COMMON     500600101     1474    81900 SH    -  DEFINED 02            81900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 177
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D KOPIN CORP.                    COMMON     500600101       53     2925 SH    -  DEFINED 01                0        0     2925
D KOPIN CORP.                    COMMON     500600101       72     4000 SH    -  OTHER   01                0     4000        0
D KOPIN CORP.                    COMMON     500600101        9      500 SH    -  DEFINED 20              500        0        0
D KOPIN CORP.                    COMMON     500600101     3978   221000 SH    -  DEFINED 02           155400        0    65600
D KRISPY KREME DOUGHNUTS INC     COMMON     501014104       34      400 SH    -  DEFINED 02                0        0      400
D KRISPY KREME DOUGHNUTS INC     COMMON     501014104      176     2100 SH    -  DEFINED 01              100        0     2000
D KROGER COMPANY                 COMMON     501044101     3384   149970 SH    -  DEFINED 01           110150        0    39820
D KROGER COMPANY                 COMMON     501044101       14      600 SH    -  OTHER   01              600        0        0
D KROGER COMPANY                 COMMON     501044101      171     7600 SH    -  OTHER   21                0     7600        0
D KROGER COMPANY                 COMMON     501044101    62730  2780200 SH    -  DEFINED 02          2006200        0   774000
D KROGER COMPANY                 COMMON     501044101      124     5500 SH    -  OTHER   02             5500        0        0
D KROGER COMPANY                 COMMON     501044101      810    35900 SH    -  DEFINED 20            35900        0        0
D KROGER COMPANY                 COMMON     501044101   119444  5293806 SH    -  DEFINED 02          2941406        0  2352400
D KROGER COMPANY                 COMMON     501044101      343    15200 SH    -  OTHER   02                0        0    15200
D KROGER COMPANY                 COMMON     501044101       23     1000 SH    -  DEFINED 05             1000        0        0
D KULICKE & SOFFA INDUSTRIES, IN COMMON     501242101     1909   143400 SH    -  DEFINED 02            18700        0   124700
D KULICKE & SOFFA INDUSTRIES, IN COMMON     501242101       21     1600 SH    -  DEFINED 20             1600        0        0
D KULICKE & SOFFA INDUSTRIES, IN COMMON     501242101      359    27000 SH    -  DEFINED 02            27000        0        0
D KULICKE & SOFFA INDUSTRIES, IN COMMON     501242101      335    25200 SH    -  DEFINED 01                0        0    25200
D LCC INTERNATIONAL, INC.        COMMON     501810105     1966   135600 SH    -  DEFINED 01           120000        0    15600
D LCC INTERNATIONAL, INC.        COMMON     501810105     1633   112600 SH    -  DEFINED 02           112600        0        0
D LCC INTERNATIONAL, INC.        COMMON     501810105     2417   166700 SH    -  DEFINED 02           140100        0    26600
D LG&E ENERGY CORP.              COMMON     501917108    19754   812500 SH    -  DEFINED 16           812500        0        0
D LG&E ENERGY CORP.              COMMON     501917108       73     3000 SH    -  DEFINED 01             3000        0        0
D LG&E ENERGY CORP.              COMMON     501917108      346    14158 SH    -  OTHER   01            10484     3674        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 178
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LTV CORP.                      COMMON     501921100       20    15600 SH    -  DEFINED 02            15600        0        0
D LNR PPTY CORP                  COMMON     501940100      148     6700 SH    -  DEFINED 02             6700        0        0
D LNR PPTY CORP                  COMMON     501940100      498    22500 SH    -  DEFINED 01                0        0    22500
D LNR PPTY CORP                  COMMON     501940100      206     9300 SH    -  DEFINED 02             9300        0        0
D LSI INDUSTRIES, INC.           COMMON     50216C108      384    17325 SH    -  DEFINED 01                0        0    17325
D LSI LOGIC CORP  'CONV BOND'    BOND       502161AE2        0 16311000 PRN   -  DEFINED 16                0        0        0
D LSI LOGIC CORP.                COMMON     502161102      910    31095 SH    -  DEFINED 16            31095        0        0
D LSI LOGIC CORP.                COMMON     502161102     3185   108900 SH    -  DEFINED 02            82400        0    26500
D LSI LOGIC CORP.                COMMON     502161102       50     1700 SH    -  OTHER   02                0        0     1700
D LSI LOGIC CORP.                COMMON     502161102       70     2400 SH    -  DEFINED 01             2400        0        0
D LSI LOGIC CORP.                COMMON     502161102       76     2600 SH    -  DEFINED 20             2600        0        0
D LSI LOGIC CORP.                COMMON     502161102      212     7250 SH    -  DEFINED 17             7250        0        0
D LTX CORP.                      COMMON     502392103       21     1100 SH    -  DEFINED 20             1100        0        0
D LTX CORP.                      COMMON     502392103      345    18200 SH    -  DEFINED 01                0        0    18200
D LTX CORP.                      COMMON     502392103      799    42200 SH    -  DEFINED 02            42200        0        0
D LTX CORP.                      COMMON     502392103     2278   120300 SH    -  DEFINED 02             1800        0   118500
D L-3 COMMUNICATIONS HOLDINGS IN COMMON     502424104     4401    77900 SH    -  DEFINED 02            65600        0    12300
D L-3 COMMUNICATIONS HOLDINGS IN COMMON     502424104        0        3 SH    -  DEFINED 16                3        0        0
D L-3 COMMUNICATIONS HOLDINGS IN COMMON     502424104     1955    34600 SH    -  DEFINED 02            34600        0        0
D L-3 COMMUNICATIONS HOLDINGS IN COMMON     502424104     3622    64100 SH    -  DEFINED 01            64100        0        0
D LA-Z-BOY CHAIR CO.             COMMON     505336107      454    31200 SH    -  DEFINED 02            31200        0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409     5030    42000 SH    -  DEFINED 02             2000        0    40000
D LABORATORY CORP AMER HLDGS     COMMON     50540R409      778     6499 SH    -  DEFINED 01              409        0     6090
D LABORATORY CORP AMER HLDGS     COMMON     50540R409     3281    27400 SH    -  DEFINED 02            27400        0        0
D LABORATORY CORP AMER HLDGS     COMMON     50540R409      275     2300 SH    -  DEFINED 20             2300        0        0
D LABRANCHE & CO INC             COMMON     505447102      384    11500 SH    -  DEFINED 02            11500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 179
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LAM RESEARCH CORP.             COMMON     512807108    13308   635575 SH    -  DEFINED 02           589275        0    46300
D LAM RESEARCH CORP.             COMMON     512807108      404    19300 SH    -  DEFINED 16            19300        0        0
D LAM RESEARCH CORP.             COMMON     512807108       71     3400 SH    -  DEFINED 05                0        0     3400
D LAM RESEARCH CORP.             COMMON     512807108       21     1000 SH    -  DEFINED 20             1000        0        0
D LAM RESEARCH CORP.             COMMON     512807108     4095   195600 SH    -  DEFINED 02           195600        0        0
D LAM RESEARCH CORP.             COMMON     512807108     6529   311810 SH    -  DEFINED 01           148160        0   163650
D LAMAR ADVERTISING CO           COMMON     512815101      222     5850 SH    -  DEFINED 01                0        0     5850
D LANCASTER COLONY CORP.         COMMON     513847103      511    20799 SH    -  DEFINED 01                0        0    20799
D LANDAMERICA FINANCIAL GROUP IN COMMON     514936103      283     9900 SH    -  DEFINED 02             9900        0        0
D LANDAMERICA FINANCIAL GROUP IN COMMON     514936103      974    34100 SH    -  DEFINED 02                0        0    34100
D LANDRY'S SEAFOOD RESTAURANTS,  COMMON     51508L103      589    86500 SH    -  DEFINED 02            79000        0     7500
D LANDRY'S SEAFOOD RESTAURANTS,  COMMON     51508L103      670    98300 SH    -  DEFINED 02            98300        0        0
D LANDRY'S SEAFOOD RESTAURANTS,  COMMON     51508L103      162    23800 SH    -  DEFINED 01              300        0    23500
D LANDRY'S SEAFOOD RESTAURANTS,  COMMON     51508L103       51     7500 SH    -  DEFINED 20             7500        0        0
D LASALLE HOTEL PROPERITIES      COMMON     517942108     1304    86200 SH    -  DEFINED 02            86200        0        0
D LASALLE HOTEL PROPERITIES      COMMON     517942108        3      200 SH    -  DEFINED 02              200        0        0
D LASER VISION CTRS INC          COMMON     51807H100      154    35400 SH    -  DEFINED 01                0        0    35400
D LATTICE SEMICONDUCTOR CORP CON BOND       518415AC8        0  2905000 PRN   -  DEFINED 16                0        0        0
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104      178     3315 SH    -  DEFINED 16             3315        0        0
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104      172     3200 SH    -  DEFINED 05              200        0     3000
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104      134     2500 SH    -  OTHER   02                0        0     2500
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104    87009  1618775 SH    -  DEFINED 02          1358900        0   259875
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104    16403   305180 SH    -  DEFINED 01           158180        0   147000
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104       11      200 SH    -  OTHER   01              200        0        0
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104       22      400 SH    -  OTHER   21                0      400        0
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104    16872   313900 SH    -  DEFINED 02           248600        0    65300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 180
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104       16      300 SH    -  OTHER   02              300        0        0
D LATTICE SEMICONDUCTOR CORP.    COMMON     518415104     5096    94800 SH    -  DEFINED 20            94800        0        0
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104      154     4200 SH    -  DEFINED 20             4200        0        0
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104    20503   559800 SH    -  DEFINED 02           453900        0   105900
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104       33      900 SH    -  OTHER   02              900        0        0
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104       40     1100 SH    -  OTHER   21                0     1100        0
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104    12890   351948 SH    -  DEFINED 01           339378        0    12570
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104      231     6300 SH    -  OTHER   01             6300        0        0
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104       92     2500 SH    -  OTHER   02                0        0     2500
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104    47653  1301100 SH    -  DEFINED 02           903900        0   397200
D LAUDER (ESTEE) COMPANIES, INC. COMMON     518439104      165     4500 SH    -  DEFINED 05             2300        0     2200
D LEAP WIRELESS INTERNATIONAL, I COMMON     521863100     3522    56300 SH    -  DEFINED 02              600        0    55700
D LEAP WIRELESS INTERNATIONAL, I COMMON     521863100       40      642 SH    -  DEFINED 01              642        0        0
D LEAP WIRELESS INTERNATIONAL, I COMMON     521863100     1727    27600 SH    -  DEFINED 02            27600        0        0
D LEAP WIRELESS INTERNATIONAL, I COMMON     521863100       88     1400 SH    -  DEFINED 20             1400        0        0
D LEAR CORP.                     COMMON     521865105      115     5600 SH    -  DEFINED 20             5600        0        0
D LEAR CORP.                     COMMON     521865105     6171   300100 SH    -  DEFINED 02           191900        0   108200
D LEAR CORP.                     COMMON     521865105    57177  2780600 SH    -  DEFINED 02          2536900        0   243700
D LEAR CORP.                     COMMON     521865105       29     1400 SH    -  OTHER   02                0        0     1400
D LEE ENTERPRISES, INC.          COMMON     523768109      462    16000 SH    -  OTHER   01                0    16000        0
D LEGATO SYSTEMS, INC.           COMMON     524651106      263    19600 SH    -  DEFINED 01                0        0    19600
D LEGATO SYSTEMS, INC.           COMMON     524651106      539    40100 SH    -  DEFINED 02            40100        0        0
D LEGGETT & PLATT, INC.          COMMON     524660107     2258   142825 SH    -  DEFINED 01           141775        0     1050
D LEGGETT & PLATT, INC.          COMMON     524660107       36     2300 SH    -  DEFINED 17             2300        0        0
D LEGG MASON, INC.               COMMON     524901105       23      400 SH    -  DEFINED 20              400        0        0
D LEGG MASON, INC.               COMMON     524901105     1552    26700 SH    -  DEFINED 01             7100        0    19600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 181
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LEGG MASON, INC.               COMMON     524901105       23      400 SH    -  OTHER   21                0      400        0
D LEGG MASON, INC.               COMMON     524901105     6493   111700 SH    -  DEFINED 02            86600        0    25100
D LEGG MASON, INC.               COMMON     524901105    12944   222700 SH    -  DEFINED 02           127800        0    94900
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100   108907   737100 SH    -  DEFINED 02           444500        0   292600
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100      222     1500 SH    -  OTHER   02                0        0     1500
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100       30      200 SH    -  DEFINED 05              200        0        0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100       30      200 SH    -  OTHER   05                0        0      200
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100    54010   365550 SH    -  DEFINED 02           262000        0   103550
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100       59      400 SH    -  OTHER   02              400        0        0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100      251     1700 SH    -  OTHER   21                0     1700        0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100    16278   110171 SH    -  DEFINED 01           104241        0     5930
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100      106      720 SH    -  OTHER   01              100      620        0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100      340     2300 SH    -  DEFINED 20             2300        0        0
D LEHMAN BROTHERS HOLDINGS, INC. COMMON     524908100      207     1400 SH    -  DEFINED 17             1400        0        0
D LENNAR CORP.                   COMMON     526057104      897    30205 SH    -  DEFINED 01                0        0    30205
D LENNAR CORP.                   COMMON     526057104     2366    79700 SH    -  DEFINED 02            79700        0        0
D LENNAR CORP.                   COMMON     526057104        0       14 SH    -  DEFINED 16               14        0        0
D LENNAR CORP.                   COMMON     526057104      778    26200 SH    -  DEFINED 02            26200        0        0
D LEUCADIA NATIONAL CORP.        COMMON     527288104       54     2000 SH    -  DEFINED 05             2000        0        0
D LEUCADIA NATIONAL CORP.        COMMON     527288104      257     9600 SH    -  DEFINED 01              800        0     8800
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100    39347   510175 SH    -  DEFINED 01           263710     4825   239540
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100     4774    61905 SH    -  OTHER   01            27390    31515     3000
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      147     1900 SH    -  OTHER   21                0     1900        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100    70451   913470 SH    -  DEFINED 02           605700        0   307770
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      108     1400 SH    -  OTHER   02             1400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 182
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100     2005    26000 SH    -  DEFINED 18            26000        0        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      602     7800 SH    -  DEFINED 20             7800        0        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      567     7350 SH    -  DEFINED 05             6300     1050        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      231     3000 SH    -  OTHER   10                0     3000        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      231     3000 SH    -  OTHER   11                0     3000        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100     8357   108359 SH    -  DEFINED 16           108359        0        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      949    12300 SH    -  OTHER   09            12300        0        0
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100   239096  3100110 SH    -  DEFINED 02          2364160        0   735950
D LEVEL 3 COMMUNICATIONS INC     COMMON     52729N100      278     3600 SH    -  OTHER   02                0        0     3600
D LEXAR MEDIA INC                COMMON     52886P104     4935   424500 SH    -  DEFINED 02           378800        0    45700
D LEXAR MEDIA INC                COMMON     52886P104       47     4000 SH    -  DEFINED 05                0        0     4000
D LEXAR MEDIA INC                COMMON     52886P104     1283   110400 SH    -  DEFINED 02           110400        0        0
D LEXAR MEDIA INC                COMMON     52886P104     5712   491055 SH    -  DEFINED 01           216930        0   274125
D LEXICON GENETICS INC           COMMON     528872104      474    15000 SH    -  DEFINED 01                0        0    15000
D LEXICON GENETICS INC           COMMON     528872104     2135    67500 SH    -  OTHER   01                0    67500        0
D LEXICON GENETICS INC           COMMON     528872104       42     1335 SH    -  DEFINED 16             1335        0        0
D LEXMARK INTERNATIONAL GROUP, I COMMON     529771107     6056   161500 SH    -  DEFINED 02            68000        0    93500
D LEXMARK INTERNATIONAL GROUP, I COMMON     529771107      471    12570 SH    -  DEFINED 01            11400        0     1170
D LEXMARK INTERNATIONAL GROUP, I COMMON     529771107     3675    98000 SH    -  DEFINED 02            53300        0    44700
D LEXMARK INTERNATIONAL GROUP, I COMMON     529771107       79     2100 SH    -  DEFINED 20             2100        0        0
D LEXMARK INTERNATIONAL GROUP, I COMMON     529771107       56     1500 SH    -  DEFINED 17             1500        0        0
D LIBBEY, INC.                   COMMON     529898108      327    10500 SH    -  DEFINED 02            10500        0        0
D LIBERATE TECHNOLOGIES          COMMON     530129105      576    19900 SH    -  DEFINED 02                0        0    19900
D LIBERATE TECHNOLOGIES          COMMON     530129105      993    34300 SH    -  DEFINED 02            34300        0        0
D LIBERATE TECHNOLOGIES          COMMON     530129105      149     5150 SH    -  DEFINED 01                0        0     5150
D LIBERTY FINANCIAL COMPANIES, I COMMON     530512102      118     5019 SH    -  DEFINED 01                0        0     5019

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 183
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LIBERTY FINANCIAL COMPANIES, I COMMON     530512102      308    13100 SH    -  DEFINED 02            13100        0        0
D LIBERTY PROPERTY TRUST S/B/I   COMMON     531172104     7112   258600 SH    -  DEFINED 02           258600        0        0
D LIBERTY PROPERTY TRUST S/B/I   COMMON     531172104    10574   384500 SH    -  DEFINED 02           384500        0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109        1       16 SH    -  DEFINED 16               16        0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109      204     5739 SH    -  DEFINED 02             5500        0      239
D LIFEPOINT HOSPITALS INC        COMMON     53219L109       20      566 SH    -  DEFINED 01              414        0      152
D LIFEPOINT HOSPITALS INC        COMMON     53219L109     1498    42184 SH    -  DEFINED 18            42184        0        0
D LIFEPOINT HOSPITALS INC        COMMON     53219L109    39313  1107402 SH    -  DEFINED 19          1107402        0        0
D LIGAND PHARMACEUTICALS, INC. C COMMON     53220K207    11326   883925 SH    -  DEFINED 01           499425        0   384500
D LIGAND PHARMACEUTICALS, INC. C COMMON     53220K207     5429   423700 SH    -  DEFINED 02           423700        0        0
D LIGAND PHARMACEUTICALS, INC. C COMMON     53220K207      142    11075 SH    -  DEFINED 05                0        0    11075
D LIGAND PHARMACEUTICALS, INC. C COMMON     53220K207    18761  1464250 SH    -  DEFINED 02          1336050        0   128200
D LIGHTPATH TECHNOLOGIES, INC. C COMMON     532257102       10      200 SH    -  DEFINED 02              200        0        0
D LIGHTPATH TECHNOLOGIES, INC. C COMMON     532257102      637    13400 SH    -  DEFINED 02            13400        0        0
D LIGHTSPAN INC                  COMMON     53226T103      277   113600 SH    -  DEFINED 02           113600        0        0
D LIGHTSPAN INC                  COMMON     53226T103       20     8300 SH    -  DEFINED 02             8300        0        0
D LILLY (ELI) & CO.              COMMON     532457108   773120  9529982 SH    -  DEFINED 02          7019632        0  2510350
D LILLY (ELI) & CO.              COMMON     532457108      933    11500 SH    -  OTHER   02                0        0    11500
D LILLY (ELI) & CO.              COMMON     532457108     4223    52059 SH    -  DEFINED 05            34879     2000    15180
D LILLY (ELI) & CO.              COMMON     532457108       41      500 SH    -  OTHER   05                0      500        0
D LILLY (ELI) & CO.              COMMON     532457108     1193    14700 SH    -  DEFINED 16            14700        0        0
D LILLY (ELI) & CO.              COMMON     532457108     2734    33700 SH    -  OTHER   09            33700        0        0
D LILLY (ELI) & CO.              COMMON     532457108     3651    45000 SH    -  OTHER   0304          45000        0        0
D LILLY (ELI) & CO.              COMMON     532457108   269364  3320360 SH    -  DEFINED 02          2432000        0   888360
D LILLY (ELI) & CO.              COMMON     532457108      560     6900 SH    -  OTHER   02             6900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 184
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LILLY (ELI) & CO.              COMMON     532457108   154448  1903832 SH    -  DEFINED 01          1053857     9875   836300
D LILLY (ELI) & CO.              COMMON     532457108   100699  1241280 SH    -  OTHER   01          1089061   137719    14500
D LILLY (ELI) & CO.              COMMON     532457108      154     1900 SH    -  OTHER   21                0     1900        0
D LILLY (ELI) & CO.              COMMON     532457108    18837   232200 SH    -  DEFINED 20           232200        0        0
D LILLY (ELI) & CO.              COMMON     532457108     4332    53400 SH    -  DEFINED 06            53400        0        0
D LILLY (ELI) & CO.              COMMON     532457108     9188   113250 SH    -  DEFINED 17           113250        0        0
D LILLY INDUSTRIES, INC. CLASS " COMMON     532491107      153     5197 SH    -  DEFINED 01                0        0     5197
D LILLY INDUSTRIES, INC. CLASS " COMMON     532491107     7997   271098 SH    -  DEFINED 16           271098        0        0
D LIMITED, INC.                  COMMON     532716107       40     1800 SH    -  DEFINED 05             1800        0        0
D LIMITED, INC.                  COMMON     532716107    88810  4025300 SH    -  DEFINED 02          2774800        0  1250500
D LIMITED, INC.                  COMMON     532716107      240    10900 SH    -  OTHER   02                0        0    10900
D LIMITED, INC.                  COMMON     532716107    87558  3968530 SH    -  DEFINED 01          3927400        0    41130
D LIMITED, INC.                  COMMON     532716107       26     1200 SH    -  OTHER   01             1200        0        0
D LIMITED, INC.                  COMMON     532716107      141     6400 SH    -  OTHER   21                0     6400        0
D LIMITED, INC.                  COMMON     532716107    38312  1736500 SH    -  DEFINED 02          1360500        0   376000
D LIMITED, INC.                  COMMON     532716107       71     3200 SH    -  OTHER   02             3200        0        0
D LIMITED, INC.                  COMMON     532716107      472    21400 SH    -  DEFINED 20            21400        0        0
D LINCARE HOLDINGS, INC.         COMMON     532791100     2074    72300 SH    -  DEFINED 02            72300        0        0
D LINCARE HOLDINGS, INC.         COMMON     532791100      425    14800 SH    -  DEFINED 01                0        0    14800
D LINCARE HOLDINGS, INC.         COMMON     532791100     1142    39800 SH    -  DEFINED 02                0        0    39800
D LINCOLN ELECTRIC HOLDINGS      COMMON     533900106      160    12000 SH    -  DEFINED 02            12000        0        0
D LINCOLN ELECTRIC HOLDINGS      COMMON     533900106        3      259 SH    -  DEFINED 16              259        0        0
D LINCOLN ELECTRIC HOLDINGS      COMMON     533900106      213    16000 SH    -  DEFINED 01                0        0    16000
D LINCOLN ELECTRIC HOLDINGS      COMMON     533900106      196    14700 SH    -  DEFINED 02            14700        0        0
D LINCOLN NATIONAL CORP.         COMMON     534187109    17542   364500 SH    -  DEFINED 02           275300        0    89200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 185
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LINCOLN NATIONAL CORP.         COMMON     534187109     1007    20920 SH    -  DEFINED 01            18000        0     2920
D LINCOLN NATIONAL CORP.         COMMON     534187109       10      200 SH    -  OTHER   01              200        0        0
D LINCOLN NATIONAL CORP.         COMMON     534187109      149     3100 SH    -  OTHER   21                0     3100        0
D LINCOLN NATIONAL CORP.         COMMON     534187109      438     9100 SH    -  DEFINED 20             9100        0        0
D LINCOLN NATIONAL CORP.         COMMON     534187109      828    17200 SH    -  DEFINED 17            17200        0        0
D LINCOLN NATIONAL CORP.         COMMON     534187109     1939    40300 SH    -  DEFINED 06            40300        0        0
D LINCOLN NATIONAL CORP.         COMMON     534187109    42037   873500 SH    -  DEFINED 02           475500        0   398000
D LINEAR TECHNOLOGY CORP.        COMMON     535678106    29643   457800 SH    -  DEFINED 02           303500        0   154300
D LINEAR TECHNOLOGY CORP.        COMMON     535678106      207     3200 SH    -  OTHER   02                0        0     3200
D LINEAR TECHNOLOGY CORP.        COMMON     535678106      181     2800 SH    -  DEFINED 20             2800        0        0
D LINEAR TECHNOLOGY CORP.        COMMON     535678106     2814    43660 SH    -  DEFINED 01            38500        0     5160
D LINEAR TECHNOLOGY CORP.        COMMON     535678106     1386    21400 SH    -  OTHER   01                0        0    21400
D LINEAR TECHNOLOGY CORP.        COMMON     535678106     9052   139800 SH    -  DEFINED 02            80500        0    59300
D LITHIA MOTORS,INC. "A"         COMMON     536797103       38     3100 SH    -  DEFINED 01                0        0     3100
D LITHIA MOTORS,INC. "A"         COMMON     536797103      343    28300 SH    -  DEFINED 02            28300        0        0
D LITTON INDUSTRIES, INC.        COMMON     538021106        9      200 SH    -  DEFINED 01              200        0        0
D LITTON INDUSTRIES, INC.        COMMON     538021106     1658    37100 SH    -  DEFINED 02            37100        0        0
D LIZ CLAIBORNE, INC.            COMMON     539320101    10403   270217 SH    -  DEFINED 01           153257        0   116960
D LIZ CLAIBORNE, INC.            COMMON     539320101       27      700 SH    -  DEFINED 17              700        0        0
D LO-JACK CORP.                  COMMON     539451104       94    12700 SH    -  DEFINED 01                0        0    12700
D LOCAL FINL CORP                COMMON     539553107      202    21300 SH    -  DEFINED 02            21300        0        0
D LOCKHEED MARTIN CORP.          COMMON     539830109    24258   735980 SH    -  DEFINED 02           616080        0   119900
D LOCKHEED MARTIN CORP.          COMMON     539830109       43     1300 SH    -  OTHER   02                0        0     1300
D LOCKHEED MARTIN CORP.          COMMON     539830109     1167    35414 SH    -  DEFINED 01            27714        0     7700
D LOCKHEED MARTIN CORP.          COMMON     539830109      297     9000 SH    -  OTHER   01                0     8000     1000
D LOCKHEED MARTIN CORP.          COMMON     539830109       26      800 SH    -  OTHER   21                0      800        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 186
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LOCKHEED MARTIN CORP.          COMMON     539830109    12864   390300 SH    -  DEFINED 02           232400        0   157900
D LOCKHEED MARTIN CORP.          COMMON     539830109      158     4800 SH    -  DEFINED 17             4800        0        0
D LOEWS CORP.                    COMMON     540424108      100     1200 SH    -  DEFINED 17             1200        0        0
D LOEWS CORP.                    COMMON     540424108     3168    38000 SH    -  DEFINED 01            38000        0        0
D LOEWS CORP.                    COMMON     540424108      125     1500 SH    -  DEFINED 05                0        0     1500
D LONE STAR STEAKHOUSE & SALOON, COMMON     542307103      398    53900 SH    -  DEFINED 02            53900        0        0
D LONE STAR STEAKHOUSE & SALOON, COMMON     542307103      406    55000 SH    -  DEFINED 02            55000        0        0
D LONE STAR TECHNOLOGIES, INC.   COMMON     542312103      600    13000 SH    -  DEFINED 01                0        0    13000
D LOUIS DREYFUS NATURAL GAS CORP COMMON     546011107      269     6800 SH    -  DEFINED 01                0        0     6800
D LOUIS DREYFUS NATURAL GAS CORP COMMON     546011107     1700    42900 SH    -  DEFINED 02            42900        0        0
D LOWE'S COMPANIES, INC.         COMMON     548661107    53365  1189200 SH    -  DEFINED 02           892800        0   296400
D LOWE'S COMPANIES, INC.         COMMON     548661107      112     2500 SH    -  OTHER   02             2500        0        0
D LOWE'S COMPANIES, INC.         COMMON     548661107     1067    23785 SH    -  OTHER   01             6435    12350     5000
D LOWE'S COMPANIES, INC.         COMMON     548661107     9379   208999 SH    -  DEFINED 01           139669     3600    65730
D LOWE'S COMPANIES, INC.         COMMON     548661107      108     2400 SH    -  OTHER   21                0     2400        0
D LOWE'S COMPANIES, INC.         COMMON     548661107      206     4600 SH    -  DEFINED 17             4600        0        0
D LOWE'S COMPANIES, INC.         COMMON     548661107      440     9800 SH    -  DEFINED 20             9800        0        0
D LOWE'S COMPANIES, INC.         COMMON     548661107   101615  2264400 SH    -  DEFINED 02          1351100        0   913300
D LOWE'S COMPANIES, INC.         COMMON     548661107      242     5400 SH    -  OTHER   02                0        0     5400
D LOWE'S COMPANIES, INC.         COMMON     548661107       22      500 SH    -  DEFINED 05              500        0        0
D LUBRIZOL CORP.                 COMMON     549271104       10      500 SH    -  DEFINED 05              500        0        0
D LUBRIZOL CORP.                 COMMON     549271104      394    20000 SH    -  OTHER   12                0    20000        0
D LUBRIZOL CORP.                 COMMON     549271104     3209   163000 SH    -  DEFINED 17           163000        0        0
D LUBRIZOL CORP.                 COMMON     549271104        5      250 SH    -  DEFINED 01              200        0       50
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107    79839  2612263 SH    -  DEFINED 01          1410572    17589  1178146
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107    11961   391351 SH    -  OTHER   01           126852   196353    68146

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 187
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107   211049  6905369 SH    -  DEFINED 02          4682575        0  2222794
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      388    12700 SH    -  OTHER   02            12700        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     3545   116000 SH    -  DEFINED 17           116000        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     7656   250500 SH    -  DEFINED 18           250500        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      380    12266 SH    -  DEFINED 19            12266        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     4820   157700 SH    -  DEFINED 20           157700        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      396    12960 SH    -  OTHER   11                0    12960        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      396    12960 SH    -  OTHER   10                0    12960        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     6637   217162 SH    -  DEFINED 05            91218     4800   121144
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      389    12716 SH    -  OTHER   05             7124     3000     2592
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     4586   150050 SH    -  DEFINED 16           150050        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     1681    55000 SH    -  OTHER   0304          55000        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107     1051    34400 SH    -  OTHER   09            34400        0        0
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107   411867 13475994 SH    -  DEFINED 02          8316334        0  5159660
D LUCENT TECHNOLOGIES, INC.      COMMON     549463107      889    29100 SH    -  OTHER   02                0        0    29100
D LYCOS, INC.                    COMMON     550818108    14435   226879 SH    -  DEFINED 16           226879        0        0
D LYCOS, INC.                    COMMON     550818108    24756   360000 SH    -  DEFINED 18           360000        0        0
D LYCOS, INC.                    COMMON     550818108    18743   272567 SH    -  DEFINED 01              800        0   266402
D LYONDELL PETROCHEMICAL CO.     COMMON     552078107       16     1360 SH    -  DEFINED 01             1360        0        0
D LYONDELL PETROCHEMICAL CO.     COMMON     552078107    23626  2000000 SH    -  DEFINED 19          2000000        0        0
D LYONDELL PETROCHEMICAL CO.     COMMON     552078107      213    18000 SH    -  DEFINED 16            18000        0        0
D LYONDELL PETROCHEMICAL CO.     COMMON     552078107       30     2500 SH    -  DEFINED 02             2500        0        0
D MBIA, INC.                     COMMON     55262C100   137237  1929522 SH    -  DEFINED 02          1426922        0   502600
D MBIA, INC.                     COMMON     55262C100      292     4100 SH    -  OTHER   02                0        0     4100
D MBIA, INC.                     COMMON     55262C100     2205    31000 SH    -  OTHER   09            31000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 188
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MBIA, INC.                     COMMON     55262C100     4268    60000 SH    -  OTHER   0304          60000        0        0
D MBIA, INC.                     COMMON     55262C100     3483    48975 SH    -  DEFINED 05            19575        0    29400
D MBIA, INC.                     COMMON     55262C100    18400   258700 SH    -  DEFINED 20           258700        0        0
D MBIA, INC.                     COMMON     55262C100       85     1200 SH    -  DEFINED 17             1200        0        0
D MBIA, INC.                     COMMON     55262C100    19639   276124 SH    -  DEFINED 01           200614     1800    73310
D MBIA, INC.                     COMMON     55262C100     7489   105298 SH    -  OTHER   01            36200    56998    12100
D MBIA, INC.                     COMMON     55262C100      341     4800 SH    -  OTHER   21                0     4800        0
D MBIA, INC.                     COMMON     55262C100    34033   478500 SH    -  DEFINED 02           359300        0   119200
D MBIA, INC.                     COMMON     55262C100       92     1300 SH    -  OTHER   02             1300        0        0
D MBNA CORP.                     COMMON     55262L100    52364  1360100 SH    -  DEFINED 02           875700        0   484400
D MBNA CORP.                     COMMON     55262L100       58     1500 SH    -  OTHER   02             1500        0        0
D MBNA CORP.                     COMMON     55262L100      243     6300 SH    -  OTHER   21                0     6300        0
D MBNA CORP.                     COMMON     55262L100     6391   166001 SH    -  DEFINED 01           139426        0    26575
D MBNA CORP.                     COMMON     55262L100       39     1000 SH    -  OTHER   01              500      500        0
D MBNA CORP.                     COMMON     55262L100      547    14200 SH    -  DEFINED 17            14200        0        0
D MBNA CORP.                     COMMON     55262L100      724    18800 SH    -  DEFINED 20            18800        0        0
D MBNA CORP.                     COMMON     55262L100     2751    71450 SH    -  DEFINED 05            17675        0    53775
D MBNA CORP.                     COMMON     55262L100     3688    95800 SH    -  DEFINED 16            95800        0        0
D MBNA CORP.                     COMMON     55262L100    85270  2214800 SH    -  DEFINED 02          1301200        0   913600
D MBNA CORP.                     COMMON     55262L100      350     9100 SH    -  OTHER   02                0        0     9100
D MCN CORP.                      COMMON     55267J100    19490   760600 SH    -  DEFINED 16           760600        0        0
D MCN CORP.                      COMMON     55267J100        9      368 SH    -  OTHER   01                0      368        0
D MCN CORP.                      COMMON     55267J100     1704    66500 SH    -  DEFINED 02            66500        0        0
D M. D. C. HOLDINGS, INC.        COMMON     552676108      751    28900 SH    -  DEFINED 02            28900        0        0
D M. D. C. HOLDINGS, INC.        COMMON     552676108      296    11400 SH    -  DEFINED 01                0        0    11400
D M. D. C. HOLDINGS, INC.        COMMON     552676108      978    37600 SH    -  DEFINED 02            37600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 189
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MFS MULTIMARKET INCOME TRUST - COMMON     552737108      186    30000 SH    -  DEFINED 01                0        0        0
D MGM GRAND, INC.                COMMON     552953101      204     5338 SH    -  DEFINED 01                0        0     5338
D MGM GRAND, INC.                COMMON     552953101      905    23700 SH    -  DEFINED 17            23700        0        0
D MGM GRAND, INC.                COMMON     552953101       83     2174 SH    -  DEFINED 02                0        0     2174
D MKS INSTRUMENT INC             COMMON     55306N104      370    13500 SH    -  DEFINED 02            10400        0     3100
D MKS INSTRUMENT INC             COMMON     55306N104     4168   152250 SH    -  DEFINED 01           147350        0     4900
D MKS INSTRUMENT INC             COMMON     55306N104      454    16600 SH    -  DEFINED 02            16600        0        0
D MMC NETWORKS INC               COMMON     55308N102     4959    39200 SH    -  DEFINED 02            39200        0        0
D MMC NETWORKS INC               COMMON     55308N102    13162   104050 SH    -  DEFINED 01            48200        0    55850
D MMC NETWORKS INC               COMMON     55308N102    11752    92900 SH    -  DEFINED 02            78000        0    14900
D MMC NETWORKS INC               COMMON     55308N102    43114   340822 SH    -  DEFINED 16           340822        0        0
D MMC NETWORKS INC               COMMON     55308N102      228     1800 SH    -  DEFINED 05                0        0     1800
D MRV COMMUNICATIONS, INC.       COMMON     553477100       18      400 SH    -  DEFINED 16              400        0        0
D MRV COMMUNICATIONS, INC.       COMMON     553477100      494    10900 SH    -  DEFINED 02             7000        0     3900
D MRV COMMUNICATIONS, INC.       COMMON     553477100      943    20800 SH    -  DEFINED 01                0        0    20800
D MRV COMMUNICATIONS, INC.       COMMON     553477100     1545    34100 SH    -  DEFINED 02            34100        0        0
D MRV COMMUNICATIONS, INC.       COMMON     553477100       18      400 SH    -  DEFINED 20              400        0        0
D M T S SYSTEMS CORP.            COMMON     553777103      208    29700 SH    -  DEFINED 01                0        0    29700
D MTI TECHNOLOGY CORP            COMMON     553903105       88    23000 SH    -  DEFINED 01                0        0    23000
D MTI TECHNOLOGY CORP            COMMON     553903105       80    21100 SH    -  DEFINED 02            21100        0        0
D MTI TECHNOLOGY CORP            COMMON     553903105        5     1200 SH    -  DEFINED 02             1200        0        0
D MTI TECHNOLOGY CORP            COMMON     553903105        0        5 SH    -  DEFINED 16                5        0        0
D MACDERMID, INC.                COMMON     554273102      397    18900 SH    -  DEFINED 01                0        0    18900
D MACERICH CO.                   COMMON     554382101     5791   272500 SH    -  DEFINED 02           272500        0        0
D MACERICH CO.                   COMMON     554382101    10704   503700 SH    -  DEFINED 02           497300        0     6400
D MACK CALI RLTY CORP            COMMON     554489104     4566   162000 SH    -  DEFINED 02           162000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 190
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MACK CALI RLTY CORP            COMMON     554489104     3786   134300 SH    -  DEFINED 02           134300        0        0
D MACROVISION CORP               COMMON     555904101     2997    37000 SH    -  DEFINED 02            37000        0        0
D MACROVISION CORP               COMMON     555904101        3       38 SH    -  DEFINED 01               38        0        0
D MACROVISION CORP               COMMON     555904101       16      200 SH    -  DEFINED 20              200        0        0
D MACROVISION CORP               COMMON     555904101      737     9100 SH    -  DEFINED 02                0        0     9100
D MACROMEDIA, INC.               COMMON     556100105      323     4000 SH    -  DEFINED 02                0        0     4000
D MACROMEDIA, INC.               COMMON     556100105     2990    37000 SH    -  DEFINED 18            37000        0        0
D MACROMEDIA, INC.               COMMON     556100105     2424    30000 SH    -  DEFINED 02            30000        0        0
D MAGELLAN HEALTH SVCS INC       COMMON     559079108       66    17100 SH    -  DEFINED 01                0        0    17100
D MATAV RT                       COMMON     559776109        1       30 SH    -  DEFINED 01               30        0        0
D MATAV RT                       COMMON     559776109      860    36500 SH    -  DEFINED 17            36500        0        0
D MAIL WELL INC   "CONV BOND"    BOND       560321AD3        0  2500000 PRN   -  DEFINED 16                0        0        0
D MAIL-WELL, INC.                COMMON     560321200      118    26700 SH    -  DEFINED 02            26700        0        0
D MALLINCKRODT INC NEW           COMMON     561232109      301     6600 SH    -  DEFINED 02                0        0     6600
D MALLINCKRODT INC NEW           COMMON     561232109      274     6000 SH    -  DEFINED 05                0        0     6000
D MALLINCKRODT INC NEW           COMMON     561232109       37      800 SH    -  DEFINED 17              800        0        0
D MALLINCKRODT INC NEW           COMMON     561232109     3080    67500 SH    -  DEFINED 02            67500        0        0
D MANAGEMENT NETWORK GROUP INC   COMMON     561693102     3549   170000 SH    -  DEFINED 01                0        0   170000
D MANDALAY RESORT GROUP          COMMON     562567107     1750    68300 SH    -  DEFINED 02            68300        0        0
D MANDALAY RESORT GROUP          COMMON     562567107      233     9100 SH    -  DEFINED 02             8800        0      300
D MANHATTAN ASSOCS INC           COMMON     562750109       43      700 SH    -  DEFINED 02              700        0        0
D MANHATTAN ASSOCS INC           COMMON     562750109     2358    38500 SH    -  DEFINED 02            38500        0        0
D MANHATTAN ASSOCS INC           COMMON     562750109      239     3900 SH    -  DEFINED 01                0        0     3900
D MANITOWOC, INC.                COMMON     563571108      274    14237 SH    -  DEFINED 01                0        0    14237
D MANITOWOC, INC.                COMMON     563571108     1138    59100 SH    -  DEFINED 02            59100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 191
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MANITOWOC, INC.                COMMON     563571108     1575    81800 SH    -  DEFINED 02            25200        0    56600
D MANITOWOC, INC.                COMMON     563571108        0        3 SH    -  DEFINED 16                3        0        0
D MANOR CARE INC NEW             COMMON     564055101      367    23400 SH    -  DEFINED 01                0        0    23400
D MANOR CARE INC NEW             COMMON     564055101       19     1200 SH    -  DEFINED 17             1200        0        0
D MANPOWER, INC.                 COMMON     56418H100      722    22600 SH    -  DEFINED 02            22600        0        0
D MANPOWER, INC.                 COMMON     56418H100      208     6500 SH    -  DEFINED 02                0        0     6500
D MANUFACTURED HOME COMMUNITIES, COMMON     564682102     7393   295700 SH    -  DEFINED 02           254300        0    41400
D MANUFACTURED HOME COMMUNITIES, COMMON     564682102     2605   104200 SH    -  DEFINED 02           104200        0        0
D MANUGISTICS GROUP, INC.        COMMON     565011103      579     5900 SH    -  DEFINED 02             5900        0        0
D MANUGISTICS GROUP, INC.        COMMON     565011103       10      100 SH    -  DEFINED 02              100        0        0
D MAPINFO CORP.                  COMMON     565105103        1       35 SH    -  DEFINED 16               35        0        0
D MAPINFO CORP.                  COMMON     565105103      503    16050 SH    -  DEFINED 02            16050        0        0
D MARCHFIRST INC                 COMMON     566244109      144     9200 SH    -  DEFINED 02             9200        0        0
D MARCHFIRST INC                 COMMON     566244109      177    11288 SH    -  DEFINED 01                0        0    11288
D MARCHFIRST INC                 COMMON     566244109        3      223 SH    -  DEFINED 16              223        0        0
D MARCHFIRST INC                 COMMON     566244109       28     1800 SH    -  DEFINED 02                0        0     1800
D MARCUS CORP.                   COMMON     566330106       98     9300 SH    -  DEFINED 02             9300        0        0
D MARCUS CORP.                   COMMON     566330106      258    24618 SH    -  DEFINED 16            24618        0        0
D MARCUS CORP.                   COMMON     566330106       46     4387 SH    -  DEFINED 01                0        0     4387
D MARKEL CORP.                   COMMON     570535104      258     1700 SH    -  DEFINED 01                0        0     1700
D MARKEL CORP.                   COMMON     570535104      463     3053 SH    -  OTHER   01                0     3053        0
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102    95083   716253 SH    -  DEFINED 01           383149     5700   327404
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102    26643   200701 SH    -  OTHER   01            42865   147761    10075
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102      106      800 SH    -  DEFINED 02                0        0      800
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102     3080    23200 SH    -  DEFINED 17            23200        0        0
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102     2615    19700 SH    -  OTHER   09            19700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 192
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102      810     6100 SH    -  DEFINED 05             4200        0     1900
D MARSH & MCLENNAN COMPANIES, IN COMMON     571748102     1500    11300 SH    -  DEFINED 02            11300        0        0
D MARSHALL & ILSLEY CORP.        COMMON     571834100    20305   405090 SH    -  DEFINED 02           213090        0   192000
D MARSHALL & ILSLEY CORP.        COMMON     571834100       25      500 SH    -  DEFINED 05              500        0        0
D MARSHALL & ILSLEY CORP.        COMMON     571834100      195     3900 SH    -  DEFINED 20             3900        0        0
D MARSHALL & ILSLEY CORP.        COMMON     571834100     6015   120000 SH    -  DEFINED 02           100600        0    19400
D MARSHALL & ILSLEY CORP.        COMMON     571834100     1060    21141 SH    -  DEFINED 01            12000        0     9141
D MARSHALL & ILSLEY CORP.        COMMON     571834100      105     2100 SH    -  OTHER   21                0     2100        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202      200     5500 SH    -  OTHER   21                0     5500        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202     7067   193945 SH    -  DEFINED 01           170775        0    23170
D MARRIOTT INTERNATIONAL INC     COMMON     571903202       47     1300 SH    -  OTHER   01             1300        0        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202    35396   971400 SH    -  DEFINED 02           725900        0   245500
D MARRIOTT INTERNATIONAL INC     COMMON     571903202       62     1700 SH    -  OTHER   02             1700        0        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202     1119    30700 SH    -  DEFINED 20            30700        0        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202      106     2900 SH    -  DEFINED 17             2900        0        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202       47     1300 SH    -  DEFINED 05             1300        0        0
D MARRIOTT INTERNATIONAL INC     COMMON     571903202    69801  1915600 SH    -  DEFINED 02          1157100        0   758500
D MARRIOTT INTERNATIONAL INC     COMMON     571903202      131     3600 SH    -  OTHER   02                0        0     3600
D MASCO CORP.                    COMMON     574599106       48     2600 SH    -  DEFINED 05                0        0     2600
D MASCO CORP.                    COMMON     574599106      101     5400 SH    -  DEFINED 17             5400        0        0
D MASCO CORP.                    COMMON     574599106      562    30176 SH    -  DEFINED 01             1600        0    28576
D MASCO CORP.                    COMMON     574599106      279    15000 SH    -  OTHER   01                0    15000        0
D MASCOTECH, INC.                COMMON     574670105      589    35540 SH    -  DEFINED 01              240        0    35300
D MASCOTECH, INC.                COMMON     574670105      643    38800 SH    -  DEFINED 16            38800        0        0
D MASTEC INC                     COMMON     576323109        0        5 SH    -  DEFINED 16                5        0        0
D MASTEC INC                     COMMON     576323109      113     3600 SH    -  DEFINED 02                0        0     3600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 193
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MASTEC INC                     COMMON     576323109        5      150 SH    -  DEFINED 01                0        0      150
D MASTEC INC                     COMMON     576323109      291     9300 SH    -  DEFINED 02             9300        0        0
D MASTEC INC                     COMMON     576323109        6      200 SH    -  DEFINED 20              200        0        0
D MATRIX PHARMACEUTICAL, INC.    COMMON     576844104      191    12300 SH    -  DEFINED 02            12300        0        0
D MATTEL, INC.                   COMMON     577081102    17253  1542100 SH    -  DEFINED 02          1026900        0   515200
D MATTEL, INC.                   COMMON     577081102       32     2900 SH    -  OTHER   02             2900        0        0
D MATTEL, INC.                   COMMON     577081102      118    10575 SH    -  DEFINED 01             9300        0     1275
D MATTEL, INC.                   COMMON     577081102       56     4978 SH    -  OTHER   01             4978        0        0
D MATTEL, INC.                   COMMON     577081102       21     1900 SH    -  OTHER   21                0     1900        0
D MATTEL, INC.                   COMMON     577081102     9999   893700 SH    -  DEFINED 20           893700        0        0
D MATTEL, INC.                   COMMON     577081102       57     5100 SH    -  DEFINED 17             5100        0        0
D MATTEL, INC.                   COMMON     577081102    50811  4541530 SH    -  DEFINED 02          3242330        0  1299200
D MATTHEWS INTL CORP             COMMON     577128101        0        2 SH    -  DEFINED 16                2        0        0
D MATTHEWS INTL CORP             COMMON     577128101      341    11600 SH    -  DEFINED 01                0        0    11600
D MATTSON TECHNOLOGY, INC.       COMMON     577223100      216    14500 SH    -  DEFINED 02            14500        0        0
D MATTSON TECHNOLOGY, INC.       COMMON     577223100        7      500 SH    -  DEFINED 02              500        0        0
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101     8173   101600 SH    -  DEFINED 02            68800        0    32800
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101      161     2000 SH    -  OTHER   02                0        0     2000
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101       36      444 SH    -  DEFINED 16              444        0        0
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101     6256    77850 SH    -  DEFINED 01             2200        0    75650
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101      273     3400 SH    -  DEFINED 17             3400        0        0
D MAXIM INTEGRATED PRODUCTS, INC COMMON     57772K101      193     2400 SH    -  DEFINED 20             2400        0        0
D MAXIM PHARMACEUTICALS INC      WARRANT    57772M107     1081    17800 SH    -  DEFINED 17                0        0        0
D MAXTOR CORP                    COMMON     577729205      126    12000 SH    -  DEFINED 20            12000        0        0
D MAXTOR CORP                    COMMON     577729205     2082   198300 SH    -  DEFINED 02           198300        0        0
D MAXTOR CORP                    COMMON     577729205        0       40 SH    -  DEFINED 16               40        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 194
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MAXTOR CORP                    COMMON     577729205     1749   166600 SH    -  DEFINED 02             5500        0   161100
D MAXWELL TECHNOLOGIES INC       COMMON     577767106      314    17300 SH    -  DEFINED 01                0        0    17300
D MAXYGEN INC                    COMMON     577776107     2782    53630 SH    -  DEFINED 01            28890        0    24740
D MAXYGEN INC                    COMMON     577776107      633    12200 SH    -  DEFINED 02            12200        0        0
D MAXYGEN INC                    COMMON     577776107     1713    33025 SH    -  DEFINED 02            27750        0     5275
D MAXYGEN INC                    COMMON     577776107       32      625 SH    -  DEFINED 05                0        0      625
D MAY DEPARTMENT STORES CO.      COMMON     577778103       12      600 SH    -  DEFINED 05              600        0        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103    60438  2948210 SH    -  DEFINED 02          1726310        0  1221900
D MAY DEPARTMENT STORES CO.      COMMON     577778103      199     9700 SH    -  OTHER   02                0        0     9700
D MAY DEPARTMENT STORES CO.      COMMON     577778103    30219  1474100 SH    -  DEFINED 02          1082800        0   391300
D MAY DEPARTMENT STORES CO.      COMMON     577778103       35     1700 SH    -  OTHER   02             1700        0        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103     2160   105362 SH    -  DEFINED 01            86000     1500    17862
D MAY DEPARTMENT STORES CO.      COMMON     577778103      485    23638 SH    -  OTHER   01             5502    18136        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103      111     5400 SH    -  OTHER   21                0     5400        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103      508    24800 SH    -  DEFINED 20            24800        0        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103       82     4000 SH    -  DEFINED 17             4000        0        0
D MAY DEPARTMENT STORES CO.      COMMON     577778103      923    45000 SH    -  DEFINED 06            45000        0        0
D MAVERICK TUBE CORP.            COMMON     577914104      504    18700 SH    -  DEFINED 01                0        0    18700
D MAYTAG CORP.                   COMMON     578592107      124     4000 SH    -  DEFINED 01             4000        0        0
D MAYTAG CORP.                   COMMON     578592107       28      900 SH    -  DEFINED 17              900        0        0
D MAYTAG CORP.                   COMMON     578592107      972    31300 SH    -  DEFINED 16            31300        0        0
D MCDATA CORP                    COMMON     580031102      332     2700 SH    -  DEFINED 02             2700        0        0
D MCDERMOTT INTERNATIONAL, INC.  COMMON     580037109    12374  1124900 SH    -  DEFINED 02           965700        0   159200
D MCDERMOTT INTERNATIONAL, INC.  COMMON     580037109        8      700 SH    -  DEFINED 17              700        0        0
D MCDERMOTT INTERNATIONAL, INC.  COMMON     580037109     6782   616500 SH    -  DEFINED 01           616500        0        0
D MCDERMOTT INTERNATIONAL, INC.  COMMON     580037109     6992   635600 SH    -  DEFINED 02           635600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 195
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MCDONALD'S CORP.               COMMON     580135101    13624   451300 SH    -  DEFINED 02           330900        0   120400
D MCDONALD'S CORP.               COMMON     580135101       12      400 SH    -  OTHER   02              400        0        0
D MCDONALD'S CORP.               COMMON     580135101    13303   440675 SH    -  OTHER   01            58450   352575    29650
D MCDONALD'S CORP.               COMMON     580135101    24239   802948 SH    -  DEFINED 01           283002     2100   505846
D MCDONALD'S CORP.               COMMON     580135101      193     6400 SH    -  OTHER   21                0     6400        0
D MCDONALD'S CORP.               COMMON     580135101     1962    65000 SH    -  DEFINED 06            65000        0        0
D MCDONALD'S CORP.               COMMON     580135101    17002   563208 SH    -  DEFINED 18           563208        0        0
D MCDONALD'S CORP.               COMMON     580135101     6059   200700 SH    -  DEFINED 20           200700        0        0
D MCDONALD'S CORP.               COMMON     580135101    45702  1513900 SH    -  DEFINED 02          1152800        0   361100
D MCDONALD'S CORP.               COMMON     580135101       24      800 SH    -  OTHER   02                0        0      800
D MCDONALD'S CORP.               COMMON     580135101     2034    67375 SH    -  DEFINED 05            23075        0    44300
D MCGRATH RENT CORP.             COMMON     580589109      312    16400 SH    -  DEFINED 01                0        0    16400
D MCGRAW-HILL, INC.              COMMON     580645109     6321    99452 SH    -  DEFINED 01            90152     2000     7300
D MCGRAW-HILL, INC.              COMMON     580645109     3458    54400 SH    -  OTHER   01                0    54400        0
D MCGRAW-HILL, INC.              COMMON     580645109      146     2300 SH    -  DEFINED 17             2300        0        0
D MCGRAW-HILL, INC.              COMMON     580645109       24      375 SH    -  DEFINED 05              375        0        0
D MCGRAW-HILL, INC.              COMMON     580645109     1519    23900 SH    -  DEFINED 02                0        0    23900
D MCKESSON HBOC INC              COMMON     58155Q103      104     3400 SH    -  DEFINED 17             3400        0        0
D MCKESSON HBOC INC              COMMON     58155Q103      733    23974 SH    -  DEFINED 01              200        0    23774
D MCLEOD INC                     COMMON     582266102      614    42903 SH    -  DEFINED 01            28872        0    14031
D MCLEOD INC                     COMMON     582266102      393    27429 SH    -  OTHER   01            27429        0        0
D MCLEOD INC                     COMMON     582266102     2197   153500 SH    -  DEFINED 02            60800        0    92700
D MCLEOD INC                     COMMON     582266102      429    30000 SH    -  DEFINED 05                0        0    30000
D MCLEOD INC                     COMMON     582266102        7      467 SH    -  DEFINED 16              467        0        0
D MCLEODUSA INC                  PREFERRED  582266201     9178    23900 SH    -  DEFINED 16                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 196
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MEAD CORP.                     COMMON     582834107     1123    48025 SH    -  DEFINED 05            15925        0    32100
D MEAD CORP.                     COMMON     582834107      508    21750 SH    -  DEFINED 01            18650        0     3100
D MEAD CORP.                     COMMON     582834107     1616    69150 SH    -  OTHER   01             9500    55650     4000
D MEAD CORP.                     COMMON     582834107       28     1200 SH    -  DEFINED 17             1200        0        0
D MEAD CORP.                     COMMON     582834107      108     4600 SH    -  DEFINED 06             4600        0        0
D MEADE INSTRUMENTS CORP         COMMON     583062104     7802   386450 SH    -  DEFINED 01           255275        0   131175
D MEADE INSTRUMENTS CORP         COMMON     583062104     3337   165300 SH    -  DEFINED 02           165300        0        0
D MEADE INSTRUMENTS CORP         COMMON     583062104       79     3900 SH    -  DEFINED 05                0        0     3900
D MEADE INSTRUMENTS CORP         COMMON     583062104        1       60 SH    -  DEFINED 16               60        0        0
D MEADE INSTRUMENTS CORP         COMMON     583062104     7764   384600 SH    -  DEFINED 02           323000        0    61600
D MECHANICAL TECHNOLOGY INC      COMMON     583538103      973    90000 SH    -  DEFINED 01                0        0    90000
D MEDAREX INC                    COMMON     583916101        2       20 SH    -  DEFINED 01               20        0        0
D MEDAREX INC                    COMMON     583916101     1936    16500 SH    -  DEFINED 02            16500        0        0
D MEDAREX INC                    COMMON     583916101      411     3500 SH    -  DEFINED 02                0        0     3500
D MEDALLION FINANCIAL CORP.      COMMON     583928106     4358   259200 SH    -  DEFINED 02           222600        0    36600
D MEDALLION FINANCIAL CORP.      COMMON     583928106     2275   135300 SH    -  DEFINED 02           135300        0        0
D MEDIA METRIX INC               COMMON     58440X103      585    36699 SH    -  DEFINED 19            36699        0        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107      813    18900 SH    -  DEFINED 02            18900        0        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107      215     5000 SH    -  OTHER   01                0     5000        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107      400     9300 SH    -  DEFINED 02             9300        0        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107      430    10000 SH    -  OTHER   10                0    10000        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107     1720    40000 SH    -  OTHER   12                0    40000        0
D MEDIA GENERAL, INC. CLASS "A"  COMMON     584404107      430    10000 SH    -  OTHER   11                0    10000        0
D MEDICALOGIC/MEDSCAPE INC       COMMON     584642102        2      423 SH    -  DEFINED 16              423        0        0
D MEDICALOGIC/MEDSCAPE INC       COMMON     584642102       33     9200 SH    -  DEFINED 02             9200        0        0
D MEDICALOGIC/MEDSCAPE INC       COMMON     584642102      228    64100 SH    -  DEFINED 02            64100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 197
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MEDICIS PHARMACEUTICAL CORP.   COMMON     584690309     1095    17800 SH    -  DEFINED 02            17800        0        0
D MEDICIS PHARMACEUTICAL CORP.   COMMON     584690309      670    10900 SH    -  DEFINED 01                0        0    10900
D MEDICIS PHARMACEUTICAL CORP.   COMMON     584690309       37      600 SH    -  DEFINED 20              600        0        0
D MEDICIS PHARMACEUTICAL CORP.   COMMON     584690309     1501    24400 SH    -  DEFINED 02              400        0    24000
D MEDIMMUNE, INC.                COMMON     584699102    17466   226095 SH    -  DEFINED 02           224250        0     1845
D MEDIMMUNE, INC.                COMMON     584699102        4       48 SH    -  DEFINED 16               48        0        0
D MEDIMMUNE, INC.                COMMON     584699102     1055    13660 SH    -  DEFINED 17            13660        0        0
D MEDIMMUNE, INC.                COMMON     584699102     3329    43095 SH    -  DEFINED 01             6845        0    36250
D MEDIMMUNE, INC.                COMMON     584699102      476     6165 SH    -  OTHER   01             6165        0        0
D MEDQUIST, INC.                 COMMON     584949101      390    19333 SH    -  DEFINED 16            19333        0        0
D MEDTRONIC, INC.                COMMON     585055106     2824    54500 SH    -  DEFINED 16            54500        0        0
D MEDTRONIC, INC.                COMMON     585055106      617    11900 SH    -  DEFINED 05             7500        0     4400
D MEDTRONIC, INC.                COMMON     585055106   120062  2317220 SH    -  DEFINED 02          1890700        0   426520
D MEDTRONIC, INC.                COMMON     585055106    23973   462675 SH    -  DEFINED 01           271154        0   191521
D MEDTRONIC, INC.                COMMON     585055106     8473   163540 SH    -  OTHER   01             1150   162390        0
D MEDTRONIC, INC.                COMMON     585055106    32875   634500 SH    -  DEFINED 02           333400        0   301100
D MEDTRONIC, INC.                COMMON     585055106     8180   157872 SH    -  DEFINED 18           157872        0        0
D MEDTRONIC, INC.                COMMON     585055106      352     6800 SH    -  DEFINED 20             6800        0        0
D MELLON FINL CORP               COMMON     58551A108      631    13600 SH    -  DEFINED 20            13600        0        0
D MELLON FINL CORP               COMMON     58551A108     8853   190907 SH    -  DEFINED 01            75792        0   115115
D MELLON FINL CORP               COMMON     58551A108     1714    36956 SH    -  OTHER   01             7756    29200        0
D MELLON FINL CORP               COMMON     58551A108    13634   294000 SH    -  DEFINED 02             9900        0   284100
D MELLON FINL CORP               COMMON     58551A108      608    13100 SH    -  DEFINED 05            13100        0        0
D MENTOR CORP.                   COMMON     587188103        3      200 SH    -  DEFINED 02              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 198
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MENTOR CORP.                   COMMON     587188103      287    18200 SH    -  DEFINED 01                0        0    18200
D MENTOR GRAPHICS CORP.          COMMON     587200106      869    36900 SH    -  DEFINED 01                0        0    36900
D MENTOR GRAPHICS CORP.          COMMON     587200106     2448   103900 SH    -  DEFINED 02           103900        0        0
D MENTOR GRAPHICS CORP.          COMMON     587200106      224     9500 SH    -  DEFINED 20             9500        0        0
D MENTOR GRAPHICS CORP.          COMMON     587200106      285    12100 SH    -  DEFINED 02             2600        0     9500
D MERCANTILE BANKSHARES CORP.    COMMON     587405101     7403   203950 SH    -  DEFINED 02           139450        0    64500
D MERCANTILE BANKSHARES CORP.    COMMON     587405101     2947    81200 SH    -  DEFINED 02            77100        0     4100
D MERCANTILE BANKSHARES CORP.    COMMON     587405101      125     3456 SH    -  DEFINED 01             1800        0     1656
D MERCANTILE BANKSHARES CORP.    COMMON     587405101       82     2250 SH    -  OTHER   01                0     2250        0
D MERCANTILE BANKSHARES CORP.    COMMON     587405101        7      200 SH    -  OTHER   21                0      200        0
D MERCK & CO., INC.              COMMON     589331107      752    10100 SH    -  OTHER   21                0    10100        0
D MERCK & CO., INC.              COMMON     589331107   457444  6145306 SH    -  DEFINED 01          2517475   147170  3424411
D MERCK & CO., INC.              COMMON     589331107   172094  2311917 SH    -  OTHER   01           458573  1619365   233979
D MERCK & CO., INC.              COMMON     589331107   297841  4001200 SH    -  DEFINED 02          2959100        0  1042100
D MERCK & CO., INC.              COMMON     589331107      380     5100 SH    -  OTHER   02             5100        0        0
D MERCK & CO., INC.              COMMON     589331107    16950   227700 SH    -  DEFINED 20           227700        0        0
D MERCK & CO., INC.              COMMON     589331107    10421   140000 SH    -  DEFINED 18           140000        0        0
D MERCK & CO., INC.              COMMON     589331107   806469 10834110 SH    -  DEFINED 02          7743910        0  3090200
D MERCK & CO., INC.              COMMON     589331107     1117    15000 SH    -  OTHER   02                0        0    15000
D MERCK & CO., INC.              COMMON     589331107    10817   145317 SH    -  DEFINED 05            75951     2900    66466
D MERCK & CO., INC.              COMMON     589331107     1277    17158 SH    -  OTHER   05             5458    10100     1600
D MERCK & CO., INC.              COMMON     589331107     3871    52000 SH    -  OTHER   12                0    52000        0
D MERCK & CO., INC.              COMMON     589331107     1604    21800 SH    -  DEFINED 16            21800        0        0
D MERCK & CO., INC.              COMMON     589331107     2605    35000 SH    -  OTHER   0304          35000        0        0
D MERCURY COMPUTER SYS           COMMON     589378108        0        3 SH    -  DEFINED 16                3        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 199
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MERCURY COMPUTER SYS           COMMON     589378108     1608    57800 SH    -  DEFINED 02             1200        0    56600
D MERCURY COMPUTER SYS           COMMON     589378108      136     4900 SH    -  DEFINED 20             4900        0        0
D MERCURY COMPUTER SYS           COMMON     589378108      832    29900 SH    -  DEFINED 02            29900        0        0
D MERCURY COMPUTER SYS           COMMON     589378108      300    10800 SH    -  DEFINED 01                0        0    10800
D MERCURY COMPUTER SYS           COMMON     589378108     1524    54800 SH    -  OTHER   01                0    54800        0
D MERCURY GENERAL CORP.          COMMON     589400100      286    10100 SH    -  DEFINED 02            10100        0        0
D MERCURY GENERAL CORP.          COMMON     589400100     6775   239300 SH    -  DEFINED 02           239300        0        0
D MERCURY INTERACTIVE CORP 'CONV BOND       589405AA7        0 13500000 PRN   -  DEFINED 16                0        0        0
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109       53      338 SH    -  DEFINED 16              338        0        0
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109      564     3600 SH    -  DEFINED 05                0        0     3600
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109     5572    35550 SH    -  DEFINED 02            24975        0    10575
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109    26583   169586 SH    -  DEFINED 01            38736        0   130850
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109      110      700 SH    -  DEFINED 20              700        0        0
D MERCURY INTERACTIVE CORPORATIO COMMON     589405109      157     1000 SH    -  DEFINED 17             1000        0        0
D MERIDIAN RESOURCE CORP         COMMON     58977Q109      268    39000 SH    -  DEFINED 02            39000        0        0
D MERISTAR HOSPITALITY CORP      COMMON     58984Y103     6887   340100 SH    -  DEFINED 02           340100        0        0
D MERISTAR HOSPITALITY CORP      COMMON     58984Y103    13764   679721 SH    -  DEFINED 02           679721        0        0
D MERIDIAN GOLD INC              COMMON     589975101      114    16800 SH    -  DEFINED 01                0        0    16800
D MERRILL LYNCH & CO., INC.      COMMON     590188108    12729   192870 SH    -  DEFINED 01           155650     3600    33620
D MERRILL LYNCH & CO., INC.      COMMON     590188108     1584    24000 SH    -  OTHER   01             8100    15900        0
D MERRILL LYNCH & CO., INC.      COMMON     590188108      752    11400 SH    -  OTHER   21                0    11400        0
D MERRILL LYNCH & CO., INC.      COMMON     590188108   185717  2813900 SH    -  DEFINED 02          2082300        0   731600
D MERRILL LYNCH & CO., INC.      COMMON     590188108      370     5600 SH    -  OTHER   02             5600        0        0
D MERRILL LYNCH & CO., INC.      COMMON     590188108       13      200 SH    -  DEFINED 18              200        0        0
D MERRILL LYNCH & CO., INC.      COMMON     590188108     2046    31000 SH    -  DEFINED 20            31000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 200
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MERRILL LYNCH & CO., INC.      COMMON     590188108   338620  5130600 SH    -  DEFINED 02          3106500        0  2024100
D MERRILL LYNCH & CO., INC.      COMMON     590188108      739    11200 SH    -  OTHER   02                0        0    11200
D MERRILL LYNCH & CO., INC.      COMMON     590188108      132     2000 SH    -  DEFINED 05             2000        0        0
D MERRILL LYNCH & CO., INC.      COMMON     590188108      330     5000 SH    -  DEFINED 16             5000        0        0
D MESA AIR GROUP INC             COMMON     590479101       71    13007 SH    -  DEFINED 01             7607        0     5400
D METASOLV SOFTWARE INC          COMMON     591393103     9329   228230 SH    -  DEFINED 01           124640        0   103590
D METASOLV SOFTWARE INC          COMMON     591393103     2248    55000 SH    -  DEFINED 02            55000        0        0
D METASOLV SOFTWARE INC          COMMON     591393103      130     3175 SH    -  DEFINED 05                0        0     3175
D METASOLV SOFTWARE INC          COMMON     591393103     6256   153050 SH    -  DEFINED 02           128525        0    24525
D METHANEX CORP.                 COMMON     59151K108      278    55000 SH    -  DEFINED 16            55000        0        0
D METHODE ELECTRONICS, INC.      COMMON     591520200      372     8400 SH    -  DEFINED 16             8400        0        0
D METHODE ELECTRONICS, INC.      COMMON     591520200       18      400 SH    -  DEFINED 02              400        0        0
D METHODE ELECTRONICS, INC.      COMMON     591520200      425     9600 SH    -  DEFINED 01                0        0     9600
D METLIFE INC                    COMMON     59156R108     5954   227360 SH    -  DEFINED 01           191200        0    36160
D METLIFE INC                    COMMON     59156R108       42     1600 SH    -  OTHER   01             1600        0        0
D METLIFE INC                    COMMON     59156R108      186     7100 SH    -  OTHER   21                0     7100        0
D METLIFE INC                    COMMON     59156R108    91477  3493100 SH    -  DEFINED 02          2760100        0   733000
D METLIFE INC                    COMMON     59156R108      194     7400 SH    -  OTHER   02             7400        0        0
D METLIFE INC                    COMMON     59156R108      615    23500 SH    -  DEFINED 20            23500        0        0
D METLIFE INC                    COMMON     59156R108       55     2100 SH    -  DEFINED 05             2100        0        0
D METLIFE INC                    COMMON     59156R108   264249 10090460 SH    -  DEFINED 02          7456360        0  2634100
D METLIFE INC                    COMMON     59156R108      244     9300 SH    -  OTHER   02                0        0     9300
D METRIS COMPANIES, INC.         COMMON     591598107     5939   150350 SH    -  DEFINED 02             1700        0   148650
D METRIS COMPANIES, INC.         COMMON     591598107        0       11 SH    -  DEFINED 16               11        0        0
D METRIS COMPANIES, INC.         COMMON     591598107      201     5100 SH    -  DEFINED 20             5100        0        0
D METRIS COMPANIES, INC.         COMMON     591598107     1343    34000 SH    -  DEFINED 02            34000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 201
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D METRO-GOLDWYN-MAYER INC.       COMMON     591610100      821    34200 SH    -  DEFINED 02                0        0    34200
D METROCALL, INC.                COMMON     591647102      121    40200 SH    -  DEFINED 02            40200        0        0
D METROCALL, INC.                COMMON     591647102      574   191300 SH    -  DEFINED 02           191300        0        0
D METROCALL, INC.                COMMON     591647102       55    18270 SH    -  DEFINED 01                0        0    18270
D METROMEDIA FIBER NETWORK INC   COMMON     591689104       75     3100 SH    -  DEFINED 01             3100        0        0
D METROMEDIA FIBER NETWORK INC   COMMON     591689104      566    23300 SH    -  DEFINED 02                0        0    23300
D METROMEDIA FIBER NETWORK INC   COMMON     591689104       73     3000 SH    -  DEFINED 20             3000        0        0
D METROMEDIA FIBER NETWORK INC   COMMON     591689104      584    24000 SH    -  DEFINED 06            24000        0        0
D METROMEDIA FIBER NETWORK INC   COMMON     591689104      320    13170 SH    -  DEFINED 17            13170        0        0
D METROMEDIA FIBER NETWORK INC   COMMON     591689104       49     2000 SH    -  OTHER   02                0        0     2000
D METROMEDIA FIBER NETWORK INC   COMMON     591689104     7868   323600 SH    -  DEFINED 02           203000        0   120600
D METROMEDIA INTERNATIONAL GROUP COMMON     591695101       42    11200 SH    -  DEFINED 02            11200        0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105    17904   406900 SH    -  DEFINED 02           345600        0    61300
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105     6882   156400 SH    -  DEFINED 02           156400        0        0
D METTLER TOLEDO INTERNATIONAL   COMMON     592688105    12884   292810 SH    -  DEFINED 01           292810        0        0
D MICHAEL FOODS, INC.            COMMON     594079105      776    33200 SH    -  DEFINED 01                0        0    33200
D MICHAEL FOODS, INC.            COMMON     594079105      400    17100 SH    -  DEFINED 02            17100        0        0
D MICHAELS STORES, INC.          COMMON     594087108     3004    75100 SH    -  DEFINED 02             5500        0    69600
D MICHAELS STORES, INC.          COMMON     594087108        0       10 SH    -  DEFINED 16               10        0        0
D MICHAELS STORES, INC.          COMMON     594087108      512    12800 SH    -  DEFINED 01                0        0    12800
D MICHAELS STORES, INC.          COMMON     594087108     1280    32000 SH    -  DEFINED 02            32000        0        0
D MICHAELS STORES, INC.          COMMON     594087108      168     4200 SH    -  DEFINED 20             4200        0        0
D MICREL, INC.                   COMMON     594793101       34      500 SH    -  DEFINED 20              500        0        0
D MICREL, INC.                   COMMON     594793101       73     1090 SH    -  DEFINED 01               40        0     1050
D MICREL, INC.                   COMMON     594793101     1340    20000 SH    -  DEFINED 02                0        0    20000
D MICROSOFT CORP.                COMMON     594918104  1522595 25244895 SH    -  DEFINED 02         16490495        0  8754400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 202
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MICROSOFT CORP.                COMMON     594918104     2063    34200 SH    -  OTHER   02                0        0    34200
D MICROSOFT CORP.                COMMON     594918104    13323   240320 SH    -  DEFINED 16           240320        0        0
D MICROSOFT CORP.                COMMON     594918104     4584    76000 SH    -  OTHER   0304          76000        0        0
D MICROSOFT CORP.                COMMON     594918104     4615    76525 SH    -  OTHER   09            76525        0        0
D MICROSOFT CORP.                COMMON     594918104    11682   193695 SH    -  DEFINED 05           100495     5650    87550
D MICROSOFT CORP.                COMMON     594918104     1526    25300 SH    -  OTHER   05            19500     1000     4800
D MICROSOFT CORP.                COMMON     594918104   280688  4653854 SH    -  DEFINED 01          2585214    53782  2007108
D MICROSOFT CORP.                COMMON     594918104    85971  1425419 SH    -  OTHER   01           298275   927792   199352
D MICROSOFT CORP.                COMMON     594918104       90     1500 SH    -  OTHER   21                0     1500        0
D MICROSOFT CORP.                COMMON     594918104    30832   511200 SH    -  DEFINED 20           511200        0        0
D MICROSOFT CORP.                COMMON     594918104   659694 10937835 SH    -  DEFINED 02          7932500        0  3005335
D MICROSOFT CORP.                COMMON     594918104     1218    20200 SH    -  OTHER   02            20200        0        0
D MICROSOFT CORP.                COMMON     594918104     5618    93154 SH    -  DEFINED 17            93154        0        0
D MICROSOFT CORP.                COMMON     594918104    47247   783371 SH    -  DEFINED 18           783371        0        0
D MICROSTRATEGY INC              COMMON     594972101     1019    37300 SH    -  DEFINED 02            37300        0        0
D MICROSTRATEGY INC              COMMON     594972101      882    32300 SH    -  DEFINED 01                0        0    32300
D MICROSTRATEGY INC              COMMON     594972101       22      800 SH    -  DEFINED 02              800        0        0
D MICROCHIP TECHNOLOGY, INC.     COMMON     595017104     1700    51430 SH    -  DEFINED 02            34105        0    17325
D MICROCHIP TECHNOLOGY, INC.     COMMON     595017104      107     3225 SH    -  DEFINED 05                0        0     3225
D MICROCHIP TECHNOLOGY, INC.     COMMON     595017104    10963   331571 SH    -  DEFINED 01           185547        0   146024
D MICROCHIP TECHNOLOGY, INC.     COMMON     595017104      496    15000 SH    -  DEFINED 06            15000        0        0
D MICROFINANCIAL INC             COMMON     595072109     1340   148900 SH    -  DEFINED 02           148900        0        0
D MICROFINANCIAL INC             COMMON     595072109     1228   136400 SH    -  DEFINED 02           121800        0    14600
D MICROMUSE INC.                 COMMON     595094103     9204    45806 SH    -  DEFINED 02            38826        0     6980
D MICROMUSE INC.                 COMMON     595094103     4692    23350 SH    -  DEFINED 02            22300        0     1050
D MICROMUSE INC.                 COMMON     595094103     1894     9428 SH    -  DEFINED 01               28        0     9400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 203
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MICROMUSE INC.                 COMMON     595094103     9168    45626 SH    -  DEFINED 20            45626        0        0
D MICRON ELECTRONICS INC         COMMON     595100108        2      200 SH    -  DEFINED 01                0        0      200
D MICRON ELECTRONICS INC         COMMON     595100108      254    28200 SH    -  DEFINED 02            28200        0        0
D MICRON ELECTRONICS INC         COMMON     595100108        0       30 SH    -  DEFINED 16               30        0        0
D MICRON TECHNOLOGY, INC.        COMMON     595112103       41      900 SH    -  DEFINED 05              900        0        0
D MICRON TECHNOLOGY, INC.        COMMON     595112103   152837  3322540 SH    -  DEFINED 02          2191590        0  1130950
D MICRON TECHNOLOGY, INC.        COMMON     595112103      304     6600 SH    -  OTHER   02                0        0     6600
D MICRON TECHNOLOGY, INC.        COMMON     595112103    72257  1570800 SH    -  DEFINED 02          1148800        0   422000
D MICRON TECHNOLOGY, INC.        COMMON     595112103      129     2800 SH    -  OTHER   02             2800        0        0
D MICRON TECHNOLOGY, INC.        COMMON     595112103     4922   107002 SH    -  DEFINED 01            91442        0    15560
D MICRON TECHNOLOGY, INC.        COMMON     595112103       32      700 SH    -  OTHER   01              700        0        0
D MICRON TECHNOLOGY, INC.        COMMON     595112103     3280    71300 SH    -  DEFINED 20            71300        0        0
D MICRON TECHNOLOGY, INC.        COMMON     595112103      423     9200 SH    -  DEFINED 17             9200        0        0
D MICROWAVE POWER DEVICES, INC.  COMMON     59517M103      239    38300 SH    -  DEFINED 16            38300        0        0
D MID ATLANTIC MEDICAL SERVICES, COMMON     59523C107      219    14500 SH    -  DEFINED 01                0        0    14500
D MIDWAY GAMES INC               COMMON     598148104       77    11018 SH    -  DEFINED 01                0        0    11018
D MIKASA, INC.                   COMMON     59862T109      175    10700 SH    -  DEFINED 01                0        0    10700
D MIIX GROUP INC                 COMMON     59862V104      178    21400 SH    -  DEFINED 02            21400        0        0
D MIIX GROUP INC                 COMMON     59862V104      450    54100 SH    -  DEFINED 02            45900        0     8200
D MILACRON INC                   COMMON     598709103      522    39200 SH    -  DEFINED 02            39200        0        0
D MILACRON INC                   COMMON     598709103     1667   125200 SH    -  DEFINED 02           125200        0        0
D MILACRON INC                   COMMON     598709103        4      300 SH    -  DEFINED 17              300        0        0
D MILLENNIUM PHARMACEUTICALS"CON BOND       599902AB9        0  3632000 PRN   -  DEFINED 16                0        0        0
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103      380     2600 SH    -  DEFINED 05                0        0     2600
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103    16936   115950 SH    -  DEFINED 02            97175        0    18775
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103       88      600 SH    -  OTHER   02                0        0      600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 204
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103      102      700 SH    -  DEFINED 20              700        0        0
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103      365     2500 SH    -  DEFINED 02             2500        0        0
D MILLENNIUM PHARMACEUTICALS, IN COMMON     599902103    23680   162125 SH    -  DEFINED 01            33900        0   128225
D MILLENNIUM CHEMICALS INC       COMMON     599903101        5      350 SH    -  DEFINED 01              350        0        0
D MILLENNIUM CHEMICALS INC       COMMON     599903101      470    31700 SH    -  DEFINED 02            31700        0        0
D MILLER (HERMAN), INC.          COMMON     600544100      571    17800 SH    -  DEFINED 02            17800        0        0
D MILLER (HERMAN), INC.          COMMON     600544100      128     4000 SH    -  OTHER   01             4000        0        0
D MILLS CORP.                    COMMON     601148109      187     9900 SH    -  DEFINED 20             9900        0        0
D MILLS CORP.                    COMMON     601148109      992    52400 SH    -  DEFINED 02            42500        0     9900
D MINE SAFETY APPLIANCES, CO.    COMMON     602720104      126     5700 SH    -  DEFINED 02             5700        0        0
D MINE SAFETY APPLIANCES, CO.    COMMON     602720104       86     3900 SH    -  DEFINED 05             3900        0        0
D MINE SAFETY APPLIANCES, CO.    COMMON     602720104      159     7200 SH    -  OTHER   01                0     7200        0
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106    17570   381965 SH    -  DEFINED 01           241140        0   140825
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106     6017   130800 SH    -  DEFINED 02           130800        0        0
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106     3266    71000 SH    -  DEFINED 17            71000        0        0
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106      160     3475 SH    -  DEFINED 05                0        0     3475
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106     2530    55000 SH    -  DEFINED 16            55000        0        0
D MINERALS TECHNOLOGIES, INC.    COMMON     603158106    13125   285325 SH    -  DEFINED 02           243250        0    42075
D MINIMED, INC.                  COMMON     60365K108     1144    12800 SH    -  DEFINED 02                0        0    12800
D MINIMED, INC.                  COMMON     60365K108      298     3332 SH    -  DEFINED 01             3332        0        0
D MINNESOTA MINING & MANUFACTURI COMMON     604059105    31613   346920 SH    -  DEFINED 01           158334        0   185886
D MINNESOTA MINING & MANUFACTURI COMMON     604059105    14581   160015 SH    -  OTHER   01            30944   129071        0
D MINNESOTA MINING & MANUFACTURI COMMON     604059105        9      100 SH    -  OTHER   21                0      100        0
D MINNESOTA MINING & MANUFACTURI COMMON     604059105      547     6000 SH    -  DEFINED 02             4100        0     1900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 205
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MINNESOTA MINING & MANUFACTURI COMMON     604059105     1613    17700 SH    -  DEFINED 02            15900        0     1800
D MINNESOTA MINING & MANUFACTURI COMMON     604059105      474     5200 SH    -  DEFINED 05             2800        0     2400
D MINNESOTA MINING & MANUFACTURI COMMON     604059105       55      600 SH    -  OTHER   05              600        0        0
D MISSION WEST PPTYS INC         COMMON     605203108     8476   610900 SH    -  DEFINED 02           563200        0    47700
D MISSION WEST PPTYS INC         COMMON     605203108     4971   358300 SH    -  DEFINED 02           358300        0        0
D MITCHELL ENERGY & DEV. CORP. C COMMON     606592202      797    17100 SH    -  DEFINED 01                0        0    17100
D MITCHELL ENERGY & DEV. CORP. C COMMON     606592202      900    19300 SH    -  DEFINED 02             6400        0    12900
D MODINE MANUFACTURING CO.       COMMON     607828100      282    10000 SH    -  DEFINED 02            10000        0        0
D MODINE MANUFACTURING CO.       COMMON     607828100      417    14800 SH    -  DEFINED 01                0        0    14800
D MODINE MANUFACTURING CO.       COMMON     607828100     1228    43600 SH    -  DEFINED 02            43600        0        0
D MODIS PROFESSIONAL SERVICES, I COMMON     607830106      542   104500 SH    -  DEFINED 02           104500        0        0
D MODIS PROFESSIONAL SERVICES, I COMMON     607830106        4      800 SH    -  DEFINED 02              800        0        0
D MOHAWK INDUSTRIES, INC.        COMMON     608190104     1605    73600 SH    -  DEFINED 02            73600        0        0
D MOHAWK INDUSTRIES, INC.        COMMON     608190104      173     7938 SH    -  DEFINED 01                0        0     7938
D MOLECULAR DEVICES CORP.        COMMON     60851C107    10183   103640 SH    -  DEFINED 01            57165        0    46475
D MOLECULAR DEVICES CORP.        COMMON     60851C107     4235    43100 SH    -  DEFINED 02            43100        0        0
D MOLECULAR DEVICES CORP.        COMMON     60851C107     7880    80200 SH    -  DEFINED 02            67725        0    12475
D MOLECULAR DEVICES CORP.        COMMON     60851C107      138     1400 SH    -  DEFINED 05                0        0     1400
D MOLECULAR DEVICES CORP.        COMMON     60851C107        1        7 SH    -  DEFINED 16                7        0        0
D MOLEX, INC.                    COMMON     608554101      904    16600 SH    -  DEFINED 02                0        0    16600
D MOLEX, INC.                    COMMON     608554101      274     5032 SH    -  DEFINED 01             1220        0     3812
D MOLEX, INC.                    COMMON     608554101      623    11440 SH    -  OTHER   01                0    11440        0
D MOLEX, INC. CLASS "A"          COMMON     608554200     1188    28666 SH    -  DEFINED 01                0        0        0
D MOLEX, INC. CLASS "A"          COMMON     608554200      486    11740 SH    -  OTHER   01                0        0        0
D MONACO COACH CORP.             COMMON     60886R103     9382   568625 SH    -  DEFINED 01           563000        0     5625
D MONACO COACH CORP.             COMMON     60886R103     2016   122200 SH    -  DEFINED 02           122200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 206
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MONACO COACH CORP.             COMMON     60886R103     5100   309100 SH    -  DEFINED 02           258800        0    50300
D MONDAVI (ROBERT) CORPORATION C COMMON     609200100     1700    41600 SH    -  DEFINED 02            35600        0     6000
D MONDAVI (ROBERT) CORPORATION C COMMON     609200100      159     3900 SH    -  DEFINED 05                0        0     3900
D MONDAVI (ROBERT) CORPORATION C COMMON     609200100      302     7400 SH    -  DEFINED 02             7400        0        0
D MONDAVI (ROBERT) CORPORATION C COMMON     609200100     8156   199525 SH    -  DEFINED 01            52975        0   146550
D MONSANTO CO                    PREF CONV  611662305    18331   350000 SH    -  DEFINED 01                0        0        0
D MONSANTO CO                    PREF CONV  611662305     4970    94900 SH    -  DEFINED 16                0        0        0
D MONTANA POWER CO.              COMMON     612085100      280     8400 SH    -  OTHER   01                0     8400        0
D MONY GROUP INC                 COMMON     615337102      247     6192 SH    -  OTHER   01                0        0     6192
D MONY GROUP INC                 COMMON     615337102       88     2200 SH    -  DEFINED 02             2200        0        0
D MORGAN (J. P.) & CO.           COMMON     616880100       16      100 SH    -  DEFINED 02              100        0        0
D MORGAN (J. P.) & CO.           COMMON     616880100     5228    32000 SH    -  OTHER   0304          32000        0        0
D MORGAN (J. P.) & CO.           COMMON     616880100     2054    12575 SH    -  DEFINED 05             6675        0     5900
D MORGAN (J. P.) & CO.           COMMON     616880100     1468     8984 SH    -  OTHER   05              600        0     8384
D MORGAN (J. P.) & CO.           COMMON     616880100    40535   248108 SH    -  DEFINED 01           131330    10781   105997
D MORGAN (J. P.) & CO.           COMMON     616880100    30791   188469 SH    -  OTHER   01            23136   164767      566
D MORGAN (J. P.) & CO.           COMMON     616880100     4926    30152 SH    -  DEFINED 02                0        0    30152
D MORGAN (J. P.) & CO.           COMMON     616880100      261     1600 SH    -  DEFINED 17             1600        0        0
D MORGAN KEEGAN, INC.            COMMON     617410105      266    15187 SH    -  DEFINED 01                0        0    15187
D MORGN ST D WITTR DISCV         COMMON     617446448    67065   733451 SH    -  DEFINED 01           464026     4800   260425
D MORGN ST D WITTR DISCV         COMMON     617446448    19103   208922 SH    -  OTHER   01            89060    77658    42204
D MORGN ST D WITTR DISCV         COMMON     617446448      805     8800 SH    -  OTHER   21                0     8800        0
D MORGN ST D WITTR DISCV         COMMON     617446448    87287   954600 SH    -  DEFINED 02           608800        0   345800
D MORGN ST D WITTR DISCV         COMMON     617446448     3228    35300 SH    -  DEFINED 06            35300        0        0
D MORGN ST D WITTR DISCV         COMMON     617446448      448     4900 SH    -  DEFINED 20             4900        0        0
D MORGN ST D WITTR DISCV         COMMON     617446448      774     8460 SH    -  DEFINED 05             4400        0     4060

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 207
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MORGN ST D WITTR DISCV         COMMON     617446448   169365  1852240 SH    -  DEFINED 02          1118500        0   733740
D MORRISON MGMT SPECIALISTS IN   COMMON     618459101      520    17600 SH    -  DEFINED 02            17600        0        0
D MORRISON MGMT SPECIALISTS IN   COMMON     618459101      507    17160 SH    -  DEFINED 01                0        0    17160
D MORTON'S RESTAURANT GROUP, INC COMMON     619429103      239    11800 SH    -  DEFINED 01                0        0    11800
D MOTIENT CORP                   COMMON     619908106     3725   263750 SH    -  DEFINED 01           178675        0    85075
D MOTIENT CORP                   COMMON     619908106     1503   106400 SH    -  DEFINED 02           106400        0        0
D MOTIENT CORP                   COMMON     619908106     3451   244350 SH    -  DEFINED 02           205000        0    39350
D MOTIENT CORP                   COMMON     619908106       40     2800 SH    -  DEFINED 05                0        0     2800
D MOTIENT CORP                   COMMON     619908106     4863   344280 SH    -  DEFINED 16           344280        0        0
D MOTOROLA, INC.                 COMMON     620076109      356    12600 SH    -  DEFINED 16            12600        0        0
D MOTOROLA, INC.                 COMMON     620076109     1695    60000 SH    -  OTHER   0304          60000        0        0
D MOTOROLA, INC.                 COMMON     620076109      622    22000 SH    -  OTHER   09            22000        0        0
D MOTOROLA, INC.                 COMMON     620076109     3547   125550 SH    -  DEFINED 05            65550        0    60000
D MOTOROLA, INC.                 COMMON     620076109      983    34800 SH    -  OTHER   05            22800        0    12000
D MOTOROLA, INC.                 COMMON     620076109      797    28200 SH    -  OTHER   15            28200        0        0
D MOTOROLA, INC.                 COMMON     620076109   368021 13027280 SH    -  DEFINED 02          8514790        0  4512490
D MOTOROLA, INC.                 COMMON     620076109      573    20300 SH    -  OTHER   02                0        0    20300
D MOTOROLA, INC.                 COMMON     620076109   165921  5873300 SH    -  DEFINED 02          4103000        0  1770300
D MOTOROLA, INC.                 COMMON     620076109      266     9400 SH    -  OTHER   02             9400        0        0
D MOTOROLA, INC.                 COMMON     620076109    98081  3471879 SH    -  DEFINED 01          1238865   109348  2081166
D MOTOROLA, INC.                 COMMON     620076109    26017   920963 SH    -  OTHER   01           199762   580201   141000
D MOTOROLA, INC.                 COMMON     620076109      325    11500 SH    -  OTHER   21                0    11500        0
D MOTOROLA, INC.                 COMMON     620076109     8119   287400 SH    -  DEFINED 20           287400        0        0
D MPOWER COMMUNICATIONS CORP     COMMON     62473J106      120    13800 SH    -  DEFINED 01                0        0    13800
D MPOWER COMMUNICATIONS CORP     COMMON     62473J106      135    15450 SH    -  DEFINED 02            15450        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 208
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D MPOWER COMMUNICATIONS CORP     COMMON     62473J106       61     7050 SH    -  DEFINED 02             7050        0        0
D MUELLER INDUSTRIES, INC.       COMMON     624756102    14342   639200 SH    -  DEFINED 02           585200        0    54000
D MUELLER INDUSTRIES, INC.       COMMON     624756102     5650   251800 SH    -  DEFINED 02           251800        0        0
D MUELLER INDUSTRIES, INC.       COMMON     624756102     3498   155900 SH    -  DEFINED 01           137800        0    18100
D MUELLER INDUSTRIES, INC.       COMMON     624756102      112     5000 SH    -  OTHER   01                0     5000        0
D MUELLER INDUSTRIES, INC.       COMMON     624756102       49     2200 SH    -  DEFINED 20             2200        0        0
D MURPHY OIL CORP.               COMMON     626717102     2690    41500 SH    -  DEFINED 02            41500        0        0
D MUSICLAND STORES CORP.         COMMON     62758B109      252    35700 SH    -  DEFINED 02            35700        0        0
D MUSICLAND STORES CORP.         COMMON     62758B109       44     6200 SH    -  DEFINED 01                0        0     6200
D MUSICLAND STORES CORP.         COMMON     62758B109       18     2600 SH    -  DEFINED 02             2600        0        0
D MYLAN LABORATORIES, INC.       COMMON     628530107      523    19400 SH    -  DEFINED 02            19400        0        0
D MYRIAD GENETICS, INC.          COMMON     62855J104     1347    15600 SH    -  DEFINED 02            15600        0        0
D MYRIAD GENETICS, INC.          COMMON     62855J104       26      300 SH    -  DEFINED 02              300        0        0
D MYPOINTS COM INC               COMMON     62855T102        4      800 SH    -  DEFINED 02              800        0        0
D MYPOINTS COM INC               COMMON     62855T102      119    21700 SH    -  DEFINED 02            21700        0        0
D MYPOINTS COM INC               COMMON     62855T102        0       35 SH    -  DEFINED 01               35        0        0
D NBC INTERNET INC               COMMON     62873D105      183    27925 SH    -  DEFINED 01            26575        0     1350
D NBTY, INC.                     COMMON     628782104       20     3000 SH    -  DEFINED 01                0        0     3000
D NBTY, INC.                     COMMON     628782104     2330   356700 SH    -  DEFINED 02           356700        0        0
D NBTY, INC.                     COMMON     628782104      294    45000 SH    -  DEFINED 02            45000        0        0
D NCR CORP NEW                   COMMON     62886E108    32875   869406 SH    -  DEFINED 02           777600        0    91806
D NCR CORP NEW                   COMMON     62886E108       15      400 SH    -  OTHER   02                0        0      400
D NCR CORP NEW                   COMMON     62886E108     5559   147000 SH    -  DEFINED 02           111700        0    35300
D NCR CORP NEW                   COMMON     62886E108      356     9407 SH    -  DEFINED 01             7312        0     2095
D NCR CORP NEW                   COMMON     62886E108        1       37 SH    -  OTHER   01                0       37        0
D NCR CORP NEW                   COMMON     62886E108       38     1000 SH    -  OTHER   21                0     1000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 209
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NPC INTERNATIONAL, INC.        COMMON     629360306      228    23300 SH    -  DEFINED 01                0        0    23300
D NPC INTERNATIONAL, INC.        COMMON     629360306       55     5600 SH    -  OTHER   01                0     5600        0
D NPC INTERNATIONAL, INC.        COMMON     629360306      146    14900 SH    -  DEFINED 02            14900        0        0
D NPC INTERNATIONAL, INC.        COMMON     629360306      413    42200 SH    -  DEFINED 02                0        0    42200
D NTL INCORPORATED               COMMON     629407107     1610    34761 SH    -  DEFINED 02             1733        0    33028
D NTL INCORPORATED               COMMON     629407107     6909   150000 SH    -  DEFINED 16           150000        0        0
D NTL INCORPORATED               COMMON     629407107     2943    63539 SH    -  DEFINED 01             1625        0    60950
D NUI CORP.                      COMMON     629430109      670    22200 SH    -  DEFINED 02            22200        0        0
D NUI CORP.                      COMMON     629430109      208     6900 SH    -  DEFINED 20             6900        0        0
D NUI CORP.                      COMMON     629430109      776    25700 SH    -  DEFINED 02            18800        0     6900
D NVR, INC.                      COMMON     62944T105     5783    71400 SH    -  DEFINED 02            22200        0    49200
D NVR, INC.                      COMMON     62944T105     1401    17300 SH    -  DEFINED 02            17300        0        0
D NVR, INC.                      COMMON     62944T105     3248    40100 SH    -  DEFINED 01                0        0    40100
D NABISCO GROUP HLDG CORP        COMMON     62952P102      111     3900 SH    -  DEFINED 17             3900        0        0
D NABISCO GROUP HLDG CORP        COMMON     62952P102    14660   514400 SH    -  DEFINED 16           514400        0        0
D NABISCO HOLDINGS CORP. CL. "A" COMMON     629526104     1984    36920 SH    -  DEFINED 02            21820        0    15100
D NABISCO HOLDINGS CORP. CL. "A" COMMON     629526104      849    15800 SH    -  DEFINED 02            15800        0        0
D NABISCO HOLDINGS CORP. CL. "A" COMMON     629526104      477     8875 SH    -  DEFINED 01             8650        0      225
D NABISCO HOLDINGS CORP. CL. "A" COMMON     629526104      226     4200 SH    -  OTHER   01                0      700     3500
D NABORS INDUSTRIES, INC.        COMMON     629568106     2277    43450 SH    -  DEFINED 01            19950        0    23500
D NABORS INDUSTRIES, INC.        COMMON     629568106     3505    66898 SH    -  OTHER   01                0    13297    53601
D NABORS INDUSTRIES, INC.        COMMON     629568106     1226    23400 SH    -  DEFINED 02                0        0    23400
D NACCO INDUSTRIES, INC. CLASS " COMMON     629579103     1336    31800 SH    -  DEFINED 02             4400        0    27400
D NANOGEN INC.                   COMMON     630075109        6      300 SH    -  DEFINED 02              300        0        0
D NANOGEN INC.                   COMMON     630075109      262    13500 SH    -  DEFINED 02            13500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 210
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NANOMETRICS INC                COMMON     630077105      406     7600 SH    -  DEFINED 02             7600        0        0
D NANOMETRICS INC                COMMON     630077105       11      200 SH    -  DEFINED 02              200        0        0
D NATIONAL AUSTRALIA BK LTD      PREF CONV  632525309     1797    71000 SH    -  DEFINED 01                0        0        0
D NATIONAL CITY BANCORPORATION   COMMON     635312101     4111   220000 SH    -  DEFINED 01           220000        0        0
D NATIONAL CITY CORP.            COMMON     635405103     1634    73862 SH    -  DEFINED 01            67782        0     6080
D NATIONAL CITY CORP.            COMMON     635405103      702    31738 SH    -  OTHER   01            31738        0        0
D NATIONAL CITY CORP.            COMMON     635405103      159     7200 SH    -  DEFINED 17             7200        0        0
D NATIONAL CITY CORP.            COMMON     635405103      571    25800 SH    -  DEFINED 02                0        0    25800
D NATIONAL CITY CORP.            COMMON     635405103      354    16000 SH    -  DEFINED 05            16000        0        0
D NATIONAL COMMERCE BANCORP      COMMON     635449101       92     4625 SH    -  DEFINED 05              500        0     4125
D NATIONAL COMMERCE BANCORP      COMMON     635449101    47566  2385700 SH    -  DEFINED 02          1828300        0   557400
D NATIONAL COMMERCE BANCORP      COMMON     635449101      158     7900 SH    -  OTHER   02                0        0     7900
D NATIONAL COMMERCE BANCORP      COMMON     635449101    22505  1128740 SH    -  DEFINED 02           998740        0   130000
D NATIONAL COMMERCE BANCORP      COMMON     635449101       24     1200 SH    -  OTHER   02             1200        0        0
D NATIONAL COMMERCE BANCORP      COMMON     635449101       38     1900 SH    -  DEFINED 20             1900        0        0
D NATIONAL COMMERCE BANCORP      COMMON     635449101       30     1500 SH    -  OTHER   01             1500        0        0
D NATIONAL COMMERCE BANCORP      COMMON     635449101    22907  1148896 SH    -  DEFINED 01           834600        0   314296
D NATIONAL COMMERCE BANCORP      COMMON     635449101      177     8900 SH    -  OTHER   21                0     8900        0
D NATIONAL DATA CORP.            COMMON     635621105      107     3250 SH    -  OTHER   01                0     3250        0
D NATIONAL DATA CORP.            COMMON     635621105      561    17100 SH    -  DEFINED 01                0        0    17100
D NATIONAL DISC BROKERS GROUP    COMMON     635646102      149     4800 SH    -  DEFINED 20             4800        0        0
D NATIONAL DISC BROKERS GROUP    COMMON     635646102     1191    38500 SH    -  DEFINED 02            38500        0        0
D NATIONAL DISC BROKERS GROUP    COMMON     635646102      486    15700 SH    -  DEFINED 02            10900        0     4800
D NATIONAL DISC BROKERS GROUP    COMMON     635646102        0       14 SH    -  DEFINED 16               14        0        0
D NATIONAL GOLF PROPERTIES, INC. COMMON     63623G109     8774   425400 SH    -  DEFINED 02           425400        0        0
D NATIONAL GOLF PROPERTIES, INC. COMMON     63623G109     4593   222700 SH    -  DEFINED 02           222700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 211
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NATIONAL INFO CONSORTIUM INC   COMMON     636491102      408   102781 SH    -  DEFINED 02           102781        0        0
D NATIONAL-OILWELL INC           COMMON     637071101     8778   280900 SH    -  DEFINED 02           280900        0        0
D NATIONAL-OILWELL INC           COMMON     637071101    19543   625380 SH    -  DEFINED 01           346330        0   279050
D NATIONAL-OILWELL INC           COMMON     637071101    17405   556975 SH    -  DEFINED 02           470600        0    86375
D NATIONAL-OILWELL INC           COMMON     637071101      205     6550 SH    -  DEFINED 05                0        0     6550
D NATIONAL R V HLDGS INC         COMMON     637277104     2502   248600 SH    -  DEFINED 02           205600        0    43000
D NATIONAL R V HLDGS INC         COMMON     637277104       49     4900 SH    -  DEFINED 01                0        0     4900
D NATIONAL R V HLDGS INC         COMMON     637277104     1057   105000 SH    -  DEFINED 02           105000        0        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103    25671   637800 SH    -  DEFINED 02           495900        0   141900
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103       40     1000 SH    -  OTHER   02             1000        0        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103      310     7700 SH    -  DEFINED 20             7700        0        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103       85     2100 SH    -  DEFINED 17             2100        0        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103     2794    69410 SH    -  DEFINED 01            56250        0    13160
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103       12      300 SH    -  OTHER   01              300        0        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103       28      700 SH    -  OTHER   21                0      700        0
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103    57022  1416700 SH    -  DEFINED 02           910900        0   505800
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103      181     4500 SH    -  OTHER   02                0        0     4500
D NATIONAL SEMICONDUCTOR CORP.   COMMON     637640103       20      500 SH    -  DEFINED 05              500        0        0
D NATIONAL STEEL CORP. CLASS "B" COMMON     637844309      124    41200 SH    -  DEFINED 01                0        0    41200
D NATIONAL WESTMINSTER BK PLC    PREFERRED  638539700    30198  1274840 SH    -  DEFINED 06                0        0        0
D NATIONAL WESTMINSTER PFD 8.625 PREFERRED  638539882    10820   458000 SH    -  DEFINED 06                0        0        0
D NATIONWIDE FINANCIAL SERVICES, COMMON     638612101     4694   125600 SH    -  DEFINED 02           125600        0        0
D NATIONWIDE FINANCIAL SERVICES, COMMON     638612101     3738   100000 SH    -  DEFINED 01           100000        0        0
D NATIONWIDE FINANCIAL SERVICES, COMMON     638612101    12831   343300 SH    -  DEFINED 02           297400        0    45900
D NATURAL MICROSYSTEMS CORP.     COMMON     638882100       38      700 SH    -  DEFINED 02              700        0        0
D NATURAL MICROSYSTEMS CORP.     COMMON     638882100     1571    29200 SH    -  DEFINED 02            29200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 212
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NATURE'S SUNSHINE PRODUCTS, IN COMMON     639027101      112    15069 SH    -  DEFINED 01                0        0    15069
D NAUTICA ENTERPRISES, INC.      COMMON     639089101      239    18450 SH    -  DEFINED 01                0        0    18450
D NAVISTAR INTERNATIONAL CORP.   COMMON     63934E108      320    10700 SH    -  DEFINED 01              100        0    10600
D NAVISTAR INTERNATIONAL CORP.   COMMON     63934E108     2485    83000 SH    -  DEFINED 02            83000        0        0
D NAVISTAR INTERNATIONAL CORP.   COMMON     63934E108      913    30500 SH    -  DEFINED 06            30500        0        0
D NAVISITE INC                   COMMON     63935M109       81     3000 SH    -  DEFINED 02             3000        0        0
D NAVISITE INC                   COMMON     63935M109        1       26 SH    -  DEFINED 01               26        0        0
D NAVISITE INC                   COMMON     63935M109      154     5700 SH    -  DEFINED 02                0        0     5700
D NEIMAN MARCUS GROUP INC        COMMON     640204202      710    21900 SH    -  DEFINED 02            21900        0        0
D NEIMAN MARCUS GROUP INC        COMMON     640204202     3205    98800 SH    -  DEFINED 02            98800        0        0
D NEIMAN MARCUS GROUP INC        COMMON     640204301      431    15065 SH    -  OTHER   01                0    15065        0
D NEOFORMA COM INC               COMMON     640475109      120    32302 SH    -  DEFINED 01                0        0    32302
D NEON COMMUNICATIONS INC        COMMON     640506101      359    10300 SH    -  DEFINED 02            10300        0        0
D NEON COMMUNICATIONS INC        COMMON     640506101        3      100 SH    -  DEFINED 02              100        0        0
D NEORX CORP.                    COMMON     640520300      213     8700 SH    -  DEFINED 02             8700        0        0
D NEOSE TECHNOLOGIES INC         COMMON     640522108     1587    32800 SH    -  DEFINED 02            32800        0        0
D NEOSE TECHNOLOGIES INC         COMMON     640522108       34      700 SH    -  DEFINED 02              700        0        0
D NETWORK ASSOCIATES INC 0% 2/13 BOND       640938AB2     1300  3456000 PRN   -  DEFINED 16                0        0        0
D NETWORK ASSOCIATES INC 0% 2/13 BOND       640938AB2    35744 95000000 PRN   -  DEFINED 17                0        0        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106    11086   490000 SH    -  DEFINED 02           408800        0    81200
D NETWORKS ASSOCIATES, INC.      COMMON     640938106       11      500 SH    -  OTHER   02              500        0        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106      106     4700 SH    -  DEFINED 20             4700        0        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106      912    40300 SH    -  DEFINED 01            34400        0     5900
D NETWORKS ASSOCIATES, INC.      COMMON     640938106        5      200 SH    -  OTHER   01              200        0        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106       18      800 SH    -  OTHER   21                0      800        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 213
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NETWORKS ASSOCIATES, INC.      COMMON     640938106        9      400 SH    -  DEFINED 05              400        0        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106       91     4000 SH    -  OTHER   10                0     4000        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106       91     4000 SH    -  OTHER   11                0     4000        0
D NETWORKS ASSOCIATES, INC.      COMMON     640938106    23704  1047700 SH    -  DEFINED 02           728200        0   319500
D NETWORKS ASSOCIATES, INC.      COMMON     640938106      149     6600 SH    -  OTHER   02                0        0     6600
D NET PERCEPTIONS INC            COMMON     64107U101       47     9900 SH    -  DEFINED 02             9900        0        0
D NET PERCEPTIONS INC            COMMON     64107U101        4      800 SH    -  DEFINED 01                0        0      800
D NET PERCEPTIONS INC            COMMON     64107U101       78    16500 SH    -  DEFINED 02            16500        0        0
D NETEGRITY INC                  COMMON     64110P107     2562    36600 SH    -  DEFINED 02            36600        0        0
D NETEGRITY INC                  COMMON     64110P107    19986   285513 SH    -  DEFINED 01            79140        0   206373
D NETEGRITY INC                  COMMON     64110P107     7023   100324 SH    -  DEFINED 02            83887        0    16437
D NETEGRITY INC                  COMMON     64110P107      428     6112 SH    -  DEFINED 05                0        0     6112
D NETRO CORP                     COMMON     64114R109      212     3575 SH    -  DEFINED 05                0        0     3575
D NETRO CORP                     COMMON     64114R109    19513   329325 SH    -  DEFINED 02           299700        0    29625
D NETRO CORP                     COMMON     64114R109    15548   262409 SH    -  DEFINED 01           141284        0   121125
D NETRO CORP                     COMMON     64114R109     5196    87700 SH    -  DEFINED 02            87700        0        0
D NETPLIANCE INC                 COMMON     64115K103       19    12900 SH    -  DEFINED 02            12900        0        0
D NETPLIANCE INC                 COMMON     64115K103        0      300 SH    -  DEFINED 02              300        0        0
D NETIQ CORP                     COMMON     64115P102      231     3520 SH    -  DEFINED 01             2744        0      776
D NETRATINGS INC                 COMMON     64116M108      178     9500 SH    -  DEFINED 02             9500        0        0
D NETRATINGS INC                 COMMON     64116M108      264    14100 SH    -  DEFINED 02            10500        0     3600
D NETWORK APPLIANCE, INC.        COMMON     64120L104     4076    32000 SH    -  DEFINED 02            26600        0     5400
D NETWORK APPLIANCE, INC.        COMMON     64120L104      318     2500 SH    -  DEFINED 02             2500        0        0
D NETWORK APPLIANCE, INC.        COMMON     64120L104      459     3600 SH    -  DEFINED 17             3600        0        0
D NETWORK APPLIANCE, INC.        COMMON     64120L104    10086    79180 SH    -  DEFINED 01            27600        0    51580
D NETWORK APPLIANCE, INC.        COMMON     64120L104       25      200 SH    -  OTHER   01              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 214
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NETWORK COMM INC               COMMON     64122T105       30     5415 SH    -  DEFINED 01                0        0     5415
D NETWORK COMM INC               COMMON     64122T105       56    10085 SH    -  DEFINED 16            10085        0        0
D NEUBERGER BERMAN INC           COMMON     641234109      689    11200 SH    -  DEFINED 02             7200        0     4000
D NEUBERGER BERMAN INC           COMMON     641234109       25      400 SH    -  OTHER   02                0        0      400
D NEUBERGER BERMAN INC           COMMON     641234109     1734    28200 SH    -  DEFINED 02            16000        0    12200
D NEUROCRINE BIOSCIENCES, INC.   COMMON     64125C109     3182    70700 SH    -  DEFINED 02            70700        0        0
D NEUROCRINE BIOSCIENCES, INC.   COMMON     64125C109     9768   217075 SH    -  DEFINED 01           122150        0    94925
D NEUROCRINE BIOSCIENCES, INC.   COMMON     64125C109     8634   191875 SH    -  DEFINED 02           160125        0    31750
D NEUROCRINE BIOSCIENCES, INC.   COMMON     64125C109      118     2625 SH    -  DEFINED 05                0        0     2625
D NEW ERA OF NETWORKS INC        COMMON     644312100       10      400 SH    -  DEFINED 02              400        0        0
D NEW ERA OF NETWORKS INC        COMMON     644312100     4155   170794 SH    -  DEFINED 01                0        0   170794
D NEW ERA OF NETWORKS INC        COMMON     644312100      387    15900 SH    -  DEFINED 02            15900        0        0
D NEW FOCUS INC                  COMMON     644383101      941    11900 SH    -  DEFINED 02            11900        0        0
D NEW FOCUS INC                  COMMON     644383101     5410    68425 SH    -  DEFINED 01            43760        0    24665
D NEW FOCUS INC                  COMMON     644383101     3189    40330 SH    -  DEFINED 02            30520        0     9810
D NEW FOCUS INC                  COMMON     644383101       59      745 SH    -  DEFINED 05                0        0      745
D NEW JERSEY RESOURCES CORP.     COMMON     646025106      333     8200 SH    -  DEFINED 01                0        0     8200
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107     6931   176309 SH    -  DEFINED 01           152325        0    23984
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107     1298    33020 SH    -  OTHER   01              500        0    32520
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107      130     3300 SH    -  OTHER   21                0     3300        0
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107    15324   389800 SH    -  DEFINED 02           242200        0   147600
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107        4      100 SH    -  OTHER   02              100        0        0
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107      715    18200 SH    -  DEFINED 20            18200        0        0
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107     3499    89000 SH    -  DEFINED 17            89000        0        0
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107      110     2800 SH    -  DEFINED 05              800        0     2000
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107    41182  1047550 SH    -  DEFINED 02           699450        0   348100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 215
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NEW YORK TIMES CO. CLASS "A"   COMMON     650111107      149     3800 SH    -  OTHER   02                0        0     3800
D NEWELL RUBBERMAID INC          COMMON     651229106       46     2000 SH    -  DEFINED 05             2000        0        0
D NEWELL RUBBERMAID INC          COMMON     651229106       73     3200 SH    -  DEFINED 17             3200        0        0
D NEWELL RUBBERMAID INC          COMMON     651229106     1035    45364 SH    -  DEFINED 01            41300        0     4064
D NEWELL RUBBERMAID INC          COMMON     651229106      108     4728 SH    -  OTHER   01             2364        0     2364
D NEWFIELD EXPLORATION COMPANY   COMMON     651290108     9650   206700 SH    -  DEFINED 01           203800        0     2900
D NEWFIELD EXPLORATION COMPANY   COMMON     651290108    10257   219700 SH    -  DEFINED 02           219700        0        0
D NEWFIELD EXPLORATION COMPANY   COMMON     651290108    15664   335500 SH    -  DEFINED 02           278300        0    57200
D NEWFIELD FINL TR I             PREF CONV  651291205     9667   138100 SH    -  DEFINED 17                0        0        0
D NEWMONT MINING CORP.           COMMON     651639106       34     2000 SH    -  DEFINED 17             2000        0        0
D NEWMONT MINING CORP.           COMMON     651639106       87     5094 SH    -  DEFINED 01             3846        0     1248
D NEWMONT MINING CORP.           COMMON     651639106      425    25000 SH    -  OTHER   01                0    25000        0
D NEWMONT MINING CORP.           COMMON     651639106      284    16700 SH    -  DEFINED 02                0        0    16700
D NEWPARK RESOURCES, INC.        COMMON     651718504      105    11340 SH    -  DEFINED 01                0        0    11340
D NEWPORT CORP                   COMMON     651824104     1139     7150 SH    -  DEFINED 02             7150        0        0
D NEWPORT CORP                   COMMON     651824104      446     2800 SH    -  DEFINED 02                0        0     2800
D NEWS CORP., LTD. A/D/R         COMMON     652487703   117839  2101910 SH    -  DEFINED 02          1803610        0   298300
D NEWS CORP., LTD. A/D/R         COMMON     652487703       84     1500 SH    -  OTHER   02                0        0     1500
D NEWS CORP., LTD. A/D/R         COMMON     652487703      364     6500 SH    -  DEFINED 05             6500        0        0
D NEWS CORP., LTD. A/D/R         COMMON     652487703     2882    51400 SH    -  OTHER   09            51400        0        0
D NEWS CORP., LTD. A/D/R         COMMON     652487703    15686   279800 SH    -  DEFINED 02           170700        0   109100
D NEWS CORP., LTD. A/D/R         COMMON     652487703      314     5600 SH    -  DEFINED 20             5600        0        0
D NEWS CORP., LTD. A/D/R         COMMON     652487703    60671  1082185 SH    -  DEFINED 01           589225     9150   481310
D NEWS CORP., LTD. A/D/R         COMMON     652487703     7802   139165 SH    -  OTHER   01            65555    57720    15890
D NEWS CORP LTD.                 COMMON     652487802      922    19665 SH    -  DEFINED 01              400        0    19265
D NEWS CORP LTD.                 COMMON     652487802      469    10000 SH    -  DEFINED 16            10000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 216
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NEWS CORP LTD.                 COMMON     652487802      156     3318 SH    -  DEFINED 02                0        0     3318
D NEXTCARD INC                   COMMON     65332K107     2399   263800 SH    -  DEFINED 02           145800        0   118000
D NEXTCARD INC                   COMMON     65332K107     1113   122440 SH    -  DEFINED 01           122440        0        0
D NEXTCARD INC                   COMMON     65332K107      791    87000 SH    -  DEFINED 02            87000        0        0
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103     2571    55000 SH    -  DEFINED 02            55000        0        0
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103     4471    95638 SH    -  DEFINED 01            82530     2320    10788
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103     7369   157636 SH    -  OTHER   01              200   136036    21400
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103     3329    71200 SH    -  DEFINED 02            35700        0    35500
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103     1503    32150 SH    -  DEFINED 16            32150        0        0
D NEXTEL COMMUNICATIONS, INC. CL COMMON     65332V103       19      400 SH    -  DEFINED 05              400        0        0
D NEXTEL PARTNERS INC            COMMON     65333F107     5566   191100 SH    -  DEFINED 02           191100        0        0
D NEXTEL PARTNERS INC            COMMON     65333F107      317    10900 SH    -  DEFINED 02            10900        0        0
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707      981    27881 SH    -  DEFINED 17            27881        0        0
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707       14      400 SH    -  DEFINED 18              400        0        0
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707     2440    69332 SH    -  DEFINED 01            35776        0    33556
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707     1615    45895 SH    -  OTHER   01            45895        0        0
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707     1288    36600 SH    -  DEFINED 02                0        0    36600
D NEXTLINK COMMUNICATIONS, INC.  COMMON     65333H707     2063    58642 SH    -  DEFINED 16            58642        0        0
D NEXT LEVEL COMM INC            COMMON     65333U104      681    10300 SH    -  DEFINED 02                0        0    10300
D NIKE, INC. CLASS "B"           COMMON     654106103     8505   212300 SH    -  DEFINED 02           140200        0    72100
D NIKE, INC. CLASS "B"           COMMON     654106103       44     1100 SH    -  DEFINED 01             1100        0        0
D NIKE, INC. CLASS "B"           COMMON     654106103       20      500 SH    -  OTHER   21                0      500        0
D NIKE, INC. CLASS "B"           COMMON     654106103      132     3300 SH    -  DEFINED 17             3300        0        0
D NIKE, INC. CLASS "B"           COMMON     654106103     3762    93900 SH    -  DEFINED 02            65300        0    28600
D NIKE, INC. CLASS "B"           COMMON     654106103        4      100 SH    -  OTHER   02              100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 217
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NIKU CORP                      COMMON     654113109     3070   130694 SH    -  DEFINED 19           130694        0        0
D NISOURCE INC                   COMMON     65473P105       71     2900 SH    -  DEFINED 20             2900        0        0
D NISOURCE INC                   COMMON     65473P105    14557   597200 SH    -  DEFINED 02           490900        0   106300
D NISOURCE INC                   COMMON     65473P105       27     1100 SH    -  OTHER   02             1100        0        0
D NISOURCE INC                   COMMON     65473P105     1794    73595 SH    -  DEFINED 01            50900     7100    15595
D NISOURCE INC                   COMMON     65473P105      551    22600 SH    -  OTHER   01              400    22200        0
D NISOURCE INC                   COMMON     65473P105    16994   697210 SH    -  DEFINED 02           384510        0   312700
D NISOURCE INC                   COMMON     65473P105      670    27500 SH    -  DEFINED 16            27500        0        0
D NISOURCE INC                   COMMON     65473P105      377    15480 SH    -  DEFINED 05            14000        0     1480
D NOBLE AFFILIATES, INC.         COMMON     654894104     6397   172300 SH    -  DEFINED 16           172300        0        0
D NOBLE AFFILIATES, INC.         COMMON     654894104     2086    56200 SH    -  DEFINED 02            56200        0        0
D NOKIA CORP. A/D/R              COMMON     654902204    20596   509800 SH    -  DEFINED 17           509800        0        0
D NOKIA CORP. A/D/R              COMMON     654902204     5746   144331 SH    -  DEFINED 01           107481     1200    34200
D NOKIA CORP. A/D/R              COMMON     654902204     2695    67700 SH    -  OTHER   01            39500    27700      500
D NOKIA CORP. A/D/R              COMMON     654902204     3722    93475 SH    -  DEFINED 05            45425     2100    45950
D NOKIA CORP. A/D/R              COMMON     654902204       40     1000 SH    -  OTHER   05             1000        0        0
D NOBLE DRILLING CORP.           COMMON     655042109     1151    22900 SH    -  DEFINED 02                0        0    22900
D NOBLE DRILLING CORP.           COMMON     655042109     1195    23775 SH    -  DEFINED 01                0        0    23775
D NORDSTROM, INC.                COMMON     655664100      414    26600 SH    -  OTHER   01                0    18600     8000
D NORDSTROM, INC.                COMMON     655664100       25     1600 SH    -  DEFINED 17             1600        0        0
D NORDSTROM, INC.                COMMON     655664100      389    25000 SH    -  DEFINED 06            25000        0        0
D NORDSTROM, INC.                COMMON     655664100       20     1300 SH    -  DEFINED 20             1300        0        0
D NORDSTROM, INC.                COMMON     655664100      391    25100 SH    -  DEFINED 02             1900        0    23200
D NORFOLK SOUTHERN CORP.         COMMON     655844108    17856  1220900 SH    -  DEFINED 02           585600        0   635300
D NORFOLK SOUTHERN CORP.         COMMON     655844108       59     4050 SH    -  DEFINED 05             4050        0        0
D NORFOLK SOUTHERN CORP.         COMMON     655844108       60     4100 SH    -  DEFINED 20             4100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 218
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NORFOLK SOUTHERN CORP.         COMMON     655844108    16693  1141400 SH    -  DEFINED 02           840800        0   300600
D NORFOLK SOUTHERN CORP.         COMMON     655844108       23     1600 SH    -  OTHER   02             1600        0        0
D NORFOLK SOUTHERN CORP.         COMMON     655844108       67     4600 SH    -  DEFINED 17             4600        0        0
D NORFOLK SOUTHERN CORP.         COMMON     655844108     2933   200537 SH    -  DEFINED 01           185870     2100    12567
D NORFOLK SOUTHERN CORP.         COMMON     655844108      648    44274 SH    -  OTHER   01             3000    41274        0
D NORFOLK SOUTHERN CORP.         COMMON     655844108       13      900 SH    -  OTHER   21                0      900        0
D NORSK HYDRO A S                COMMON     656531605       90     2130 SH    -  DEFINED 01              130        0     2000
D NORSK HYDRO A S                COMMON     656531605      201     4750 SH    -  DEFINED 02                0        0     4750
D NORTEK, INC.                   COMMON     656559101      312    17800 SH    -  DEFINED 02            17800        0        0
D NORTEK, INC.                   COMMON     656559101      159     9100 SH    -  DEFINED 01                0        0     9100
D NORTEK, INC.                   COMMON     656559101      763    43600 SH    -  DEFINED 02            13600        0    30000
D NORTEL INVERSORA S A ADR PFD B PREFERRED  656567401      672    45000 SH    -  DEFINED 16                0        0        0
D NORTEL INVERSORA S A ADR PFD B PREFERRED  656567401       15     1000 SH    -  DEFINED 17                0        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102     8168   137126 SH    -  DEFINED 17           137126        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102     7571   127110 SH    -  DEFINED 18           127110        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102     1120    18800 SH    -  DEFINED 20            18800        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102   348438  5849900 SH    -  DEFINED 02          4993500        0   856400
D NORTEL NETWORKS CORP NEW       COMMON     656568102      798    13400 SH    -  OTHER   02            13400        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102   121725  2043627 SH    -  DEFINED 01          1061103    10600   961126
D NORTEL NETWORKS CORP NEW       COMMON     656568102    13917   233650 SH    -  OTHER   01            58530   158620    16500
D NORTEL NETWORKS CORP NEW       COMMON     656568102      113     1900 SH    -  OTHER   21                0     1900        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102     2680    45000 SH    -  OTHER   09            45000        0        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102      910    15275 SH    -  DEFINED 05            14575      700        0
D NORTEL NETWORKS CORP NEW       COMMON     656568102   730996 12272650 SH    -  DEFINED 02          8335550        0  3937100
D NORTEL NETWORKS CORP NEW       COMMON     656568102      494     8300 SH    -  OTHER   02                0        0     8300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 219
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NORTH FORK BANCORPORATION NY   COMMON     659424105    45663  2111580 SH    -  DEFINED 02          1616980        0   494600
D NORTH FORK BANCORPORATION NY   COMMON     659424105      182     8400 SH    -  OTHER   02                0        0     8400
D NORTH FORK BANCORPORATION NY   COMMON     659424105       19      900 SH    -  DEFINED 05              900        0        0
D NORTH FORK BANCORPORATION NY   COMMON     659424105      184     8500 SH    -  OTHER   21                0     8500        0
D NORTH FORK BANCORPORATION NY   COMMON     659424105       24     1100 SH    -  OTHER   01             1100        0        0
D NORTH FORK BANCORPORATION NY   COMMON     659424105     4138   191370 SH    -  DEFINED 01           129410        0    61960
D NORTH FORK BANCORPORATION NY   COMMON     659424105    20062   927700 SH    -  DEFINED 02           771100        0   156600
D NORTH FORK BANCORPORATION NY   COMMON     659424105       22     1000 SH    -  OTHER   02             1000        0        0
D NORTH FORK BANCORPORATION NY   COMMON     659424105      231    10700 SH    -  DEFINED 20            10700        0        0
D NORTHEAST UTILITIES            COMMON     664397106     3205   147800 SH    -  DEFINED 02           147800        0        0
D NORTHEAST UTILITIES            COMMON     664397106      358    16492 SH    -  DEFINED 01              700        0    15792
D NORTHERN TRUST CORP.           COMMON     665859104     3626    40800 SH    -  DEFINED 01                0        0    40800
D NORTHERN TRUST CORP.           COMMON     665859104      231     2600 SH    -  DEFINED 17             2600        0        0
D NORTHERN TRUST CORP.           COMMON     665859104       53      600 SH    -  DEFINED 05              600        0        0
D NORTHPOINT COMMUNICATIONS HL   COMMON     666610100     3559   401014 SH    -  DEFINED 16           401014        0        0
D NORTHPOINT COMMUNICATIONS HL   COMMON     666610100     5261   592800 SH    -  DEFINED 02           568200        0    24600
D NORTHPOINT COMMUNICATIONS HL   COMMON     666610100      288    32500 SH    -  DEFINED 02            32500        0        0
D NORTHROP CORP.                 COMMON     666807102       73      800 SH    -  DEFINED 17              800        0        0
D NORTHROP CORP.                 COMMON     666807102      246     2710 SH    -  DEFINED 01                0        0     2710
D NORTHROP CORP.                 COMMON     666807102      364     4000 SH    -  OTHER   01                0     3000     1000
D NORTHROP CORP.                 COMMON     666807102      600     6600 SH    -  DEFINED 02                0        0     6600
D NORTHWEST AIRLINES CORP.       COMMON     667280101     6111   248800 SH    -  DEFINED 02           131900        0   116900
D NORTHWEST AIRLINES CORP.       COMMON     667280101       15      600 SH    -  DEFINED 01              600        0        0
D NORTHWEST AIRLINES CORP.       COMMON     667280101        2      100 SH    -  OTHER   21                0      100        0
D NORTHWEST AIRLINES CORP.       COMMON     667280101     4439   180700 SH    -  DEFINED 02           126600        0    54100
D NORTHWEST AIRLINES CORP.       COMMON     667280101       15      600 SH    -  OTHER   02              600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 220
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NORTHWESTERN CORPORATION       COMMON     668074107      205    10500 SH    -  DEFINED 01                0        0    10500
D NOVA CORP.                     COMMON     669784100       81     4759 SH    -  DEFINED 01                0        0     4759
D NOVA CORP.                     COMMON     669784100     1615    94300 SH    -  DEFINED 02            94300        0        0
D NUANCE COMMUNICATIONS INC      COMMON     669967101      925     7600 SH    -  DEFINED 02             7600        0        0
D NUANCE COMMUNICATIONS INC      COMMON     669967101     3900    32050 SH    -  DEFINED 01            13400        0    18650
D NUANCE COMMUNICATIONS INC      COMMON     669967101     2352    19325 SH    -  DEFINED 02            16200        0     3125
D NUANCE COMMUNICATIONS INC      COMMON     669967101       33      275 SH    -  DEFINED 05                0        0      275
D NOVELL, INC.                   COMMON     670006105        3      259 SH    -  DEFINED 16              259        0        0
D NOVELL, INC.                   COMMON     670006105     5119   515100 SH    -  DEFINED 02           232000        0   283100
D NOVELL, INC.                   COMMON     670006105       76     7600 SH    -  DEFINED 01             6600        0     1000
D NOVELL, INC.                   COMMON     670006105       40     4000 SH    -  OTHER   01             2000     2000        0
D NOVELL, INC.                   COMMON     670006105     5510   554400 SH    -  DEFINED 02           399400        0   155000
D NOVELL, INC.                   COMMON     670006105        1      100 SH    -  OTHER   02              100        0        0
D NOVELL, INC.                   COMMON     670006105       71     7100 SH    -  DEFINED 20             7100        0        0
D NOVELL, INC.                   COMMON     670006105       39     3900 SH    -  DEFINED 17             3900        0        0
D NOVELLUS SYSTEMS, INC.         COMMON     670008101       75     1600 SH    -  DEFINED 17             1600        0        0
D NOVELLUS SYSTEMS, INC.         COMMON     670008101     1946    41800 SH    -  DEFINED 01                0        0    41800
D NOVELLUS SYSTEMS, INC.         COMMON     670008101      373     8000 SH    -  DEFINED 02                0        0     8000
D NOVELLUS SYSTEMS, INC.         COMMON     670008101       31      673 SH    -  DEFINED 16              673        0        0
D NOVEN PHARMACEUTICALS, INC.    COMMON     670009109       51     1200 SH    -  DEFINED 02             1200        0        0
D NOVEN PHARMACEUTICALS, INC.    COMMON     670009109     2569    60100 SH    -  DEFINED 02            60100        0        0
D NOVOSTE CORP                   COMMON     67010C100      357     8400 SH    -  DEFINED 01                0        0     8400
D NOVOSTE CORP                   COMMON     67010C100       13      300 SH    -  DEFINED 02              300        0        0
D NOVOSTE CORP                   COMMON     67010C100      185     4343 SH    -  DEFINED 16             4343        0        0
D NUCOR CORP.                    COMMON     670346105     5609   186200 SH    -  DEFINED 02            78600        0   107600
D NUCOR CORP.                    COMMON     670346105       15      500 SH    -  OTHER   02                0        0      500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 221
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D NUCOR CORP.                    COMMON     670346105      449    14920 SH    -  DEFINED 01            14920        0        0
D NUCOR CORP.                    COMMON     670346105     2479    82300 SH    -  DEFINED 02            82200        0      100
D NUCOR CORP.                    COMMON     670346105       27      900 SH    -  DEFINED 20              900        0        0
D NUCOR CORP.                    COMMON     670346105     2892    96000 SH    -  DEFINED 17            96000        0        0
D NUEVO ENERGY CO.               COMMON     670509108      213    11600 SH    -  DEFINED 01                0        0    11600
D NVIDIA CORP                    COMMON     67066G104       33      400 SH    -  DEFINED 20              400        0        0
D NVIDIA CORP                    COMMON     67066G104     4945    60400 SH    -  DEFINED 02            60400        0        0
D NVIDIA CORP                    COMMON     67066G104     1064    13000 SH    -  DEFINED 02                0        0    13000
D O'CHARLEY'S, INC.              COMMON     670823103      207    16800 SH    -  DEFINED 01                0        0    16800
D OM GROUP INC                   COMMON     670872100     7226   165635 SH    -  DEFINED 01            41135        0   124500
D OM GROUP INC                   COMMON     670872100     1339    30700 SH    -  DEFINED 02            25400        0     5300
D OM GROUP INC                   COMMON     670872100      197     4525 SH    -  DEFINED 05                0        0     4525
D OSI PHARMACEUTICALS, INC.      COMMON     671040103      427     6100 SH    -  DEFINED 01                0        0     6100
D OAK TECHNOLOGY, INC.           COMMON     671802106      296    10800 SH    -  DEFINED 01                0        0    10800
D OAK TECHNOLOGY, INC.           COMMON     671802106      586    21400 SH    -  DEFINED 02            21400        0        0
D OAK TECHNOLOGY, INC.           COMMON     671802106       11      400 SH    -  DEFINED 02              400        0        0
D OBIE MEDIA CORP                COMMON     674391107     1420   186260 SH    -  DEFINED 02           156790        0    29470
D OBIE MEDIA CORP                COMMON     674391107      619    81150 SH    -  DEFINED 02            81150        0        0
D OBJECTIVE SYSTEMS INTEGRATORS, COMMON     674424106      717    82500 SH    -  DEFINED 02            82500        0        0
D OBJECTIVE SYSTEMS INTEGRATORS, COMMON     674424106       14     1600 SH    -  DEFINED 02             1600        0        0
D OCCIDENTAL PETROLEUM CORP.     COMMON     674599105      901    41300 SH    -  DEFINED 02            37100        0     4200
D OCCIDENTAL PETROLEUM CORP.     COMMON     674599105     1246    57100 SH    -  DEFINED 02            57100        0        0
D OCCIDENTAL PETROLEUM CORP.     COMMON     674599105       96     4400 SH    -  DEFINED 17             4400        0        0
D OCCIDENTAL PETROLEUM CORP.     COMMON     674599105      476    21801 SH    -  DEFINED 01            13501        0     8300
D OCCIDENTAL PETROLEUM CORP.     COMMON     674599105      545    25000 SH    -  OTHER   01                0    25000        0
D OCEAN ENERGY INC TEX           COMMON     67481E106      583    37750 SH    -  DEFINED 01            37750        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 222
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D OCEAN ENERGY INC TEX           COMMON     67481E106     4954   320900 SH    -  DEFINED 02           320900        0        0
D OCULAR SCIENCES, INC.          COMMON     675744106      498    41500 SH    -  DEFINED 02            41500        0        0
D OCULAR SCIENCES, INC.          COMMON     675744106      119     9900 SH    -  DEFINED 20             9900        0        0
D OCULAR SCIENCES, INC.          COMMON     675744106      132    11000 SH    -  DEFINED 02             1100        0     9900
D OCULAR SCIENCES, INC.          COMMON     675744106      950    79200 SH    -  DEFINED 16            79200        0        0
D OCWEN FINL CORP                COMMON     675746101     3267   556000 SH    -  DEFINED 02           412400        0   143600
D OCWEN FINL CORP                COMMON     675746101     1772   301600 SH    -  DEFINED 02           301600        0        0
D OCWEN FINL CORP                COMMON     675746101     1552   264200 SH    -  DEFINED 01           264200        0        0
D OFFICEMAX, INC.                COMMON     67622M108      136    38300 SH    -  DEFINED 01                0        0    38300
D OFFICEMAX, INC.                COMMON     67622M108      136    38100 SH    -  DEFINED 02            38100        0        0
D OFFICEMAX, INC.                COMMON     67622M108       82    23100 SH    -  DEFINED 02            23100        0        0
D OFFICE DEPOT, INC.             COMMON     676220106       30     3800 SH    -  DEFINED 17             3800        0        0
D OFFICE DEPOT, INC.             COMMON     676220106      403    51600 SH    -  DEFINED 01                0    18000    33600
D OGDEN CORP.                    COMMON     676346109       95     7000 SH    -  DEFINED 01                0        0     7000
D OGDEN CORP.                    COMMON     676346109       95     7000 SH    -  DEFINED 02             7000        0        0
D OHIO CASUALTY CORP.            COMMON     677240103       82    12900 SH    -  DEFINED 02            12900        0        0
D OHIO CASUALTY CORP.            COMMON     677240103        8     1196 SH    -  DEFINED 16             1196        0        0
D OHIO CASUALTY CORP.            COMMON     677240103      381    60000 SH    -  OTHER   0304          60000        0        0
D OLD REPUBLIC INTERNATIONAL COR COMMON     680223104       22      924 SH    -  DEFINED 01              812        0      112
D OLD REPUBLIC INTERNATIONAL COR COMMON     680223104     3335   138600 SH    -  DEFINED 02           138600        0        0
D OLIN CORP.                     COMMON     680665205     1307    80738 SH    -  OTHER   01            79538        0     1200
D OLIN CORP.                     COMMON     680665205     4217   260500 SH    -  DEFINED 02            49900        0   210600
D OMNICARE INC. 5% 12/01/07      BOND       681904AD0        0  5250000 PRN   -  DEFINED 16                0        0        0
D OMNICARE, INC.                 COMMON     681904108      506    31400 SH    -  DEFINED 16            31400        0        0
D OMNICARE, INC.                 COMMON     681904108       92     5700 SH    -  DEFINED 05                0        0     5700
D OMNICARE, INC.                 COMMON     681904108     7084   439300 SH    -  DEFINED 02           370900        0    68400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 223
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D OMNICARE, INC.                 COMMON     681904108     6946   430775 SH    -  DEFINED 01           236925        0   193850
D OMNICARE, INC.                 COMMON     681904108     5176   321000 SH    -  DEFINED 02           321000        0        0
D OMNICOM GROUP, INC.            COMMON     681919106       80     1100 SH    -  DEFINED 17             1100        0        0
D OMNICOM GROUP, INC.            COMMON     681919106     1461    20027 SH    -  DEFINED 01            16027        0     4000
D OMNICOM GROUP, INC.            COMMON     681919106     1473    20200 SH    -  OTHER   01             1100    19100        0
D OMNICOM GROUP, INC.            COMMON     681919106       15      200 SH    -  DEFINED 05              200        0        0
D OMNICOM GROUP, INC.            COMMON     681919106      359     4920 SH    -  OTHER   05                0        0     4920
D OMNOVA SOLUTIONS INC           COMMON     682129101      101    18100 SH    -  DEFINED 02            18100        0        0
D OMNOVA SOLUTIONS INC           COMMON     682129101       97    17400 SH    -  DEFINED 01                0        0    17400
D ON ASSIGNMENT, INC.            COMMON     682159108      213     6800 SH    -  DEFINED 01                0        0     6800
D ON ASSIGNMENT, INC.            COMMON     682159108     5691   181400 SH    -  DEFINED 02           181400        0        0
D ON ASSIGNMENT, INC.            COMMON     682159108    15515   494500 SH    -  DEFINED 02           413300        0    81200
D ON ASSIGNMENT, INC.            COMMON     682159108        0        4 SH    -  DEFINED 16                4        0        0
D ONEOK INC NEW                  COMMON     682680103      239     6000 SH    -  OTHER   05                0     6000        0
D ONEOK INC NEW                  COMMON     682680103     9429   237200 SH    -  DEFINED 02            48400        0   188800
D ONEOK INC NEW                  COMMON     682680103      640    16100 SH    -  DEFINED 02            16100        0        0
D ONEOK INC NEW                  COMMON     682680103       12      300 SH    -  DEFINED 17              300        0        0
D ONI SYSTEMS CORP               COMMON     68273F103      296     3425 SH    -  DEFINED 01             2900        0      525
D ONI SYSTEMS CORP               COMMON     68273F103       52      600 SH    -  DEFINED 02                0        0      600
D ONVIA COM INC                  COMMON     68338T106        2      400 SH    -  DEFINED 02              400        0        0
D ONVIA COM INC                  COMMON     68338T106       62    14000 SH    -  DEFINED 02            14000        0        0
D ONYX SOFTWARE CORP             COMMON     683402101      285    13800 SH    -  DEFINED 02            13800        0        0
D ONYX SOFTWARE CORP             COMMON     683402101        4      200 SH    -  DEFINED 02              200        0        0
D OPTIMAL ROBOTICS CORP          COMMON     68388R208    10815   268700 SH    -  DEFINED 02           228500        0    40200
D OPTIMAL ROBOTICS CORP          COMMON     68388R208       90     2225 SH    -  DEFINED 05                0        0     2225
D OPTIMAL ROBOTICS CORP          COMMON     68388R208     4081   101400 SH    -  DEFINED 02           101400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 224
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D OPTIMAL ROBOTICS CORP          COMMON     68388R208     9380   233050 SH    -  DEFINED 01           160950        0    72100
D ORACLE SYSTEMS CORP.           COMMON     68389X105    53249   676182 SH    -  DEFINED 01           478303        0   189379
D ORACLE SYSTEMS CORP.           COMMON     68389X105    16546   210110 SH    -  OTHER   01            14300   155060    40750
D ORACLE SYSTEMS CORP.           COMMON     68389X105       16      200 SH    -  OTHER   21                0      200        0
D ORACLE SYSTEMS CORP.           COMMON     68389X105   315782  4009930 SH    -  DEFINED 02          2713700        0  1296230
D ORACLE SYSTEMS CORP.           COMMON     68389X105      449     5700 SH    -  OTHER   02             5700        0        0
D ORACLE SYSTEMS CORP.           COMMON     68389X105    25310   321400 SH    -  DEFINED 20           321400        0        0
D ORACLE SYSTEMS CORP.           COMMON     68389X105    12544   159290 SH    -  DEFINED 18           159290        0        0
D ORACLE SYSTEMS CORP.           COMMON     68389X105      929    11800 SH    -  DEFINED 05             2800        0     9000
D ORACLE SYSTEMS CORP.           COMMON     68389X105       23      286 SH    -  DEFINED 16              286        0        0
D ORACLE SYSTEMS CORP.           COMMON     68389X105   654553  8311782 SH    -  DEFINED 02          5214182        0  3097600
D ORACLE SYSTEMS CORP.           COMMON     68389X105     1331    16900 SH    -  OTHER   02                0        0    16900
D ORATEC INTERVENTIONS INC       COMMON     68554M108      121     9900 SH    -  DEFINED 02             9900        0        0
D ORATEC INTERVENTIONS INC       COMMON     68554M108       25     2000 SH    -  DEFINED 01                0        0     2000
D ORATEC INTERVENTIONS INC       COMMON     68554M108       29     2400 SH    -  DEFINED 02                0        0     2400
D ORATEC INTERVENTIONS INC       COMMON     68554M108        1       44 SH    -  DEFINED 16               44        0        0
D ORBITAL SCIENCES CORPORATION   BOND       685564AC0        0 20744000 PRN   -  DEFINED 17                0        0        0
D ORCHID BIOSCIENCES INC         COMMON     68571P100     4106   120775 SH    -  DEFINED 02           101250        0    19525
D ORCHID BIOSCIENCES INC         COMMON     68571P100       54     1575 SH    -  DEFINED 05                0        0     1575
D ORCHID BIOSCIENCES INC         COMMON     68571P100     6168   181423 SH    -  DEFINED 01           117348        0    64075
D ORCHID BIOSCIENCES INC         COMMON     68571P100     2295    67500 SH    -  DEFINED 02            67500        0        0
D ORGANOGENESIS, INC.            COMMON     685906109      265    18000 SH    -  DEFINED 01            18000        0        0
D ORGANOGENESIS, INC.            COMMON     685906109      115     7800 SH    -  DEFINED 17             7800        0        0
D ORGANIC INC                    COMMON     68617E101        1      300 SH    -  DEFINED 02              300        0        0
D ORGANIC INC                    COMMON     68617E101       57    12700 SH    -  DEFINED 02            12700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 225
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D OSHKOSH B'GOSH, INC. CLASS "A" COMMON     688222207      213    14000 SH    -  DEFINED 01                0        0    14000
D OSHKOSH TRUCK CORP. CLASS "B"  COMMON     688239201      448    11550 SH    -  DEFINED 01                0        0    11550
D OSHKOSH TRUCK CORP. CLASS "B"  COMMON     688239201      271     7000 SH    -  OTHER   01                0     3500     3500
D OSHKOSH TRUCK CORP. CLASS "B"  COMMON     688239201     1275    32900 SH    -  DEFINED 02            32900        0        0
D OSHKOSH TRUCK CORP. CLASS "B"  COMMON     688239201      360     9300 SH    -  DEFINED 02             9300        0        0
D OSHKOSH TRUCK CORP. CLASS "B"  COMMON     688239201        0        2 SH    -  DEFINED 16                2        0        0
D OUTBACK STEAKHOUSE, INC.       COMMON     689899102     2129    78500 SH    -  DEFINED 02            78500        0        0
D OWENS & MINOR, INC.            COMMON     690732102      337    21400 SH    -  DEFINED 02            21400        0        0
D OWENS & MINOR, INC.            COMMON     690732102      223    14175 SH    -  DEFINED 01                0        0    14175
D OWENS & MINOR, INC.            COMMON     690732102     1740   110500 SH    -  DEFINED 02                0        0   110500
D OWENS-ILLINOIS INC 4.75% 12/31 PREF CONV  690768502     2156   125000 SH    -  DEFINED 01                0        0        0
D OXFORD HEALTH PLANS, INC.      COMMON     691471106     4478   145700 SH    -  DEFINED 02           145700        0        0
D OXFORD HEALTH PLANS, INC.      COMMON     691471106      172     5600 SH    -  DEFINED 02                0        0     5600
D OXFORD HEALTH PLANS, INC.      COMMON     691471106        3      110 SH    -  DEFINED 16              110        0        0
D P C CONNECTION                 COMMON     69318J100        5       90 SH    -  DEFINED 16               90        0        0
D P C CONNECTION                 COMMON     69318J100       68     1200 SH    -  DEFINED 02             1200        0        0
D P C CONNECTION                 COMMON     69318J100     2075    36400 SH    -  DEFINED 02            36400        0        0
D P-COM, INC.                    COMMON     693262107      182    27500 SH    -  DEFINED 01             2900        0    24600
D PECO ENERGY CO.                COMMON     693304107       36      595 SH    -  DEFINED 01                0        0      595
D PECO ENERGY CO.                COMMON     693304107     4748    78400 SH    -  DEFINED 17            78400        0        0
D PG&E CORP                      COMMON     69331C108      111     4600 SH    -  DEFINED 17             4600        0        0
D PG&E CORP                      COMMON     69331C108     1379    57000 SH    -  DEFINED 06            57000        0        0
D PG&E CORP                      COMMON     69331C108    57204  2364981 SH    -  DEFINED 02          1272780        0  1092200
D PG&E CORP                      COMMON     69331C108       10      400 SH    -  OTHER   02                0        0      400
D PG&E CORP                      COMMON     69331C108       12      500 SH    -  DEFINED 05              500        0        0
D PG&E CORP                      COMMON     69331C108     6879   284389 SH    -  DEFINED 01           105314        0   179075

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 226
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PG&E CORP                      COMMON     69331C108      683    28219 SH    -  OTHER   01             4900    23319        0
D PG&E CORP                      COMMON     69331C108      145     6000 SH    -  OTHER   21                0     6000        0
D PG&E CORP                      COMMON     69331C108    34313  1418600 SH    -  DEFINED 02          1026600        0   392000
D PG&E CORP                      COMMON     69331C108       63     2600 SH    -  OTHER   02             2600        0        0
D PG&E CORP                      COMMON     69331C108      341    14100 SH    -  DEFINED 20            14100        0        0
D PE CORP                        COMMON     69332S102     9238    79300 SH    -  DEFINED 20            79300        0        0
D PE CORP                        COMMON     69332S102    17207   147700 SH    -  DEFINED 02           102200        0    45500
D PE CORP                        COMMON     69332S102    17573   150844 SH    -  OTHER   01            31400   104644    14800
D PE CORP                        COMMON     69332S102    37083   318312 SH    -  DEFINED 01           167570     2400   146542
D PE CORP                        COMMON     69332S102    12500   107300 SH    -  DEFINED 05            34300        0    73000
D PE CORP                        COMMON     69332S102      816     7000 SH    -  OTHER   05             5000        0     2000
D PE CORP                        COMMON     69332S102   243560  2090647 SH    -  DEFINED 02          1967040        0   123607
D PE CORP                        COMMON     69332S102       75      640 SH    -  OTHER   02                0        0      640
D PE CORP                        COMMON     69332S102      291     2500 SH    -  DEFINED 17             2500        0        0
D PE CORP                        COMMON     69332S201       90      900 SH    -  DEFINED 17              900        0        0
D PE CORP                        COMMON     69332S201     3816    38300 SH    -  DEFINED 02            36000        0     2300
D PE CORP                        COMMON     69332S201     1719    17250 SH    -  DEFINED 05             6450        0    10800
D PE CORP                        COMMON     69332S201      169     1700 SH    -  OTHER   05             1200        0      500
D PE CORP                        COMMON     69332S201     2508    25172 SH    -  OTHER   01             4300    17172     3700
D PE CORP                        COMMON     69332S201     5171    51908 SH    -  DEFINED 01            15130      600    36178
D PE CORP                        COMMON     69332S201     3278    32900 SH    -  DEFINED 02            32900        0        0
D PE CORP                        COMMON     69332S201       50      500 SH    -  DEFINED 20              500        0        0
D PMC-SIERRA INC                 COMMON     69344F106      280     1300 SH    -  DEFINED 20             1300        0        0
D PMC-SIERRA INC                 COMMON     69344F106      452     2100 SH    -  DEFINED 01             1200        0      900
D PMC-SIERRA INC                 COMMON     69344F106    17500    81300 SH    -  DEFINED 02            62700        0    18600
D PMC-SIERRA INC                 COMMON     69344F106      237     1100 SH    -  OTHER   02                0        0     1100

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 227
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PMC-SIERRA INC                 COMMON     69344F106      185      860 SH    -  DEFINED 16              860        0        0
D PMI GROUP, INC.                COMMON     69344M101       14      200 SH    -  DEFINED 02                0        0      200
D PMI GROUP, INC.                COMMON     69344M101       30      450 SH    -  DEFINED 01              450        0        0
D PMI GROUP, INC.                COMMON     69344M101     5562    82100 SH    -  DEFINED 02            82100        0        0
D PNC FINANCIAL CORP.            COMMON     693475105    43290   666000 SH    -  DEFINED 02           494500        0   171500
D PNC FINANCIAL CORP.            COMMON     693475105       85     1300 SH    -  OTHER   02             1300        0        0
D PNC FINANCIAL CORP.            COMMON     693475105      787    12100 SH    -  DEFINED 20            12100        0        0
D PNC FINANCIAL CORP.            COMMON     693475105      345     5300 SH    -  OTHER   21                0     5300        0
D PNC FINANCIAL CORP.            COMMON     693475105     2664    40987 SH    -  OTHER   01            13120    27567      300
D PNC FINANCIAL CORP.            COMMON     693475105     9591   147557 SH    -  DEFINED 01           117467     2000    28090
D PNC FINANCIAL CORP.            COMMON     693475105    99125  1525000 SH    -  DEFINED 02           949400        0   575600
D PNC FINANCIAL CORP.            COMMON     693475105      364     5600 SH    -  OTHER   02                0        0     5600
D PNC FINANCIAL CORP.            COMMON     693475105      228     3500 SH    -  DEFINED 17             3500        0        0
D PNC FINANCIAL CORP.            COMMON     693475105       33      500 SH    -  DEFINED 05              500        0        0
D PPG INDUSTRIES, INC.           COMMON     693506107       28      700 SH    -  DEFINED 05              700        0        0
D PPG INDUSTRIES, INC.           COMMON     693506107       83     2100 SH    -  DEFINED 17             2100        0        0
D PPG INDUSTRIES, INC.           COMMON     693506107        0        0 SH    -  DEFINED 06                0        0        0
D PPG INDUSTRIES, INC.           COMMON     693506107    57429  1447000 SH    -  DEFINED 02           922400        0   524600
D PPG INDUSTRIES, INC.           COMMON     693506107      111     2800 SH    -  OTHER   02                0        0     2800
D PPG INDUSTRIES, INC.           COMMON     693506107     3120    78610 SH    -  DEFINED 01            71320        0     7290
D PPG INDUSTRIES, INC.           COMMON     693506107      250     6300 SH    -  OTHER   01              300     6000        0
D PPG INDUSTRIES, INC.           COMMON     693506107      254     6400 SH    -  OTHER   21                0     6400        0
D PPG INDUSTRIES, INC.           COMMON     693506107      425    10700 SH    -  DEFINED 20            10700        0        0
D PPG INDUSTRIES, INC.           COMMON     693506107    20269   510700 SH    -  DEFINED 02           336400        0   174300
D PPG INDUSTRIES, INC.           COMMON     693506107       52     1300 SH    -  OTHER   02             1300        0        0
D PPL CORP                       COMMON     69351T106    35162   842200 SH    -  DEFINED 02           691300        0   150900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 228
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PPL CORP                       COMMON     69351T106       38      900 SH    -  OTHER   02              900        0        0
D PPL CORP                       COMMON     69351T106      129     3100 SH    -  DEFINED 20             3100        0        0
D PPL CORP                       COMMON     69351T106     1592    38140 SH    -  DEFINED 01            26640        0    11500
D PPL CORP                       COMMON     69351T106      322     7720 SH    -  OTHER   01             3620     3900      200
D PPL CORP                       COMMON     69351T106      192     4600 SH    -  OTHER   21                0     4600        0
D PPL CORP                       COMMON     69351T106    55799  1336500 SH    -  DEFINED 02           862400        0   474100
D PPL CORP                       COMMON     69351T106       71     1700 SH    -  DEFINED 17             1700        0        0
D PPL CORP                       COMMON     69351T106      192     4600 SH    -  OTHER   02                0        0     4600
D PSS WORLD MEDICAL, INC         COMMON     69366A100        1      200 SH    -  DEFINED 02              200        0        0
D PSS WORLD MEDICAL, INC         COMMON     69366A100     1075   296533 SH    -  DEFINED 16           296533        0        0
D PSS WORLD MEDICAL, INC         COMMON     69366A100       47    13000 SH    -  DEFINED 01                0        0    13000
D PAC-WEST TELECOM INC           COMMON     69371Y101       56     5902 SH    -  DEFINED 01              762        0     5140
D PAC-WEST TELECOM INC           COMMON     69371Y101       22     2448 SH    -  OTHER   01             2448        0        0
D PAC-WEST TELECOM INC           COMMON     69371Y101       23     2448 SH    -  DEFINED 19             2448        0        0
D PACCAR, INC.                   COMMON     693718108      152     4100 SH    -  DEFINED 20             4100        0        0
D PACCAR, INC.                   COMMON     693718108     7476   201700 SH    -  DEFINED 02           119400        0    82300
D PACCAR, INC.                   COMMON     693718108      860    23200 SH    -  DEFINED 01            10500        0    12700
D PACCAR, INC.                   COMMON     693718108        9      231 SH    -  DEFINED 16              231        0        0
D PACCAR, INC.                   COMMON     693718108    19302   520800 SH    -  DEFINED 02           280800        0   240000
D PACCAR, INC.                   COMMON     693718108       33      900 SH    -  DEFINED 17              900        0        0
D PACIFIC CENTY FINL CORP        COMMON     694058108    10758   628200 SH    -  DEFINED 02           295200        0   333000
D PACIFIC CENTY FINL CORP        COMMON     694058108     4504   263000 SH    -  DEFINED 01           263000        0        0
D PACIFIC CENTY FINL CORP        COMMON     694058108      593    34640 SH    -  OTHER   01             7424    27216        0
D PACIFIC CENTY FINL CORP        COMMON     694058108     5502   321300 SH    -  DEFINED 02           321300        0        0
D PACIFIC CENTY FINL CORP        COMMON     694058108      233    13600 SH    -  DEFINED 20            13600        0        0
D PACIFIC CENTY CYBERWORKS LTD   COMMON     694059106      460    41800 SH    -  OTHER   01                0    25300    16500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 229
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100    12311   656595 SH    -  DEFINED 01           399645        0   256950
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100      124     6600 SH    -  DEFINED 20             6600        0        0
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100     6338   338000 SH    -  DEFINED 02           338000        0        0
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100    12098   645200 SH    -  DEFINED 02           543850        0   101350
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100        0        2 SH    -  DEFINED 16                2        0        0
D PACIFIC SUNWEAR CALIFORNIA, IN COMMON     694873100      156     8300 SH    -  DEFINED 05                0        0     8300
D PACIFICARE HEALTH SYS DEL      COMMON     695112102     2893    83100 SH    -  DEFINED 02            83100        0        0
D PACIFICARE HEALTH SYS DEL      COMMON     695112102        7      214 SH    -  DEFINED 01               75        0      139
D PACKAGING CORP AMER            COMMON     695156109     2500   222225 SH    -  DEFINED 19           222225        0        0
D PACKETEER INC                  COMMON     695210104     2394    63100 SH    -  DEFINED 02            63100        0        0
D PACKETEER INC                  COMMON     695210104     8128   214250 SH    -  DEFINED 01            99375        0   114875
D PACKETEER INC                  COMMON     695210104      132     3475 SH    -  DEFINED 05                0        0     3475
D PACKETEER INC                  COMMON     695210104     5349   141000 SH    -  DEFINED 02           112800        0    28200
D PACTIV CORP                    COMMON     695257105      678    60600 SH    -  DEFINED 02            60600        0        0
D PACTIV CORP                    COMMON     695257105       22     2000 SH    -  DEFINED 17             2000        0        0
D PACTIV CORP                    COMMON     695257105       39     3500 SH    -  DEFINED 01             3500        0        0
D PAINE WEBBER GROUP, INC.       COMMON     695629105       83     1220 SH    -  DEFINED 01             1220        0        0
D PAINE WEBBER GROUP, INC.       COMMON     695629105      259     3800 SH    -  DEFINED 20             3800        0        0
D PAINE WEBBER GROUP, INC.       COMMON     695629105      116     1700 SH    -  DEFINED 17             1700        0        0
D PAINE WEBBER GROUP, INC.       COMMON     695629105     3072    45100 SH    -  DEFINED 02                0        0    45100
D PAINE WEBBER GROUP, INC.       COMMON     695629105       68     1000 SH    -  DEFINED 16             1000        0        0
D PALL CORP.                     COMMON     696429307       30     1500 SH    -  DEFINED 17             1500        0        0
D PALL CORP.                     COMMON     696429307       76     3800 SH    -  DEFINED 02                0        0     3800
D PALL CORP.                     COMMON     696429307     1382    69300 SH    -  DEFINED 02            69300        0        0
D PALL CORP.                     COMMON     696429307      285    14275 SH    -  DEFINED 01            14275        0        0
D PALL CORP.                     COMMON     696429307      598    30000 SH    -  OTHER   01                0    30000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 230
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PALM INC                       COMMON     696642107     5332   100785 SH    -  DEFINED 01            37831       20    62914
D PALM INC                       COMMON     696642107      231     4355 SH    -  OTHER   01             1900     1040     1415
D PALM INC                       COMMON     696642107      880    16630 SH    -  DEFINED 17            16630        0        0
D PALM INC                       COMMON     696642107       82     1541 SH    -  DEFINED 18             1541        0        0
D PALM INC                       COMMON     696642107    36388   687364 SH    -  DEFINED 16           687364        0        0
D PALM INC                       COMMON     696642107      826    15610 SH    -  DEFINED 05             7760      430     7420
D PALM INC                       COMMON     696642107       23      430 SH    -  OTHER   05              320      110        0
D PAPA JOHN'S INTERNATIONAL, INC COMMON     698813102     1243    49600 SH    -  DEFINED 02            49600        0        0
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100     7432   679500 SH    -  DEFINED 02           482400        0   197100
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100       65     5900 SH    -  DEFINED 20             5900        0        0
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100      823    75234 SH    -  DEFINED 01            17700        0    57534
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100       11      960 SH    -  DEFINED 16              960        0        0
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100      145    13300 SH    -  DEFINED 17            13300        0        0
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100    36036  3294570 SH    -  DEFINED 02          2829370        0   465200
D PARAMETRIC TECHNOLOGY CORP.    COMMON     699173100       14     1300 SH    -  OTHER   02                0        0     1300
D PARK ELECTROCHEM. 5.5% CSN 3/0 BOND       700416AB6      806  1080000 PRN   -  OTHER   01                0        0        0
D PARK ELECTROCHEMICAL CORP.     COMMON     700416209      834    15000 SH    -  DEFINED 01                0        0    15000
D PARK ELECTROCHEMICAL CORP.     COMMON     700416209      111     2000 SH    -  DEFINED 02             2000        0        0
D PARK PLACE ENTERTAINMENT CORP  COMMON     700690100      469    31000 SH    -  DEFINED 02                0        0    31000
D PARK PLACE ENTERTAINMENT CORP  COMMON     700690100      355    23500 SH    -  DEFINED 01             1900        0    21600
D PARK PLACE ENTERTAINMENT CORP  COMMON     700690100     2252   148900 SH    -  DEFINED 02           148900        0        0
D PARKER-HANNIFIN CORP.          COMMON     701094104    21533   638000 SH    -  DEFINED 02           519900        0   118100
D PARKER-HANNIFIN CORP.          COMMON     701094104       30      900 SH    -  OTHER   02              900        0        0
D PARKER-HANNIFIN CORP.          COMMON     701094104      138     4100 SH    -  DEFINED 20             4100        0        0
D PARKER-HANNIFIN CORP.          COMMON     701094104      684    20271 SH    -  DEFINED 01            16200        0     4071
D PARKER-HANNIFIN CORP.          COMMON     701094104      152     4500 SH    -  OTHER   21                0     4500        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 231
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PARKER-HANNIFIN CORP.          COMMON     701094104    36794  1090200 SH    -  DEFINED 02           716900        0   373300
D PARKER-HANNIFIN CORP.          COMMON     701094104       81     2400 SH    -  OTHER   02                0        0     2400
D PARKER-HANNIFIN CORP.          COMMON     701094104       44     1300 SH    -  DEFINED 17             1300        0        0
D PARKER-HANNIFIN CORP.          COMMON     701094104        3      100 SH    -  DEFINED 05              100        0        0
D PARKERVISION, INC.             COMMON     701354102      399     8300 SH    -  DEFINED 01                0        0     8300
D PAXAR CORP.                    COMMON     704227107      162    18116 SH    -  DEFINED 01                0        0    18116
D PAXAR CORP.                    COMMON     704227107       23     2600 SH    -  DEFINED 02             2600        0        0
D PAXSON COMMUNICATIONS CORP.    COMMON     704231109      115    10000 SH    -  DEFINED 05                0        0    10000
D PAXSON COMMUNICATIONS CORP.    COMMON     704231109      575    50000 SH    -  OTHER   01            50000        0        0
D PAYCHEX, INC.                  COMMON     704326107     6424   122353 SH    -  DEFINED 01            42054        0    80299
D PAYCHEX, INC.                  COMMON     704326107      147     2800 SH    -  DEFINED 20             2800        0        0
D PAYCHEX, INC.                  COMMON     704326107     6342   120800 SH    -  DEFINED 02            87300        0    33500
D PAYCHEX, INC.                  COMMON     704326107      126     2400 SH    -  OTHER   02                0        0     2400
D PAYCHEX, INC.                  COMMON     704326107      231     4400 SH    -  DEFINED 17             4400        0        0
D PAYCHEX, INC.                  COMMON     704326107        1       20 SH    -  DEFINED 16               20        0        0
D PAYLESS SHOESOURCE, INC.       COMMON     704379106      775    13837 SH    -  DEFINED 16            13837        0        0
D PAYLESS SHOESOURCE, INC.       COMMON     704379106       47      848 SH    -  OTHER   01                0      848        0
D PEDIATRIX MEDICAL GROUP, INC.  COMMON     705324101      296    22900 SH    -  DEFINED 01                0        0    22900
D PEGASUS COMMUNICATIONS CORP    COMMON     705904100        1       20 SH    -  DEFINED 01               20        0        0
D PEGASUS COMMUNICATIONS CORP    COMMON     705904100     4237    87700 SH    -  DEFINED 02                0        0    87700
D PEGASUS SYSTEMS, INC.          COMMON     705906105        4      200 SH    -  DEFINED 02              200        0        0
D PEGASUS SYSTEMS, INC.          COMMON     705906105      103     5250 SH    -  DEFINED 01                0        0     5250
D PEGASUS SYSTEMS, INC.          COMMON     705906105     1072    54800 SH    -  DEFINED 02            54800        0        0
D PENN ENGR & MFG CORP           COMMON     707389102      850    28700 SH    -  DEFINED 01                0        0    28700
D PENN NATIONAL GAMING, INC.     COMMON     707569109      449    29500 SH    -  DEFINED 01            29500        0        0
D PENN NATIONAL GAMING, INC.     COMMON     707569109      285    18700 SH    -  DEFINED 02            18700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 232
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PENN NATIONAL GAMING, INC.     COMMON     707569109      650    42700 SH    -  DEFINED 02            35800        0     6900
D PENNEY (J. C.), INC.           COMMON     708160106     3209   271652 SH    -  DEFINED 02            78152        0   193500
D PENNEY (J. C.), INC.           COMMON     708160106       95     8000 SH    -  DEFINED 05             8000        0        0
D PENNEY (J. C.), INC.           COMMON     708160106      856    72425 SH    -  DEFINED 01            64501        0     7924
D PENNEY (J. C.), INC.           COMMON     708160106      313    26528 SH    -  OTHER   01                0    19328     7200
D PENNEY (J. C.), INC.           COMMON     708160106      413    35000 SH    -  DEFINED 06            35000        0        0
D PENNEY (J. C.), INC.           COMMON     708160106        7      600 SH    -  DEFINED 20              600        0        0
D PENNEY (J. C.), INC.           COMMON     708160106    20183  1708579 SH    -  DEFINED 19          1708579        0        0
D PENNEY (J. C.), INC.           COMMON     708160106      989    83700 SH    -  DEFINED 02            63100        0    20600
D PENTAIR, INC.                  COMMON     709631105     1222    45700 SH    -  DEFINED 02            45700        0        0
D PENTAIR, INC.                  COMMON     709631105      465    17400 SH    -  DEFINED 01                0        0    17400
D PENTON MEDIA INC               COMMON     709668107      187     6784 SH    -  DEFINED 01                0        0     6784
D PENTON MEDIA INC               COMMON     709668107      611    22200 SH    -  DEFINED 02            22200        0        0
D PENTON MEDIA INC               COMMON     709668107        0        2 SH    -  DEFINED 16                2        0        0
D PENTON MEDIA INC               COMMON     709668107        3      100 SH    -  DEFINED 02              100        0        0
D PEOPLES ENERGY CORP.           COMMON     711030106       13      400 SH    -  DEFINED 17              400        0        0
D PEOPLES ENERGY CORP.           COMMON     711030106      386    11560 SH    -  DEFINED 01                0        0    11560
D PEOPLESOFT, INC.               COMMON     712713106      870    31145 SH    -  DEFINED 01             2600        0    28545
D PEOPLESOFT, INC.               COMMON     712713106      500    17900 SH    -  DEFINED 17            17900        0        0
D PEOPLESOFT, INC.               COMMON     712713106     4294   153700 SH    -  DEFINED 02           137000        0    16700
D PEOPLESOFT, INC.               COMMON     712713106    21976   786604 SH    -  DEFINED 02           786604        0        0
D PEOPLESOFT, INC.               COMMON     712713106        1       42 SH    -  DEFINED 16               42        0        0
D PEP BOYS-MANNY, MOE & JACK     COMMON     713278109      343    68670 SH    -  DEFINED 01            68670        0        0
D PEP BOYS-MANNY, MOE & JACK     COMMON     713278109       25     5000 SH    -  OTHER   01                0     5000        0
D PEPSI BOTTLING GROUP INC       COMMON     713409100     6881   228900 SH    -  DEFINED 02           228900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 233
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PEPSI BOTTLING GROUP INC       COMMON     713409100       84     2800 SH    -  DEFINED 02                0        0     2800
D PEPSICO, INC.                  COMMON     713448108    21707   471900 SH    -  DEFINED 02           471100        0      800
D PEPSICO, INC.                  COMMON     713448108     1601    34800 SH    -  DEFINED 02            27600        0     7200
D PEPSICO, INC.                  COMMON     713448108     2571    55900 SH    -  DEFINED 20            55900        0        0
D PEPSICO, INC.                  COMMON     713448108     7587   164942 SH    -  DEFINED 05            68322        0    96620
D PEPSICO, INC.                  COMMON     713448108      221     4800 SH    -  OTHER   05             2400     1000     1400
D PEPSICO, INC.                  COMMON     713448108     3680    80000 SH    -  DEFINED 18            80000        0        0
D PEPSICO, INC.                  COMMON     713448108     1661    36100 SH    -  OTHER   09            36100        0        0
D PEPSICO, INC.                  COMMON     713448108   200987  4369272 SH    -  DEFINED 01          1091465    25813  3208944
D PEPSICO, INC.                  COMMON     713448108    39136   850778 SH    -  OTHER   01           184304   553424   113050
D PEREGRINE SYSTEMS INC          COMMON     71366Q101     3011   159000 SH    -  DEFINED 02           159000        0        0
D PEREGRINE SYSTEMS INC          COMMON     71366Q101       23     1200 SH    -  DEFINED 20             1200        0        0
D PEREGRINE SYSTEMS INC          COMMON     71366Q101     5477   289225 SH    -  DEFINED 02           228275        0    60950
D PEREGRINE SYSTEMS INC          COMMON     71366Q101       52     2750 SH    -  DEFINED 05                0        0     2750
D PEREGRINE SYSTEMS INC          COMMON     71366Q101     4448   234888 SH    -  DEFINED 01            98888        0   136000
D PEREZ COMPANC SA NEW           COMMON     71367B103      594    36287 SH    -  DEFINED 17            36287        0        0
D PEREZ COMPANC SA NEW           COMMON     71367B103       91     5570 SH    -  DEFINED 18             5570        0        0
D PEREZ COMPANC SA NEW           COMMON     71367B103        2      147 SH    -  DEFINED 01              147        0        0
D PERKINELMER INC                COMMON     714046109      474     4544 SH    -  DEFINED 01             4400        0      144
D PERKINELMER INC                COMMON     714046109     1983    19000 SH    -  OTHER   01                0    19000        0
D PERKINELMER INC                COMMON     714046109       63      600 SH    -  DEFINED 17              600        0        0
D PERKINELMER INC                COMMON     714046109       42      400 SH    -  DEFINED 20              400        0        0
D PERKINELMER INC                COMMON     714046109      209     2000 SH    -  DEFINED 02             2000        0        0
D PERKINELMER INC                COMMON     714046109      532     5100 SH    -  DEFINED 02                0        0     5100
D PERSISTENCE SOFTWARE INC       COMMON     715329108        2      200 SH    -  DEFINED 02              200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 234
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PERSISTENCE SOFTWARE INC       COMMON     715329108      123    11200 SH    -  DEFINED 02            11200        0        0
D PERSONNEL GROUP OF AMERICA, IN COMMON     715338109       96    30800 SH    -  DEFINED 01                0        0    30800
D PETCO ANIMAL SUPPLIES, INC.    COMMON     716016100      552    25300 SH    -  DEFINED 01                0        0    25300
D PETCO ANIMAL SUPPLIES, INC.    COMMON     716016100      707    32400 SH    -  DEFINED 02            32400        0        0
D PETCO ANIMAL SUPPLIES, INC.    COMMON     716016100      386    17700 SH    -  DEFINED 02            17700        0        0
D PETROLEO BRASILEIRO SA PETRO   COMMON     71654V408     1503    50000 SH    -  DEFINED 16            50000        0        0
D PETROLEUM & RESOURCES CORP.    COMMON     716549100      500    11887 SH    -  DEFINED 01            11887        0        0
D PETSMART, INC.                 COMMON     716768106      218    46400 SH    -  DEFINED 01                0        0    46400
D PETSMART, INC.                 COMMON     716768106        0       46 SH    -  DEFINED 16               46        0        0
D PHARMACYCLICS INC              COMMON     716933106      452     9100 SH    -  DEFINED 01                0        0     9100
D PFIZER, INC.                   COMMON     717081103   309731  6892411 SH    -  DEFINED 01          4646253    82775  2140546
D PFIZER, INC.                   COMMON     717081103   135842  3022866 SH    -  OTHER   01           852946  1821388   348532
D PFIZER, INC.                   COMMON     717081103   352096  7835150 SH    -  DEFINED 02          5165250        0  2669900
D PFIZER, INC.                   COMMON     717081103      485    10800 SH    -  OTHER   02            10800        0        0
D PFIZER, INC.                   COMMON     717081103    31184   693925 SH    -  DEFINED 20           693925        0        0
D PFIZER, INC.                   COMMON     717081103       29      639 SH    -  DEFINED 18              639        0        0
D PFIZER, INC.                   COMMON     717081103     1123    25000 SH    -  DEFINED 06            25000        0        0
D PFIZER, INC.                   COMMON     717081103     3009    66950 SH    -  OTHER   09            66950        0        0
D PFIZER, INC.                   COMMON     717081103     4314    96000 SH    -  OTHER   1314              0    96000        0
D PFIZER, INC.                   COMMON     717081103    19898   442785 SH    -  DEFINED 05           222004     8625   212156
D PFIZER, INC.                   COMMON     717081103      371     8250 SH    -  OTHER   05             3300        0     4950
D PFIZER, INC.                   COMMON     717081103  1142314 25419775 SH    -  DEFINED 02         18937467        0  6482308
D PFIZER, INC.                   COMMON     717081103     1881    41850 SH    -  OTHER   02                0        0    41850
D PHARMACOPEIA, INC.             COMMON     71713B104        5      200 SH    -  DEFINED 02              200        0        0
D PHARMACOPEIA, INC.             COMMON     71713B104      207     8100 SH    -  DEFINED 02             8100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 235
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PHARMACIA CORP                 COMMON     71713U102   262598  4362963 SH    -  DEFINED 02          3261160        0  1101803
D PHARMACIA CORP                 COMMON     71713U102      373     6200 SH    -  OTHER   02             6200        0        0
D PHARMACIA CORP                 COMMON     71713U102    22390   372000 SH    -  DEFINED 20           372000        0        0
D PHARMACIA CORP                 COMMON     71713U102     6704   111384 SH    -  DEFINED 18           111384        0        0
D PHARMACIA CORP                 COMMON     71713U102      729    12300 SH    -  DEFINED 17            12300        0        0
D PHARMACIA CORP                 COMMON     71713U102   102980  1710972 SH    -  DEFINED 01           980512     2221   721239
D PHARMACIA CORP                 COMMON     71713U102    13929   231429 SH    -  OTHER   01           102446   113183    15800
D PHARMACIA CORP                 COMMON     71713U102      439     7300 SH    -  OTHER   21                0     7300        0
D PHARMACIA CORP                 COMMON     71713U102   897022 14903666 SH    -  DEFINED 02         11741187        0  3162479
D PHARMACIA CORP                 COMMON     71713U102      910    15119 SH    -  OTHER   02                0        0    15119
D PHARMACIA CORP                 COMMON     71713U102     1360    22600 SH    -  DEFINED 05            12400        0    10200
D PHARMACIA CORP                 COMMON     71713U102     3828    63600 SH    -  OTHER   09            63600        0        0
D PHARMACIA CORP                 COMMON     71713U102     3310    55000 SH    -  OTHER   0304          55000        0        0
D PHELPS DODGE CORP.             COMMON     717265102     1253    30000 SH    -  OTHER   0304          30000        0        0
D PHELPS DODGE CORP.             COMMON     717265102     1173    28100 SH    -  DEFINED 02             6100        0    22000
D PHELPS DODGE CORP.             COMMON     717265102      760    18202 SH    -  DEFINED 01            12752        0     5450
D PHELPS DODGE CORP.             COMMON     717265102        8      200 SH    -  OTHER   01              200        0        0
D PHELPS DODGE CORP.             COMMON     717265102       38      900 SH    -  DEFINED 17              900        0        0
D PHELPS DODGE CORP.             COMMON     717265102      171     4100 SH    -  DEFINED 20             4100        0        0
D PHELPS DODGE CORP.             COMMON     717265102     1111    26600 SH    -  DEFINED 02            25000        0     1600
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107   294753 10012675 SH    -  DEFINED 02          7522500        0  2490175
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107      583    19800 SH    -  OTHER   02            19800        0        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107    21540   731700 SH    -  DEFINED 20           731700        0        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     2573    87400 SH    -  DEFINED 17            87400        0        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107    87400  2968968 SH    -  DEFINED 01          2006251    24300   932917
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107    16457   559031 SH    -  OTHER   01           148215   310661   100155

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 236
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     1163    39500 SH    -  OTHER   21                0    39500        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107   782584 26584153 SH    -  DEFINED 02         21164303        0  5419850
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     1381    46900 SH    -  OTHER   02                0        0    46900
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     5593   190000 SH    -  OTHER   0304         190000        0        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     2119    71975 SH    -  OTHER   09            71975        0        0
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107     2268    77050 SH    -  DEFINED 05            38950        0    38100
D PHILIP MORRIS COMPANIES, INC.  COMMON     718154107       71     2400 SH    -  OTHER   05             2400        0        0
D PHILIPPINE LONG DISTANCE TELEP PREFERRED  718252703     3401    95800 SH    -  DEFINED 16                0        0        0
D PHILLIPS PETROLEUM COMPANY     COMMON     718507106       38      600 SH    -  DEFINED 05              600        0        0
D PHILLIPS PETROLEUM COMPANY     COMMON     718507106      640    10200 SH    -  DEFINED 02             5100        0     5100
D PHILLIPS PETROLEUM COMPANY     COMMON     718507106      360     5740 SH    -  DEFINED 01             4240        0     1500
D PHILLIPS PETROLEUM COMPANY     COMMON     718507106      314     5000 SH    -  OTHER   01                0     5000        0
D PHILLIPS PETROLEUM COMPANY     COMMON     718507106      188     3000 SH    -  DEFINED 17             3000        0        0
D PHILLIPS-VAN HEUSEN CORP.      COMMON     718592108      131    12700 SH    -  DEFINED 01                0        0    12700
D PHOENIX TECHNOLOGY LTD.        COMMON     719153108       99     6200 SH    -  DEFINED 01                0        0     6200
D PHOENIX TECHNOLOGY LTD.        COMMON     719153108     1189    74600 SH    -  DEFINED 02            74600        0        0
D PHOENIX TECHNOLOGY LTD.        COMMON     719153108      230    14400 SH    -  DEFINED 02            14400        0        0
D PHONE COM INC                  COMMON     71920Q100     2238    19700 SH    -  DEFINED 02                0        0    19700
D PHONE COM INC                  COMMON     71920Q100     1807    15900 SH    -  DEFINED 18            15900        0        0
D PHONE COM INC                  COMMON     71920Q100       23      200 SH    -  OTHER   01                0      200        0
D PHOTON DYNAMICS, INC.          COMMON     719364101      230     6100 SH    -  DEFINED 02             6100        0        0
D PHOTON DYNAMICS, INC.          COMMON     719364101        4      100 SH    -  DEFINED 02              100        0        0
D PHOTOWORKS INC                 COMMON     71940B109       66    23287 SH    -  DEFINED 01                0        0    23287
D PIEDMONT NATURAL GAS, INC.     COMMON     720186105      753    24600 SH    -  DEFINED 01             5000        0    19600
D PIEDMONT NATURAL GAS, INC.     COMMON     720186105      123     4000 SH    -  OTHER   01                0     4000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 237
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PIER 1 IMPORTS, INC.           COMMON     720279108      414    30500 SH    -  DEFINED 01                0        0    30500
D PIER 1 IMPORTS, INC.           COMMON     720279108     1402   103400 SH    -  DEFINED 02           103400        0        0
D PIER 1 IMPORTS, INC.           COMMON     720279108      118     8700 SH    -  DEFINED 20             8700        0        0
D PIER 1 IMPORTS, INC.           COMMON     720279108     1427   105200 SH    -  DEFINED 02            88400        0    16800
D PILGRIM'S PRIDE CORP.          COMMON     721467108      360    52400 SH    -  DEFINED 02            52400        0        0
D PILGRIM'S PRIDE CORP.          COMMON     721467108       86    12500 SH    -  DEFINED 02            12500        0        0
D PILGRIM'S PRIDE CORP.          COMMON     721467108       67     9700 SH    -  DEFINED 01                0        0     9700
D PINNACLE ENTMT INC             COMMON     723456109     1198    55100 SH    -  DEFINED 02            55100        0        0
D PINNACLE ENTMT INC             COMMON     723456109     1994    91700 SH    -  DEFINED 02            33800        0    57900
D PINNACLE ENTMT INC             COMMON     723456109     3382   155500 SH    -  DEFINED 16           155500        0        0
D PINNACLE SYSTEMS, INC.         COMMON     723481107        0        2 SH    -  DEFINED 16                2        0        0
D PINNACLE SYSTEMS, INC.         COMMON     723481107      140    12400 SH    -  DEFINED 02              800        0    11600
D PINNACLE SYSTEMS, INC.         COMMON     723481107      665    59100 SH    -  DEFINED 02            59100        0        0
D PINNACLE SYSTEMS, INC.         COMMON     723481107      302    26800 SH    -  DEFINED 01                0        0    26800
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101    12186   239535 SH    -  DEFINED 01           158270     2000    78190
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101     2894    56887 SH    -  OTHER   01            31050     8887    16950
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101      346     6800 SH    -  OTHER   21                0     6800        0
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101    41509   815900 SH    -  DEFINED 02           657800        0   158100
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101       41      800 SH    -  OTHER   02              800        0        0
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101      829    16300 SH    -  DEFINED 20            16300        0        0
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101       51     1000 SH    -  DEFINED 17             1000        0        0
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101      285     5600 SH    -  OTHER   02                0        0     5600
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101    77162  1516700 SH    -  DEFINED 02          1093500        0   423200
D PINNACLE WEST CAPITAL CORP.    COMMON     723484101      295     5800 SH    -  DEFINED 05             4300        0     1500
D PIONEER GROUP, INC.            COMMON     723684106     3095    70400 SH    -  DEFINED 16            70400        0        0
D PIONEER GROUP, INC.            COMMON     723684106      369     8400 SH    -  DEFINED 01                0        0     8400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 238
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PIONEER NATURAL RESOURCES COMP COMMON     723787107      704    49600 SH    -  DEFINED 02            49600        0        0
D PIONEER-STANDARD ELECTRONICS,  COMMON     723877106     1765   130100 SH    -  DEFINED 02            31900        0    98200
D PIONEER-STANDARD ELECTRONICS,  COMMON     723877106      119     8775 SH    -  DEFINED 01                0        0     8775
D PIONEER-STANDARD ELECTRONICS,  COMMON     723877106      330    24300 SH    -  DEFINED 02            24300        0        0
D PITNEY BOWES, INC.             COMMON     724479100      296     7500 SH    -  DEFINED 02                0        0     7500
D PITNEY BOWES, INC.             COMMON     724479100        8      200 SH    -  DEFINED 20              200        0        0
D PITNEY BOWES, INC.             COMMON     724479100      122     3100 SH    -  DEFINED 17             3100        0        0
D PITNEY BOWES, INC.             COMMON     724479100     1504    38134 SH    -  DEFINED 01            23966        0    14168
D PITNEY BOWES, INC.             COMMON     724479100     1057    26800 SH    -  OTHER   01              500    26300        0
D PITNEY BOWES, INC.             COMMON     724479100     4654   118000 SH    -  DEFINED 02            78800        0    39200
D PITNEY BOWES, INC.             COMMON     724479100      110     2800 SH    -  OTHER   02                0        0     2800
D PITNEY BOWES, INC.             COMMON     724479100      394    10000 SH    -  DEFINED 05             8000        0     2000
D PITT-DESMOINES, INC.           COMMON     724508106      234     7700 SH    -  DEFINED 01                0        0     7700
D PITTSTON CO.                   COMMON     725701106       33     2100 SH    -  DEFINED 01                0        0     2100
D PITTSTON CO.                   COMMON     725701106      160    10300 SH    -  DEFINED 02            10300        0        0
D PITTSTON CO.                   COMMON     725701106      180    11600 SH    -  DEFINED 02            11600        0        0
D PIXAR, INC.                    COMMON     725811103      501    15600 SH    -  DEFINED 02            15600        0        0
D PLACER DOME, INC.              COMMON     725906101       37     3900 SH    -  DEFINED 17             3900        0        0
D PLACER DOME, INC.              COMMON     725906101      630    66798 SH    -  DEFINED 01              200        0    66598
D PLANTRONICS, INC.              COMMON     727493108     1338    35200 SH    -  OTHER   01                0    35200        0
D PLANTRONICS, INC.              COMMON     727493108     2451    64500 SH    -  DEFINED 01            52500        0    12000
D PLANTRONICS, INC.              COMMON     727493108     1949    51300 SH    -  DEFINED 02            51300        0        0
D PLANTRONICS, INC.              COMMON     727493108     1030    27100 SH    -  DEFINED 02            27100        0        0
D PLANTRONICS, INC.              COMMON     727493108        0        3 SH    -  DEFINED 16                3        0        0
D PLAYBOY ENTERPRISES, INC. "B"  COMMON     728117300      258    17300 SH    -  DEFINED 01                0        0        0
D POGO TRUST I  PFD              PREFERRED  73044P208     1427    23300 SH    -  DEFINED 16                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 239
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D POGO PRODUCING CO              BOND       730448AE7      869  1200000 PRN   -  OTHER   01                0        0        0
D POGO PRODUCING CO.             COMMON     730448107      427    16846 SH    -  DEFINED 01                0        0    16846
D POLARIS INDS INC               COMMON     731068102      564    16000 SH    -  DEFINED 02            16000        0        0
D POLAROID CORP.                 COMMON     731095105      329    24500 SH    -  DEFINED 02            24500        0        0
D POLAROID CORP.                 COMMON     731095105        7      500 SH    -  DEFINED 17              500        0        0
D POLYCOM INC                    COMMON     73172K104    18611   277900 SH    -  DEFINED 02           224750        0    53150
D POLYCOM INC                    COMMON     73172K104    43032   642573 SH    -  DEFINED 01           417373        0   225200
D POLYCOM INC                    COMMON     73172K104       27      400 SH    -  DEFINED 20              400        0        0
D POLYCOM INC                    COMMON     73172K104     6710   100200 SH    -  DEFINED 02           100200        0        0
D POLYCOM INC                    COMMON     73172K104      415     6200 SH    -  DEFINED 05                0        0     6200
D POLYMEDICA INDUSTRIES, INC.    COMMON     731738100       17      400 SH    -  DEFINED 02              400        0        0
D POLYMEDICA INDUSTRIES, INC.    COMMON     731738100      647    15100 SH    -  DEFINED 02            15100        0        0
D POLYONE CORP                   COMMON     73179P106     5596   765200 SH    -  DEFINED 02           765200        0        0
D POLYONE CORP                   COMMON     73179P106     5631   770030 SH    -  DEFINED 01           481080        0   288950
D POLYONE CORP                   COMMON     73179P106    11448  1565400 SH    -  DEFINED 02          1216350        0   349050
D POLYONE CORP                   COMMON     73179P106       59     8000 SH    -  DEFINED 05                0        0     8000
D POPE & TALBOT, INC.            COMMON     732827100     1434   100200 SH    -  DEFINED 02            31300        0    68900
D POPE & TALBOT, INC.            COMMON     732827100     1041    72700 SH    -  DEFINED 02            72700        0        0
D PORTAL SOFTWARE INC            COMMON     736126103     1460    36500 SH    -  DEFINED 02            36500        0        0
D PORTAL SOFTWARE INC            COMMON     736126103     2672    66806 SH    -  DEFINED 01                0        0    66806
D PORTAL SOFTWARE INC            COMMON     736126103     5936   148400 SH    -  DEFINED 02           122800        0    25600
D POST PROPERTIES, INC.          COMMON     737464107    17438   400286 SH    -  DEFINED 02           345288        0    54998
D POST PROPERTIES, INC.          COMMON     737464107     8228   188868 SH    -  DEFINED 02           188868        0        0
D POTOMAC ELECTRIC POWER CO.     COMMON     737679100     1005    39900 SH    -  DEFINED 02            39900        0        0
D POTOMAC ELECTRIC POWER CO.     COMMON     737679100      327    13000 SH    -  OTHER   01                0    13000        0
D POTOMAC ELECTRIC POWER CO.     COMMON     737679100       50     2000 SH    -  DEFINED 05                0        0     2000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 240
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D POWER-ONE, INC.                COMMON     739308104    11813   195200 SH    -  DEFINED 02           150300        0    44900
D POWER-ONE, INC.                COMMON     739308104     6136   101400 SH    -  DEFINED 02           101400        0        0
D POWER-ONE, INC.                COMMON     739308104       24      400 SH    -  DEFINED 20              400        0        0
D POWERTEL INC                   COMMON     73936C109       15      200 SH    -  DEFINED 20              200        0        0
D POWERTEL INC                   COMMON     73936C109     1947    25600 SH    -  DEFINED 02            25600        0        0
D POWERTEL INC                   COMMON     73936C109      647     8500 SH    -  DEFINED 01                0        0     8500
D POWERTEL INC                   COMMON     73936C109      570     7500 SH    -  DEFINED 02                0        0     7500
D POWERWAVE TECHNOLOGIES INC     COMMON     739363109      532    14000 SH    -  DEFINED 02                0        0    14000
D POWERWAVE TECHNOLOGIES INC     COMMON     739363109      763    20100 SH    -  DEFINED 01                0        0    20100
D POWERWAVE TECHNOLOGIES INC     COMMON     739363109     1469    38700 SH    -  DEFINED 02            38700        0        0
D POWERWAVE TECHNOLOGIES INC     COMMON     739363109       15      400 SH    -  DEFINED 20              400        0        0
D PRAXAIR, INC.                  COMMON     74005P104      392    10500 SH    -  DEFINED 20            10500        0        0
D PRAXAIR, INC.                  COMMON     74005P104    29771   796560 SH    -  DEFINED 02           585600        0   210960
D PRAXAIR, INC.                  COMMON     74005P104       45     1200 SH    -  OTHER   02             1200        0        0
D PRAXAIR, INC.                  COMMON     74005P104     1584    42390 SH    -  DEFINED 01            37085        0     5305
D PRAXAIR, INC.                  COMMON     74005P104       71     1900 SH    -  OTHER   01             1900        0        0
D PRAXAIR, INC.                  COMMON     74005P104      142     3800 SH    -  OTHER   21                0     3800        0
D PRAXAIR, INC.                  COMMON     74005P104    64179  1717170 SH    -  DEFINED 02          1208730        0   508440
D PRAXAIR, INC.                  COMMON     74005P104      131     3500 SH    -  OTHER   02                0        0     3500
D PRAXAIR, INC.                  COMMON     74005P104       71     1900 SH    -  DEFINED 17             1900        0        0
D PRE-PAID LEGAL SERVICES, INC.  COMMON     740065107       97     3000 SH    -  DEFINED 02             1500        0     1500
D PRE-PAID LEGAL SERVICES, INC.  COMMON     740065107      520    16100 SH    -  DEFINED 02            16100        0        0
D PRE-PAID LEGAL SERVICES, INC.  COMMON     740065107       48     1500 SH    -  DEFINED 20             1500        0        0
D PRECISION CASTPARTS CORP.      COMMON     740189105     1213    31600 SH    -  DEFINED 01                0        0    31600
D PRECISION CASTPARTS CORP.      COMMON     740189105     1823    47500 SH    -  DEFINED 02            47500        0        0
D PRESIDENTIAL LIFE CORP.        COMMON     740884101      185    12400 SH    -  DEFINED 01                0        0    12400

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 241
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PREVIEW SYS INC                COMMON     741379101      620    65500 SH    -  DEFINED 02            65500        0        0
D PREVIEW SYS INC                COMMON     741379101        9      900 SH    -  DEFINED 02              900        0        0
D PRICE COMMUNICATIONS CORP      COMMON     741437305       23     1200 SH    -  DEFINED 02             1200        0        0
D PRICE COMMUNICATIONS CORP      COMMON     741437305      642    32800 SH    -  DEFINED 02            32800        0        0
D PRICE (T.) ROWE ASSOCIATES, IN COMMON     741477103     4539    96700 SH    -  DEFINED 02            43100        0    53600
D PRICE (T.) ROWE ASSOCIATES, IN COMMON     741477103     8111   172800 SH    -  DEFINED 02            72700        0   100100
D PRICE (T.) ROWE ASSOCIATES, IN COMMON     741477103       66     1400 SH    -  DEFINED 17             1400        0        0
D PRICESMART, INC.               COMMON     741511109      424    10975 SH    -  DEFINED 01                0        0    10975
D PRIMEDIA INC.                  COMMON     74157K101      208    12700 SH    -  DEFINED 02                0        0    12700
D PRIMEX TECHNOLOGIES INC        COMMON     741597108      334    11500 SH    -  DEFINED 02            11500        0        0
D PRIMEX TECHNOLOGIES INC        COMMON     741597108      171     5900 SH    -  DEFINED 01                0        0     5900
D PRIMEX TECHNOLOGIES INC        COMMON     741597108      337    11600 SH    -  DEFINED 02            11600        0        0
D PRIMUS KNOWLEDGE SOLUTIONS I   COMMON     74163Q100      290    19600 SH    -  DEFINED 02            19600        0        0
D PRIMUS KNOWLEDGE SOLUTIONS I   COMMON     74163Q100       10      700 SH    -  DEFINED 02              700        0        0
D PRIME HOSPITALITY CORP.        COMMON     741917108      256    25300 SH    -  DEFINED 02            25300        0        0
D PRIME HOSPITALITY CORP.        COMMON     741917108      619    61100 SH    -  DEFINED 02            61100        0        0
D PRIME HOSPITALITY CORP.        COMMON     741917108      113    11200 SH    -  DEFINED 01                0        0    11200
D PRIMUS TELECOMMUNICATIONS GROU COMMON     741929103      107    11234 SH    -  DEFINED 01                0        0    11234
D PRIDE INTL INC                 COMMON     741932107      888    33500 SH    -  DEFINED 01              100        0    33400
D PRIORITY HEALTHCARE CORP CLASS COMMON     74264T102     1636    21450 SH    -  DEFINED 01                0        0    21450
D PRIORITY HEALTHCARE CORP CLASS COMMON     74264T102       23      300 SH    -  DEFINED 02              300        0        0
D PRIORITY HEALTHCARE CORP CLASS COMMON     74264T102        0        3 SH    -  DEFINED 16                3        0        0
D PROCOM TECHNOLOGY INC          COMMON     74270W107        6      200 SH    -  DEFINED 02              200        0        0
D PROCOM TECHNOLOGY INC          COMMON     74270W107      390    13200 SH    -  DEFINED 02            13200        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109   224698  3353700 SH    -  DEFINED 02          2411500        0   942200
D PROCTER & GAMBLE CO.           COMMON     742718109      442     6600 SH    -  OTHER   02             6600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 242
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PROCTER & GAMBLE CO.           COMMON     742718109    14378   214600 SH    -  DEFINED 20           214600        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109     6154    91850 SH    -  DEFINED 17            91850        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109   156644  2337977 SH    -  DEFINED 01          1203088    32943  1097546
D PROCTER & GAMBLE CO.           COMMON     742718109    46549   694758 SH    -  OTHER   01           188151   419671    86936
D PROCTER & GAMBLE CO.           COMMON     742718109      851    12700 SH    -  OTHER   21                0    12700        0
D PROCTER & GAMBLE CO.           COMMON     742718109   560366  8363666 SH    -  DEFINED 02          5694571        0  2669095
D PROCTER & GAMBLE CO.           COMMON     742718109     1085    16200 SH    -  OTHER   02                0        0    16200
D PROCTER & GAMBLE CO.           COMMON     742718109     1997    29800 SH    -  OTHER   09            29800        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109     2814    42000 SH    -  OTHER   0304          42000        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109     1014    15140 SH    -  DEFINED 16            15140        0        0
D PROCTER & GAMBLE CO.           COMMON     742718109     5973    89150 SH    -  DEFINED 05            49850     1800    37500
D PROCTER & GAMBLE CO.           COMMON     742718109      228     3400 SH    -  OTHER   05             2000      800      600
D PRODIGY COMMUNICATIONS CORP    COMMON     74283P206      156    30475 SH    -  DEFINED 16            30475        0        0
D PROGENICS PHARMACEUTICALS IN   COMMON     743187106     2158    78645 SH    -  DEFINED 01                0        0    78645
D PROGRESS SOFTWARE CORP.        COMMON     743312100       30     2200 SH    -  DEFINED 20             2200        0        0
D PROGRESS SOFTWARE CORP.        COMMON     743312100      785    57600 SH    -  DEFINED 02            57600        0        0
D PROGRESS SOFTWARE CORP.        COMMON     743312100        2      118 SH    -  DEFINED 16              118        0        0
D PROGRESS SOFTWARE CORP.        COMMON     743312100       50     3700 SH    -  DEFINED 02             1500        0     2200
D PROGRESSIVE CORP.              COMMON     743315103       74      900 SH    -  DEFINED 17              900        0        0
D PROGRESSIVE CORP.              COMMON     743315103      573     7000 SH    -  DEFINED 06             7000        0        0
D PROGRESSIVE CORP.              COMMON     743315103     1367    16700 SH    -  DEFINED 01            16700        0        0
D PROGRESSIVE CORP.              COMMON     743315103      311     3800 SH    -  OTHER   01                0     3800        0
D PROLOGIS TRUST                 COMMON     743410102    14526   611600 SH    -  DEFINED 02           611600        0        0
D PROLOGIS TRUST                 COMMON     743410102      114     4800 SH    -  DEFINED 20             4800        0        0
D PROLOGIS TRUST                 COMMON     743410102    38777  1632700 SH    -  DEFINED 02          1570200        0    62500
D PROSOFTTRAINING COM INC        COMMON     743477101     1642   115258 SH    -  DEFINED 02           115258        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 243
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PROTECTIVE LIFE CORP.          COMMON     743674103     2321    77700 SH    -  DEFINED 02            77700        0        0
D PROTECTIVE LIFE CORP.          COMMON     743674103     6409   214528 SH    -  DEFINED 01           173728        0    40800
D PROTECTIVE LIFE CORP.          COMMON     743674103     6713   224700 SH    -  DEFINED 02           183700        0    41000
D PROTEIN DESIGN LABS INC 'CONV  BOND       74369LAA1        0  1370000 PRN   -  DEFINED 16                0        0        0
D PROTEIN DESIGN LABS            COMMON     74369L103      566     4700 SH    -  DEFINED 02                0        0     4700
D PROTEIN DESIGN LABS            COMMON     74369L103     2316    19220 SH    -  DEFINED 01               20        0    19200
D PROTEIN DESIGN LABS            COMMON     74369L103     2531    21000 SH    -  DEFINED 02            21000        0        0
D PROTEIN DESIGN LABS            COMMON     74369L103       36      300 SH    -  DEFINED 20              300        0        0
D PROTEIN DESIGN LABS            COMMON     74369L103      145     1200 SH    -  DEFINED 17             1200        0        0
D PROVIDENT BANKSHARES CORP.     COMMON     743859100       45     2677 SH    -  DEFINED 01                0        0     2677
D PROVIDENT BANKSHARES CORP.     COMMON     743859100      176    10500 SH    -  DEFINED 02            10500        0        0
D PROVIDENT FINL GROUP INC       COMMON     743866105     1128    38400 SH    -  DEFINED 02             7400        0    31000
D PROVIDENT FINL GROUP INC       COMMON     743866105        1       49 SH    -  DEFINED 16               49        0        0
D PROVIDENT FINL GROUP INC       COMMON     743866105       20      675 SH    -  DEFINED 01                0        0      675
D PROVIDENT FINL GROUP INC       COMMON     743866105       53     1800 SH    -  DEFINED 20             1800        0        0
D PROVIDENT FINL GROUP INC       COMMON     743866105     3516   119700 SH    -  DEFINED 02           119700        0        0
D PROVINCE HEALTHCARE COMPANY    COMMON     743977100      102     2550 SH    -  DEFINED 20             2550        0        0
D PROVINCE HEALTHCARE COMPANY    COMMON     743977100      102     2550 SH    -  DEFINED 02                0        0     2550
D PROVIDIAN FINANCIAL CORP 'CONV BOND       74406AAA0        0  3883000 PRN   -  DEFINED 16                0        0        0
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      165     1300 SH    -  DEFINED 05             1300        0        0
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102   127216  1001700 SH    -  DEFINED 02           664200        0   337500
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      419     3300 SH    -  OTHER   02                0        0     3300
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      470     3700 SH    -  DEFINED 20             3700        0        0
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102    57150   450000 SH    -  DEFINED 02           351600        0    98400
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102       89      700 SH    -  OTHER   02              700        0        0
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      216     1700 SH    -  DEFINED 17             1700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 244
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102    19891   156619 SH    -  DEFINED 01           117404        0    39215
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      476     3750 SH    -  OTHER   01              300     3450        0
D PROVIDIAN FINANCIAL CORPORATIO COMMON     74406A102      292     2300 SH    -  OTHER   21                0     2300        0
D PROXICOM INC                   COMMON     744282104        1       33 SH    -  DEFINED 01               33        0        0
D PROXICOM INC                   COMMON     744282104      388    19900 SH    -  DEFINED 02            19900        0        0
D PROXICOM INC                   COMMON     744282104        4      200 SH    -  DEFINED 20              200        0        0
D PROXICOM INC                   COMMON     744282104      252    12900 SH    -  DEFINED 02                0        0    12900
D PROXIM INC                     COMMON     744284100      223     5000 SH    -  DEFINED 02                0        0     5000
D PROXIM INC                     COMMON     744284100        0        3 SH    -  DEFINED 16                3        0        0
D PROXIM INC                     COMMON     744284100      632    14200 SH    -  DEFINED 01                0        0    14200
D PSINET, INC.                   COMMON     74437C101      520    54040 SH    -  DEFINED 01            13500        0    40540
D PSINET, INC.                   COMMON     74437C101       39     4050 SH    -  OTHER   01                0     4050        0
D PSINET, INC.                   COMMON     74437C101     1551   161100 SH    -  DEFINED 18           161100        0        0
D PSINET, INC.                   COMMON     74437C101       36     3700 SH    -  DEFINED 16             3700        0        0
D PSINET, INC.                   COMMON     74437C101      547    56825 SH    -  DEFINED 02            20125        0    36700
D PUBLIC SERVICE COMPANY OF NEW  COMMON     744499104     4929   190500 SH    -  DEFINED 02            62700        0   127800
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106    33243   743900 SH    -  DEFINED 02           378500        0   365400
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106       89     2000 SH    -  DEFINED 16             2000        0        0
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106      112     2500 SH    -  DEFINED 05                0        0     2500
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106      116     2600 SH    -  DEFINED 17             2600        0        0
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106    18563   415400 SH    -  DEFINED 02           318400        0    97000
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106       31      700 SH    -  OTHER   02              700        0        0
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106       67     1500 SH    -  OTHER   21                0     1500        0
D PUBLIC SERVICE ENTERPRISE GROU COMMON     744573106      126     2819 SH    -  DEFINED 01             2819        0        0
D PUBLIC STORAGE, INC.           COMMON     74460D109      105     4400 SH    -  OTHER   21                0     4400        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 245
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D PUBLIC STORAGE, INC.           COMMON     74460D109     9108   380500 SH    -  DEFINED 02           377200        0     3300
D PUBLIC STORAGE, INC.           COMMON     74460D109      108     4500 SH    -  DEFINED 20             4500        0        0
D PUBLIC STORAGE, INC.           COMMON     74460D109    18130   757391 SH    -  DEFINED 02           694291        0    63100
D PUGET SOUND POWER & LIGHT CO.  COMMON     745332106     4595   181100 SH    -  DEFINED 02           181100        0        0
D PUGET SOUND POWER & LIGHT CO.  COMMON     745332106       82     3250 SH    -  DEFINED 01             3200        0       50
D PULTE CORP.                    COMMON     745867101      525    15900 SH    -  DEFINED 01                0        0    15900
D PULTE CORP.                    COMMON     745867101       17      500 SH    -  DEFINED 17              500        0        0
D PULTE CORP.                    COMMON     745867101     1122    34000 SH    -  DEFINED 02             1100        0    32900
D QLOGIC CORP.                   COMMON     747277101     1067    12128 SH    -  DEFINED 02                0        0    12128
D QLOGIC CORP.                   COMMON     747277101      352     4000 SH    -  DEFINED 16             4000        0        0
D QLOGIC CORP.                   COMMON     747277101     3549    40331 SH    -  DEFINED 02            40331        0        0
D QLOGIC CORP.                   COMMON     747277101     2675    30400 SH    -  DEFINED 01                0        0    30400
D QUADRAMED CORPORATION   5.25%  BOND       74730WAC5     1432  1650000 PRN   -  DEFINED 16                0        0        0
D QUADRAMED CORP                 COMMON     74730W101       31    23600 SH    -  DEFINED 01                0        0    23600
D QUAKER OATS CO.                COMMON     747402105     8402   106192 SH    -  DEFINED 01            79382        0    26810
D QUAKER OATS CO.                COMMON     747402105     4929    62300 SH    -  OTHER   01            39100    23200        0
D QUAKER OATS CO.                COMMON     747402105      388     4900 SH    -  OTHER   21                0     4900        0
D QUAKER OATS CO.                COMMON     747402105    56978   720100 SH    -  DEFINED 02           527100        0   193000
D QUAKER OATS CO.                COMMON     747402105       71      900 SH    -  OTHER   02              900        0        0
D QUAKER OATS CO.                COMMON     747402105      934    11800 SH    -  DEFINED 20            11800        0        0
D QUAKER OATS CO.                COMMON     747402105      127     1600 SH    -  DEFINED 17             1600        0        0
D QUAKER OATS CO.                COMMON     747402105       40      500 SH    -  DEFINED 05              500        0        0
D QUAKER OATS CO.                COMMON     747402105   146864  1856100 SH    -  DEFINED 02          1278300        0   577800
D QUAKER OATS CO.                COMMON     747402105      459     5800 SH    -  OTHER   02                0        0     5800
D QUALCOMM, INC.                 COMMON     747525103    51015   716000 SH    -  DEFINED 02           386600        0   329400
D QUALCOMM, INC.                 COMMON     747525103       36      500 SH    -  OTHER   02                0        0      500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 246
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D QUALCOMM, INC.                 COMMON     747525103      552     7750 SH    -  DEFINED 05             7750        0        0
D QUALCOMM, INC.                 COMMON     747525103      483     6162 SH    -  DEFINED 16             6162        0        0
D QUALCOMM, INC.                 COMMON     747525103       14      200 SH    -  DEFINED 17              200        0        0
D QUALCOMM, INC.                 COMMON     747525103    32063   450000 SH    -  DEFINED 18           450000        0        0
D QUALCOMM, INC.                 COMMON     747525103      734    10300 SH    -  DEFINED 20            10300        0        0
D QUALCOMM, INC.                 COMMON     747525103    22330   313400 SH    -  DEFINED 02           222800        0    90600
D QUALCOMM, INC.                 COMMON     747525103       29      400 SH    -  OTHER   02              400        0        0
D QUALCOMM, INC.                 COMMON     747525103      135     1900 SH    -  OTHER   01              500     1400        0
D QUALCOMM, INC.                 COMMON     747525103    28380   398310 SH    -  DEFINED 01           346050        0    52260
D QUANTA SVCS INC                COMMON     74762E102     1856    67500 SH    -  DEFINED 01                0        0    67500
D QUANTA SVCS INC                COMMON     74762E102      388    14100 SH    -  DEFINED 02            14100        0        0
D QUANTA SVCS INC                COMMON     74762E102        6      200 SH    -  DEFINED 20              200        0        0
D QUANTA SVCS INC                COMMON     74762E102      179     6500 SH    -  DEFINED 16             6500        0        0
D QUANTA SVCS INC                COMMON     74762E102        8      300 SH    -  DEFINED 02                0        0      300
D QUANEX CORP.                   COMMON     747620102     1247    65400 SH    -  DEFINED 02            27600        0    37800
D QUANEX CORP.                   COMMON     747620102      143     7500 SH    -  DEFINED 20             7500        0        0
D QUANEX CORP.                   COMMON     747620102      553    29000 SH    -  DEFINED 02            29000        0        0
D QUANTUM CORP 7% 8/1/04         BOND       747906AC9      126   140000 PRN   -  DEFINED 01                0        0        0
D QUANTUM CORP                   COMMON     747906204      150     9950 SH    -  DEFINED 01             9450        0      500
D QUANTUM CORP                   COMMON     747906204        2      100 SH    -  OTHER   01                0      100        0
D QUANTUM CORP                   COMMON     747906204     7277   483100 SH    -  DEFINED 02           378800        0   104300
D QUANTUM CORP                   COMMON     747906204      102     6800 SH    -  DEFINED 20             6800        0        0
D QUANTUM CORP                   COMMON     747906204    69876  4638900 SH    -  DEFINED 02          4310600        0   328300
D QUANTUM CORP                   COMMON     747906204       26     1700 SH    -  OTHER   02                0        0     1700
D QUANTUM CORP                   COMMON     747906204        2      100 SH    -  DEFINED 05              100        0        0
D QUANTUM CORP                   COMMON     747906303     9074   913100 SH    -  DEFINED 02           913100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 247
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D QUANTUM CORP                   COMMON     747906303      515    51800 SH    -  DEFINED 02            51800        0        0
D QUANTUM CORP                   COMMON     747906303        5      500 SH    -  DEFINED 01              500        0        0
D QUANTUM CORP                   COMMON     747906303        0       50 SH    -  OTHER   01                0       50        0
D QUEENS COUNTY BANCORP, INC.    COMMON     748242104     2882    99800 SH    -  DEFINED 02            99800        0        0
D QUEENS COUNTY BANCORP, INC.    COMMON     748242104     3843   133100 SH    -  DEFINED 02            34800        0    98300
D QUEST DIAGNOSTICS INC          COMMON     74834L100     1193    10400 SH    -  DEFINED 02                0        0    10400
D QUEST DIAGNOSTICS INC          COMMON     74834L100     1744    15200 SH    -  DEFINED 02            15200        0        0
D QUEST DIAGNOSTICS INC          COMMON     74834L100       23      200 SH    -  DEFINED 20              200        0        0
D QUEST DIAGNOSTICS INC          COMMON     74834L100     5138    44779 SH    -  DEFINED 01            44444        0      335
D QUEST SOFTWARE INC             COMMON     74834T103     9616   154827 SH    -  DEFINED 01            37102        0   117725
D QUEST SOFTWARE INC             COMMON     74834T103     2619    42175 SH    -  DEFINED 02            24325        0    17850
D QUEST SOFTWARE INC             COMMON     74834T103      225     3625 SH    -  DEFINED 05                0        0     3625
D QUESTAR CORP.                  COMMON     748356102      181     6500 SH    -  DEFINED 01             6500        0        0
D QUESTAR CORP.                  COMMON     748356102      501    18000 SH    -  OTHER   01                0    18000        0
D QUESTAR CORP.                  COMMON     748356102     3621   130200 SH    -  DEFINED 02           130200        0        0
D QUICKLOGIC CORP                COMMON     74837P108      137     8300 SH    -  DEFINED 02             8300        0        0
D QUICKLOGIC CORP                COMMON     74837P108       33     2000 SH    -  DEFINED 01                0        0     2000
D QUICKLOGIC CORP                COMMON     74837P108        0       10 SH    -  DEFINED 16               10        0        0
D QUICKLOGIC CORP                COMMON     74837P108        2      100 SH    -  DEFINED 02              100        0        0
D QUIKSILVER, INC.               COMMON     74838C106        0        3 SH    -  DEFINED 16                3        0        0
D QUIKSILVER, INC.               COMMON     74838C106      514    26700 SH    -  DEFINED 01                0        0    26700
D QUIKSILVER, INC.               COMMON     74838C106       75     3900 SH    -  DEFINED 02             3900        0        0
D QUINTILES TRANSNATIONAL CORP.  COMMON     748767100       22     1400 SH    -  DEFINED 17             1400        0        0
D QUINTILES TRANSNATIONAL CORP.  COMMON     748767100    13509   847626 SH    -  DEFINED 01           834766        0    12860
D QUINTUS CORP                   COMMON     748798105     3377   394400 SH    -  DEFINED 01           229950        0   164450
D QUINTUS CORP                   COMMON     748798105     1187   138600 SH    -  DEFINED 02           138600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 248
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D QUINTUS CORP                   COMMON     748798105       43     5050 SH    -  DEFINED 05                0        0     5050
D QUINTUS CORP                   COMMON     748798105     3228   376955 SH    -  DEFINED 02           320755        0    56200
D QUOKKA SPORTS INC              COMMON     749077103      318    80000 SH    -  DEFINED 16            80000        0        0
D QUORUM HEALTH GROUP, INC.      COMMON     749084109        2      187 SH    -  DEFINED 16              187        0        0
D QUORUM HEALTH GROUP, INC.      COMMON     749084109      459    35300 SH    -  DEFINED 02            35300        0        0
D R&B FALCON CORPORATION         COMMON     74912E101      772    27700 SH    -  DEFINED 02            27700        0        0
D R&B FALCON CORPORATION         COMMON     74912E101      100     3600 SH    -  DEFINED 20             3600        0        0
D R&B FALCON CORPORATION         COMMON     74912E101      114     4100 SH    -  DEFINED 01             4100        0        0
D R&B FALCON CORPORATION         COMMON     74912E101     1896    68000 SH    -  DEFINED 02                0        0    68000
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109   457953  9528183 SH    -  DEFINED 02          6207090        0  3321093
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109      803    16700 SH    -  OTHER   02                0        0    16700
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109     6351   132133 SH    -  DEFINED 16           132133        0        0
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109     1948    40526 SH    -  OTHER   0304          40526        0        0
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109     2693    56036 SH    -  DEFINED 05            30440        0    25596
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109      342     7124 SH    -  OTHER   05             7124        0        0
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109    33588   698841 SH    -  DEFINED 01           401691     5557   289790
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109    10805   224811 SH    -  OTHER   01            69020   123283    32508
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109      481    10000 SH    -  OTHER   21                0    10000        0
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109    10468   217800 SH    -  DEFINED 20           217800        0        0
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109   206057  4287219 SH    -  DEFINED 02          3053045        0  1234174
D QWEST COMMUNICATIONS INTL IN   COMMON     749121109      375     7800 SH    -  OTHER   02             7800        0        0
D RCN CORP                       COMMON     749361101      241    11600 SH    -  DEFINED 01                0        0    11600
D RCN CORP                       COMMON     749361101      463    22300 SH    -  DEFINED 02                0        0    22300
D R G S ENERGY GROUP INC         COMMON     74956K104     2991   106100 SH    -  DEFINED 02            31600        0    74500
D R G S ENERGY GROUP INC         COMMON     74956K104       17      600 SH    -  DEFINED 16              600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 249
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D R G S ENERGY GROUP INC         COMMON     74956K104     1161    41200 SH    -  DEFINED 02            41200        0        0
D R G S ENERGY GROUP INC         COMMON     74956K104      206     7300 SH    -  DEFINED 20             7300        0        0
D RLI CORP.                      COMMON     749607107      259     6718 SH    -  DEFINED 01                0        0     6718
D RLI CORP.                      COMMON     749607107      374     9700 SH    -  DEFINED 02             9700        0        0
D R O C TAIWAN FUND S/B/I        UNIT       749651105      540    83000 SH    -  OTHER   01                0        0        0
D R O C TAIWAN FUND S/B/I        UNIT       749651105        1      230 SH    -  DEFINED 01                0        0        0
D RPC ENERGY SERVICES, INC.      COMMON     749660106      177    15100 SH    -  DEFINED 01                0        0    15100
D RSA SEC INC                    COMMON     749719100     1177    27300 SH    -  DEFINED 01                0        0    27300
D RSA SEC INC                    COMMON     749719100       13      300 SH    -  DEFINED 20              300        0        0
D RSA SEC INC                    COMMON     749719100     2786    64600 SH    -  DEFINED 02            64600        0        0
D RSA SEC INC                    COMMON     749719100      259     6000 SH    -  DEFINED 02                0        0     6000
D RF MICRO DEVICES  'CONV BOND'  BOND       749941AA8        0  6500000 PRN   -  DEFINED 16                0        0        0
D RF MICRODEVICES INC            COMMON     749941100        0        1 SH    -  DEFINED 16                1        0        0
D RF MICRODEVICES INC            COMMON     749941100     1376    43000 SH    -  DEFINED 02                0        0    43000
D RF MICRODEVICES INC            COMMON     749941100       24      750 SH    -  DEFINED 01                0        0      750
D RADIAN GROUP INC               COMMON     750236101     3915    58000 SH    -  DEFINED 02            58000        0        0
D RADIAN GROUP INC               COMMON     750236101      101     1500 SH    -  DEFINED 02                0        0     1500
D RADIAN GROUP INC               COMMON     750236101        0        2 SH    -  DEFINED 16                2        0        0
D RADIAN GROUP INC               COMMON     750236101      135     2000 SH    -  DEFINED 05             2000        0        0
D RADIANT SYSTEMS, INC.          COMMON     75025N102      889    41600 SH    -  DEFINED 02            41600        0        0
D RADIANT SYSTEMS, INC.          COMMON     75025N102      377    17650 SH    -  DEFINED 01             7400        0    10250
D RADIOLOGIX INC                 COMMON     75040K109       91    15000 SH    -  OTHER   01                0    15000        0
D RADISYS CORP.                  COMMON     750459109      399     7900 SH    -  DEFINED 02             7900        0        0
D RADISYS CORP.                  COMMON     750459109        0        2 SH    -  DEFINED 16                2        0        0
D RADISYS CORP.                  COMMON     750459109       25      500 SH    -  DEFINED 02              500        0        0
D RAINBOW TECHNOLOGIES, INC.     COMMON     750862104       28      800 SH    -  DEFINED 02              800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 250
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D RAINBOW TECHNOLOGIES, INC.     COMMON     750862104     1465    41400 SH    -  DEFINED 02            41400        0        0
D RAINBOW TECHNOLOGIES, INC.     COMMON     750862104       74     2100 SH    -  DEFINED 01                0        0     2100
D RAMBUS INC.                    COMMON     750917106       63      800 SH    -  DEFINED 01              800        0        0
D RAMBUS INC.                    COMMON     750917106       47      600 SH    -  DEFINED 20              600        0        0
D RAMBUS INC.                    COMMON     750917106     4192    53100 SH    -  DEFINED 02            35800        0    17300
D RAMBUS INC.                    COMMON     750917106       47      600 SH    -  OTHER   02                0        0      600
D RALCORP HLDGS INC NEW          COMMON     751028101       47     3300 SH    -  DEFINED 02             3300        0        0
D RALCORP HLDGS INC NEW          COMMON     751028101       72     5100 SH    -  DEFINED 16             5100        0        0
D RALCORP HLDGS INC NEW          COMMON     751028101      124     8800 SH    -  DEFINED 01                0        0     8800
D RALSTON PURINA GROUP           COMMON     751277302     9066   382732 SH    -  DEFINED 01           263737     7600   109395
D RALSTON PURINA GROUP           COMMON     751277302     3787   159891 SH    -  OTHER   01           105555    46686     7650
D RALSTON PURINA GROUP           COMMON     751277302       43     1800 SH    -  OTHER   21                0     1800        0
D RALSTON PURINA GROUP           COMMON     751277302      114     4800 SH    -  DEFINED 20             4800        0        0
D RALSTON PURINA GROUP           COMMON     751277302     8518   359600 SH    -  DEFINED 02           343400        0    16200
D RALSTON PURINA GROUP           COMMON     751277302       88     3700 SH    -  DEFINED 17             3700        0        0
D RALSTON PURINA GROUP           COMMON     751277302     3791   160052 SH    -  DEFINED 05            79552     3300    77200
D RALSTON PURINA GROUP           COMMON     751277302       36     1500 SH    -  OTHER   05                0     1500        0
D RALSTON PURINA GROUP           COMMON     751277302     9742   411247 SH    -  DEFINED 02           170900        0   240347
D RARE MEDIUM GROUP INC          COMMON     75382N109      438    58900 SH    -  DEFINED 02            21300        0    37600
D RARE MEDIUM GROUP INC          COMMON     75382N109      269    36100 SH    -  DEFINED 02            36100        0        0
D RARE MEDIUM GROUP INC          COMMON     75382N109       24     3200 SH    -  DEFINED 01                0        0     3200
D RARE HOSPITALITY INTL INC      COMMON     753820109      825    40500 SH    -  DEFINED 01                0        0    40500
D RARE HOSPITALITY INTL INC      COMMON     753820109      272    13350 SH    -  DEFINED 02            13350        0        0
D RARE HOSPITALITY INTL INC      COMMON     753820109      175     8600 SH    -  DEFINED 02             8600        0        0
D RATIONAL SOFTWARE CORP 'CONV B BOND       75409PAA1        0 12000000 PRN   -  DEFINED 16                0        0        0
D RATIONAL SOFTWARE CORP  'CONV  BOND       75409PAC7        0  2519000 PRN   -  DEFINED 16                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 251
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D RATIONAL SOFTWARE CORP.        COMMON     75409P202     1804    26000 SH    -  OTHER   11                0    26000        0
D RATIONAL SOFTWARE CORP.        COMMON     75409P202     1804    26000 SH    -  OTHER   10                0    26000        0
D RATIONAL SOFTWARE CORP.        COMMON     75409P202     1526    22000 SH    -  DEFINED 02                0        0    22000
D RATIONAL SOFTWARE CORP.        COMMON     75409P202     2553    36800 SH    -  DEFINED 02            36800        0        0
D RATIONAL SOFTWARE CORP.        COMMON     75409P202     4121    59400 SH    -  DEFINED 01                0        0    59400
D RAYMOND JAMES FINANCIAL, INC.  COMMON     754730109      796    24168 SH    -  DEFINED 01                0        0    24168
D RAYMOND JAMES FINANCIAL, INC.  COMMON     754730109     2055    62400 SH    -  DEFINED 02            62400        0        0
D RAYMOND JAMES FINANCIAL, INC.  COMMON     754730109      211     6400 SH    -  DEFINED 02             6400        0        0
D RAYMOND JAMES FINANCIAL, INC.  COMMON     754730109        0        3 SH    -  DEFINED 16                3        0        0
D RAYOVAC CORPORATION            COMMON     755081106        0        3 SH    -  DEFINED 16                3        0        0
D RAYOVAC CORPORATION            COMMON     755081106      699    40800 SH    -  DEFINED 02            40800        0        0
D RAYTHEON COMPANY               COMMON     755111309       63     2300 SH    -  DEFINED 02             2300        0        0
D RAYTHEON COMPANY               COMMON     755111309        3      112 SH    -  DEFINED 05              112        0        0
D RAYTHEON COMPANY               COMMON     755111309        9      324 SH    -  DEFINED 02                0        0      324
D RAYTHEON COMPANY               COMMON     755111309       47     1711 SH    -  DEFINED 01             1625        0       86
D RAYTHEON COMPANY               COMMON     755111309       97     3542 SH    -  OTHER   01                0     3504       38
D RAYTHEON CO                    COMMON     755111408      525    18450 SH    -  DEFINED 01            13300        0     5150
D RAYTHEON CO                    COMMON     755111408      680    23925 SH    -  OTHER   01                0     9625    14300
D RAYTHEON CO                    COMMON     755111408      117     4100 SH    -  DEFINED 17             4100        0        0
D RAYTHEON CO                    COMMON     755111408      114     4000 SH    -  OTHER   05                0        0     4000
D RAYTHEON CO                    COMMON     755111408      228     8000 SH    -  OTHER   10                0     8000        0
D RAYTHEON CO                    COMMON     755111408      228     8000 SH    -  OTHER   11                0     8000        0
D RAZORFISH INC                  COMMON     755236106      580    56200 SH    -  DEFINED 02                0        0    56200
D RAZORFISH INC                  COMMON     755236106        2      200 SH    -  DEFINED 20              200        0        0
D RAZORFISH INC                  COMMON     755236106        1      102 SH    -  DEFINED 01              102        0        0
D REALNETWORKS INC               COMMON     75605L104       64     1600 SH    -  DEFINED 01              800        0      800

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 252
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D REALNETWORKS INC               COMMON     75605L104     3915    98500 SH    -  DEFINED 20            98500        0        0
D REALNETWORKS INC               COMMON     75605L104      270     6800 SH    -  DEFINED 02                0        0     6800
D REALNETWORKS INC               COMMON     75605L104    11205   281892 SH    -  DEFINED 02           234792        0    47100
D RECKSON ASSOCIATES REALTY CORP COMMON     75621K106      217     8500 SH    -  DEFINED 16             8500        0        0
D RED HAT INC                    COMMON     756577102        0       20 SH    -  DEFINED 16               20        0        0
D RED HAT INC                    COMMON     756577102      145     8500 SH    -  DEFINED 02                0        0     8500
D RED HAT INC                    COMMON     756577102      143     8400 SH    -  DEFINED 02             8400        0        0
D RED HAT INC                    COMMON     756577102        3      160 SH    -  DEFINED 01                0        0      160
D REDBACK NETWORKS INC 'CONV BON BOND       757209AA9        0 10000000 PRN   -  DEFINED 16                0        0        0
D REDBACK NETWORKS INC           COMMON     757209101      705     4300 SH    -  DEFINED 16             4300        0        0
D REDBACK NETWORKS INC           COMMON     757209101      279     1700 SH    -  DEFINED 05                0        0     1700
D REDBACK NETWORKS INC           COMMON     757209101      131      800 SH    -  OTHER   02                0        0      800
D REDBACK NETWORKS INC           COMMON     757209101    30520   186100 SH    -  DEFINED 02           160300        0    25800
D REDBACK NETWORKS INC           COMMON     757209101     2517    15350 SH    -  DEFINED 01            12400        0     2950
D REDBACK NETWORKS INC           COMMON     757209101      968     5900 SH    -  DEFINED 02             5900        0        0
D REDBACK NETWORKS INC           COMMON     757209101      148      900 SH    -  DEFINED 20              900        0        0
D REEBOK INTERNATIONAL LTD.      COMMON     758110100       13      700 SH    -  DEFINED 17              700        0        0
D REEBOK INTERNATIONAL LTD.      COMMON     758110100      179     9500 SH    -  DEFINED 01                0        0     9500
D REEBOK INTERNATIONAL LTD.      COMMON     758110100      438    23300 SH    -  DEFINED 02            23300        0        0
D REGAL-BELOIT CORP.             COMMON     758750103      234    13800 SH    -  DEFINED 01                0        0    13800
D REGENERON PHARMACEUTICALS, INC COMMON     75886F107     1070    32800 SH    -  DEFINED 01                0        0    32800
D REGENERON PHARMACEUTICALS, INC COMMON     75886F107        2       72 SH    -  DEFINED 16               72        0        0
D REGIONS FINANCIAL CORP.        COMMON     758940100        0        6 SH    -  DEFINED 16                6        0        0
D REGIONS FINANCIAL CORP.        COMMON     758940100    26196  1154610 SH    -  DEFINED 02           578310        0   576300
D REGIONS FINANCIAL CORP.        COMMON     758940100       91     4000 SH    -  OTHER   02                0        0     4000
D REGIONS FINANCIAL CORP.        COMMON     758940100     1399    61650 SH    -  DEFINED 01            58170        0     3480

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 253
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D REGIONS FINANCIAL CORP.        COMMON     758940100       88     3900 SH    -  OTHER   21                0     3900        0
D REGIONS FINANCIAL CORP.        COMMON     758940100       59     2600 SH    -  DEFINED 17             2600        0        0
D REGIONS FINANCIAL CORP.        COMMON     758940100      175     7700 SH    -  DEFINED 20             7700        0        0
D REGIONS FINANCIAL CORP.        COMMON     758940100     9495   418500 SH    -  DEFINED 02           347500        0    71000
D RELIANCE STEEL & ALUMINUM CO.  COMMON     759509102      303    14400 SH    -  DEFINED 01                0        0    14400
D RELIANCE STEEL & ALUMINUM CO.  COMMON     759509102      291    13800 SH    -  DEFINED 02            13800        0        0
D RELIANT ENERGY INC             COMMON     75952J108      364     7836 SH    -  DEFINED 01             3000        0     4836
D RELIANT ENERGY INC             COMMON     75952J108      735    15800 SH    -  OTHER   01            10000     3400     2400
D RELIANT ENERGY INC             COMMON     75952J108      716    15400 SH    -  DEFINED 02                0        0    15400
D RELIANT ENERGY INC             COMMON     75952J108      163     3500 SH    -  DEFINED 17             3500        0        0
D RELIANT ENERGY INC             COMMON     75952J108     5585   120100 SH    -  DEFINED 02            85400        0    34700
D RELIANT ENERGY INC             COMMON     75952J108      140     3000 SH    -  DEFINED 05                0        0     3000
D REMEDY CORP.                   COMMON     759548100       13      700 SH    -  DEFINED 02              700        0        0
D REMEDY CORP.                   COMMON     759548100        0        3 SH    -  DEFINED 16                3        0        0
D REMEDY CORP.                   COMMON     759548100      632    33500 SH    -  DEFINED 02            33500        0        0
D REMEDY CORP.                   COMMON     759548100       28     1500 SH    -  DEFINED 01                0        0     1500
D RENAISSANCE WORLDWIDE INC.     COMMON     75968A109       49    31600 SH    -  DEFINED 01                0        0    31600
D RENAL CARE GROUP, INC.         COMMON     759930100     1291    69300 SH    -  DEFINED 02            69300        0        0
D RENAL CARE GROUP, INC.         COMMON     759930100        0        5 SH    -  DEFINED 16                5        0        0
D RENAL CARE GROUP, INC.         COMMON     759930100       60     3200 SH    -  DEFINED 02             3200        0        0
D RENT A CTR INC NEW             COMMON     76009N100        0        2 SH    -  DEFINED 16                2        0        0
D RENT A CTR INC NEW             COMMON     76009N100     1013    29200 SH    -  DEFINED 02            29200        0        0
D RENT A CTR INC NEW             COMMON     76009N100       31      900 SH    -  DEFINED 02              900        0        0
D RENT-WAY, INC.                 COMMON     76009U104     1230    40500 SH    -  DEFINED 02            40500        0        0
D RENT-WAY, INC.                 COMMON     76009U104       84     2763 SH    -  DEFINED 01                0        0     2763
D RENT-WAY, INC.                 COMMON     76009U104     1005    33100 SH    -  DEFINED 02             1200        0    31900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 254
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D REPSOL S A ADR                 COMMON     76026T205       55     3000 SH    -  DEFINED 05                0        0     3000
D REPSOL S A ADR                 COMMON     76026T205      395    21582 SH    -  DEFINED 01             6345        0    15237
D REPSOL S A ADR                 COMMON     76026T205      110     6000 SH    -  OTHER   01                0     6000        0
D REPSOL S A ADR                 COMMON     76026T205      296    16126 SH    -  DEFINED 17            16126        0        0
D REPUBLIC BANCORP, INC.         COMMON     760282103      122    12800 SH    -  DEFINED 02            12800        0        0
D REPUBLIC BANCORP, INC.         COMMON     760282103      992   104400 SH    -  DEFINED 02            64900        0    39500
D REPUBLIC GYPSUM CO.            COMMON     760473108      202    11000 SH    -  DEFINED 01                0        0    11000
D REPUBLIC SVCS INC              COMMON     760759100        2      170 SH    -  DEFINED 01              170        0        0
D REPUBLIC SVCS INC              COMMON     760759100     2193   167100 SH    -  DEFINED 02           159400        0     7700
D REPUBLIC SVCS INC              COMMON     760759100    10794   822430 SH    -  DEFINED 02           810080        0    12350
D RES-CARE, INC.                 COMMON     760943100        1      210 SH    -  DEFINED 16              210        0        0
D RES-CARE, INC.                 COMMON     760943100       65    14350 SH    -  DEFINED 01                0        0    14350
D RESEARCH IN MOTION LTD         COMMON     760975102     2267    23000 SH    -  DEFINED 18            23000        0        0
D RESMED INC.                    COMMON     761152107        0        2 SH    -  DEFINED 16                2        0        0
D RESMED INC.                    COMMON     761152107      156     5000 SH    -  DEFINED 02              200        0     4800
D RESMED INC.                    COMMON     761152107     1784    57100 SH    -  DEFINED 02            57100        0        0
D RETEK INC                      COMMON     76128Q109     3699    69800 SH    -  DEFINED 02            69800        0        0
D RETEK INC                      COMMON     76128Q109    14463   272880 SH    -  DEFINED 01           152480        0   120400
D RETEK INC                      COMMON     76128Q109    10481   197750 SH    -  DEFINED 02           165275        0    32475
D RETEK INC                      COMMON     76128Q109      201     3800 SH    -  DEFINED 05                0        0     3800
D REUTERS GROUP PLC              COMMON     76132M102     1337    11899 SH    -  DEFINED 05             6033        0     5866
D REUTERS GROUP PLC              COMMON     76132M102     3132    27871 SH    -  DEFINED 01            18079        0     9792
D REUTERS GROUP PLC              COMMON     76132M102     9997    88960 SH    -  OTHER   01             7799    41295    39866
D REUTERS GROUP PLC              COMMON     76132M102    11237    98250 SH    -  DEFINED 17            98250        0        0
D REYNOLDS & REYNOLDS CO. CLASS  COMMON     761695105      819    41200 SH    -  DEFINED 02            41200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 255
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D REYNOLDS & REYNOLDS CO. CLASS  COMMON     761695105      950    47800 SH    -  DEFINED 01              600        0    47200
D REYNOLDS R J TOB HLDGS INC     COMMON     76182K105     3660   113500 SH    -  DEFINED 02           113500        0        0
D RHYTHMS NETCONNECTIONS INC     COMMON     762430205      360    48800 SH    -  DEFINED 02            48800        0        0
D RHYTHMS NETCONNECTIONS INC     COMMON     762430205     1966   266600 SH    -  DEFINED 02           266600        0        0
D RIBOZYME PHARMACEUTICALS, INC. COMMON     762567105        3      100 SH    -  DEFINED 02              100        0        0
D RIBOZYME PHARMACEUTICALS, INC. COMMON     762567105        6      200 SH    -  DEFINED 02              200        0        0
D RIBOZYME PHARMACEUTICALS, INC. COMMON     762567105     1442    49740 SH    -  DEFINED 01                0        0    49740
D RICHMOND COUNTY FINL CORP      COMMON     764556106     1137    47000 SH    -  OTHER   01                0    47000        0
D RIGHTCHOICE MANAGED CARE, INC. COMMON     76657K101      233     9600 SH    -  DEFINED 01                0        0     9600
D RIGHTCHOICE MANAGED CARE, INC. COMMON     76657K101      388    16000 SH    -  DEFINED 02            16000        0        0
D RIGHTCHOICE MANAGED CARE, INC. COMMON     76657K101      136     5600 SH    -  DEFINED 02             5600        0        0
D RITE AID CORP.                 COMMON     767754104       18     4392 SH    -  OTHER   05                0        0     4392
D RITE AID CORP.                 COMMON     767754104       51    12700 SH    -  DEFINED 16            12700        0        0
D RITE AID CORP.                 COMMON     767754104   147745 36363636 SH    -  DEFINED 06         36363636        0        0
D RITE AID CORP.                 COMMON     767754104       10     2500 SH    -  DEFINED 17             2500        0        0
D RITE AID CORP.                 COMMON     767754104        8     2000 SH    -  DEFINED 01             2000        0        0
D RITE AID CORP.                 COMMON     767754104       50    12600 SH    -  OTHER   01            11000     1600        0
D ROADWAY EXPRESS, INC.          COMMON     769742107      244    13600 SH    -  DEFINED 01                0        0    13600
D ROADWAY EXPRESS, INC.          COMMON     769742107       72     4000 SH    -  DEFINED 02             4000        0        0
D ROANOKE ELECTRIC STEEL CORP.   COMMON     769841107       39     3900 SH    -  DEFINED 02                0        0     3900
D ROANOKE ELECTRIC STEEL CORP.   COMMON     769841107      164    16650 SH    -  DEFINED 01                0        0    16650
D ROBERT HALF INTERNATIONAL, INC COMMON     770323103     1956    56400 SH    -  DEFINED 01                0        0    56400
D ROBERT HALF INTERNATIONAL, INC COMMON     770323103      833    24000 SH    -  DEFINED 02                0        0    24000
D ROCKWELL INTL CORP NEW         COMMON     773903109    38618  1276630 SH    -  DEFINED 02           727930        0   548700
D ROCKWELL INTL CORP NEW         COMMON     773903109       73     2400 SH    -  DEFINED 05             2400        0        0
D ROCKWELL INTL CORP NEW         COMMON     773903109      454    15000 SH    -  DEFINED 01             9500        0     5500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 256
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ROCKWELL INTL CORP NEW         COMMON     773903109       67     2200 SH    -  OTHER   21                0     2200        0
D ROCKWELL INTL CORP NEW         COMMON     773903109    24560   811900 SH    -  DEFINED 02           632900        0   179000
D ROCKWELL INTL CORP NEW         COMMON     773903109       64     2100 SH    -  OTHER   02             2100        0        0
D ROCKWELL INTL CORP NEW         COMMON     773903109       67     2200 SH    -  DEFINED 20             2200        0        0
D ROCKWELL INTL CORP NEW         COMMON     773903109       67     2200 SH    -  DEFINED 17             2200        0        0
D ROGERS CORP.                   COMMON     775133101      323    10200 SH    -  DEFINED 01                0        0    10200
D ROHM & HAAS CO.                COMMON     775371107    45202  1555309 SH    -  DEFINED 01           957585     9243   588481
D ROHM & HAAS CO.                COMMON     775371107     4225   145363 SH    -  OTHER   01            40220    74843    30300
D ROHM & HAAS CO.                COMMON     775371107      183     6300 SH    -  OTHER   21                0     6300        0
D ROHM & HAAS CO.                COMMON     775371107    11367   391100 SH    -  DEFINED 20           391100        0        0
D ROHM & HAAS CO.                COMMON     775371107    69012  2374580 SH    -  DEFINED 02          1677300        0   697280
D ROHM & HAAS CO.                COMMON     775371107      134     4600 SH    -  OTHER   02             4600        0        0
D ROHM & HAAS CO.                COMMON     775371107     1431    49223 SH    -  DEFINED 05            18523        0    30700
D ROHM & HAAS CO.                COMMON     775371107       48     1659 SH    -  OTHER   05                0        0     1659
D ROHM & HAAS CO.                COMMON     775371107       76     2600 SH    -  DEFINED 17             2600        0        0
D ROHM & HAAS CO.                COMMON     775371107     1192    41000 SH    -  OTHER   0304          41000        0        0
D ROHM & HAAS CO.                COMMON     775371107     1755    60400 SH    -  OTHER   09            60400        0        0
D ROHM & HAAS CO.                COMMON     775371107   259155  8917004 SH    -  DEFINED 02          7029354        0  1887650
D ROHM & HAAS CO.                COMMON     775371107      311    10700 SH    -  OTHER   02                0        0    10700
D ROLLINS TRUCK LEASING CORP.    COMMON     775741101      568    89900 SH    -  DEFINED 02            10000        0    79900
D ROLLINS TRUCK LEASING CORP.    COMMON     775741101      507    80325 SH    -  DEFINED 01                0        0    80325
D ROSETTA INPHARMATICS INC       COMMON     777777103     2121    76050 SH    -  DEFINED 01            43860        0    32190
D ROSETTA INPHARMATICS INC       COMMON     777777103     1715    61480 SH    -  DEFINED 02            51550        0     9930
D ROSETTA INPHARMATICS INC       COMMON     777777103       25      890 SH    -  DEFINED 05                0        0      890
D ROSETTA INPHARMATICS INC       COMMON     777777103      655    23500 SH    -  DEFINED 02            23500        0        0
D ROSS STORES, INC.              COMMON     778296103      231    16100 SH    -  DEFINED 02            16100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 257
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ROSS STORES, INC.              COMMON     778296103      132     9200 SH    -  DEFINED 01             9200        0        0
D ROUSE CO.                      COMMON     779273101     2436    97700 SH    -  DEFINED 02            97700        0        0
D ROUSE CO.                      COMMON     779273101     5087   204000 SH    -  DEFINED 02           204000        0        0
D ROYAL BK SCOTLAND GROUP PLC    PREF CONV  780097408    19760   786481 SH    -  DEFINED 06                0        0        0
D ROYAL DUTCH PETE CO            COMMON     780257804   277891  4636300 SH    -  DEFINED 02          3496300        0  1140000
D ROYAL DUTCH PETE CO            COMMON     780257804      456     7600 SH    -  OTHER   02             7600        0        0
D ROYAL DUTCH PETE CO            COMMON     780257804     3177    53000 SH    -  DEFINED 20            53000        0        0
D ROYAL DUTCH PETE CO            COMMON     780257804   149522  2494618 SH    -  DEFINED 01          1420447    22500  1047871
D ROYAL DUTCH PETE CO            COMMON     780257804    71966  1200682 SH    -  OTHER   01           278107   841825    80750
D ROYAL DUTCH PETE CO            COMMON     780257804      288     4800 SH    -  OTHER   21                0     4800        0
D ROYAL DUTCH PETE CO            COMMON     780257804   477258  7962533 SH    -  DEFINED 02          4858233        0  3104300
D ROYAL DUTCH PETE CO            COMMON     780257804      509     8500 SH    -  OTHER   02                0        0     8500
D ROYAL DUTCH PETE CO            COMMON     780257804     7468   124598 SH    -  DEFINED 05            69198        0    55400
D ROYAL DUTCH PETE CO            COMMON     780257804      408     6800 SH    -  OTHER   05             6000        0      800
D ROYAL DUTCH PETE CO            COMMON     780257804     2326    38800 SH    -  OTHER   09            38800        0        0
D ROYAL DUTCH PETE CO            COMMON     780257804     1798    30000 SH    -  OTHER   0304          30000        0        0
D RUBY TUESDAY, INC.             COMMON     781182100      405    36000 SH    -  DEFINED 02            36000        0        0
D RUBY TUESDAY, INC.             COMMON     781182100      923    82000 SH    -  DEFINED 02            82000        0        0
D RUDDICK CORP.                  COMMON     781258108     2618   188680 SH    -  DEFINED 01                0        0   188680
D RURAL CELLULAR CORP            COMMON     781904107      531     7800 SH    -  DEFINED 02             7800        0        0
D RURAL CELLULAR CORP            COMMON     781904107       20      300 SH    -  DEFINED 02              300        0        0
D RYAN'S FAMILY STEAK HOUSE, INC COMMON     783519101      939   122200 SH    -  DEFINED 02            22800        0    99400
D RYAN'S FAMILY STEAK HOUSE, INC COMMON     783519101      441    57400 SH    -  DEFINED 02            57400        0        0
D RYAN'S FAMILY STEAK HOUSE, INC COMMON     783519101      179    23300 SH    -  DEFINED 01                0        0    23300
D RYDER SYSTEM, INC.             COMMON     783549108      173     9400 SH    -  DEFINED 01             7600        0     1800

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 258
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D RYDER SYSTEM, INC.             COMMON     783549108       13      700 SH    -  DEFINED 17              700        0        0
D RYLAND GROUP, INC.             COMMON     783764103     1184    38200 SH    -  DEFINED 02            38200        0        0
D RYLAND GROUP, INC.             COMMON     783764103      496    16000 SH    -  DEFINED 01                0        0    16000
D RYLAND GROUP, INC.             COMMON     783764103      735    23700 SH    -  DEFINED 02            23700        0        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103   699435 13988706 SH    -  DEFINED 02          9641404        0  4347302
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     1270    25400 SH    -  OTHER   02                0        0    25400
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     3000    60000 SH    -  OTHER   0304          60000        0        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     2744    54875 SH    -  OTHER   09            54875        0        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     5095   101908 SH    -  DEFINED 05            36328        0    65580
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     1047    20932 SH    -  OTHER   05             2800    10528     7604
D SBC COMMUNICATIONS, INC.       COMMON     78387G103   147387  2947730 SH    -  DEFINED 01          1828260    25342  1092928
D SBC COMMUNICATIONS, INC.       COMMON     78387G103    51929  1038588 SH    -  OTHER   01           166965   715726   155897
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     1520    30400 SH    -  OTHER   21                0    30400        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103   248069  4961377 SH    -  DEFINED 02          3529912        0  1431465
D SBC COMMUNICATIONS, INC.       COMMON     78387G103      370     7400 SH    -  OTHER   02             7400        0        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103    10820   216400 SH    -  DEFINED 20           216400        0        0
D SBC COMMUNICATIONS, INC.       COMMON     78387G103     4561    91226 SH    -  DEFINED 18            91226        0        0
D SBA COMMUNICATIONS CORP        COMMON     78388J106     1896    45200 SH    -  DEFINED 02            45200        0        0
D SBA COMMUNICATIONS CORP        COMMON     78388J106     7783   185590 SH    -  DEFINED 01            56425        0   129165
D SBA COMMUNICATIONS CORP        COMMON     78388J106      114     2720 SH    -  DEFINED 05                0        0     2720
D SBA COMMUNICATIONS CORP        COMMON     78388J106     3355    79990 SH    -  DEFINED 02            67650        0    12340
D SCI SYSTEMS, INC.              BOND       783890106       21    51200 PRN   -  DEFINED 01                0        0        0
D SCI SYSTEMS, INC.              BOND       783890106       33    80200 PRN   -  DEFINED 02                0        0        0
D SCI SYSTEMS, INC.              BOND       783890106        5    13000 PRN   -  DEFINED 06                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 259
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SDL, INC.                      COMMON     784076101     1670     5400 SH    -  DEFINED 02             3700        0     1700
D SDL, INC.                      COMMON     784076101      186      600 SH    -  DEFINED 20              600        0        0
D SDL, INC.                      COMMON     784076101     4290    13870 SH    -  DEFINED 01              600        0    13270
D SDL, INC.                      COMMON     784076101    29199    94400 SH    -  DEFINED 02            74500        0    19900
D SDL, INC.                      COMMON     784076101      155      500 SH    -  OTHER   02                0        0      500
D SDL, INC.                      COMMON     784076101     9899    32003 SH    -  DEFINED 16            32003        0        0
D SEI CORP.                      COMMON     784117103     1153    16300 SH    -  DEFINED 02                0        0    16300
D SEI CORP.                      COMMON     784117103     2335    33000 SH    -  DEFINED 01                0        0    33000
D SJW CORP.                      COMMON     784305104      190     1600 SH    -  DEFINED 01                0        0     1600
D SJW CORP.                      COMMON     784305104      166     1400 SH    -  DEFINED 02              700        0      700
D SK TELECOM LTD                 COMMON     78440P108      736    28730 SH    -  DEFINED 17            28730        0        0
D SPS TECHNOLOGIES, INC.         COMMON     784626103      146     3000 SH    -  DEFINED 01                0        0     3000
D SPS TECHNOLOGIES, INC.         COMMON     784626103      310     6400 SH    -  DEFINED 02             6400        0        0
D SPX CORP.                      COMMON     784635104      227     1600 SH    -  DEFINED 02                0        0     1600
D SPX CORP.                      COMMON     784635104      854     6020 SH    -  DEFINED 01                8        0     6012
D SPX CORP.                      COMMON     784635104      568     4000 SH    -  DEFINED 06             4000        0        0
D SPX CORP.                      COMMON     784635104      965     6800 SH    -  DEFINED 02             6800        0        0
D S3, INC.                       COMMON     784849101      333    32300 SH    -  DEFINED 01                0        0    32300
D SVI HLDGS INC                  COMMON     784872103       60    12100 SH    -  DEFINED 01                0        0    12100
D SABRE GROUP HLDGS INC          COMMON     785905100       97     3354 SH    -  DEFINED 01             2232        0     1122
D SABRE GROUP HLDGS INC          COMMON     785905100      364    12562 SH    -  OTHER   01                0    12562        0
D SABRE GROUP HLDGS INC          COMMON     785905100       45     1550 SH    -  DEFINED 17             1550        0        0
D SABRE GROUP HLDGS INC          COMMON     785905100       98     3400 SH    -  DEFINED 02                0        0     3400
D SAFECO CORP.                   COMMON     786429100     1316    48300 SH    -  DEFINED 02                0        0    48300
D SAFECO CORP.                   COMMON     786429100        1       23 SH    -  DEFINED 16               23        0        0
D SAFECO CORP.                   COMMON     786429100       41     1500 SH    -  DEFINED 17             1500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 260
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SAFECO CORP.                   COMMON     786429100      114     4200 SH    -  DEFINED 20             4200        0        0
D SAFEGUARD SCIENTIFICS, INC.    COMMON     786449108     1037    52000 SH    -  DEFINED 02            52000        0        0
D SAFEGUARD SCIENTIFICS, INC.    COMMON     786449108     1165    58440 SH    -  DEFINED 01            14550        0    43890
D SAFEGUARD SCIENTIFICS, INC.    COMMON     786449108      439    22000 SH    -  DEFINED 02                0        0    22000
D SAFEWAY, INC.                  COMMON     786514208      201     4300 SH    -  OTHER   02                0        0     4300
D SAFEWAY, INC.                  COMMON     786514208    83763  1794100 SH    -  DEFINED 02          1037900        0   756200
D SAFEWAY, INC.                  COMMON     786514208     4053    86800 SH    -  DEFINED 05            35000        0    51800
D SAFEWAY, INC.                  COMMON     786514208       70     1500 SH    -  OTHER   05                0     1500        0
D SAFEWAY, INC.                  COMMON     786514208     4478    95903 SH    -  DEFINED 01            77103     2000    16800
D SAFEWAY, INC.                  COMMON     786514208     2082    44600 SH    -  OTHER   01            11800    32500      300
D SAFEWAY, INC.                  COMMON     786514208      112     2400 SH    -  OTHER   21                0     2400        0
D SAFEWAY, INC.                  COMMON     786514208    45213   968400 SH    -  DEFINED 02           688300        0   280100
D SAFEWAY, INC.                  COMMON     786514208      107     2300 SH    -  OTHER   02             2300        0        0
D SAFEWAY, INC.                  COMMON     786514208      584    12500 SH    -  DEFINED 20            12500        0        0
D SAGENT TECHNOLOGY INC          COMMON     786693101      178    23600 SH    -  DEFINED 02            23600        0        0
D SAGENT TECHNOLOGY INC          COMMON     786693101        5      700 SH    -  DEFINED 02              700        0        0
D ST. JOSEPH LIGHT & POWER CO.   COMMON     790654107      771    39900 SH    -  DEFINED 16            39900        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103       15      300 SH    -  DEFINED 05              300        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103    59400  1164710 SH    -  DEFINED 02           738410        0   426300
D ST. JUDE MEDICAL, INC.         COMMON     790849103      184     3600 SH    -  OTHER   02                0        0     3600
D ST. JUDE MEDICAL, INC.         COMMON     790849103    33742   661600 SH    -  DEFINED 02           529200        0   132400
D ST. JUDE MEDICAL, INC.         COMMON     790849103       46      900 SH    -  OTHER   02              900        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103      372     7300 SH    -  DEFINED 20             7300        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103       51     1000 SH    -  DEFINED 17             1000        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103       77     1500 SH    -  OTHER   21                0     1500        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 261
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D ST. JUDE MEDICAL, INC.         COMMON     790849103       15      300 SH    -  OTHER   01              300        0        0
D ST. JUDE MEDICAL, INC.         COMMON     790849103     2659    52130 SH    -  DEFINED 01            45400        0     6730
D ST. MARY LAND & EXPLORATION CO COMMON     792228108      494    21400 SH    -  DEFINED 01                0        0    21400
D ST. MARY LAND & EXPLORATION CO COMMON     792228108       16      700 SH    -  DEFINED 02              700        0        0
D ST. MARY LAND & EXPLORATION CO COMMON     792228108        4      190 SH    -  DEFINED 16              190        0        0
D ST. PAUL COMPANIES, INC.       COMMON     792860108     1399    28370 SH    -  DEFINED 02            28370        0        0
D ST. PAUL COMPANIES, INC.       COMMON     792860108      799    16200 SH    -  DEFINED 01            11000        0     5200
D ST. PAUL COMPANIES, INC.       COMMON     792860108       26      536 SH    -  OTHER   01                0      536        0
D ST. PAUL COMPANIES, INC.       COMMON     792860108     3082    62500 SH    -  DEFINED 17            62500        0        0
D SALISBURY BANCORP INC          COMMON     795226109      327    19248 SH    -  DEFINED 01            19248        0        0
D SALISBURY BANCORP INC          COMMON     795226109      327    19248 SH    -  OTHER   01                0        0    19248
D SALTON/MAXIM HOUSEWARES, INC.  COMMON     795757103      168     5200 SH    -  DEFINED 20             5200        0        0
D SALTON/MAXIM HOUSEWARES, INC.  COMMON     795757103     1364    42200 SH    -  DEFINED 02            42200        0        0
D SALTON/MAXIM HOUSEWARES, INC.  COMMON     795757103      197     6100 SH    -  DEFINED 02              900        0     5200
D SALTON/MAXIM HOUSEWARES, INC.  COMMON     795757103        0        2 SH    -  DEFINED 16                2        0        0
D SANCHEZ COMPUTER ASSOCS INC    COMMON     799702105       28     1777 SH    -  DEFINED 16             1777        0        0
D SANCHEZ COMPUTER ASSOCS INC    COMMON     799702105     2428   156675 SH    -  DEFINED 01            89353        0    67322
D SANDISK CORP.                  COMMON     80004C101      320     4800 SH    -  DEFINED 01                0        0     4800
D SANDISK CORP.                  COMMON     80004C101     2350    35200 SH    -  DEFINED 02            35200        0        0
D SANDISK CORP.                  COMMON     80004C101       33      500 SH    -  DEFINED 20              500        0        0
D SANDISK CORP.                  COMMON     80004C101      434     6500 SH    -  DEFINED 02                0        0     6500
D SANMINA CORP.                  COMMON     800907107     8511    90900 SH    -  DEFINED 02            63000        0    27900
D SANMINA CORP.                  COMMON     800907107      103     1100 SH    -  OTHER   02                0        0     1100
D SANMINA CORP.                  COMMON     800907107       43      455 SH    -  DEFINED 16              455        0        0
D SANMINA CORP.                  COMMON     800907107      122     1300 SH    -  DEFINED 20             1300        0        0
D SANMINA CORP.                  COMMON     800907107      169     1800 SH    -  DEFINED 17             1800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 262
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SANMINA CORP.                  COMMON     800907107     1573    16800 SH    -  DEFINED 01             4200        0    12600
D SANGSTAT MEDICAL CORP.         COMMON     801003104      870    67900 SH    -  DEFINED 02            67900        0        0
D SANTANDER BANCORP              COMMON     802809103      186    11300 SH    -  DEFINED 02            11300        0        0
D SAP AG - ADR                   PREF CONV  803054204       12      200 SH    -  DEFINED 01                0        0        0
D SAPIENT CORP.                  COMMON     803062108       57     1400 SH    -  DEFINED 17             1400        0        0
D SAPIENT CORP.                  COMMON     803062108     1982    48700 SH    -  DEFINED 02            48700        0        0
D SAPIENT CORP.                  COMMON     803062108     1082    26600 SH    -  DEFINED 02                0        0    26600
D SARA LEE CORP.                 COMMON     803111103     1434    70600 SH    -  DEFINED 02                0        0    70600
D SARA LEE CORP.                 COMMON     803111103      579    28488 SH    -  DEFINED 05                0        0    28488
D SARA LEE CORP.                 COMMON     803111103      211    10400 SH    -  DEFINED 17            10400        0        0
D SARA LEE CORP.                 COMMON     803111103     4509   221973 SH    -  DEFINED 01           144000        0    77973
D SARA LEE CORP.                 COMMON     803111103     2900   142750 SH    -  OTHER   01            34400   100350     8000
D SAVVIS COMMUNICATIONS CORP     COMMON     805423100     4641   580072 SH    -  DEFINED 19           580072        0        0
D SAWTEK INC                     COMMON     805468105        8      200 SH    -  DEFINED 20              200        0        0
D SAWTEK INC                     COMMON     805468105      135     3500 SH    -  DEFINED 02             3500        0        0
D SAWTEK INC                     COMMON     805468105      765    19850 SH    -  DEFINED 01                0        0    19850
D SAWTEK INC                     COMMON     805468105      200     5200 SH    -  DEFINED 02                0        0     5200
D SCHERING-PLOUGH CORP.          COMMON     806605101   496550 10678490 SH    -  DEFINED 02          7876390        0  2802100
D SCHERING-PLOUGH CORP.          COMMON     806605101      716    15400 SH    -  OTHER   02                0        0    15400
D SCHERING-PLOUGH CORP.          COMMON     806605101     3413    73405 SH    -  DEFINED 05            59255     3000    11150
D SCHERING-PLOUGH CORP.          COMMON     806605101      930    20000 SH    -  OTHER   05             8800    11200        0
D SCHERING-PLOUGH CORP.          COMMON     806605101    20400   438700 SH    -  DEFINED 16           438700        0        0
D SCHERING-PLOUGH CORP.          COMMON     806605101     1163    25000 SH    -  OTHER   0304          25000        0        0
D SCHERING-PLOUGH CORP.          COMMON     806605101   123740  2661075 SH    -  DEFINED 01           908178     7900  1703497
D SCHERING-PLOUGH CORP.          COMMON     806605101    31967   687452 SH    -  OTHER   01           110790   482662    94000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 263
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SCHERING-PLOUGH CORP.          COMMON     806605101       14      300 SH    -  OTHER   21                0      300        0
D SCHERING-PLOUGH CORP.          COMMON     806605101   157737  3392200 SH    -  DEFINED 02          2498400        0   893800
D SCHERING-PLOUGH CORP.          COMMON     806605101      260     5600 SH    -  OTHER   02             5600        0        0
D SCHERING-PLOUGH CORP.          COMMON     806605101     6756   145300 SH    -  DEFINED 20           145300        0        0
D SCHERING-PLOUGH CORP.          COMMON     806605101      646    13890 SH    -  DEFINED 17            13890        0        0
D SCHLUMBERGER LTD.              COMMON     806857108     6173    75000 SH    -  DEFINED 18            75000        0        0
D SCHLUMBERGER LTD.              COMMON     806857108     1063    12920 SH    -  DEFINED 02                0        0    12920
D SCHLUMBERGER LTD.              COMMON     806857108    24601   298871 SH    -  DEFINED 01           147720        0   151151
D SCHLUMBERGER LTD.              COMMON     806857108    37239   452412 SH    -  OTHER   01            69972   346406    36034
D SCHLUMBERGER LTD.              COMMON     806857108     2079    25258 SH    -  DEFINED 05             8300        0    16958
D SCHLUMBERGER LTD.              COMMON     806857108      165     2000 SH    -  OTHER   05                0     2000        0
D SCHLUMBERGER LTD.              COMMON     806857108       66      800 SH    -  DEFINED 02              100        0      700
D SCHOOL SPECIALTY INC           COMMON     807863105    12016   563800 SH    -  DEFINED 02           477000        0    86800
D SCHOOL SPECIALTY INC           COMMON     807863105    10107   474226 SH    -  DEFINED 01           460500        0    13726
D SCHOOL SPECIALTY INC           COMMON     807863105     4642   217800 SH    -  DEFINED 02           217800        0        0
D SCHWAB (CHARLES) CORP.         COMMON     808513105    61140  1722266 SH    -  DEFINED 02          1066262        0   656004
D SCHWAB (CHARLES) CORP.         COMMON     808513105       92     2600 SH    -  OTHER   02             2600        0        0
D SCHWAB (CHARLES) CORP.         COMMON     808513105    11307   318500 SH    -  DEFINED 20           318500        0        0
D SCHWAB (CHARLES) CORP.         COMMON     808513105      577    16250 SH    -  DEFINED 17            16250        0        0
D SCHWAB (CHARLES) CORP.         COMMON     808513105    72413  2039802 SH    -  DEFINED 01          1284057        0   755745
D SCHWAB (CHARLES) CORP.         COMMON     808513105    38588  1086980 SH    -  OTHER   01            62600   845880   178500
D SCHWAB (CHARLES) CORP.         COMMON     808513105   119494  3366023 SH    -  DEFINED 02          1960782        0  1405241
D SCHWAB (CHARLES) CORP.         COMMON     808513105      334     9400 SH    -  OTHER   02                0        0     9400
D SCHWAB (CHARLES) CORP.         COMMON     808513105      165     4650 SH    -  DEFINED 05             4650        0        0
D SCICLONE PHARMACEUTICALS, INC. COMMON     80862K104        9      800 SH    -  DEFINED 02              800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 264
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SCICLONE PHARMACEUTICALS, INC. COMMON     80862K104      569    52300 SH    -  DEFINED 02            52300        0        0
D SCIENT CORP                    COMMON     80864H109      549    26200 SH    -  DEFINED 02            26200        0        0
D SCIENT CORP                    COMMON     80864H109        1       26 SH    -  DEFINED 01               26        0        0
D SCIENT CORP                    COMMON     80864H109      358    17100 SH    -  DEFINED 02                0        0    17100
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104     5122    80500 SH    -  DEFINED 02            62500        0    18000
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104       76     1200 SH    -  OTHER   02                0        0     1200
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104     2189    34400 SH    -  DEFINED 01             1400        0    33000
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104     3283    51600 SH    -  DEFINED 02            51600        0        0
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104       89     1400 SH    -  DEFINED 20             1400        0        0
D SCIENTIFIC ATLANTA, INC.       COMMON     808655104      121     1900 SH    -  DEFINED 17             1900        0        0
D SCOTT TECHNOLOGIES INC         COMMON     810022301      322    18200 SH    -  DEFINED 01                0        0    18200
D SCOTTS CO. CLASS "A"           COMMON     810186106        0        3 SH    -  DEFINED 16                3        0        0
D SCOTTS CO. CLASS "A"           COMMON     810186106      295     8800 SH    -  DEFINED 01                0        0     8800
D SCRIPPS FINANCIAL CORP         COMMON     811040104      407    17500 SH    -  OTHER   01                0    15300     2200
D SEACHANGE INTL INC             COMMON     811699107     3499   104850 SH    -  DEFINED 02           104850        0        0
D SEACHANGE INTL INC             COMMON     811699107     8130   243600 SH    -  DEFINED 02           200250        0    43350
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103   316434  4585998 SH    -  DEFINED 02          3308198        0  1277800
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103      828    12000 SH    -  OTHER   02                0        0    12000
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103       21      300 SH    -  DEFINED 05              300        0        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103     5247    76039 SH    -  DEFINED 01            45155        0    30884
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103       21      300 SH    -  OTHER   01              300        0        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103      117     1700 SH    -  OTHER   21                0     1700        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103    47403   687000 SH    -  DEFINED 16           687000        0        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103     2801    40600 SH    -  DEFINED 17            40600        0        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103     1546    22400 SH    -  DEFINED 20            22400        0        0
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103   110303  1598600 SH    -  DEFINED 02          1091900        0   506700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 265
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SEAGATE TECHNOLOGY, INC.       COMMON     811804103      200     2900 SH    -  OTHER   02             2900        0        0
D SEAGRAM LTD.                   COMMON     811850106     9248   161000 SH    -  DEFINED 02           140000        0    21000
D SEAGRAM LTD.                   COMMON     811850106     5663    98600 SH    -  DEFINED 20            98600        0        0
D SEAGRAM LTD.                   COMMON     811850106      299     5200 SH    -  DEFINED 17             5200        0        0
D SEAGRAM LTD.                   COMMON     811850106    52987   922503 SH    -  DEFINED 01           522386     1722   393595
D SEAGRAM LTD.                   COMMON     811850106     2933    51070 SH    -  OTHER   01            19955    29015     2100
D SEAGRAM LTD.                   COMMON     811850106      121     2100 SH    -  OTHER   21                0     2100        0
D SEAGRAM LTD.                   COMMON     811850106     8116   141300 SH    -  DEFINED 16           141300        0        0
D SEAGRAM LTD.                   COMMON     811850106     2470    43000 SH    -  OTHER   0304          43000        0        0
D SEAGRAM LTD.                   COMMON     811850106     1526    26575 SH    -  OTHER   09            26575        0        0
D SEAGRAM LTD.                   COMMON     811850106      276     4800 SH    -  DEFINED 05             4800        0        0
D SEAGRAM LTD.                   COMMON     811850106   109208  1901325 SH    -  DEFINED 02          1571425        0   329900
D SEAGRAM LTD.                   COMMON     811850106       57     1000 SH    -  OTHER   02                0        0     1000
D SEAGRAM LTD   'PFD CONV'       PREF CONV  811850205    30047   576450 SH    -  DEFINED 02                0        0        0
D SEAGRAM LTD   'PFD CONV'       PREF CONV  811850205     5838   112000 SH    -  DEFINED 01                0        0        0
D SEACOR HOLDINGS, INC.          COMMON     811904101      217     4650 SH    -  DEFINED 01                0        0     4650
D SEALED AIR CORPORATION         COMMON     81211K100      227     5015 SH    -  DEFINED 01             3815        0     1200
D SEALED AIR CORPORATION         COMMON     81211K100       85     1876 SH    -  OTHER   01                0     1876        0
D SEALED AIR CORPORATION         COMMON     81211K100       45     1000 SH    -  DEFINED 17             1000        0        0
D SEALED AIR CORP NEW $2 04/01/1 PREF CONV  81211K209        3       71 SH    -  DEFINED 01                0        0        0
D SEALED AIR CORP NEW $2 04/01/1 PREF CONV  81211K209     1083    24062 SH    -  OTHER   01                0        0        0
D SEARS ROEBUCK & CO.            COMMON     812387108      481    14840 SH    -  DEFINED 01            13040        0     1800
D SEARS ROEBUCK & CO.            COMMON     812387108      929    28652 SH    -  OTHER   01            10394     9708     8550
D SEARS ROEBUCK & CO.            COMMON     812387108       62     1900 SH    -  OTHER   21                0     1900        0
D SEARS ROEBUCK & CO.            COMMON     812387108      136     4200 SH    -  DEFINED 17             4200        0        0
D SEARS ROEBUCK & CO.            COMMON     812387108      133     4100 SH    -  DEFINED 20             4100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 266
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SEARS ROEBUCK & CO.            COMMON     812387108    28925   892200 SH    -  DEFINED 02           679100        0   213100
D SEARS ROEBUCK & CO.            COMMON     812387108       62     1900 SH    -  OTHER   02             1900        0        0
D SEARS ROEBUCK & CO.            COMMON     812387108    42781  1319600 SH    -  DEFINED 02           688000        0   631600
D SECURE COMPUTING CORPORATION   COMMON     813705100       23      900 SH    -  DEFINED 02              900        0        0
D SECURE COMPUTING CORPORATION   COMMON     813705100     1152    44200 SH    -  DEFINED 02            44200        0        0
D SECURE COMPUTING CORPORATION   COMMON     813705100      524    20100 SH    -  DEFINED 01                0        0    20100
D SECURITY CAPITAL GROUP INCORPO COMMON     81413P204     1373    72500 SH    -  DEFINED 02            72500        0        0
D SECURITY CAPITAL GROUP INCORPO COMMON     81413P204      159     8400 SH    -  DEFINED 02             8400        0        0
D SEITEL, INC.                   COMMON     816074306      477    33200 SH    -  DEFINED 02            33200        0        0
D SEITEL, INC.                   COMMON     816074306       13      876 SH    -  DEFINED 01                0        0      876
D SELECTIVE INSURANCE GROUP, INC COMMON     816300107      286    16000 SH    -  DEFINED 01                0        0    16000
D SELECTIVE INSURANCE GROUP, INC COMMON     816300107      284    15900 SH    -  DEFINED 02            15900        0        0
D SEMTECH COPRORATION   'CONV BO BOND       816850AB7        0  1000000 PRN   -  DEFINED 16                0        0        0
D SEMTECH CORP                   COMMON     816850101        0        3 SH    -  DEFINED 16                3        0        0
D SEMTECH CORP                   COMMON     816850101       25      600 SH    -  DEFINED 02                0        0      600
D SEMTECH CORP                   COMMON     816850101      499    12060 SH    -  DEFINED 01               60        0    12000
D SEMTECH CORP                   COMMON     816850101      434    10500 SH    -  DEFINED 02            10500        0        0
D SEMTECH CORP                   COMMON     816850101       25      600 SH    -  DEFINED 20              600        0        0
D SEMPRA ENERGY                  COMMON     816851109       51     2461 SH    -  DEFINED 17             2461        0        0
D SEMPRA ENERGY                  COMMON     816851109      250    12000 SH    -  DEFINED 01            12000        0        0
D SEMITOOL, INC.                 COMMON     816909105      506    39500 SH    -  DEFINED 02            39500        0        0
D SEMITOOL, INC.                 COMMON     816909105       14     1100 SH    -  DEFINED 02             1100        0        0
D SENSORMATIC ELECTRONICS CORP.  COMMON     817265101    21770  1451300 SH    -  DEFINED 02          1267200        0   184100
D SENSORMATIC ELECTRONICS CORP.  COMMON     817265101       41     2700 SH    -  OTHER   02                0        0     2700
D SENSORMATIC ELECTRONICS CORP.  COMMON     817265101     1908   127200 SH    -  DEFINED 02            15600        0   111600
D SENSORMATIC ELECTRONICS CORP.  COMMON     817265101      135     9000 SH    -  DEFINED 20             9000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 267
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SENSORMATIC ELECTRONICS CORP.  COMMON     817265101       33     2200 SH    -  DEFINED 01                0        0     2200
D SEPRACOR INC     'CONV BOND'   BOND       817315AL8        0 27800000 PRN   -  DEFINED 16                0        0        0
D SEPRACOR, INC.                 COMMON     817315104     1472    12000 SH    -  DEFINED 02                0        0    12000
D SEPRACOR, INC.                 COMMON     817315104     1914    15600 SH    -  DEFINED 01                0        0    15600
D SEQUENOM INC                   COMMON     817337108     1011    24000 SH    -  DEFINED 17            24000        0        0
D SEQUOIA SOFTWARE CORP          COMMON     817439102      229    35416 SH    -  DEFINED 02            35416        0        0
D SEQUOIA SOFTWARE CORP          COMMON     817439102      674   104233 SH    -  DEFINED 01            62412        0    41821
D SEQUOIA SOFTWARE CORP          COMMON     817439102      630    97454 SH    -  DEFINED 02            82254        0    15200
D SEQUOIA SOFTWARE CORP          COMMON     817439102        8     1256 SH    -  DEFINED 05                0        0     1256
D SERENA SOFTWARE INC            COMMON     817492101      184     4000 SH    -  DEFINED 02             4000        0        0
D SERENA SOFTWARE INC            COMMON     817492101     1695    36800 SH    -  DEFINED 02            36800        0        0
D SERVICE CORP. INTERNATIONAL    COMMON     817565104      125    51200 SH    -  DEFINED 02            51200        0        0
D SHAW COMMUNICATIONS INC        COMMON     82028K200     3176   140000 SH    -  OTHER   01                0   140000        0
D SHAW GROUP, INC.               COMMON     820280105    11661   165400 SH    -  DEFINED 01           165400        0        0
D SHAW GROUP, INC.               COMMON     820280105     8312   117900 SH    -  DEFINED 02           117900        0        0
D SHAW GROUP, INC.               COMMON     820280105    21298   302100 SH    -  DEFINED 02           259000        0    43100
D SHAW INDUSTRIES, INC.          COMMON     820286102      895    48400 SH    -  DEFINED 02            48400        0        0
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609     5476   111900 SH    -  DEFINED 02            82900        0    29000
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609      125     2500 SH    -  DEFINED 17             2500        0        0
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609     4466    91255 SH    -  DEFINED 01            46505        0    42250
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609     2026    41400 SH    -  OTHER   01             6400    28900     6100
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609    15988   326700 SH    -  DEFINED 02           186200        0   140500
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609     2692    55000 SH    -  OTHER   0304          55000        0        0
D SHELL TRANSPORT & TRADING CO.  COMMON     822703609       34      690 SH    -  DEFINED 05                0        0      690
D SHERWIN-WILLIAMS CO.           COMMON     824348106       87     4070 SH    -  DEFINED 01             4070        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 268
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SHERWIN-WILLIAMS CO.           COMMON     824348106      133     6200 SH    -  OTHER   01                0     6200        0
D SHERWIN-WILLIAMS CO.           COMMON     824348106     3339   156200 SH    -  DEFINED 17           156200        0        0
D SHERWIN-WILLIAMS CO.           COMMON     824348106       58     2700 SH    -  DEFINED 06             2700        0        0
D SHOPKO STORES, INC.            COMMON     824911101      730    70400 SH    -  DEFINED 02            70400        0        0
D SHOPKO STORES, INC.            COMMON     824911101       56     5400 SH    -  DEFINED 01                0        0     5400
D SHOPKO STORES, INC.            COMMON     824911101      260    25100 SH    -  DEFINED 02            25100        0        0
D SICOR INC                      COMMON     825846108        7      707 SH    -  DEFINED 02                0        0      707
D SICOR INC                      COMMON     825846108      167    16321 SH    -  DEFINED 01                0        0    16321
D SICOR INC                      COMMON     825846108     1160   113201 SH    -  DEFINED 02           113201        0        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102    25318   227449 SH    -  DEFINED 01           139420     1000    86229
D SIEBEL SYSTEMS, INC.           COMMON     826170102     1394    12520 SH    -  OTHER   01             8100     4420        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102       67      600 SH    -  OTHER   21                0      600        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102   204362  1835920 SH    -  DEFINED 02          1009620        0   826300
D SIEBEL SYSTEMS, INC.           COMMON     826170102      579     5200 SH    -  OTHER   02                0        0     5200
D SIEBEL SYSTEMS, INC.           COMMON     826170102      156     1400 SH    -  DEFINED 05             1400        0        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102      534     4800 SH    -  DEFINED 17             4800        0        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102     1046     9400 SH    -  OTHER   09             9400        0        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102   107718   967700 SH    -  DEFINED 02           708500        0   259200
D SIEBEL SYSTEMS, INC.           COMMON     826170102      145     1300 SH    -  OTHER   02             1300        0        0
D SIEBEL SYSTEMS, INC.           COMMON     826170102      779     7000 SH    -  DEFINED 20             7000        0        0
D SIERRA PAC RES NEW             COMMON     826428104      216    12000 SH    -  DEFINED 02            12000        0        0
D SIERRA PAC RES NEW             COMMON     826428104      549    30500 SH    -  DEFINED 02            30500        0        0
D SIGMA-ALDRICH CORP.            COMMON     826552101      363    11000 SH    -  DEFINED 02                0        0    11000
D SIGMA-ALDRICH CORP.            COMMON     826552101       33     1000 SH    -  DEFINED 17             1000        0        0
D SIGMA-ALDRICH CORP.            COMMON     826552101     1330    40300 SH    -  OTHER   01                0    40300        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 269
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SILICON LABORATORIES INC       COMMON     826919102     3267    79680 SH    -  DEFINED 01            32180        0    47500
D SILICON LABORATORIES INC       COMMON     826919102      607    14800 SH    -  DEFINED 02            14800        0        0
D SILICON LABORATORIES INC       COMMON     826919102     1807    44080 SH    -  DEFINED 02            36880        0     7200
D SILICON LABORATORIES INC       COMMON     826919102       52     1260 SH    -  DEFINED 05                0        0     1260
D SILICON IMAGE INC              COMMON     82705T102     7182   289450 SH    -  DEFINED 02           243350        0    46100
D SILICON IMAGE INC              COMMON     82705T102      204     8225 SH    -  DEFINED 05                0        0     8225
D SILICON IMAGE INC              COMMON     82705T102     2236    90100 SH    -  DEFINED 02            90100        0        0
D SILICON IMAGE INC              COMMON     82705T102    14286   575766 SH    -  DEFINED 01           267666        0   308100
D SILICON GRAPHICS, INC.         COMMON     827056102      141    34200 SH    -  DEFINED 02            34200        0        0
D SILICON GRAPHICS, INC.         COMMON     827056102      189    45800 SH    -  DEFINED 02            45800        0        0
D SILICON GRAPHICS, INC.         COMMON     827056102        7     1800 SH    -  DEFINED 17             1800        0        0
D SILICON STORAGE TECHNOLOGY I   COMMON     827057100     2110    77600 SH    -  DEFINED 02            77600        0        0
D SILICON VALLEY BANCSHARES      COMMON     827064106        1        9 SH    -  DEFINED 16                9        0        0
D SILICON VALLEY BANCSHARES      COMMON     827064106      978    16800 SH    -  DEFINED 02            16800        0        0
D SILICON VALLEY GROUP, INC.     COMMON     827066101     1452    55200 SH    -  DEFINED 02            21700        0    33500
D SILICON VALLEY GROUP, INC.     COMMON     827066101      476    18100 SH    -  DEFINED 01                0        0    18100
D SILICON VALLEY GROUP, INC.     COMMON     827066101      145     5500 SH    -  OTHER   01                0        0     5500
D SILICON VALLEY GROUP, INC.     COMMON     827066101     1802    68500 SH    -  DEFINED 02            68500        0        0
D SILICONIX, INC.                COMMON     827079203      901    19100 SH    -  DEFINED 02            19100        0        0
D SILICONIX, INC.                COMMON     827079203        5      100 SH    -  DEFINED 20              100        0        0
D SILICONIX, INC.                COMMON     827079203      665    14100 SH    -  DEFINED 01                0        0    14100
D SILICONIX, INC.                COMMON     827079203      415     8800 SH    -  DEFINED 02                0        0     8800
D SILICONIX, INC.                COMMON     827079203        0        2 SH    -  DEFINED 16                2        0        0
D SIMON PROPERTY GROUP, INC      COMMON     828806109    11208   478200 SH    -  DEFINED 02           470200        0     8000
D SIMON PROPERTY GROUP, INC      COMMON     828806109     4845   206700 SH    -  DEFINED 02           206700        0        0
D SIMPSON INDUSTRIES, INC.       COMMON     829060102      280    22850 SH    -  DEFINED 01                0        0    22850

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 270
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SIMPSON MANUFACTURING CO., INC COMMON     829073105      684    15295 SH    -  DEFINED 01            13595        0     1700
D SIMPSON MANUFACTURING CO., INC COMMON     829073105        0        2 SH    -  DEFINED 16                2        0        0
D SINCLAIR BROADCAST GROUP, INC. COMMON     829226109      314    28700 SH    -  DEFINED 02            28700        0        0
D SINCLAIR BROADCAST GROUP, INC. COMMON     829226109       33     3000 SH    -  DEFINED 01             3000        0        0
D SIRIUS SATELLITE RADIO INC     COMMON     82966U103      127     2400 SH    -  DEFINED 01              500        0     1900
D SIRIUS SATELLITE RADIO INC     COMMON     82966U103      402     7600 SH    -  DEFINED 02             7600        0        0
D SITEL CORP.                    COMMON     82980K107      165    56000 SH    -  DEFINED 02            56000        0        0
D SITEL CORP.                    COMMON     82980K107       10     3400 SH    -  DEFINED 02             3400        0        0
D SIX FLAGS INC                  COMMON     83001P109      250    16100 SH    -  DEFINED 02                0        0    16100
D SIX FLAGS INC                  COMMON     83001P109     3340   215500 SH    -  DEFINED 01           204900        0    10600
D SKECHERS U S A INC             COMMON     830566105      757    50050 SH    -  DEFINED 01             3175        0    46875
D SKECHERS U S A INC             COMMON     830566105      185    12200 SH    -  DEFINED 02            10200        0     2000
D SKECHERS U S A INC             COMMON     830566105       24     1575 SH    -  DEFINED 05                0        0     1575
D SKYWEST, INC.                  COMMON     830879102    11075   216100 SH    -  DEFINED 02           184900        0    31200
D SKYWEST, INC.                  COMMON     830879102        1       13 SH    -  DEFINED 16               13        0        0
D SKYWEST, INC.                  COMMON     830879102     7078   138100 SH    -  DEFINED 01           137500        0      600
D SKYWEST, INC.                  COMMON     830879102     4438    86600 SH    -  DEFINED 02            86600        0        0
D SMARTSERV ONLINE INC           COMMON     83169M203      365    10200 SH    -  DEFINED 02            10200        0        0
D SMARTSERV ONLINE INC           COMMON     83169M203     1380    38600 SH    -  DEFINED 02              200        0    38400
D SMARTFORCE PUB LTD CO          COMMON     83170A206      294     6200 SH    -  DEFINED 05                0        0     6200
D SMARTFORCE PUB LTD CO          COMMON     83170A206    14840   313250 SH    -  DEFINED 02           261475        0    51775
D SMARTFORCE PUB LTD CO          COMMON     83170A206     5069   107000 SH    -  DEFINED 02           107000        0        0
D SMARTFORCE PUB LTD CO          COMMON     83170A206    29292   618308 SH    -  DEFINED 01           371058        0   247250
D SMITH INTERNATIONAL, INC.      COMMON     832110100     1598    19590 SH    -  DEFINED 01            11140        0     8450
D SMITH INTERNATIONAL, INC.      COMMON     832110100     5171    63400 SH    -  DEFINED 02            63400        0        0
D SMITH INTERNATIONAL, INC.      COMMON     832110100     8009    98200 SH    -  DEFINED 02            80000        0    18200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 271
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SMITHFIELD FOODS, INC.         COMMON     832248108      433    16500 SH    -  DEFINED 02            16500        0        0
D SMITHFIELD FOODS, INC.         COMMON     832248108      100     3800 SH    -  DEFINED 01                0        0     3800
D SMITHFIELD FOODS, INC.         COMMON     832248108      155     5900 SH    -  DEFINED 02             5900        0        0
D SMITHKLINE BEECHAM PLC ORD. A  COMMON     832378301      686    10000 SH    -  DEFINED 02            10000        0        0
D SMITHKLINE BEECHAM PLC ORD. A  COMMON     832378301    25877   377074 SH    -  DEFINED 01            25444      200   351430
D SMITHKLINE BEECHAM PLC ORD. A  COMMON     832378301     3495    50925 SH    -  OTHER   01            46125     4800        0
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101    68936  5744660 SH    -  DEFINED 02          4422077        0  1322583
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101        8      665 SH    -  DEFINED 05              665        0        0
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101       74     6183 SH    -  OTHER   02                0        0     6183
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101       48     4000 SH    -  OTHER   21                0     4000        0
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101      443    36909 SH    -  DEFINED 01            29920        0     6989
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101        6      500 SH    -  OTHER   01              500        0        0
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101    21299  1774951 SH    -  DEFINED 02          1408019        0   366932
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101       19     1600 SH    -  OTHER   02             1600        0        0
D SMURFIT-STONE CONTAINER CORP   COMMON     832727101      170    14200 SH    -  DEFINED 20            14200        0        0
D SNAP-ON TOOLS CORP.            COMMON     833034101       16      700 SH    -  DEFINED 17              700        0        0
D SNAP-ON TOOLS CORP.            COMMON     833034101     2375   100800 SH    -  DEFINED 06           100800        0        0
D SNAP-ON TOOLS CORP.            COMMON     833034101      417    17700 SH    -  DEFINED 02            17700        0        0
D SOFTWARE COM INC               COMMON     83402P104     1379     7600 SH    -  DEFINED 02                0        0     7600
D SOFTWARE COM INC               COMMON     83402P104     2694    14847 SH    -  DEFINED 16            14847        0        0
D SOFTWARE COM INC               COMMON     83402P104     5062    27900 SH    -  DEFINED 02            27900        0        0
D SOFTWARE COM INC               COMMON     83402P104     2420    13337 SH    -  DEFINED 01            11137        0     2200
D SOFTWARE TECHNOLOGIES CORP     COMMON     834040107     5089   222325 SH    -  DEFINED 01           134550        0    87775
D SOFTWARE TECHNOLOGIES CORP     COMMON     834040107     1792    78300 SH    -  DEFINED 02            78300        0        0
D SOFTWARE TECHNOLOGIES CORP     COMMON     834040107       64     2775 SH    -  DEFINED 05                0        0     2775
D SOFTWARE TECHNOLOGIES CORP     COMMON     834040107     4651   203175 SH    -  DEFINED 02           169175        0    34000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 272
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SOLECTRON CORP  'CONV BOND'    BOND       834182AK3        0 23864000 PRN   -  DEFINED 16                0        0        0
D SOLECTRON CORP.                COMMON     834182107       23      500 SH    -  DEFINED 05              500        0        0
D SOLECTRON CORP.                COMMON     834182107    14945   324000 SH    -  DEFINED 02           258500        0    65500
D SOLECTRON CORP.                COMMON     834182107      171     3700 SH    -  OTHER   02                0        0     3700
D SOLECTRON CORP.                COMMON     834182107      208     4500 SH    -  DEFINED 20             4500        0        0
D SOLECTRON CORP.                COMMON     834182107     2186    47400 SH    -  DEFINED 17            47400        0        0
D SOLECTRON CORP.                COMMON     834182107     3532    76570 SH    -  DEFINED 01             4570        0    72000
D SOLECTRON CORP.                COMMON     834182107     2463    53400 SH    -  OTHER   01            10000        0    43400
D SOLECTRON CORP.                COMMON     834182107       18      400 SH    -  OTHER   21                0      400        0
D SOLUTIA INC.                   COMMON     834376105       62     5444 SH    -  DEFINED 01             5000        0      444
D SOLUTIA INC.                   COMMON     834376105       58     5100 SH    -  DEFINED 02             5100        0        0
D SOLUTIA INC.                   COMMON     834376105      787    69200 SH    -  DEFINED 02            64300        0     4900
D SOLUTIA INC.                   COMMON     834376105      531    46700 SH    -  DEFINED 16            46700        0        0
D SONERA OYJ                     COMMON     835433202     1908    73200 SH    -  DEFINED 16            73200        0        0
D SONERA OYJ                     COMMON     835433202        2       75 SH    -  DEFINED 01               75        0        0
D SONIC AUTOMOTIVE, INC.         COMMON     83545G102      990   119100 SH    -  DEFINED 02           119100        0        0
D SONIC AUTOMOTIVE, INC.         COMMON     83545G102        0        3 SH    -  DEFINED 16                3        0        0
D SONIC AUTOMOTIVE, INC.         COMMON     83545G102      262    31550 SH    -  DEFINED 02            31550        0        0
D SONIC CORP.                    COMMON     835451105      702    22300 SH    -  DEFINED 02            22300        0        0
D SONIC CORP.                    COMMON     835451105      412    13075 SH    -  DEFINED 01                0        0    13075
D SONICWALL INC                  COMMON     835470105       22     1000 SH    -  DEFINED 01                0        0     1000
D SONICWALL INC                  COMMON     835470105      616    21600 SH    -  DEFINED 02            21600        0        0
D SONICWALL INC                  COMMON     835470105      197     6900 SH    -  DEFINED 02              500        0     6400
D SONICWALL INC                  COMMON     835470105        4      127 SH    -  DEFINED 16              127        0        0
D SONY CORP. AMERICAN SHARES     COMMON     835699307    10598   105000 SH    -  DEFINED 18           105000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 273
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SONY CORP. AMERICAN SHARES     COMMON     835699307       38      380 SH    -  DEFINED 01                0        0      380
D SONUS NETWORKS INC             COMMON     835916107      246     1950 SH    -  DEFINED 01                0        0     1950
D SOURCE INFORMATION MGMT CO     COMMON     836151209     1985   291300 SH    -  DEFINED 01           291300        0        0
D SOURCE INFORMATION MGMT CO     COMMON     836151209      662    97200 SH    -  DEFINED 02            97200        0        0
D SOURCE INFORMATION MGMT CO     COMMON     836151209     1664   244200 SH    -  DEFINED 02           204500        0    39700
D SOURCE MEDIA INC               COMMON     836153304       82    15200 SH    -  DEFINED 01                0        0    15200
D SOUTHDOWN, INC.                COMMON     841297104     2116    29692 SH    -  DEFINED 01                0        0    29692
D SOUTHDOWN, INC.                COMMON     841297104     5757    80800 SH    -  DEFINED 02            80800        0        0
D SOUTHDOWN, INC.                COMMON     841297104     2494    35000 SH    -  DEFINED 16            35000        0        0
D SOUTHERN CO.                   COMMON     842587107     1716    52900 SH    -  DEFINED 05            13900        0    39000
D SOUTHERN CO.                   COMMON     842587107       84     2600 SH    -  DEFINED 02             2600        0        0
D SOUTHERN CO.                   COMMON     842587107      250     7700 SH    -  DEFINED 17             7700        0        0
D SOUTHERN CO.                   COMMON     842587107     2299    70875 SH    -  DEFINED 01            59475     4700     6700
D SOUTHERN CO.                   COMMON     842587107     1068    32929 SH    -  OTHER   01                0    23329     9600
D SOUTHERN PERU COPPER CORP.     COMMON     843611104      369    23800 SH    -  DEFINED 01                0        0    23800
D SOUTHERN PERU COPPER CORP.     COMMON     843611104      136     8800 SH    -  DEFINED 17             8800        0        0
D SOUTHTRUST CORP.               COMMON     844730101       63     2000 SH    -  DEFINED 17             2000        0        0
D SOUTHTRUST CORP.               COMMON     844730101    28455   905100 SH    -  DEFINED 02           653300        0   251800
D SOUTHTRUST CORP.               COMMON     844730101       31     1000 SH    -  OTHER   02             1000        0        0
D SOUTHTRUST CORP.               COMMON     844730101      336    10700 SH    -  DEFINED 20            10700        0        0
D SOUTHTRUST CORP.               COMMON     844730101     5015   159510 SH    -  DEFINED 01           133750        0    25760
D SOUTHTRUST CORP.               COMMON     844730101      945    30050 SH    -  OTHER   01              800    29250        0
D SOUTHTRUST CORP.               COMMON     844730101      242     7700 SH    -  OTHER   21                0     7700        0
D SOUTHTRUST CORP.               COMMON     844730101    82469  2623230 SH    -  DEFINED 02          1962630        0   660600
D SOUTHTRUST CORP.               COMMON     844730101      154     4900 SH    -  OTHER   02                0        0     4900
D SOUTHTRUST CORP.               COMMON     844730101       41     1300 SH    -  DEFINED 05             1300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 274
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SOUTHTRUST CORP.               COMMON     844730101     1163    37000 SH    -  OTHER   0304          37000        0        0
D SOUTHWEST AIRLINES CO.         COMMON     844741108       17      700 SH    -  DEFINED 05              700        0        0
D SOUTHWEST AIRLINES CO.         COMMON     844741108    35419  1460580 SH    -  DEFINED 02           792080        0   668500
D SOUTHWEST AIRLINES CO.         COMMON     844741108       90     3700 SH    -  OTHER   02                0        0     3700
D SOUTHWEST AIRLINES CO.         COMMON     844741108      124     5100 SH    -  OTHER   21                0     5100        0
D SOUTHWEST AIRLINES CO.         COMMON     844741108     2447   100900 SH    -  DEFINED 01            76550        0    24350
D SOUTHWEST AIRLINES CO.         COMMON     844741108       12      500 SH    -  OTHER   01              500        0        0
D SOUTHWEST AIRLINES CO.         COMMON     844741108      393    16200 SH    -  DEFINED 20            16200        0        0
D SOUTHWEST AIRLINES CO.         COMMON     844741108    16953   699100 SH    -  DEFINED 02           390200        0   308900
D SOUTHWEST AIRLINES CO.         COMMON     844741108      143     5900 SH    -  DEFINED 17             5900        0        0
D SOUTHWEST GAS CORP.            COMMON     844895102      415    19800 SH    -  DEFINED 01             3000        0    16800
D SOUTHWEST SECURITIES GROUP, IN COMMON     845224104     5078   173613 SH    -  DEFINED 01           106106        0    67507
D SOUTHWEST SECURITIES GROUP, IN COMMON     845224104     1491    50980 SH    -  DEFINED 02            50980        0        0
D SOUTHWEST SECURITIES GROUP, IN COMMON     845224104     4805   164274 SH    -  DEFINED 02           137052        0    27222
D SOUTHWEST SECURITIES GROUP, IN COMMON     845224104       61     2070 SH    -  DEFINED 05                0        0     2070
D SOUTHWEST SECURITIES GROUP, IN COMMON     845224104        0        3 SH    -  DEFINED 16                3        0        0
D SOUTHWESTERN ENERGY CO.        COMMON     845467109     2182   249400 SH    -  DEFINED 02           179700        0    69700
D SOUTHWESTERN ENERGY CO.        COMMON     845467109      532    60800 SH    -  DEFINED 02            60800        0        0
D SOVEREIGN BANCORP, INC.        COMMON     845905108     1088   117600 SH    -  DEFINED 02             2700        0   114900
D SOVEREIGN BANCORP, INC.        COMMON     845905108      255    27520 SH    -  DEFINED 01            27520        0        0
D SOVEREIGN BANCORP, INC.        COMMON     845905108     2026   218994 SH    -  DEFINED 02           135294        0    83700
D SOVRAN SELF STORAGE, INC.      COMMON     84610H108      289    14100 SH    -  DEFINED 02            14100        0        0
D SPECTRASITE HLDGS INC          COMMON     84760T100      347    18700 SH    -  DEFINED 02                0        0    18700
D SPECTRASITE HLDGS INC          COMMON     84760T100        1       30 SH    -  DEFINED 01               30        0        0
D SPHERION CORP                  COMMON     848420105      778    65200 SH    -  DEFINED 02            65200        0        0
D SPHERION CORP                  COMMON     848420105      156    13100 SH    -  DEFINED 02            13100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 275
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SPIEGEL, INC. CL. "A"          COMMON     848457107      113    16100 SH    -  DEFINED 01                0        0    16100
D SPIEKER PROPERTIES, INC.       COMMON     848497103     6194   107600 SH    -  DEFINED 02           107600        0        0
D SPIEKER PROPERTIES, INC.       COMMON     848497103    10448   181500 SH    -  DEFINED 02           181500        0        0
D SPINNAKER EXPL CO              COMMON     84855W109    12760   365875 SH    -  DEFINED 02           315125        0    50750
D SPINNAKER EXPL CO              COMMON     84855W109      255     7300 SH    -  DEFINED 05                0        0     7300
D SPINNAKER EXPL CO              COMMON     84855W109     6103   175000 SH    -  DEFINED 02           175000        0        0
D SPINNAKER EXPL CO              COMMON     84855W109    20482   587305 SH    -  DEFINED 01           351205        0   236100
D SPRINGS INDUSTRIES, INC.       COMMON     851783100       28     1000 SH    -  DEFINED 01                0        0     1000
D SPRINGS INDUSTRIES, INC.       COMMON     851783100     2540    90100 SH    -  DEFINED 02            90100        0        0
D SPRINGS INDUSTRIES, INC.       COMMON     851783100      149     5300 SH    -  DEFINED 20             5300        0        0
D SPRINGS INDUSTRIES, INC.       COMMON     851783100        6      200 SH    -  DEFINED 17              200        0        0
D SPRINGS INDUSTRIES, INC.       COMMON     851783100     1559    55300 SH    -  DEFINED 02            50000        0     5300
D SPRINT CORP.                   COMMON     852061100       64     2200 SH    -  OTHER   02                0        0     2200
D SPRINT CORP.                   COMMON     852061100    16687   569268 SH    -  DEFINED 02           513720        0    55548
D SPRINT CORP.                   COMMON     852061100       23      800 SH    -  DEFINED 05              800        0        0
D SPRINT CORP.                   COMMON     852061100       35     1200 SH    -  OTHER   05                0     1200        0
D SPRINT CORP.                   COMMON     852061100     5485   199900 SH    -  DEFINED 16           199900        0        0
D SPRINT CORP.                   COMMON     852061100      325    11100 SH    -  DEFINED 20            11100        0        0
D SPRINT CORP.                   COMMON     852061100     7847   267700 SH    -  DEFINED 02           189200        0    78500
D SPRINT CORP.                   COMMON     852061100    10711   365403 SH    -  DEFINED 01           180814    56458   128131
D SPRINT CORP.                   COMMON     852061100     2907    99168 SH    -  OTHER   01            45524    44344     9300
D SPRINT CORP.                   COMMON     852061100       64     2200 SH    -  OTHER   21                0     2200        0
D SPRINT CORP                    COMMON     852061506      102     2900 SH    -  OTHER   21                0     2900        0
D SPRINT CORP                    COMMON     852061506    15623   445576 SH    -  DEFINED 01           267403    27228   149945
D SPRINT CORP                    COMMON     852061506     2026    57794 SH    -  OTHER   01            25162    28782     3850

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 276
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SPRINT CORP                    COMMON     852061506    56378  1607900 SH    -  DEFINED 02           951000        0   656900
D SPRINT CORP                    COMMON     852061506      757    21600 SH    -  DEFINED 20            21600        0        0
D SPRINT CORP                    COMMON     852061506      899    24800 SH    -  DEFINED 16            24800        0        0
D SPRINT CORP                    COMMON     852061506      529    15100 SH    -  OTHER   09            15100        0        0
D SPRINT CORP                    COMMON     852061506       63     1800 SH    -  DEFINED 05             1800        0        0
D SPRINT CORP                    COMMON     852061506       21      600 SH    -  OTHER   05                0      600        0
D SPRINT CORP                    COMMON     852061506    97899  2792084 SH    -  DEFINED 02          1609760        0  1182324
D SPRINT CORP                    COMMON     852061506      284     8100 SH    -  OTHER   02                0        0     8100
D STAAR SURGICAL CO.             COMMON     852312305     4756   274700 SH    -  DEFINED 02           230900        0    43800
D STAAR SURGICAL CO.             COMMON     852312305       42     2425 SH    -  DEFINED 05                0        0     2425
D STAAR SURGICAL CO.             COMMON     852312305     1939   112000 SH    -  DEFINED 02           112000        0        0
D STAAR SURGICAL CO.             COMMON     852312305     4619   266775 SH    -  DEFINED 01           183700        0    83075
D STANCORP FINL GROUP INC        COMMON     852891100     3458    80900 SH    -  DEFINED 01            80900        0        0
D STANCORP FINL GROUP INC        COMMON     852891100     2138    50000 SH    -  DEFINED 02            50000        0        0
D STANCORP FINL GROUP INC        COMMON     852891100     5865   137200 SH    -  DEFINED 02           118900        0    18300
D STANDARD PACIFIC CORP.         COMMON     85375C101      781    43400 SH    -  DEFINED 02            43400        0        0
D STANDARD PACIFIC CORP.         COMMON     85375C101     1125    62500 SH    -  DEFINED 02            62500        0        0
D STANDARD PACIFIC CORP.         COMMON     85375C101      331    18400 SH    -  DEFINED 01                0        0    18400
D STANDEX INTERNATIONAL CORP.    COMMON     854231107      286    14800 SH    -  DEFINED 01                0        0    14800
D STANDEX INTERNATIONAL CORP.    COMMON     854231107      440    22800 SH    -  DEFINED 02                0        0    22800
D STANLEY FURNITURE COMPANY, INC COMMON     854305208     6877   283600 SH    -  DEFINED 02           233600        0    50000
D STANLEY FURNITURE COMPANY, INC COMMON     854305208     3982   164200 SH    -  DEFINED 02           164200        0        0
D STANLEY WORKS                  COMMON     854616109      768    33300 SH    -  DEFINED 02            33300        0        0
D STANLEY WORKS                  COMMON     854616109       25     1100 SH    -  DEFINED 17             1100        0        0
D STANLEY WORKS                  COMMON     854616109       29     1250 SH    -  DEFINED 01                0        0     1250

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 277
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D STANLEY WORKS                  COMMON     854616109      101     4400 SH    -  OTHER   01                0        0     4400
D STAPLES, INC.                  COMMON     855030102     1764   124303 SH    -  DEFINED 01            32076        0    92227
D STAPLES, INC.                  COMMON     855030102     3082   217200 SH    -  DEFINED 17           217200        0        0
D STAPLES, INC.                  COMMON     855030102       71     5000 SH    -  DEFINED 05                0        0     5000
D STAPLES, INC.                  COMMON     855030102      210    14947 SH    -  DEFINED 16            14947        0        0
D STARBUCKS CORP.                COMMON     855244109       11      274 SH    -  DEFINED 16              274        0        0
D STARBUCKS CORP.                COMMON     855244109     2780    69400 SH    -  DEFINED 01            69400        0        0
D STARMEDIA NETWORK INC          COMMON     855546107       12     1760 SH    -  DEFINED 01               60        0     1700
D STARMEDIA NETWORK INC          COMMON     855546107       64     8500 SH    -  DEFINED 17             8500        0        0
D STARMEDIA NETWORK INC          COMMON     855546107      150    20000 SH    -  DEFINED 18            20000        0        0
D STARTEK INC                    COMMON     85569C107      563    19400 SH    -  DEFINED 02            19400        0        0
D STARTEK INC                    COMMON     85569C107       96     3300 SH    -  DEFINED 20             3300        0        0
D STARTEK INC                    COMMON     85569C107        0        2 SH    -  DEFINED 16                2        0        0
D STARTEK INC                    COMMON     85569C107     1247    43000 SH    -  DEFINED 02              500        0    42500
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203    63502  2032072 SH    -  DEFINED 02          1423272        0   608800
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203      266     8500 SH    -  OTHER   02                0        0     8500
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203       19      600 SH    -  DEFINED 05              600        0        0
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203      213     6800 SH    -  DEFINED 20             6800        0        0
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203    29241   935700 SH    -  DEFINED 02           840200        0    95500
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203       41     1300 SH    -  OTHER   02             1300        0        0
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203     3173   101525 SH    -  DEFINED 01            84500      224    16801
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203       53     1690 SH    -  OTHER   01              600      390      700
D STARWOOD HOTELS&RESORTS WRLD   COMMON     85590A203      144     4600 SH    -  OTHER   21                0     4600        0
D STATE STR CORP                 COMMON     857477103     4305    33119 SH    -  DEFINED 01            11619        0    21500
D STATE STR CORP                 COMMON     857477103    12246    94200 SH    -  OTHER   01            23700    38000    32500
D STATE STR CORP                 COMMON     857477103      247     1900 SH    -  DEFINED 17             1900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 278
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D STATE STR CORP                 COMMON     857477103     1134     8723 SH    -  DEFINED 05             8723        0        0
D STATION CASINOS, INC.          COMMON     857689103     4009   281300 SH    -  DEFINED 02           235900        0    45400
D STATION CASINOS, INC.          COMMON     857689103     1773   124400 SH    -  DEFINED 02           124400        0        0
D STATION CASINOS, INC.          COMMON     857689103     3007   211000 SH    -  DEFINED 01           197500        0    13500
D STEEL DYNAMICS, INC.           COMMON     858119100      200    21800 SH    -  DEFINED 01                0        0    21800
D STEEL TECHNOLOGIES, INC.       COMMON     858147101       27     4200 SH    -  DEFINED 01                0        0     4200
D STEEL TECHNOLOGIES, INC.       COMMON     858147101      984   155800 SH    -  DEFINED 02           155800        0        0
D STEELCASE INC.                 COMMON     858155203     1114    66500 SH    -  DEFINED 02            66500        0        0
D STEPAN COMPANY                 COMMON     858586100       10      500 SH    -  DEFINED 01                0        0      500
D STEPAN COMPANY                 COMMON     858586100      201    10000 SH    -  OTHER   01                0    10000        0
D STERLING BANCSHARES, INC.      COMMON     858907108     3122   204700 SH    -  DEFINED 01           204700        0        0
D STERLING BANCSHARES, INC.      COMMON     858907108     1279    83900 SH    -  DEFINED 02            83900        0        0
D STERLING BANCSHARES, INC.      COMMON     858907108     1443    94600 SH    -  DEFINED 02            83900        0    10700
D STERLING BANCSHARES, INC.      COMMON     858907108        0        3 SH    -  DEFINED 16                3        0        0
D STERIS CORP.                   COMMON     859152100      418    34800 SH    -  DEFINED 02            34800        0        0
D STERIS CORP.                   COMMON     859152100      120    10000 SH    -  DEFINED 01                0        0    10000
D STET HELLAS TELECOMMUNICATIONS COMMON     859823106      755    50514 SH    -  DEFINED 16            50514        0        0
D STEWART & STEVENSON SERVICES,  COMMON     860342104      616    35300 SH    -  DEFINED 02            35300        0        0
D STEWART ENTERPRISES, INC. CL.  COMMON     860370105       37    18900 SH    -  DEFINED 01                0        0    18900
D STEWART ENTERPRISES, INC. CL.  COMMON     860370105        0      111 SH    -  DEFINED 16              111        0        0
D STEWART ENTERPRISES, INC. CL.  COMMON     860370105       19    10000 SH    -  DEFINED 05                0        0    10000
D STEWART INFORMATION SERVICES C COMMON     860372101      194    12600 SH    -  DEFINED 01                0        0    12600
D STILLWATER MINING CO.          COMMON     86074Q102      498    18400 SH    -  DEFINED 01                0        0    18400
D STILLWATER MINING CO.          COMMON     86074Q102      165     6100 SH    -  DEFINED 20             6100        0        0
D STILLWATER MINING CO.          COMMON     86074Q102      217     8000 SH    -  DEFINED 02              100        0     7900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 279
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D STONERIDGE INC                 COMMON     86183P102       90     9300 SH    -  DEFINED 02             9300        0        0
D STONERIDGE INC                 COMMON     86183P102      110    11400 SH    -  DEFINED 01                0        0    11400
D STONERIDGE INC                 COMMON     86183P102       61     6300 SH    -  DEFINED 02             6300        0        0
D STRUCTURAL DYNAMICS RESEARCH C COMMON     863555108      177    10800 SH    -  DEFINED 01                0        0    10800
D STRYKER CORP.                  COMMON     863667101     5966   138950 SH    -  DEFINED 01           120900        0    18050
D STRYKER CORP.                  COMMON     863667101      301     7000 SH    -  DEFINED 06             7000        0        0
D STRYKER CORP.                  COMMON     863667101       86     2000 SH    -  DEFINED 16             2000        0        0
D STURM RUGER & CO., INC.        COMMON     864159108      332    40600 SH    -  DEFINED 02            40600        0        0
D SUIZA FOODS CORP.              COMMON     865077101     4014    79200 SH    -  DEFINED 02             5300        0    73900
D SUIZA FOODS CORP.              COMMON     865077101      304     6000 SH    -  DEFINED 16             6000        0        0
D SUIZA FOODS CORP.              COMMON     865077101     2955    58300 SH    -  DEFINED 02            58300        0        0
D SUIZA FOODS CORP.              COMMON     865077101      182     3600 SH    -  DEFINED 20             3600        0        0
D SUIZA FOODS CORP.              COMMON     865077101      358     7055 SH    -  DEFINED 01                0        0     7055
D SUMMIT BANCORP                 COMMON     866005101     7115   206242 SH    -  DEFINED 01           177012        0    29230
D SUMMIT BANCORP                 COMMON     866005101       24      700 SH    -  OTHER   01              700        0        0
D SUMMIT BANCORP                 COMMON     866005101      279     8100 SH    -  OTHER   21                0     8100        0
D SUMMIT BANCORP                 COMMON     866005101      473    13700 SH    -  DEFINED 20            13700        0        0
D SUMMIT BANCORP                 COMMON     866005101    26072   755700 SH    -  DEFINED 02           624900        0   130800
D SUMMIT BANCORP                 COMMON     866005101       35     1000 SH    -  OTHER   02             1000        0        0
D SUMMIT BANCORP                 COMMON     866005101       72     2100 SH    -  DEFINED 17             2100        0        0
D SUMMIT BANCORP                 COMMON     866005101       41     1200 SH    -  DEFINED 05             1200        0        0
D SUMMIT BANCORP                 COMMON     866005101    79054  2291410 SH    -  DEFINED 02          1638810        0   652600
D SUMMIT BANCORP                 COMMON     866005101      210     6100 SH    -  OTHER   02                0        0     6100
D SUMMIT BANCSHARES INC TEX      COMMON     866011109     2158   120700 SH    -  DEFINED 02           117200        0     3500
D SUMMIT BANCSHARES INC TEX      COMMON     866011109      947    53000 SH    -  DEFINED 02            53000        0        0
D SUMMIT BANCSHARES INC TEX      COMMON     866011109       34     1900 SH    -  DEFINED 01             1900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 280
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SUMMIT PROPERTIES, INC.        COMMON     866239106     5450   226500 SH    -  DEFINED 02           226500        0        0
D SUMMIT PROPERTIES, INC.        COMMON     866239106     7159   297500 SH    -  DEFINED 02           297500        0        0
D SUN BANCORP, INC.              COMMON     86663B102     2148   214828 SH    -  DEFINED 02           182839        0    31989
D SUN BANCORP, INC.              COMMON     86663B102      818    81823 SH    -  DEFINED 02            81823        0        0
D SUN BANCORP, INC.              COMMON     86663B102        1      100 SH    -  DEFINED 01              100        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104   561469  4809159 SH    -  DEFINED 01          2572101    41074  2172822
D SUN MICROSYSTEMS, INC.         COMMON     866810104   174977  1498733 SH    -  OTHER   01           598507   686776   213450
D SUN MICROSYSTEMS, INC.         COMMON     866810104      163     1400 SH    -  OTHER   21                0     1400        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104   467145  4001245 SH    -  DEFINED 02          2913400        0  1087845
D SUN MICROSYSTEMS, INC.         COMMON     866810104      864     7400 SH    -  OTHER   02             7400        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104    21972   188200 SH    -  DEFINED 20           188200        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     1174    10055 SH    -  DEFINED 17            10055        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     3176    27200 SH    -  DEFINED 18            27200        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104  1357364 11626248 SH    -  DEFINED 02          8365720        0  3260528
D SUN MICROSYSTEMS, INC.         COMMON     866810104     2230    19100 SH    -  OTHER   02                0        0    19100
D SUN MICROSYSTEMS, INC.         COMMON     866810104    46438   397754 SH    -  DEFINED 05           183072     6350   208332
D SUN MICROSYSTEMS, INC.         COMMON     866810104       47      400 SH    -  OTHER   05                0      400        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104       14      121 SH    -  DEFINED 16              121        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     7192    61600 SH    -  OTHER   09            61600        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     7005    60000 SH    -  OTHER   0304          60000        0        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     1401    12000 SH    -  OTHER   11                0    12000        0
D SUN MICROSYSTEMS, INC.         COMMON     866810104     1401    12000 SH    -  OTHER   10                0    12000        0
D SUNGARD DATA SYSTEMS, INC.     COMMON     867363103     1627    38000 SH    -  DEFINED 01                0        0    38000
D SUNOCO INC                     COMMON     86764P109     1498    55600 SH    -  DEFINED 01            28100    27500        0
D SUNOCO INC                     COMMON     86764P109      171     6356 SH    -  OTHER   01                0        0     6356
D SUNOCO INC                     COMMON     86764P109     7324   271900 SH    -  DEFINED 18           271900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 281
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SUNOCO INC                     COMMON     86764P109      485    18000 SH    -  DEFINED 06            18000        0        0
D SUNOCO INC                     COMMON     86764P109     1702    63200 SH    -  DEFINED 17            63200        0        0
D SUNOCO INC                     COMMON     86764P109      593    22000 SH    -  DEFINED 02            22000        0        0
D SUNQUEST INFORMATION SYS INC   COMMON     867654105      178    13100 SH    -  DEFINED 01                0        0    13100
D SUNRISE ASSISTED LIVING INC    BOND       86768KAC0        0  3000000 PRN   -  DEFINED 16                0        0        0
D SUNRISE ASSISTED LIVING, INC.  COMMON     86768K106        0       17 SH    -  DEFINED 16               17        0        0
D SUNRISE ASSISTED LIVING, INC.  COMMON     86768K106       85     3900 SH    -  DEFINED 02             3900        0        0
D SUNRISE ASSISTED LIVING, INC.  COMMON     86768K106      132     6100 SH    -  DEFINED 01                0        0     6100
D SUNRISE ASSISTED LIVING, INC.  COMMON     86768K106      657    30300 SH    -  DEFINED 02            30300        0        0
D SUNRISE TELECOM INC            COMMON     86769Y105     1377    47800 SH    -  DEFINED 02            47800        0        0
D SUNRISE TELECOM INC            COMMON     86769Y105     4556   158125 SH    -  DEFINED 01            90730        0    67395
D SUNRISE TELECOM INC            COMMON     86769Y105     3639   126290 SH    -  DEFINED 02           106085        0    20205
D SUNRISE TELECOM INC            COMMON     86769Y105       59     2040 SH    -  DEFINED 05                0        0     2040
D SUNTRUST BANKS, INC.           COMMON     867914103      748    15012 SH    -  DEFINED 02             9800        0     5212
D SUNTRUST BANKS, INC.           COMMON     867914103     3328    66816 SH    -  OTHER   01            20600    38884     7332
D SUNTRUST BANKS, INC.           COMMON     867914103     2444    49059 SH    -  DEFINED 01             8481    30720     9858
D SUNTRUST BANKS, INC.           COMMON     867914103      207     4150 SH    -  DEFINED 17             4150        0        0
D SUNTRUST BANKS, INC.           COMMON     867914103      498    10000 SH    -  DEFINED 06            10000        0        0
D SUPERGEN INC                   COMMON     868059106      326    17000 SH    -  DEFINED 01                0        0    17000
D SUPERIOR INDUSTRIES INT'L, INC COMMON     868168105      396    13200 SH    -  DEFINED 01                0        0    13200
D SUPERIOR TELECOM INC           COMMON     868365107       71    11800 SH    -  DEFINED 02            11800        0        0
D SUPERIOR TELECOM INC           COMMON     868365107       32     5300 SH    -  DEFINED 02             5300        0        0
D SUPERVALU, INC.                COMMON     868536103     1413    93800 SH    -  DEFINED 02            93800        0        0
D SUPERVALU, INC.                COMMON     868536103       24     1600 SH    -  DEFINED 17             1600        0        0
D SUPERVALU, INC.                COMMON     868536103      352    23379 SH    -  DEFINED 01             7600        0    15779
D SWIFT ENERGY COMPANY           COMMON     870738101      894    21498 SH    -  DEFINED 01                0        0    21498

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 282
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SWIFT ENERGY COMPANY           COMMON     870738101      474    11400 SH    -  DEFINED 20            11400        0        0
D SWIFT ENERGY COMPANY           COMMON     870738101     1068    25700 SH    -  DEFINED 02            14300        0    11400
D SWIFT TRANSPORTATION CO., INC. COMMON     870756103        0        3 SH    -  DEFINED 16                3        0        0
D SWIFT TRANSPORTATION CO., INC. COMMON     870756103      317    24300 SH    -  DEFINED 01                0        0    24300
D SYBASE, INC.                   COMMON     871130100      826    35900 SH    -  DEFINED 01                0        0    35900
D SYBASE, INC.                   COMMON     871130100       18      800 SH    -  DEFINED 20              800        0        0
D SYBASE, INC.                   COMMON     871130100     3236   140700 SH    -  DEFINED 02           140700        0        0
D SYBASE, INC.                   COMMON     871130100      973    42300 SH    -  DEFINED 02            41500        0      800
D SYBRON CORP.                   COMMON     87114F106      173     7200 SH    -  DEFINED 02             7200        0        0
D SYBRON CORP.                   COMMON     87114F106      259    10800 SH    -  DEFINED 01                0        0    10800
D SYCAMORE NETWORKS INC          COMMON     871206108     3853    35674 SH    -  DEFINED 01            27924        0     7750
D SYCAMORE NETWORKS INC          COMMON     871206108     1426    13200 SH    -  OTHER   01            13200        0        0
D SYCAMORE NETWORKS INC          COMMON     871206108       76      700 SH    -  DEFINED 20              700        0        0
D SYCAMORE NETWORKS INC          COMMON     871206108     2095    19400 SH    -  DEFINED 17            19400        0        0
D SYCAMORE NETWORKS INC          COMMON     871206108      540     5000 SH    -  DEFINED 06             5000        0        0
D SYCAMORE NETWORKS INC          COMMON     871206108     6890    63800 SH    -  DEFINED 02            34600        0    29200
D SYCAMORE NETWORKS INC          COMMON     871206108       76      700 SH    -  OTHER   02                0        0      700
D SYCAMORE NETWORKS INC          COMMON     871206108        2       15 SH    -  DEFINED 16               15        0        0
D SYCAMORE NETWORKS INC          COMMON     871206108      130     1200 SH    -  DEFINED 05             1200        0        0
D SYMANTEC CORP.                 COMMON     871503108       13      300 SH    -  DEFINED 05              300        0        0
D SYMANTEC CORP.                 COMMON     871503108    33718   766310 SH    -  DEFINED 02           554110        0   212200
D SYMANTEC CORP.                 COMMON     871503108      185     4200 SH    -  OTHER   02                0        0     4200
D SYMANTEC CORP.                 COMMON     871503108      246     5600 SH    -  DEFINED 20             5600        0        0
D SYMANTEC CORP.                 COMMON     871503108    11651   264800 SH    -  DEFINED 02           222700        0    42100
D SYMANTEC CORP.                 COMMON     871503108       18      400 SH    -  OTHER   02              400        0        0
D SYMANTEC CORP.                 COMMON     871503108     1815    41240 SH    -  DEFINED 01            29500        0    11740

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 283
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SYMANTEC CORP.                 COMMON     871503108        9      200 SH    -  OTHER   01              200        0        0
D SYMANTEC CORP.                 COMMON     871503108       31      700 SH    -  OTHER   21                0      700        0
D SYMBOL TECHNOLOGIES, INC.      COMMON     871508107      950    26424 SH    -  DEFINED 01            26424        0        0
D SYMBOL TECHNOLOGIES, INC.      COMMON     871508107      702    19543 SH    -  OTHER   01                0    19543        0
D SYMBOL TECHNOLOGIES, INC.      COMMON     871508107     2180    60650 SH    -  DEFINED 02            60650        0        0
D SYMBOL TECHNOLOGIES, INC.      COMMON     871508107      431    12000 SH    -  DEFINED 06            12000        0        0
D SYMBOL TECHNOLOGIES, INC.      COMMON     871508107      199     5550 SH    -  DEFINED 02                0        0     5550
D SYMMETRICOM, INC.              COMMON     871543104       27     1750 SH    -  DEFINED 02             1750        0        0
D SYMMETRICOM, INC.              COMMON     871543104     1309    83800 SH    -  DEFINED 02            83800        0        0
D SYMMETRICOM, INC.              COMMON     871543104      248    15900 SH    -  DEFINED 01                0        0    15900
D SYMYX TECHNOLOGIES             COMMON     87155S108    23572   543457 SH    -  DEFINED 01           113460        0   429997
D SYMYX TECHNOLOGIES             COMMON     87155S108     3578    82500 SH    -  DEFINED 02            82500        0        0
D SYMYX TECHNOLOGIES             COMMON     87155S108    10435   240575 SH    -  DEFINED 02           204525        0    36050
D SYMYX TECHNOLOGIES             COMMON     87155S108      105     2425 SH    -  DEFINED 05                0        0     2425
D SYMYX TECHNOLOGIES             COMMON     87155S108        1       17 SH    -  DEFINED 16               17        0        0
D SYNAVANT INC                   COMMON     87157A105        3      500 SH    -  OTHER   10                0      500        0
D SYNAVANT INC                   COMMON     87157A105        3      500 SH    -  OTHER   11                0      500        0
D SYNAVANT INC                   COMMON     87157A105        1      200 SH    -  OTHER   05                0        0      200
D SYNAVANT INC                   COMMON     87157A105       12     1735 SH    -  DEFINED 02                0        0     1735
D SYNAVANT INC                   COMMON     87157A105       34     5082 SH    -  DEFINED 01             4866        0      216
D SYNAVANT INC                   COMMON     87157A105       16     2324 SH    -  OTHER   01              400     1330      594
D SYNCOR INTERNATIONAL CORP.     COMMON     87157J106      493    13400 SH    -  DEFINED 02            13400        0        0
D SYNCOR INTERNATIONAL CORP.     COMMON     87157J106       11      300 SH    -  DEFINED 02              300        0        0
D SYNCOR INTERNATIONAL CORP.     COMMON     87157J106        0        2 SH    -  DEFINED 16                2        0        0
D SYNQUEST INC                   COMMON     87160X100       25     1879 SH    -  DEFINED 16             1879        0        0
D SYNQUEST INC                   COMMON     87160X100       62     4750 SH    -  DEFINED 05                0        0     4750

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 284
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D SYNQUEST INC                   COMMON     87160X100     4364   332500 SH    -  DEFINED 02           279300        0    53200
D SYNQUEST INC                   COMMON     87160X100     1688   128600 SH    -  DEFINED 02           128600        0        0
D SYNQUEST INC                   COMMON     87160X100     5001   380475 SH    -  DEFINED 01           221600        0   158875
D SYNOPSYS, INC.                 COMMON     871607107     2151    56800 SH    -  DEFINED 02            56800        0        0
D SYNOPSYS, INC.                 COMMON     871607107      341     9000 SH    -  OTHER   10                0     9000        0
D SYNOPSYS, INC.                 COMMON     871607107      341     9000 SH    -  OTHER   11                0     9000        0
D SYNOVUS FINANCIAL CORP.        COMMON     87161C105       72     3400 SH    -  DEFINED 17             3400        0        0
D SYNOVUS FINANCIAL CORP.        COMMON     87161C105     1802    85059 SH    -  DEFINED 01                0        0    85059
D SYNTROLEUM CORP                COMMON     871630109       92     4500 SH    -  DEFINED 01                0        0     4500
D SYNTROLEUM CORP                COMMON     871630109      133     6513 SH    -  DEFINED 16             6513        0        0
D SYSCO CORP.                    COMMON     871829107      222     4800 SH    -  OTHER   05                0        0     4800
D SYSCO CORP.                    COMMON     871829107     3790    81842 SH    -  DEFINED 02            57142        0    24700
D SYSCO CORP.                    COMMON     871829107     3098    66895 SH    -  DEFINED 01            64110        0     2785
D SYSCO CORP.                    COMMON     871829107      408     8808 SH    -  OTHER   01                0     8200      608
D SYSTEMAX INC                   COMMON     871851101       94    34100 SH    -  DEFINED 02            34100        0        0
D SYSTEMAX INC                   COMMON     871851101       61    22300 SH    -  DEFINED 01                0        0    22300
D SYSTEMAX INC                   COMMON     871851101       63    22900 SH    -  DEFINED 02            22900        0        0
D SYSTEMONE TECHNOLOGIES INC     COMMON     87187Q104       79    31700 SH    -  DEFINED 02            31700        0        0
D SYSTEMS & COMPUTER TECHNOLOGY  COMMON     871873105      580    33000 SH    -  DEFINED 02            33000        0        0
D SYSTEMS & COMPUTER TECHNOLOGY  COMMON     871873105       28     1600 SH    -  DEFINED 01                0        0     1600
D SYSTEMS & COMPUTER TECHNOLOGY  COMMON     871873105       16      900 SH    -  DEFINED 02              900        0        0
D SYSTEMS & COMPUTER TECHNOLOGY  COMMON     871873105        0        4 SH    -  DEFINED 16                4        0        0
D TCF FINANCIAL CORP.            COMMON     872275102        4      100 SH    -  DEFINED 05              100        0        0
D TCF FINANCIAL CORP.            COMMON     872275102    35938   955164 SH    -  DEFINED 02           717864        0   237300
D TCF FINANCIAL CORP.            COMMON     872275102      177     4700 SH    -  OTHER   02                0        0     4700

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 285
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TCF FINANCIAL CORP.            COMMON     872275102     1376    36560 SH    -  DEFINED 01             3000        0    33560
D TCF FINANCIAL CORP.            COMMON     872275102      256     6800 SH    -  OTHER   21                0     6800        0
D TCF FINANCIAL CORP.            COMMON     872275102    10415   276800 SH    -  DEFINED 02           223100        0    53700
D TCF FINANCIAL CORP.            COMMON     872275102       19      500 SH    -  OTHER   02              500        0        0
D TCF FINANCIAL CORP.            COMMON     872275102      124     3300 SH    -  DEFINED 20             3300        0        0
D TD WATERHOUSE GRP INC          COMMON     872362108      255    13700 SH    -  DEFINED 20            13700        0        0
D TD WATERHOUSE GRP INC          COMMON     872362108    35071  1883000 SH    -  DEFINED 02          1443300        0   439700
D TD WATERHOUSE GRP INC          COMMON     872362108       45     2400 SH    -  OTHER   02             2400        0        0
D TD WATERHOUSE GRP INC          COMMON     872362108       86     4600 SH    -  OTHER   21                0     4600        0
D TD WATERHOUSE GRP INC          COMMON     872362108     1941   104230 SH    -  DEFINED 01            82700        0    21530
D TD WATERHOUSE GRP INC          COMMON     872362108        7      400 SH    -  OTHER   01              400        0        0
D TD WATERHOUSE GRP INC          COMMON     872362108    78448  4211970 SH    -  DEFINED 02          2917370        0  1294600
D TD WATERHOUSE GRP INC          COMMON     872362108      149     8000 SH    -  OTHER   02                0        0     8000
D TD WATERHOUSE GRP INC          COMMON     872362108       26     1400 SH    -  DEFINED 05             1400        0        0
D TECO ENERGY, INC.              COMMON     872375100     2749    95600 SH    -  DEFINED 02            19500        0    76100
D TECO ENERGY, INC.              COMMON     872375100      517    17992 SH    -  DEFINED 01            13720        0     4272
D TECO ENERGY, INC.              COMMON     872375100      322    11200 SH    -  OTHER   01                0    11200        0
D TECO ENERGY, INC.              COMMON     872375100     2579    89700 SH    -  DEFINED 02            89700        0        0
D TECO ENERGY, INC.              COMMON     872375100      198     6900 SH    -  DEFINED 20             6900        0        0
D TJX COMPANIES, INC.            COMMON     872540109      923    41000 SH    -  DEFINED 20            41000        0        0
D TJX COMPANIES, INC.            COMMON     872540109    71305  3169100 SH    -  DEFINED 02          2293200        0   875900
D TJX COMPANIES, INC.            COMMON     872540109       65     2900 SH    -  OTHER   02             2900        0        0
D TJX COMPANIES, INC.            COMMON     872540109       81     3600 SH    -  DEFINED 17             3600        0        0
D TJX COMPANIES, INC.            COMMON     872540109    16092   715200 SH    -  DEFINED 01           494400     4000   216800
D TJX COMPANIES, INC.            COMMON     872540109     2666   118500 SH    -  OTHER   01            30900    53500    34100
D TJX COMPANIES, INC.            COMMON     872540109      180     8000 SH    -  OTHER   21                0     8000        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 286
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TJX COMPANIES, INC.            COMMON     872540109   206173  9163228 SH    -  DEFINED 02          7357728        0  1805500
D TJX COMPANIES, INC.            COMMON     872540109      443    19700 SH    -  OTHER   02                0        0    19700
D TJX COMPANIES, INC.            COMMON     872540109       50     2200 SH    -  DEFINED 05             2200        0        0
D TRW, INC.                      COMMON     872649108      163     4000 SH    -  DEFINED 01             4000        0        0
D TRW, INC.                      COMMON     872649108      163     4000 SH    -  OTHER   01                0     4000        0
D TRW, INC.                      COMMON     872649108       61     1500 SH    -  DEFINED 17             1500        0        0
D TRW, INC.                      COMMON     872649108      536    13200 SH    -  DEFINED 06            13200        0        0
D TMP WORLDWIDE INC              COMMON     872941109     1900    23600 SH    -  DEFINED 02            23600        0        0
D TMP WORLDWIDE INC              COMMON     872941109     4659    57877 SH    -  DEFINED 01                0        0    57877
D TMP WORLDWIDE INC              COMMON     872941109     1006    12500 SH    -  DEFINED 02                0        0    12500
D TXU CORP                       COMMON     873168108    77629  1959100 SH    -  DEFINED 02          1128400        0   830700
D TXU CORP                       COMMON     873168108       36      900 SH    -  OTHER   02                0        0      900
D TXU CORP                       COMMON     873168108       40     1000 SH    -  DEFINED 05             1000        0        0
D TXU CORP                       COMMON     873168108     1189    30000 SH    -  OTHER   0304          30000        0        0
D TXU CORP                       COMMON     873168108     3907    98589 SH    -  DEFINED 01            76099        0    22490
D TXU CORP                       COMMON     873168108      508    12830 SH    -  OTHER   01              600     4730     7500
D TXU CORP                       COMMON     873168108      226     5700 SH    -  OTHER   21                0     5700        0
D TXU CORP                       COMMON     873168108    48125  1214500 SH    -  DEFINED 02           919400        0   295100
D TXU CORP                       COMMON     873168108       71     1800 SH    -  OTHER   02             1800        0        0
D TXU CORP                       COMMON     873168108     6043   152500 SH    -  DEFINED 20           152500        0        0
D TXU CORP                       COMMON     873168108      127     3200 SH    -  DEFINED 17             3200        0        0
D TALBOTS, INC.                  COMMON     874161102     1848    27900 SH    -  DEFINED 02            27900        0        0
D TALBOTS, INC.                  COMMON     874161102      164     2475 SH    -  DEFINED 01                0        0     2475
D TALK COM INC                   COMMON     874264104      389    88300 SH    -  DEFINED 02            88300        0        0
D TALK COM INC                   COMMON     874264104      123    28000 SH    -  DEFINED 02             9600        0    18400
D TARGET CORP                    COMMON     87612E106   282889 11039580 SH    -  DEFINED 02          7800980        0  3238600

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 287
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TARGET CORP                    COMMON     87612E106      451    17600 SH    -  OTHER   02                0        0    17600
D TARGET CORP                    COMMON     87612E106     1579    61600 SH    -  OTHER   09            61600        0        0
D TARGET CORP                    COMMON     87612E106      323    12600 SH    -  DEFINED 05            12600        0        0
D TARGET CORP                    COMMON     87612E106   100450  3920000 SH    -  DEFINED 02          2894200        0  1025800
D TARGET CORP                    COMMON     87612E106      159     6200 SH    -  OTHER   02             6200        0        0
D TARGET CORP                    COMMON     87612E106     5960   232600 SH    -  DEFINED 20           232600        0        0
D TARGET CORP                    COMMON     87612E106      513    20000 SH    -  DEFINED 06            20000        0        0
D TARGET CORP                    COMMON     87612E106    68490  2672770 SH    -  DEFINED 01          1257940     5600  1383230
D TARGET CORP                    COMMON     87612E106     6917   269925 SH    -  OTHER   01           166240    92885    10800
D TARGET CORP                    COMMON     87612E106      308    12000 SH    -  OTHER   21                0    12000        0
D TECH DATA CORP.                COMMON     878237106      556    13000 SH    -  DEFINED 01              200        0    12800
D TECH DATA CORP.                COMMON     878237106     2450    57300 SH    -  DEFINED 02            57300        0        0
D TECH DATA CORP.                COMMON     878237106        2       39 SH    -  DEFINED 16               39        0        0
D TECH DATA CORP.                COMMON     878237106      269     6300 SH    -  DEFINED 02                0        0     6300
D TECHNE CORP.                   COMMON     878377100       22      200 SH    -  DEFINED 02                0        0      200
D TECHNE CORP.                   COMMON     878377100       22      200 SH    -  DEFINED 20              200        0        0
D TECHNE CORP.                   COMMON     878377100     1232    11000 SH    -  DEFINED 01                0        0    11000
D TECHNITROL, INC.               COMMON     878555101     2666    26400 SH    -  DEFINED 01                0        0    26400
D TECHNITROL, INC.               COMMON     878555101      354     3500 SH    -  DEFINED 02             3500        0        0
D TECHNITROL, INC.               COMMON     878555101      192     1900 SH    -  DEFINED 02             1300        0      600
D TECUMSEH PRODUCTS, INC.        COMMON     878895101      161     4000 SH    -  DEFINED 01                0        0     4000
D TECUMSEH PRODUCTS, INC.        COMMON     878895101       40     1000 SH    -  OTHER   01             1000        0        0
D TECUMSEH PRODUCTS CO. CLASS "A COMMON     878895200      628    15000 SH    -  DEFINED 01                0        0    15000
D TECUMSEH PRODUCTS CO. CLASS "A COMMON     878895200       75     1800 SH    -  OTHER   01             1800        0        0
D TEKELEC                        COMMON     879101103      421    12800 SH    -  DEFINED 01                0        0    12800

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 288
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TEKELEC                        COMMON     879101103     1325    40300 SH    -  DEFINED 02            40300        0        0
D TEKELEC                        COMMON     879101103       13      400 SH    -  DEFINED 20              400        0        0
D TEKELEC                        COMMON     879101103      138     4200 SH    -  DEFINED 02                0        0     4200
D TEKTRONIX, INC.                COMMON     879131100      430     5600 SH    -  DEFINED 02                0        0     5600
D TEKTRONIX, INC.                COMMON     879131100       31      400 SH    -  DEFINED 20              400        0        0
D TEKTRONIX, INC.                COMMON     879131100     2220    28900 SH    -  DEFINED 02            28900        0        0
D TEKTRONIX, INC.                COMMON     879131100       46      600 SH    -  DEFINED 17              600        0        0
D TELCOM SEMICONDUCTOR, INC.     COMMON     87921P107      692    46500 SH    -  DEFINED 02            46500        0        0
D TELCOM SEMICONDUCTOR, INC.     COMMON     87921P107       15     1000 SH    -  DEFINED 02             1000        0        0
D TELE CELULAR SUL PARTICIPACOES PREFERRED  879238103     6610   220345 SH    -  DEFINED 19                0        0        0
D TELE NORDESTE CELULAR PART S   COMMON     87924W109     8842   188145 SH    -  DEFINED 19           188145        0        0
D TELE NORTE CELULAR PARTICIPACO PREFERRED  87924Y105     5379   134480 SH    -  DEFINED 19                0        0        0
D TELE NORTE LESTE PART S A      COMMON     879246106      161     7053 SH    -  DEFINED 18             7053        0        0
D TELE NORTE LESTE PART S A      COMMON     879246106       24     1053 SH    -  DEFINED 16             1053        0        0
D TELE SUDESTE CELULAR PARTICIPA PREFERRED  879252104     1080    51440 SH    -  DEFINED 17                0        0        0
D TELECOM ARGENTINA STET -SP ADR COMMON     879273209       28     1294 SH    -  DEFINED 18             1294        0        0
D TELECOM ARGENTINA STET -SP ADR COMMON     879273209     1109    51300 SH    -  DEFINED 17            51300        0        0
D TELECOM ARGENTINA STET -SP ADR COMMON     879273209       19      906 SH    -  DEFINED 16              906        0        0
D TELECOM ARGENTINA STET -SP ADR COMMON     879273209       26     1217 SH    -  OTHER   05                0     1217        0
D TELECOMUNICAS BRASIL ADR PFD   PREFERRED  879287308     7200    91000 SH    -  DEFINED 16                0        0        0
D TELECOMUNICAS BRASIL ADR PFD   PREFERRED  879287308     2899    36634 SH    -  DEFINED 17                0        0        0
D TELECOMUNICAS BRASIL ADR PFD   PREFERRED  879287308     1456    18400 SH    -  DEFINED 18                0        0        0
D TELECOMUNICAS BRASIL ADR PFD   PREFERRED  879287308        3       35 SH    -  DEFINED 01                0        0        0
D TELECOMUNICACOES DE SAO PAUL   COMMON     87929A102      867    55500 SH    -  DEFINED 18            55500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 289
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TELECOMUNICACOES DE SAO PAUL   COMMON     87929A102     2838   181600 SH    -  DEFINED 17           181600        0        0
D TELECOMMUNICATION SYS INC      COMMON     87929J103      908    47500 SH    -  DEFINED 02            47500        0        0
D TELECOMMUNICATION SYS INC      COMMON     87929J103     2893   151290 SH    -  DEFINED 01            91685        0    59605
D TELECOMMUNICATION SYS INC      COMMON     87929J103       33     1730 SH    -  DEFINED 05                0        0     1730
D TELECOMMUNICATION SYS INC      COMMON     87929J103     2396   125280 SH    -  DEFINED 02           105340        0    19940
D TELECORP PCS INC               COMMON     879299105     1621    85300 SH    -  DEFINED 02            60000        0    25300
D TELECORP PCS INC               COMMON     879299105       42     2225 SH    -  DEFINED 05                0        0     2225
D TELECORP PCS INC               COMMON     879299105     1776    93475 SH    -  DEFINED 01            18200        0    75275
D TELECORP PCS INC               COMMON     879299105      390    20500 SH    -  DEFINED 02            20500        0        0
D TELEDYNE TECHNOLOGIES INC      COMMON     879360105      636    21829 SH    -  DEFINED 01            21825        1        3
D TELEFLEX, INC.                 COMMON     879369106     1516    44100 SH    -  OTHER   01                0    44100        0
D TELEFLEX, INC.                 COMMON     879369106        0        2 SH    -  DEFINED 16                2        0        0
D TELEFONICA DE ARGENTINA S A    COMMON     879378206     5203   142800 SH    -  DEFINED 17           142800        0        0
D TELEFONICA DE ESPANA S.A SPONS COMMON     879382208        0        1 SH    -  DEFINED 18                1        0        0
D TELEFONICA DE ESPANA S.A SPONS COMMON     879382208       84     1415 SH    -  DEFINED 01             1415        0        0
D TELEFONICA DE ESPANA S.A SPONS COMMON     879382208     3119    50002 SH    -  DEFINED 16            50002        0        0
D TELEFONICA DE ESPANA S.A SPONS COMMON     879382208       71     1190 SH    -  DEFINED 05                0        0     1190
D TELEFONICA DE ESPANA S.A SPONS COMMON     879382208       95     1591 SH    -  OTHER   05                0     1591        0
D TELEFONOS DE MEXICO, S.A.      BOND       879403AD5        0 12722000 PRN   -  DEFINED 16                0        0        0
D TELEFONOS DE MEXICO S.A. CV. A COMMON     879403780    11657   220200 SH    -  DEFINED 16           220200        0        0
D TELEFONOS DE MEXICO S.A. CV. A COMMON     879403780       21      400 SH    -  DEFINED 05              400        0        0
D TELEFONOS DE MEXICO S.A. CV. A COMMON     879403780       15      290 SH    -  DEFINED 01              290        0        0
D TELEFONOS DE MEXICO S.A. CV. A COMMON     879403780   186637  3509008 SH    -  DEFINED 18          3509008        0        0
D TELEFONOS DE MEXICO S.A. CV. A COMMON     879403780     1899    35712 SH    -  DEFINED 17            35712        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 290
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TELE LESTE CELULAR PARTICIPACO PREFERRED  87943B102     2926    72600 SH    -  DEFINED 19                0        0        0
D TELEPHONE & DATA SYSTEMS, INC. COMMON     879433100      930     8400 SH    -  DEFINED 02                0        0     8400
D TELEMIG CELULAR PARTICPACOES S PREFERRED  87944E105     4664    88110 SH    -  DEFINED 19                0        0        0
D TELE1 EUROPE HLDG AB           COMMON     87944T201      793    88062 SH    -  DEFINED 02            88062        0        0
D TELESPECTRUM WORLDWIDE INC     COMMON     87951U109       13    21500 SH    -  DEFINED 01                0        0    21500
D TELESPECTRUM WORLDWIDE INC     COMMON     87951U109        2     3495 SH    -  DEFINED 16             3495        0        0
D TELESP CELULAR PART S A        PREFERRED  87952L108    12466   378480 SH    -  DEFINED 19                0        0        0
D TELLABS, INC.                  COMMON     879664100      641    13427 SH    -  DEFINED 17            13427        0        0
D TELLABS, INC.                  COMMON     879664100    62295  1304600 SH    -  DEFINED 02           919700        0   384900
D TELLABS, INC.                  COMMON     879664100      124     2600 SH    -  OTHER   02             2600        0        0
D TELLABS, INC.                  COMMON     879664100      482    10100 SH    -  DEFINED 20            10100        0        0
D TELLABS, INC.                  COMMON     879664100      279     5850 SH    -  OTHER   01             1000     4850        0
D TELLABS, INC.                  COMMON     879664100     8917   186741 SH    -  DEFINED 01           108421        0    78320
D TELLABS, INC.                  COMMON     879664100      802    16800 SH    -  OTHER   09            16800        0        0
D TELLABS, INC.                  COMMON     879664100       81     1700 SH    -  DEFINED 05             1700        0        0
D TELLABS, INC.                  COMMON     879664100   168286  3524310 SH    -  DEFINED 02          2523510        0  1000800
D TELLABS, INC.                  COMMON     879664100      287     6000 SH    -  OTHER   02                0        0     6000
D TELLABS, INC.                  COMMON     879664100       24      500 SH    -  OTHER   21                0      500        0
D TELXON CORP.                   COMMON     879700102     3402   194400 SH    -  DEFINED 16           194400        0        0
D TELXON CORP.                   COMMON     879700102      137     7800 SH    -  DEFINED 01                0        0     7800
D TELOCITY INC                   COMMON     87971D103      109    33200 SH    -  DEFINED 02            33200        0        0
D TELOCITY INC                   COMMON     87971D103        3      900 SH    -  DEFINED 02              900        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107    88407  2334166 SH    -  DEFINED 02          1937866        0   396300
D TEMPLE-INLAND, INC.            COMMON     879868107      152     4000 SH    -  OTHER   02                0        0     4000
D TEMPLE-INLAND, INC.            COMMON     879868107      985    26000 SH    -  OTHER   09            26000        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107     1704    45000 SH    -  OTHER   0304          45000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 291
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TEMPLE-INLAND, INC.            COMMON     879868107      106     2800 SH    -  DEFINED 05             2800        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107    24297   641500 SH    -  DEFINED 02           459100        0   182400
D TEMPLE-INLAND, INC.            COMMON     879868107       23      600 SH    -  OTHER   02              600        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107     6287   166000 SH    -  DEFINED 20           166000        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107       23      600 SH    -  DEFINED 17              600        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107      973    25700 SH    -  DEFINED 06            25700        0        0
D TEMPLE-INLAND, INC.            COMMON     879868107    18166   479619 SH    -  DEFINED 01           292065     2100   185454
D TEMPLE-INLAND, INC.            COMMON     879868107     3350    88436 SH    -  OTHER   01            12875    59908    15653
D TEMPLE-INLAND, INC.            COMMON     879868107      152     4000 SH    -  OTHER   21                0     4000        0
D TELETECH HOLDINGS INC          COMMON     879939106      540    21800 SH    -  DEFINED 01                0        0    21800
D TELETECH HOLDINGS INC          COMMON     879939106       22      900 SH    -  DEFINED 20              900        0        0
D TELETECH HOLDINGS INC          COMMON     879939106     2074    83800 SH    -  DEFINED 02            83800        0        0
D TELETECH HOLDINGS INC          COMMON     879939106        0        3 SH    -  DEFINED 16                3        0        0
D TELETECH HOLDINGS INC          COMMON     879939106       22      900 SH    -  DEFINED 02                0        0      900
D TENFOLD CORP                   COMMON     88033A103        1      200 SH    -  DEFINED 02              200        0        0
D TENFOLD CORP                   COMMON     88033A103       89    20000 SH    -  DEFINED 01                0        0    20000
D TENET HEALTHCARE CORP.         COMMON     88033G100     9160   251827 SH    -  DEFINED 01           201700        0    50127
D TENET HEALTHCARE CORP.         COMMON     88033G100       55     1500 SH    -  OTHER   01             1500        0        0
D TENET HEALTHCARE CORP.         COMMON     88033G100      313     8600 SH    -  OTHER   21                0     8600        0
D TENET HEALTHCARE CORP.         COMMON     88033G100    89486  2460100 SH    -  DEFINED 02          1900600        0   559500
D TENET HEALTHCARE CORP.         COMMON     88033G100      153     4200 SH    -  OTHER   02             4200        0        0
D TENET HEALTHCARE CORP.         COMMON     88033G100    12418   341400 SH    -  DEFINED 20           341400        0        0
D TENET HEALTHCARE CORP.         COMMON     88033G100      135     3700 SH    -  DEFINED 17             3700        0        0
D TENET HEALTHCARE CORP.         COMMON     88033G100   265257  7292300 SH    -  DEFINED 02          5616200        0  1676100
D TENET HEALTHCARE CORP.         COMMON     88033G100      495    13600 SH    -  OTHER   02                0        0    13600
D TENET HEALTHCARE CORP.         COMMON     88033G100      295     8100 SH    -  DEFINED 05             8100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 292
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TENET HEALTHCARE CORP.         COMMON     88033G100       55     1500 SH    -  OTHER   05                0        0     1500
D TERADYNE, INC.                 COMMON     880770102    15684   448100 SH    -  DEFINED 02           417400        0    30700
D TERADYNE, INC.                 COMMON     880770102       46     1300 SH    -  OTHER   02                0        0     1300
D TERADYNE, INC.                 COMMON     880770102       74     2100 SH    -  DEFINED 17             2100        0        0
D TERADYNE, INC.                 COMMON     880770102       53     1500 SH    -  DEFINED 20             1500        0        0
D TERADYNE, INC.                 COMMON     880770102      686    19600 SH    -  DEFINED 02            19600        0        0
D TERADYNE, INC.                 COMMON     880770102      405    11577 SH    -  DEFINED 01             1577        0    10000
D TERADYNE, INC.                 COMMON     880770102        1       20 SH    -  OTHER   01               20        0        0
D TERAYON COMMUNICATION SYS 'CON BOND       880775AA9        0 21470000 PRN   -  DEFINED 16                0        0        0
D TERAYON COMMUNICATION SYS      COMMON     880775101      360    10600 SH    -  DEFINED 02                0        0    10600
D TERAYON COMMUNICATION SYS      COMMON     880775101       48     1400 SH    -  DEFINED 01                0        0     1400
D TERAYON COMMUNICATION SYS      COMMON     880775101     1792    52800 SH    -  DEFINED 02            52800        0        0
D TERAYON COMMUNICATION SYS      COMMON     880775101       10      300 SH    -  DEFINED 20              300        0        0
D TEREX CORPORATION              COMMON     880779103      491    37600 SH    -  DEFINED 02            37600        0        0
D TEREX CORPORATION              COMMON     880779103       77     5900 SH    -  DEFINED 01                0        0     5900
D TEREX CORPORATION              COMMON     880779103      200    15300 SH    -  DEFINED 02            15300        0        0
D TESORO PETROLEUM CORP.         COMMON     881609101      372    37400 SH    -  DEFINED 02            37400        0        0
D TESORO PETROLEUM CORP.         COMMON     881609101        5      500 SH    -  DEFINED 20              500        0        0
D TESORO PETROLEUM CORP.         COMMON     881609101      148    14900 SH    -  DEFINED 01                0        0    14900
D TESORO PETROLEUM CORP.         COMMON     881609101        5      500 SH    -  DEFINED 02                0        0      500
D TESORO PETROLEUM CORP.         COMMON     881609101      250    25200 SH    -  DEFINED 16            25200        0        0
D TEVA PHARMACEUTICAL INDS. LTD. COMMON     881624209      886    12110 SH    -  DEFINED 01             6110        0     6000
D TEXACO, INC.                   COMMON     881694103    20413   388827 SH    -  DEFINED 01           246596     6000   136231
D TEXACO, INC.                   COMMON     881694103    14329   272941 SH    -  OTHER   01            81729   155296    35916
D TEXACO, INC.                   COMMON     881694103      352     6700 SH    -  OTHER   21                0     6700        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 293
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TEXACO, INC.                   COMMON     881694103      116     2200 SH    -  DEFINED 20             2200        0        0
D TEXACO, INC.                   COMMON     881694103    54742  1042700 SH    -  DEFINED 02           741600        0   301100
D TEXACO, INC.                   COMMON     881694103       79     1500 SH    -  OTHER   02             1500        0        0
D TEXACO, INC.                   COMMON     881694103     4552    86700 SH    -  DEFINED 06            86700        0        0
D TEXACO, INC.                   COMMON     881694103     2484    47306 SH    -  DEFINED 18            47306        0        0
D TEXACO, INC.                   COMMON     881694103     2363    45000 SH    -  OTHER   0304          45000        0        0
D TEXACO, INC.                   COMMON     881694103     2972    56600 SH    -  DEFINED 05            35400        0    21200
D TEXACO, INC.                   COMMON     881694103      326     6200 SH    -  OTHER   05             6200        0        0
D TEXACO, INC.                   COMMON     881694103   106183  2022539 SH    -  DEFINED 02          1175500        0   847039
D TEXACO, INC.                   COMMON     881694103      100     1900 SH    -  OTHER   02                0        0     1900
D TEXAS INDUSTRIES, INC.         COMMON     882491103     1281    40200 SH    -  DEFINED 02             8900        0    31300
D TEXAS INDUSTRIES, INC.         COMMON     882491103      708    22200 SH    -  DEFINED 02            22200        0        0
D TEXAS INDUSTRIES, INC.         COMMON     882491103      405    12700 SH    -  DEFINED 01                0        0    12700
D TEXAS INSTRUMENTS, INC.        COMMON     882508104   108819  2306073 SH    -  DEFINED 01          1413752    14000   862721
D TEXAS INSTRUMENTS, INC.        COMMON     882508104     9916   210130 SH    -  OTHER   01            79085   105845    25200
D TEXAS INSTRUMENTS, INC.        COMMON     882508104       52     1100 SH    -  OTHER   21                0     1100        0
D TEXAS INSTRUMENTS, INC.        COMMON     882508104   219508  4651780 SH    -  DEFINED 02          3342900        0  1308880
D TEXAS INSTRUMENTS, INC.        COMMON     882508104      349     7400 SH    -  OTHER   02             7400        0        0
D TEXAS INSTRUMENTS, INC.        COMMON     882508104    17489   370620 SH    -  DEFINED 20           370620        0        0
D TEXAS INSTRUMENTS, INC.        COMMON     882508104     6871   145600 SH    -  DEFINED 17           145600        0        0
D TEXAS INSTRUMENTS, INC.        COMMON     882508104   504462 10690469 SH    -  DEFINED 02          6971800        0  3718669
D TEXAS INSTRUMENTS, INC.        COMMON     882508104      797    16900 SH    -  OTHER   02                0        0    16900
D TEXAS INSTRUMENTS, INC.        COMMON     882508104     1731    36680 SH    -  DEFINED 05            19000     4400    13280
D TEXAS INSTRUMENTS, INC.        COMMON     882508104     2600    55100 SH    -  OTHER   09            55100        0        0
D TEXTRON, INC.                  COMMON     883203101      530    11500 SH    -  DEFINED 02                0        0    11500

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 294
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TEXTRON, INC.                  COMMON     883203101       78     1700 SH    -  DEFINED 17             1700        0        0
D TEXTRON, INC.                  COMMON     883203101        4       90 SH    -  DEFINED 01               90        0        0
D THERAGENICS CORPORATION        COMMON     883375107      112    17300 SH    -  DEFINED 20            17300        0        0
D THERAGENICS CORPORATION        COMMON     883375107      129    19900 SH    -  DEFINED 02            19900        0        0
D THERAGENICS CORPORATION        COMMON     883375107      127    19500 SH    -  DEFINED 02             2200        0    17300
D THOMAS INDUSTRIES, INC.        COMMON     884425109      115     5700 SH    -  DEFINED 02             5700        0        0
D THOMAS INDUSTRIES, INC.        COMMON     884425109      385    19000 SH    -  DEFINED 02            19000        0        0
D THOMAS INDUSTRIES, INC.        COMMON     884425109      122     6000 SH    -  DEFINED 01                0        0     6000
D 3COM CORP.                     COMMON     885535104      838    43653 SH    -  DEFINED 01             2600        0    41053
D 3COM CORP.                     COMMON     885535104      165     8600 SH    -  DEFINED 17             8600        0        0
D 3COM CORP.                     COMMON     885535104     1896    98800 SH    -  DEFINED 18            98800        0        0
D 3COM CORP.                     COMMON     885535104        2      100 SH    -  DEFINED 02              100        0        0
D 3COM CORP.                     COMMON     885535104       33     1696 SH    -  DEFINED 16             1696        0        0
D THREE-FIVE SYSTEMS, INC.       COMMON     88554L108        0        4 SH    -  DEFINED 16                4        0        0
D THREE-FIVE SYSTEMS, INC.       COMMON     88554L108       23      800 SH    -  DEFINED 02              800        0        0
D THREE-FIVE SYSTEMS, INC.       COMMON     88554L108     1018    34800 SH    -  DEFINED 02            34800        0        0
D 3-DIMENSIONAL PHARMACEUTICAL   COMMON     88554W104      853    23700 SH    -  DEFINED 02            23700        0        0
D 3-DIMENSIONAL PHARMACEUTICAL   COMMON     88554W104     2951    81985 SH    -  DEFINED 01            45790        0    36195
D 3-DIMENSIONAL PHARMACEUTICAL   COMMON     88554W104     2270    63060 SH    -  DEFINED 02            53050        0    10010
D 3-DIMENSIONAL PHARMACEUTICAL   COMMON     88554W104       36     1000 SH    -  DEFINED 05                0        0     1000
D TIBCO SOFTWARE INC             COMMON     88632Q103    61184   724600 SH    -  DEFINED 02           382800        0   341800
D TIBCO SOFTWARE INC             COMMON     88632Q103      203     2400 SH    -  OTHER   02                0        0     2400
D TIBCO SOFTWARE INC             COMMON     88632Q103      768     9100 SH    -  DEFINED 01             7570        0     1530
D TIBCO SOFTWARE INC             COMMON     88632Q103        8      100 SH    -  OTHER   21                0      100        0
D TIBCO SOFTWARE INC             COMMON     88632Q103    33573   397600 SH    -  DEFINED 02           287500        0   110100
D TIBCO SOFTWARE INC             COMMON     88632Q103       51      600 SH    -  OTHER   02              600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 295
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TIBCO SOFTWARE INC             COMMON     88632Q103      101     1200 SH    -  DEFINED 20             1200        0        0
D TICKETMASTER ONLINE-CITYSEAR   COMMON     88633P203     2422   143000 SH    -  DEFINED 02           143000        0        0
D TICKETMASTER ONLINE-CITYSEAR   COMMON     88633P203     6784   400675 SH    -  DEFINED 01           273000        0   127675
D TICKETMASTER ONLINE-CITYSEAR   COMMON     88633P203     7415   437775 SH    -  DEFINED 02           378975        0    58800
D TICKETMASTER ONLINE-CITYSEAR   COMMON     88633P203       70     4125 SH    -  DEFINED 05                0        0     4125
D TIDEWATER, INC.                COMMON     886423102      217     4770 SH    -  DEFINED 01                0        0     4770
D TIFFANY & CO.                  COMMON     886547108      362     9400 SH    -  DEFINED 01             9400        0        0
D TIFFANY & CO.                  COMMON     886547108       66     1700 SH    -  DEFINED 17             1700        0        0
D TIFFANY & CO.                  COMMON     886547108      756    19600 SH    -  DEFINED 02                0        0    19600
D TIME WARNER, INC.              COMMON     887315109   556571  7112730 SH    -  DEFINED 02          4573280        0  2539450
D TIME WARNER, INC.              COMMON     887315109      814    10400 SH    -  OTHER   02                0        0    10400
D TIME WARNER, INC.              COMMON     887315109    12104   154684 SH    -  DEFINED 05            78512     1150    75022
D TIME WARNER, INC.              COMMON     887315109     1127    14400 SH    -  OTHER   05            10400        0     4000
D TIME WARNER, INC.              COMMON     887315109     9147   116900 SH    -  DEFINED 16           116900        0        0
D TIME WARNER, INC.              COMMON     887315109     1229    15700 SH    -  OTHER   09            15700        0        0
D TIME WARNER, INC.              COMMON     887315109      682     8715 SH    -  DEFINED 17             8715        0        0
D TIME WARNER, INC.              COMMON     887315109   213216  2724800 SH    -  DEFINED 02          1967600        0   757200
D TIME WARNER, INC.              COMMON     887315109      399     5100 SH    -  OTHER   02             5100        0        0
D TIME WARNER, INC.              COMMON     887315109     8756   111900 SH    -  DEFINED 20           111900        0        0
D TIME WARNER, INC.              COMMON     887315109   135660  1733678 SH    -  DEFINED 01          1089858    18022   621574
D TIME WARNER, INC.              COMMON     887315109    42734   546127 SH    -  OTHER   01           121340   320347   104440
D TIME WARNER, INC.              COMMON     887315109      250     3200 SH    -  OTHER   21                0     3200        0
D TIME WARNER TELECOM INC        COMMON     887319101      242     5000 SH    -  DEFINED 05                0        0     5000
D TIME WARNER TELECOM INC        COMMON     887319101      285     5900 SH    -  DEFINED 02                0        0     5900
D TIMKEN CO.                     COMMON     887389104      582    42500 SH    -  DEFINED 02            42500        0        0
D TIMKEN CO.                     COMMON     887389104       10      700 SH    -  DEFINED 17              700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 296
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TITAN CORP.                    COMMON     888266103        7      400 SH    -  DEFINED 20              400        0        0
D TITAN CORP.                    COMMON     888266103      859    52048 SH    -  DEFINED 02            52048        0        0
D TITAN CORP.                    COMMON     888266103     2149   130239 SH    -  DEFINED 01            86153        0    44086
D TITAN CORP.                    COMMON     888266103     2377   144046 SH    -  DEFINED 02           120117        0    23929
D TITAN CORP.                    COMMON     888266103       21     1251 SH    -  DEFINED 05                0        0     1251
D TITAN PHARMACEUTICALS INC DE   COMMON     888314101        2       25 SH    -  DEFINED 01               25        0        0
D TITAN PHARMACEUTICALS INC DE   COMMON     888314101      221     3400 SH    -  DEFINED 02             3400        0        0
D TITANIUM METALS CORP           PREFERRED  888339108     1552   189500 SH    -  DEFINED 01                0        0        0
D TOLL BROTHERS, INC.            COMMON     889478103      471    13700 SH    -  DEFINED 01                0        0    13700
D TOLLGRADE COMMUNICATIONS INC   COMMON     889542106     1471    10600 SH    -  DEFINED 02            10600        0        0
D TOLLGRADE COMMUNICATIONS INC   COMMON     889542106        0        2 SH    -  DEFINED 16                2        0        0
D TOLLGRADE COMMUNICATIONS INC   COMMON     889542106     1374     9900 SH    -  DEFINED 02              300        0     9600
D TOO INC                        COMMON     890333107       34     1428 SH    -  DEFINED 02             1428        0        0
D TOO INC                        COMMON     890333107     6156   259217 SH    -  DEFINED 01           258932        0      285
D TOOTSIE ROLL INDUSTRIES, INC.  COMMON     890516107       47     1199 SH    -  DEFINED 01                0        0     1199
D TOOTSIE ROLL INDUSTRIES, INC.  COMMON     890516107      375     9550 SH    -  OTHER   01             9550        0        0
D TOOTSIE ROLL INDUSTRIES, INC.  COMMON     890516107     1146    29200 SH    -  DEFINED 02                0        0    29200
D TOPPS, INC.                    COMMON     890786106     2745   298800 SH    -  DEFINED 02             9500        0   289300
D TOPPS, INC.                    COMMON     890786106     2166   235700 SH    -  DEFINED 02           235700        0        0
D TOPPS, INC.                    COMMON     890786106      172    18700 SH    -  DEFINED 20            18700        0        0
D TORCHMARK CORP.                COMMON     891027104      172     6200 SH    -  DEFINED 20             6200        0        0
D TORCHMARK CORP.                COMMON     891027104    22809   820100 SH    -  DEFINED 02           691000        0   129100
D TORCHMARK CORP.                COMMON     891027104       45     1600 SH    -  OTHER   02             1600        0        0
D TORCHMARK CORP.                COMMON     891027104     1076    38700 SH    -  DEFINED 17            38700        0        0
D TORCHMARK CORP.                COMMON     891027104      528    19000 SH    -  DEFINED 06            19000        0        0
D TORCHMARK CORP.                COMMON     891027104     4412   158628 SH    -  DEFINED 01           147468        0    11160

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 297
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TORCHMARK CORP.                COMMON     891027104       14      500 SH    -  OTHER   01              500        0        0
D TORCHMARK CORP.                COMMON     891027104      128     4600 SH    -  OTHER   21                0     4600        0
D TORCHMARK CORP.                COMMON     891027104    49957  1796180 SH    -  DEFINED 02          1150680        0   645500
D TORCHMARK CORP.                COMMON     891027104       58     2100 SH    -  OTHER   02                0        0     2100
D TORCHMARK CORP.                COMMON     891027104       28     1000 SH    -  DEFINED 05             1000        0        0
D TORO CO.                       COMMON     891092108     2202    69900 SH    -  DEFINED 02            36300        0    33600
D TORO CO.                       COMMON     891092108       82     2600 SH    -  DEFINED 01                0        0     2600
D TOSCO CORP.                    COMMON     891490302     7196   230739 SH    -  DEFINED 01           103395     1292   123852
D TOSCO CORP.                    COMMON     891490302     2861    91723 SH    -  OTHER   01            63400    13923    14400
D TOSCO CORP.                    COMMON     891490302     1269    40700 SH    -  DEFINED 18            40700        0        0
D TOSCO CORP.                    COMMON     891490302       53     1700 SH    -  DEFINED 17             1700        0        0
D TOSCO CORP.                    COMMON     891490302      122     3900 SH    -  DEFINED 02             3900        0        0
D TOSCO CORP.                    COMMON     891490302       90     2900 SH    -  DEFINED 05             2900        0        0
D TOTAL RENAL CARE HOLDINGS, INC COMMON     89151A107      149    19900 SH    -  DEFINED 02            19900        0        0
D TOTAL S.A. SPNS. A/D/R         COMMON     89151E109       96     1300 SH    -  DEFINED 16             1300        0        0
D TOTAL S.A. SPNS. A/D/R         COMMON     89151E109       42      567 SH    -  DEFINED 01              131        0      436
D TOTAL S.A. SPNS. A/D/R         COMMON     89151E109       53      722 SH    -  OTHER   01                0        0      722
D TOWER AUTOMOTIVE, INC.         COMMON     891707101      333    35500 SH    -  DEFINED 17            35500        0        0
D TOWER AUTOMOTIVE, INC.         COMMON     891707101      622    66300 SH    -  DEFINED 02            66300        0        0
D TOWER AUTOMOTIVE, INC.         COMMON     891707101     1264   134800 SH    -  DEFINED 02            55700        0    79100
D TOTAL SYSTEM SERVICES, INC.    COMMON     891906109      767    45600 SH    -  DEFINED 02                0        0    45600
D TOYS R US, INC.                COMMON     892335100     5244   322730 SH    -  DEFINED 02           317500        0     5230
D TOYS R US, INC.                COMMON     892335100       42     2600 SH    -  DEFINED 17             2600        0        0
D TOYS R US, INC.                COMMON     892335100      337    20744 SH    -  DEFINED 01            16744        0     4000
D TOYS R US, INC.                COMMON     892335100      453    27905 SH    -  OTHER   01                0    12655    15250

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 298
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TRANSATLANTIC HOLDINGS, INC.   COMMON     893521104      370     4000 SH    -  OTHER   01                0     4000        0
D TRANSCANADA PIPELINES LTD.     COMMON     893526103      466    50000 SH    -  OTHER   0304          50000        0        0
D TRANSGENOMIC INC               COMMON     89365K206       43     1900 SH    -  DEFINED 05                0        0     1900
D TRANSGENOMIC INC               COMMON     89365K206     2814   124025 SH    -  DEFINED 02           104225        0    19800
D TRANSGENOMIC INC               COMMON     89365K206     3514   154905 SH    -  DEFINED 01            90755        0    64150
D TRANSGENOMIC INC               COMMON     89365K206     1071    47200 SH    -  DEFINED 02            47200        0        0
D TRANSKARYOTIC THERAPIES INC    COMMON     893735100      525    12200 SH    -  DEFINED 01                0        0    12200
D TRANSKARYOTIC THERAPIES INC    COMMON     893735100       86     2000 SH    -  DEFINED 02                0        0     2000
D TRANSKARYOTIC THERAPIES INC    COMMON     893735100      282     6550 SH    -  DEFINED 16             6550        0        0
D TRANSPORTADORA DE GAS SUR      COMMON     893870204      138    18300 SH    -  DEFINED 17            18300        0        0
D TRANSPORTADORA DE GAS SUR      COMMON     893870204       38     5000 SH    -  DEFINED 18             5000        0        0
D TRANSWITCH CORP.               COMMON     894065101     2722    42700 SH    -  DEFINED 02            42700        0        0
D TRANSWITCH CORP.               COMMON     894065101       38      600 SH    -  DEFINED 20              600        0        0
D TRANSWITCH CORP.               COMMON     894065101     5051    79230 SH    -  DEFINED 01            18130        0    61100
D TRANSWITCH CORP.               COMMON     894065101      121     1900 SH    -  DEFINED 05                0        0     1900
D TRANSWITCH CORP.               COMMON     894065101     1779    27900 SH    -  DEFINED 02            13950        0    13950
D TREDEGAR INDUSTRIES, INC.      COMMON     894650100      436    25200 SH    -  DEFINED 01                0        0    25200
D TRIAD HOSPITALS INC            COMMON     89579K109       17      566 SH    -  DEFINED 01              414        0      152
D TRIAD HOSPITALS INC            COMMON     89579K109     3605   122739 SH    -  DEFINED 02           122500        0      239
D TRIAD HOSPITALS INC            COMMON     89579K109     1257    42784 SH    -  DEFINED 18            42784        0        0
D TRIAD HOSPITALS INC            COMMON     89579K109    32530  1107402 SH    -  DEFINED 19          1107402        0        0
D TRIAD HOSPITALS INC            COMMON     89579K109     2186    74400 SH    -  DEFINED 02            23500        0    50900
D TRIAD HOSPITALS INC            COMMON     89579K109        6      196 SH    -  DEFINED 16              196        0        0
D TRIANGLE PHARMACEUTICALS INC   COMMON     89589H104        8     1000 SH    -  OTHER   01             1000        0        0
D TRIANGLE PHARMACEUTICALS INC   COMMON     89589H104      137    16200 SH    -  DEFINED 01                0        0    16200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 299
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TRIAD GUARANTY, INC.           COMMON     895925105     1651    55500 SH    -  DEFINED 02            32200        0    23300
D TRIARC COMPANIES, INC.         COMMON     895927101      212     8600 SH    -  DEFINED 01                0        0     8600
D TRICON GLOBAL RESTAURANTS, INC COMMON     895953107     4379   143000 SH    -  DEFINED 01             7540        0   135460
D TRICON GLOBAL RESTAURANTS, INC COMMON     895953107      160     5240 SH    -  OTHER   01                0     5240        0
D TRICON GLOBAL RESTAURANTS, INC COMMON     895953107       55     1800 SH    -  DEFINED 17             1800        0        0
D TRICON GLOBAL RESTAURANTS, INC COMMON     895953107        3      100 SH    -  DEFINED 05              100        0        0
D TRIBUNE COMPANY                COMMON     896047107       48     1100 SH    -  DEFINED 02              700        0      400
D TRIBUNE COMPANY                COMMON     896047107      161     3700 SH    -  DEFINED 17             3700        0        0
D TRIBUNE COMPANY                COMMON     896047107    15087   345845 SH    -  DEFINED 01           310045        0    35800
D TRIBUNE COMPANY                COMMON     896047107      731    16755 SH    -  OTHER   01                0    16755        0
D TRIMBLE NAVIGATION LTD.        COMMON     896239100       85     3800 SH    -  DEFINED 01                0        0     3800
D TRIMBLE NAVIGATION LTD.        COMMON     896239100     1023    45700 SH    -  DEFINED 02            45700        0        0
D TRIMBLE NAVIGATION LTD.        COMMON     896239100       85     3800 SH    -  DEFINED 20             3800        0        0
D TRIMBLE NAVIGATION LTD.        COMMON     896239100      790    35300 SH    -  DEFINED 02             1500        0    33800
D TRIMBLE NAVIGATION LTD.        COMMON     896239100        0        3 SH    -  DEFINED 16                3        0        0
D TRIMERIS, INC.                 COMMON     896263100     6099    87200 SH    -  DEFINED 02            73000        0    14200
D TRIMERIS, INC.                 COMMON     896263100     2979    42600 SH    -  DEFINED 02            42600        0        0
D TRINITY INDUSTRIES, INC.       COMMON     896522109      928    39700 SH    -  DEFINED 02            39700        0        0
D TRINITY INDUSTRIES, INC.       COMMON     896522109     3282   140400 SH    -  DEFINED 02            33400        0   107000
D TRIPATH TECHNOLOGY INC         COMMON     89672P104     8903   350000 SH    -  DEFINED 01           350000        0        0
D TRUQYUBT SENUCONDUCTOR INC CON BOND       89674KAB9        0 14500000 PRN   -  DEFINED 16                0        0        0
D TRIQUINT SEMICONDUCTOR, INC.   COMMON     89674K103      831    22800 SH    -  DEFINED 16            22800        0        0
D TRIQUINT SEMICONDUCTOR, INC.   COMMON     89674K103      532    14600 SH    -  DEFINED 02                0        0    14600
D TRIQUINT SEMICONDUCTOR, INC.   COMMON     89674K103     1509    41400 SH    -  DEFINED 02            41400        0        0
D TRIQUINT SEMICONDUCTOR, INC.   COMMON     89674K103       22      600 SH    -  DEFINED 20              600        0        0
D TRITON PCS HLDGS INC           COMMON     89677M106      264     9600 SH    -  DEFINED 02             9600        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 300
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D TRITON PCS HLDGS INC           COMMON     89677M106   296713 10789599 SH    -  DEFINED 19         10789599        0        0
D TRITON PCS HLDGS INC           COMMON     89677M106      217     7900 SH    -  DEFINED 02                0        0     7900
D TRUE NORTH COMMUNICATIONS, INC COMMON     897844106       14      400 SH    -  DEFINED 02                0        0      400
D TRUE NORTH COMMUNICATIONS, INC COMMON     897844106      540    15100 SH    -  DEFINED 02            15100        0        0
D TRUE NORTH COMMUNICATIONS, INC COMMON     897844106       14      400 SH    -  DEFINED 20              400        0        0
D TRUE NORTH COMMUNICATIONS, INC COMMON     897844106      887    24800 SH    -  DEFINED 01                0        0    24800
D TRUST COMPANY OF NEW JERSEY    COMMON     898304100       80     4800 SH    -  DEFINED 01                0        0     4800
D TRUST COMPANY OF NEW JERSEY    COMMON     898304100      789    47100 SH    -  DEFINED 02                0        0    47100
D TRUSTCO BANK CORP. N. Y.       COMMON     898349105       72     5818 SH    -  DEFINED 02                0        0     5818
D TRUSTCO BANK CORP. N. Y.       COMMON     898349105      643    52196 SH    -  DEFINED 01                0        0    52196
D TRUSTMARK CORP.                COMMON     898402102      659    33800 SH    -  DEFINED 01                0        0    33800
D TUCKER ANTHONY SUTRO           COMMON     898647102      398    15700 SH    -  DEFINED 02            15700        0        0
D TUMBLEWEED COMMUNICATIONS CO   COMMON     899690101     4371    85700 SH    -  DEFINED 02            85700        0        0
D TUMBLEWEED COMMUNICATIONS CO   COMMON     899690101    14280   280004 SH    -  DEFINED 01            63905        0   216099
D TUMBLEWEED COMMUNICATIONS CO   COMMON     899690101    10755   210890 SH    -  DEFINED 02           177640        0    33250
D TUMBLEWEED COMMUNICATIONS CO   COMMON     899690101      184     3610 SH    -  DEFINED 05                0        0     3610
D TUPPERWARE CORP.               COMMON     899896104      175     9700 SH    -  DEFINED 02             9700        0        0
D TUPPERWARE CORP.               COMMON     899896104     1030    57200 SH    -  DEFINED 02            57200        0        0
D TUPPERWARE CORP.               COMMON     899896104       13      700 SH    -  DEFINED 17              700        0        0
D TURNSTONE SYSTEMS INC          COMMON     900423104     3172    68400 SH    -  DEFINED 02            68400        0        0
D TURNSTONE SYSTEMS INC          COMMON     900423104    11971   258145 SH    -  DEFINED 01           137845        0   120300
D TURNSTONE SYSTEMS INC          COMMON     900423104     8589   185200 SH    -  DEFINED 02           155175        0    30025
D TURNSTONE SYSTEMS INC          COMMON     900423104      165     3550 SH    -  DEFINED 05                0        0     3550
D 24 / 7 MEDIA INC               COMMON     901314104        6      611 SH    -  DEFINED 16              611        0        0
D 24 / 7 MEDIA INC               COMMON     901314104        2      200 SH    -  DEFINED 02              200        0        0
D 24 / 7 MEDIA INC               COMMON     901314104      404    40000 SH    -  DEFINED 01            40000        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 301
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D 24 / 7 MEDIA INC               COMMON     901314104       23     2300 SH    -  DEFINED 02             2300        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106   268253  5171136 SH    -  DEFINED 02          3780168        0  1390968
D TYCO INTERNATIONAL LTD.        COMMON     902124106      446     8600 SH    -  OTHER   02             8600        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106    10811   208400 SH    -  DEFINED 20           208400        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106    10790   208000 SH    -  DEFINED 18           208000        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106   259277  4998113 SH    -  DEFINED 01          2628417    43460  2313836
D TYCO INTERNATIONAL LTD.        COMMON     902124106    52020  1002792 SH    -  OTHER   01           423638   435074   144080
D TYCO INTERNATIONAL LTD.        COMMON     902124106      270     5200 SH    -  OTHER   21                0     5200        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106   778931 15015545 SH    -  DEFINED 02         11092030        0  3923515
D TYCO INTERNATIONAL LTD.        COMMON     902124106      540    10408 SH    -  OTHER   02                0        0    10408
D TYCO INTERNATIONAL LTD.        COMMON     902124106    50687   977100 SH    -  DEFINED 16           977100        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106     4669    90000 SH    -  OTHER   0304          90000        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106     5343   103000 SH    -  OTHER   09           103000        0        0
D TYCO INTERNATIONAL LTD.        COMMON     902124106     7520   144970 SH    -  DEFINED 05            74054     3600    67316
D TYCO INTERNATIONAL LTD.        COMMON     902124106      254     4900 SH    -  OTHER   05                0     2100     2800
D TYLER TECHNOLOGIES INC         COMMON     902252105       51    25700 SH    -  DEFINED 01                0        0    25700
D TYSON FOODS, INC.              COMMON     902494103       62     6234 SH    -  DEFINED 01                0        0     6234
D TYSON FOODS, INC.              COMMON     902494103      180    18000 SH    -  DEFINED 16            18000        0        0
D UCAR INTERNATIONAL, INC.       COMMON     90262K109      143    11300 SH    -  DEFINED 02            11300        0        0
D UGI CORP.                      COMMON     902681105      645    26600 SH    -  DEFINED 02            26600        0        0
D UGI CORP.                      COMMON     902681105      291    12000 SH    -  DEFINED 02            12000        0        0
D UICI                           COMMON     902737105      106    15200 SH    -  DEFINED 02            15200        0        0
D UICI                           COMMON     902737105       78    11200 SH    -  DEFINED 01                0        0    11200
D UICI                           COMMON     902737105       11     1600 SH    -  DEFINED 02             1600        0        0
D USX-MARATHON GROUP             COMMON     902905827      143     5030 SH    -  DEFINED 01             3030        0     2000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 302
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D USX-MARATHON GROUP             COMMON     902905827     8870   312600 SH    -  DEFINED 18           312600        0        0
D USX-MARATHON GROUP             COMMON     902905827     4739   167000 SH    -  DEFINED 17           167000        0        0
D UST, INC.                      COMMON     902911106       43     1900 SH    -  DEFINED 17             1900        0        0
D UST, INC.                      COMMON     902911106      160     7000 SH    -  DEFINED 01                0        0     7000
D UST, INC.                      COMMON     902911106      240    10501 SH    -  OTHER   01                0        0    10501
D U S FRANCHISE SYS INC          COMMON     902956309      252    52100 SH    -  DEFINED 01                0        0    52100
D U.S. BANCORP                   COMMON     902973106    65980  2900212 SH    -  DEFINED 01          1984060     2700   913452
D U.S. BANCORP                   COMMON     902973106    15142   665583 SH    -  OTHER   01           291255   331528    42800
D U.S. BANCORP                   COMMON     902973106      303    13300 SH    -  OTHER   21                0    13300        0
D U.S. BANCORP                   COMMON     902973106      205     9000 SH    -  DEFINED 17             9000        0        0
D U.S. BANCORP                   COMMON     902973106    71096  3125100 SH    -  DEFINED 02          2215100        0   910000
D U.S. BANCORP                   COMMON     902973106      109     4800 SH    -  OTHER   02             4800        0        0
D U.S. BANCORP                   COMMON     902973106    13773   605400 SH    -  DEFINED 20           605400        0        0
D U.S. BANCORP                   COMMON     902973106   324737 14274160 SH    -  DEFINED 02         11443610        0  2830550
D U.S. BANCORP                   COMMON     902973106      457    20100 SH    -  OTHER   02                0        0    20100
D U.S. BANCORP                   COMMON     902973106     2824   124150 SH    -  OTHER   09           124150        0        0
D U.S. BANCORP                   COMMON     902973106     1934    85000 SH    -  OTHER   0304          85000        0        0
D U.S. BANCORP                   COMMON     902973106      348    15300 SH    -  DEFINED 05            15300        0        0
D USA NETWORKS, INC.             COMMON     902984103      197     9000 SH    -  DEFINED 05                0        0     9000
D USA NETWORKS, INC.             COMMON     902984103       18      812 SH    -  DEFINED 16              812        0        0
D USA NETWORKS, INC.             COMMON     902984103      608    27700 SH    -  DEFINED 02                0        0    27700
D USA NETWORKS, INC.             COMMON     902984103     1448    66016 SH    -  DEFINED 01            33616        0    32400
D URS CORP.                      COMMON     903236107      297    22400 SH    -  DEFINED 02            22400        0        0
D URS CORP.                      COMMON     903236107      448    33800 SH    -  DEFINED 02             6700        0    27100
D U.S. CAN CORPORATION           COMMON     90328W105        4      200 SH    -  DEFINED 02              200        0        0
D U.S. CAN CORPORATION           COMMON     90328W105      612    30900 SH    -  DEFINED 02            30900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 303
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D U.S. CAN CORPORATION           COMMON     90328W105      234    11800 SH    -  DEFINED 01                0        0    11800
D USG CORP.                      COMMON     903293405      260    10380 SH    -  DEFINED 01             8180        0     2200
D USG CORP.                      COMMON     903293405        8      300 SH    -  OTHER   01                0        0      300
D U S INTERACTIVE INC            COMMON     90334M109       23     9988 SH    -  DEFINED 19             9988        0        0
D US ONCOLOGY INC                COMMON     90338W103      237    52200 SH    -  DEFINED 02            52200        0        0
D US ONCOLOGY INC                COMMON     90338W103      174    38500 SH    -  DEFINED 01                0        0    38500
D US ONCOLOGY INC                COMMON     90338W103       33     7200 SH    -  DEFINED 02             7200        0        0
D U S WIRELESS CORP              COMMON     90339C106     4239   267000 SH    -  DEFINED 02           224400        0    42600
D U S WIRELESS CORP              COMMON     90339C106       23     1475 SH    -  DEFINED 05                0        0     1475
D U S WIRELESS CORP              COMMON     90339C106     3607   227200 SH    -  DEFINED 01           180775        0    46425
D U S WIRELESS CORP              COMMON     90339C106     1759   110800 SH    -  DEFINED 02           110800        0        0
D ULTICOM INC                    COMMON     903844108      693    14700 SH    -  DEFINED 02            14700        0        0
D ULTICOM INC                    COMMON     903844108     4010    85090 SH    -  DEFINED 01            34215        0    50875
D ULTICOM INC                    COMMON     903844108       25      525 SH    -  DEFINED 05                0        0      525
D ULTICOM INC                    COMMON     903844108     1918    40700 SH    -  DEFINED 02            34400        0     6300
D THE ULTIMATE SOFTWARE GROUP, I COMMON     90385D107     7815   969267 SH    -  DEFINED 19           969267        0        0
D USA ED INC                     COMMON     90390U102       92     1900 SH    -  DEFINED 17             1900        0        0
D USA ED INC                     COMMON     90390U102     1205    25000 SH    -  OTHER   01                0    25000        0
D USA ED INC                     COMMON     90390U102      130     2700 SH    -  DEFINED 02                0        0     2700
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON     904000106       10      400 SH    -  DEFINED 02              400        0        0
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON     904000106       25     1000 SH    -  DEFINED 05             1000        0        0
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON     904000106      330    13000 SH    -  DEFINED 01             7700        0     5300
D ULTRAMAR DIAMOND SHAMROCK CORP COMMON     904000106      496    19534 SH    -  OTHER   01                0    19534        0
D UNIBANCO-UNIAO DE BANCOS BRA   COMMON     90458E107        2       75 SH    -  DEFINED 01               75        0        0
D UNIBANCO-UNIAO DE BANCOS BRA   COMMON     90458E107       36     1100 SH    -  DEFINED 17             1100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 304
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D UNIBANCO-UNIAO DE BANCOS BRA   COMMON     90458E107       33     1000 SH    -  DEFINED 16             1000        0        0
D UNILEVER N V                   COMMON     904784709     3141    65090 SH    -  DEFINED 05            28687        0    36403
D UNILEVER N V                   COMMON     904784709      258     5355 SH    -  OTHER   05             3927        0     1428
D UNILEVER N V                   COMMON     904784709   159607  3307909 SH    -  DEFINED 02          1637641        0  1670268
D UNILEVER N V                   COMMON     904784709      164     3400 SH    -  OTHER   02                0        0     3400
D UNILEVER N V                   COMMON     904784709      328     6800 SH    -  DEFINED 17             6800        0        0
D UNILEVER N V                   COMMON     904784709    96962  2009585 SH    -  DEFINED 02          1629100        0   380485
D UNILEVER N V                   COMMON     904784709      217     4500 SH    -  OTHER   02             4500        0        0
D UNILEVER N V                   COMMON     904784709     4453    92300 SH    -  DEFINED 20            92300        0        0
D UNILEVER N V                   COMMON     904784709    11693   242336 SH    -  DEFINED 01           167350     1671    71762
D UNILEVER N V                   COMMON     904784709     1096    22724 SH    -  OTHER   01             6233    10286     6205
D UNILEVER N V                   COMMON     904784709      241     5000 SH    -  OTHER   21                0     5000        0
D UNICOM CORP.                   COMMON     904911104     1034    18400 SH    -  DEFINED 01            15400        0     3000
D UNICOM CORP.                   COMMON     904911104      140     2500 SH    -  OTHER   01             2500        0        0
D UNICOM CORP.                   COMMON     904911104      118     2100 SH    -  DEFINED 17             2100        0        0
D UNION CARBIDE CORP.            COMMON     905581104       60     1600 SH    -  DEFINED 17             1600        0        0
D UNION CARBIDE CORP.            COMMON     905581104      378    10000 SH    -  DEFINED 06            10000        0        0
D UNION CARBIDE CORP.            COMMON     905581104      140     3700 SH    -  DEFINED 20             3700        0        0
D UNION CARBIDE CORP.            COMMON     905581104     1216    32200 SH    -  DEFINED 02            23700        0     8500
D UNION CARBIDE CORP.            COMMON     905581104     3503    92786 SH    -  DEFINED 01            61970      466    30350
D UNION CARBIDE CORP.            COMMON     905581104      645    17087 SH    -  OTHER   01             6100    10087      900
D UNION CARBIDE CORP.            COMMON     905581104       60     1600 SH    -  OTHER   21                0     1600        0
D UNION CARBIDE CORP.            COMMON     905581104    14062   372500 SH    -  DEFINED 02           351200        0    21300
D UNION CARBIDE CORP.            COMMON     905581104      121     3200 SH    -  OTHER   02                0        0     3200
D UNION CARBIDE CORP.            COMMON     905581104       45     1200 SH    -  DEFINED 05             1200        0        0
D UNION CARBIDE CORP.            COMMON     905581104    33061   875780 SH    -  DEFINED 16           875780        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 305
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D UNION PACIFIC CORP.            COMMON     907818108       79     2042 SH    -  DEFINED 16             2042        0        0
D UNION PACIFIC CORP.            COMMON     907818108     1050    27000 SH    -  OTHER   0304          27000        0        0
D UNION PACIFIC CORP.            COMMON     907818108     1503    38650 SH    -  OTHER   09            38650        0        0
D UNION PACIFIC CORP.            COMMON     907818108      401    10320 SH    -  DEFINED 05            10320        0        0
D UNION PACIFIC CORP.            COMMON     907818108       90     2320 SH    -  OTHER   05                0        0     2320
D UNION PACIFIC CORP.            COMMON     907818108   209085  5378399 SH    -  DEFINED 02          4130449        0  1247950
D UNION PACIFIC CORP.            COMMON     907818108      373     9600 SH    -  OTHER   02                0        0     9600
D UNION PACIFIC CORP.            COMMON     907818108    46526  1196802 SH    -  DEFINED 01           675492     6656   510929
D UNION PACIFIC CORP.            COMMON     907818108    14531   373781 SH    -  OTHER   01           116826   214781    42174
D UNION PACIFIC CORP.            COMMON     907818108      253     6500 SH    -  OTHER   21                0     6500        0
D UNION PACIFIC CORP.            COMMON     907818108    60991  1568905 SH    -  DEFINED 02          1158600        0   410305
D UNION PACIFIC CORP.            COMMON     907818108       78     2000 SH    -  OTHER   02             2000        0        0
D UNION PACIFIC CORP.            COMMON     907818108     7071   181900 SH    -  DEFINED 20           181900        0        0
D UNION PACIFIC CORP.            COMMON     907818108      117     3000 SH    -  DEFINED 17             3000        0        0
D UNION PLANTERS CORP.           COMMON     908068109       53     1600 SH    -  DEFINED 17             1600        0        0
D UNION PLANTERS CORP.           COMMON     908068109       83     2500 SH    -  DEFINED 20             2500        0        0
D UNION PLANTERS CORP.           COMMON     908068109     5158   156000 SH    -  DEFINED 02           115300        0    40700
D UNION PLANTERS CORP.           COMMON     908068109     1432    43305 SH    -  DEFINED 01            16400     1600    25305
D UNION PLANTERS CORP.           COMMON     908068109      155     4700 SH    -  OTHER   01             4400      300        0
D UNION PLANTERS CORP.           COMMON     908068109    14961   452500 SH    -  DEFINED 02           179600        0   272900
D UNION PLANTERS CORP.           COMMON     908068109     2529    76500 SH    -  DEFINED 05            33700        0    42800
D UNION PLANTERS CORP.           COMMON     908068109      106     3200 SH    -  OTHER   05             1200     2000        0
D UNION PLANTERS CORP.           COMMON     908068109     1075    32500 SH    -  OTHER   0304          32500        0        0
D UNISOURCE ENERGY CORP          COMMON     909205106     1243    75900 SH    -  DEFINED 02            25300        0    50600
D UNISOURCE ENERGY CORP          COMMON     909205106      678    41400 SH    -  DEFINED 02            41400        0        0
D UNIT CORP.                     COMMON     909218109      137     9300 SH    -  DEFINED 01                0        0     9300

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 306
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D UNIT CORP.                     COMMON     909218109      183    12400 SH    -  DEFINED 02            12400        0        0
D UNITED DOMINION INDUSTRIES LTD COMMON     909914103     1580    66700 SH    -  DEFINED 02                0        0    66700
D UNITED PARCEL SERVICE INC      COMMON     911312106      248     4400 SH    -  DEFINED 02             4400        0        0
D UNITED PARCEL SERVICE INC      COMMON     911312106       44      785 SH    -  OTHER   10                0      785        0
D UNITED PARCEL SERVICE INC      COMMON     911312106      693    12300 SH    -  OTHER   09            12300        0        0
D UNITED PARCEL SERVICE INC      COMMON     911312106       44      785 SH    -  OTHER   11                0      785        0
D UNITED PARCEL SERVICE INC      COMMON     911312106     2100    37250 SH    -  DEFINED 05            18750        0    18500
D UNITED PARCEL SERVICE INC      COMMON     911312106       96     1700 SH    -  OTHER   05             1200      500        0
D UNITED PARCEL SERVICE INC      COMMON     911312106    14678   260368 SH    -  DEFINED 01           143264     2880   114079
D UNITED PARCEL SERVICE INC      COMMON     911312106     3921    69554 SH    -  OTHER   01            20139    40880     8535
D UNITED RENTALS INC             COMMON     911363109     1464    60700 SH    -  DEFINED 02            60700        0        0
D UNITED RETAIL GROUP, INC.      COMMON     911380103       94    17100 SH    -  DEFINED 02                0        0    17100
D UNITED STATES CELLULAR CORP.   COMMON     911684108     1498    21400 SH    -  DEFINED 02                0        0    21400
D USAIR GROUP, INC.              COMMON     911905107       33     1100 SH    -  DEFINED 02                0        0     1100
D USAIR GROUP, INC.              COMMON     911905107     2462    80900 SH    -  DEFINED 16            80900        0        0
D USAIR GROUP, INC.              COMMON     911905107       33     1100 SH    -  DEFINED 20             1100        0        0
D USAIR GROUP, INC.              COMMON     911905107      452    14853 SH    -  DEFINED 01               53        0    14800
D U. S. INDUSTRIES, INC.         COMMON     912080108     1382   139100 SH    -  DEFINED 02           139100        0        0
D UNITED STATIONERS, INC.        COMMON     913004107     1634    60800 SH    -  DEFINED 02            60800        0        0
D UNITED STATIONERS, INC.        COMMON     913004107      126     4700 SH    -  DEFINED 20             4700        0        0
D UNITED STATIONERS, INC.        COMMON     913004107      547    20348 SH    -  DEFINED 01                0        0    20348
D UNITED STATIONERS, INC.        COMMON     913004107        0        2 SH    -  DEFINED 16                2        0        0
D UNITED STATIONERS, INC.        COMMON     913004107     9245   344000 SH    -  DEFINED 02            20800        0   323200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 307
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D UNITED TECHNOLOGIES CORP.      COMMON     913017109    20872   301400 SH    -  DEFINED 02           247600        0    53800
D UNITED TECHNOLOGIES CORP.      COMMON     913017109      138     1986 SH    -  DEFINED 05             1986        0        0
D UNITED TECHNOLOGIES CORP.      COMMON     913017109     7783   112388 SH    -  DEFINED 01            88329     3600    20459
D UNITED TECHNOLOGIES CORP.      COMMON     913017109     3066    44268 SH    -  OTHER   01            17300    23200     3768
D UNITED TECHNOLOGIES CORP.      COMMON     913017109      132     1900 SH    -  OTHER   21                0     1900        0
D UNITED TECHNOLOGIES CORP.      COMMON     913017109      284     4100 SH    -  DEFINED 20             4100        0        0
D UNITED TECHNOLOGIES CORP.      COMMON     913017109     5118    73900 SH    -  DEFINED 02            52900        0    21000
D UNITED TECHNOLOGIES CORP.      COMMON     913017109      388     5600 SH    -  DEFINED 17             5600        0        0
D UNITED TELEVISION, INC.        COMMON     913066106      353     2400 SH    -  DEFINED 01                0        0     2400
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102        0        5 SH    -  DEFINED 01                5        0        0
D UNITED THERAPEUTICS CORP DEL   COMMON     91307C102      358     4100 SH    -  DEFINED 02             4100        0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      188     1900 SH    -  DEFINED 17             1900        0        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102     2069    20953 SH    -  DEFINED 01             9200        0    11753
D UNITEDHEALTH GROUP INC         COMMON     91324P102      114     1150 SH    -  OTHER   01             1000      150        0
D UNITEDHEALTH GROUP INC         COMMON     91324P102      128     1300 SH    -  DEFINED 02                0        0     1300
D UNITEDGLOBALCOM                COMMON     913247508      510    17000 SH    -  DEFINED 02                0        0    17000
D UNITEDGLOBALCOM                COMMON     913247508      305    10170 SH    -  DEFINED 05                0        0    10170
D UNITEDGLOBALCOM                COMMON     913247508      618    20600 SH    -  DEFINED 16            20600        0        0
D UNITEDGLOBALCOM                COMMON     913247508     1017    33900 SH    -  DEFINED 01             7000        0    26900
D UNITRIN, INC.                  COMMON     913275103      275     8670 SH    -  DEFINED 01             2860        0     5810
D UNIVERSAL COMPRESSION HLDGS    COMMON     913431102     3030    97925 SH    -  DEFINED 01            58050        0    39875
D UNIVERSAL COMPRESSION HLDGS    COMMON     913431102     1148    37100 SH    -  DEFINED 02            37100        0        0
D UNIVERSAL COMPRESSION HLDGS    COMMON     913431102       36     1175 SH    -  DEFINED 05                0        0     1175
D UNIVERSAL COMPRESSION HLDGS    COMMON     913431102     3234   104525 SH    -  DEFINED 02            89250        0    15275
D UNIVERSAL CORP. (VA)           COMMON     913456109      535    18200 SH    -  DEFINED 02            18200        0        0
D UNIVERSAL CORP. (VA)           COMMON     913456109      590    20100 SH    -  DEFINED 02            20100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 308
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D UNIVERSAL CORP. (VA)           COMMON     913456109     1193    40600 SH    -  DEFINED 01             3000        0    37600
D UNIVERSAL DISPLAY CORP         COMMON     91347P105      300    13600 SH    -  DEFINED 02            13600        0        0
D UNIVERSAL FOODS CORP.          COMMON     913538104      636    31200 SH    -  DEFINED 02            31200        0        0
D UNIVERSAL FOODS CORP.          COMMON     913538104      705    34600 SH    -  DEFINED 02            34600        0        0
D UNIVERSAL FOREST PRODUCTS, INC COMMON     913543104     6287   550400 SH    -  DEFINED 02           482800        0    67600
D UNIVERSAL FOREST PRODUCTS, INC COMMON     913543104     3069   268700 SH    -  DEFINED 02           268700        0        0
D UNIVERSAL FOREST PRODUCTS, INC COMMON     913543104     3001   262700 SH    -  DEFINED 01           255400        0     7300
D UNIVERSAL HEALTH SERVICES, INC COMMON     913903100     2295    26800 SH    -  DEFINED 01                0        0    26800
D UNIVERSAL HEALTH SERVICES, INC COMMON     913903100     4572    53400 SH    -  DEFINED 02            53400        0        0
D UNIVISION COMMUNICATIONS INC   COMMON     914906102      523    14000 SH    -  DEFINED 06            14000        0        0
D UNIVISION COMMUNICATIONS INC   COMMON     914906102     9310   249100 SH    -  DEFINED 01           237700        0    11400
D UNIVISION COMMUNICATIONS INC   COMMON     914906102     1106    29600 SH    -  DEFINED 02                0        0    29600
D UNIVISION COMMUNICATIONS INC   COMMON     914906102      202     5400 SH    -  DEFINED 16             5400        0        0
D UNOCAL CORP.                   COMMON     915289102       21      600 SH    -  DEFINED 05              600        0        0
D UNOCAL CORP.                   COMMON     915289102     1453    41000 SH    -  DEFINED 02            31500        0     9500
D UNOCAL CORP.                   COMMON     915289102      305     8612 SH    -  DEFINED 01             4000        0     4612
D UNOCAL CORP.                   COMMON     915289102      248     7000 SH    -  OTHER   01             3000     4000        0
D UNOCAL CORP.                   COMMON     915289102      808    22800 SH    -  DEFINED 06            22800        0        0
D UNOCAL CORP.                   COMMON     915289102      103     2900 SH    -  DEFINED 17             2900        0        0
D UNOCAL CORP.                   COMMON     915289102     2420    68300 SH    -  DEFINED 02                0        0    68300
D UNUMPROVIDENT CORP             COMMON     91529Y106       25      900 SH    -  DEFINED 20              900        0        0
D UNUMPROVIDENT CORP             COMMON     91529Y106       79     2900 SH    -  DEFINED 17             2900        0        0
D UNUMPROVIDENT CORP             COMMON     91529Y106      246     9022 SH    -  DEFINED 01             6392        0     2630
D UNUMPROVIDENT CORP             COMMON     91529Y106       50     1825 SH    -  OTHER   01             1200       25      600
D UNUMPROVIDENT CORP             COMMON     91529Y106      147     5400 SH    -  DEFINED 02                0        0     5400
D URBAN SHOPPING CENTERS, INC.   COMMON     917060105     3952    83200 SH    -  DEFINED 02            83200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 309
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D URBAN SHOPPING CENTERS, INC.   COMMON     917060105     6565   138200 SH    -  DEFINED 02           138200        0        0
D USINTERNETWORKING INC          COMMON     917311805       39     5900 SH    -  DEFINED 02             5900        0        0
D USINTERNETWORKING INC          COMMON     917311805        1      200 SH    -  DEFINED 20              200        0        0
D USINTERNETWORKING INC          COMMON     917311805      892   133479 SH    -  DEFINED 19           133479        0        0
D USINTERNETWORKING INC          COMMON     917311805     3732   559308 SH    -  DEFINED 01                0        0   559308
D USINTERNETWORKING INC          COMMON     917311805      109    16400 SH    -  DEFINED 02                0        0    16400
D USINTERNETWORKING INC          COMMON     917311805        3      424 SH    -  DEFINED 05                0        0      424
D USINTERNETWORKING INC          COMMON     917311805        0       70 SH    -  DEFINED 16               70        0        0
D UTILICORP UNITED, INC.         COMMON     918005109      131     5082 SH    -  OTHER   01                0        0     5082
D UTILICORP UNITED, INC.         COMMON     918005109     1488    57500 SH    -  DEFINED 02            57500        0        0
D VF CORP.                       COMMON     918204108       35     1400 SH    -  DEFINED 17             1400        0        0
D VF CORP.                       COMMON     918204108       60     2450 SH    -  DEFINED 01             2300        0      150
D VF CORP.                       COMMON     918204108      198     8000 SH    -  OTHER   01                0        0     8000
D VYYO INC                       COMMON     918458100     8949   298290 SH    -  DEFINED 01           146315        0   151975
D VYYO INC                       COMMON     918458100     2127    70900 SH    -  DEFINED 02            70900        0        0
D VYYO INC                       COMMON     918458100      107     3550 SH    -  DEFINED 05                0        0     3550
D VYYO INC                       COMMON     918458100     5866   195525 SH    -  DEFINED 02           160750        0    34775
D VALASSIS COMMUNICATIONS, INC.  COMMON     918866104    10926   491050 SH    -  DEFINED 02           413225        0    77825
D VALASSIS COMMUNICATIONS, INC.  COMMON     918866104       82     3700 SH    -  DEFINED 05                0        0     3700
D VALASSIS COMMUNICATIONS, INC.  COMMON     918866104     4953   222600 SH    -  DEFINED 02           222600        0        0
D VALASSIS COMMUNICATIONS, INC.  COMMON     918866104     9933   446405 SH    -  DEFINED 01           313715        0   132690
D VALENCE TECHNOLOGY, INC.       COMMON     918914102      431    25000 SH    -  DEFINED 01                0        0    25000
D VALENCE TECHNOLOGY, INC.       COMMON     918914102       88     5100 SH    -  DEFINED 02             5100        0        0
D VALENCE TECHNOLOGY, INC.       COMMON     918914102        2      119 SH    -  DEFINED 16              119        0        0
D VALENCE TECHNOLOGY, INC.       COMMON     918914102        2      100 SH    -  DEFINED 02              100        0        0
D VALERO ENERGY CORPORATION      COMMON     91913Y100       53     1500 SH    -  DEFINED 02             1500        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 310
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VALERO ENERGY CORPORATION      COMMON     91913Y100      697    19800 SH    -  DEFINED 17            19800        0        0
D VALERO ENERGY CORPORATION      COMMON     91913Y100     1626    46200 SH    -  DEFINED 18            46200        0        0
D VALLEY NATIONAL BANCORP        COMMON     919794107     1746    63940 SH    -  DEFINED 01                0        0    63940
D VALUEVISION INTERNATIONAL, INC COMMON     92047K107      447    17800 SH    -  DEFINED 02            17800        0        0
D VALUEVISION INTERNATIONAL, INC COMMON     92047K107       13      500 SH    -  DEFINED 02              500        0        0
D VANS, INC.                     COMMON     921930103     2855   185700 SH    -  DEFINED 02           156600        0    29100
D VANS, INC.                     COMMON     921930103       35     2300 SH    -  DEFINED 05                0        0     2300
D VANS, INC.                     COMMON     921930103     1033    67200 SH    -  DEFINED 02            67200        0        0
D VANS, INC.                     COMMON     921930103     1175    76400 SH    -  DEFINED 01             4700        0    71700
D VARCO INTL INC DEL             COMMON     922122106      572    27502 SH    -  DEFINED 01                0        0    27502
D VARIAN MED SYS INC             COMMON     92220P105      113     2500 SH    -  OTHER   01                0     2500        0
D VARIAN MED SYS INC             COMMON     92220P105     4067    90000 SH    -  DEFINED 02             3100        0    86900
D VARIAN SEMICONDUCTOR EQUIPMN   COMMON     922207105     2010    53700 SH    -  DEFINED 02             6600        0    47100
D VARIAN SEMICONDUCTOR EQUIPMN   COMMON     922207105        1       20 SH    -  DEFINED 01               20        0        0
D VARIAN SEMICONDUCTOR EQUIPMN   COMMON     922207105       94     2500 SH    -  OTHER   01                0     2500        0
D VARIAN SEMICONDUCTOR EQUIPMN   COMMON     922207105     1086    29000 SH    -  DEFINED 02            29000        0        0
D VARIAN SEMICONDUCTOR EQUIPMN   COMMON     922207105       41     1100 SH    -  DEFINED 20             1100        0        0
D VASCO DATA SEC INTL INC        COMMON     92230Y104      258    16200 SH    -  DEFINED 02            16200        0        0
D VASCO DATA SEC INTL INC        COMMON     92230Y104        3      200 SH    -  DEFINED 02              200        0        0
D VASOMEDICAL INC                COMMON     922321104       17     3400 SH    -  DEFINED 02             3400        0        0
D VASOMEDICAL INC                COMMON     922321104      663   135900 SH    -  DEFINED 02           135900        0        0
D VECTREN CORP                   COMMON     92240G101     1276    62800 SH    -  DEFINED 02            62800        0        0
D VECTREN CORP                   COMMON     92240G101      203    10000 SH    -  DEFINED 01                0        0    10000
D VECTREN CORP                   COMMON     92240G101      321    15800 SH    -  DEFINED 02            15800        0        0
D VEECO INSTRUMENTS, INC.        COMMON     922417100      138     1300 SH    -  DEFINED 02              100        0     1200
D VEECO INSTRUMENTS, INC.        COMMON     922417100      117     1100 SH    -  DEFINED 01              200        0      900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 311
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VEECO INSTRUMENTS, INC.        COMMON     922417100     2550    24000 SH    -  DEFINED 02            24000        0        0
D VENTANA MEDICAL SYSTEMS INC.   COMMON     92276H106      431    17000 SH    -  OTHER   01                0    17000        0
D VENTRO CORP                    COMMON     922815105      110    10000 SH    -  DEFINED 02            10000        0        0
D VENTRO CORP                    COMMON     922815105       39     3500 SH    -  DEFINED 02              200        0     3300
D VENTRO CORP                    COMMON     922815105      124    11300 SH    -  DEFINED 16            11300        0        0
D VENATOR GROUP INC              COMMON     922944103     3571   288600 SH    -  DEFINED 02           125400        0   163200
D VENATOR GROUP INC              COMMON     922944103        3      245 SH    -  DEFINED 01              245        0        0
D VERITY, INC.                   COMMON     92343C106      892    25000 SH    -  DEFINED 02            25000        0        0
D VERITY, INC.                   COMMON     92343C106      996    27900 SH    -  DEFINED 02              700        0    27200
D VERITY, INC.                   COMMON     92343C106        0        2 SH    -  DEFINED 16                2        0        0
D VERISIGN, INC.                 COMMON     92343E102    19208   104642 SH    -  DEFINED 16           104642        0        0
D VERISIGN, INC.                 COMMON     92343E102      647     3195 SH    -  DEFINED 05             3195        0        0
D VERISIGN, INC.                 COMMON     92343E102    69173   341490 SH    -  DEFINED 02           288950        0    52540
D VERISIGN, INC.                 COMMON     92343E102      263     1300 SH    -  OTHER   02                0        0     1300
D VERISIGN, INC.                 COMMON     92343E102     2998    14800 SH    -  DEFINED 02                0        0    14800
D VERISIGN, INC.                 COMMON     92343E102     7495    37000 SH    -  DEFINED 20            37000        0        0
D VERISIGN, INC.                 COMMON     92343E102    11202    55303 SH    -  DEFINED 19            55303        0        0
D VERISIGN, INC.                 COMMON     92343E102     1135     5603 SH    -  DEFINED 01             2257        0     3346
D VERIZON COMMUNICATIONS         COMMON     92343V104   116073  2396805 SH    -  DEFINED 01          1596254    15771   781242
D VERIZON COMMUNICATIONS         COMMON     92343V104    27726   572411 SH    -  OTHER   01           190733   337931    43747
D VERIZON COMMUNICATIONS         COMMON     92343V104     1347    27800 SH    -  OTHER   21                0    27800        0
D VERIZON COMMUNICATIONS         COMMON     92343V104     3899    80500 SH    -  DEFINED 06            80500        0        0
D VERIZON COMMUNICATIONS         COMMON     92343V104    20458   422348 SH    -  DEFINED 20           422348        0        0
D VERIZON COMMUNICATIONS         COMMON     92343V104   281712  5815937 SH    -  DEFINED 02          4261404        0  1554533
D VERIZON COMMUNICATIONS         COMMON     92343V104      494    10200 SH    -  OTHER   02            10200        0        0
D VERIZON COMMUNICATIONS         COMMON     92343V104   676888 13974310 SH    -  DEFINED 02          9014812        0  4959498

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 312
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VERIZON COMMUNICATIONS         COMMON     92343V104     1257    25952 SH    -  OTHER   02                0        0    25952
D VERIZON COMMUNICATIONS         COMMON     92343V104     8420   173821 SH    -  DEFINED 05            82989        0    90832
D VERIZON COMMUNICATIONS         COMMON     92343V104      942    19444 SH    -  OTHER   05            11066     4392     3986
D VERIZON COMMUNICATIONS         COMMON     92343V104     2423    50032 SH    -  OTHER   09            50032        0        0
D VERIZON COMMUNICATIONS         COMMON     92343V104     3841    79300 SH    -  OTHER   0304          79300        0        0
D VERITAS SOFTWARE CORP.         COMMON     923436109      469     3300 SH    -  DEFINED 05             2650      650        0
D VERITAS SOFTWARE CORP.         COMMON     923436109    85115   599400 SH    -  DEFINED 02           369600        0   229800
D VERITAS SOFTWARE CORP.         COMMON     923436109       71      500 SH    -  OTHER   02                0        0      500
D VERITAS SOFTWARE CORP.         COMMON     923436109    59143   416500 SH    -  DEFINED 02           340400        0    76100
D VERITAS SOFTWARE CORP.         COMMON     923436109      114      800 SH    -  OTHER   02              800        0        0
D VERITAS SOFTWARE CORP.         COMMON     923436109     2570    18100 SH    -  DEFINED 20            18100        0        0
D VERITAS SOFTWARE CORP.         COMMON     923436109       14      100 SH    -  OTHER   21                0      100        0
D VERITAS SOFTWARE CORP.         COMMON     923436109    17494   123200 SH    -  DEFINED 01            76740     1500    44510
D VERITAS SOFTWARE CORP.         COMMON     923436109     2311    16275 SH    -  OTHER   01             4800     9975     1500
D VERTEL CORP                    COMMON     924907108      314    33900 SH    -  DEFINED 02            33900        0        0
D VERTEX PHARMACEUTICALS INC     BOND       92532FAA8      997  1114000 PRN   -  DEFINED 01                0        0        0
D VERTEX PHARMACEUTICAL INCORPOR BOND       92532FAB6        0  1000000 PRN   -  DEFINED 16                0        0        0
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100        1       10 SH    -  DEFINED 16               10        0        0
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100      490     5800 SH    -  DEFINED 05                0        0     5800
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100    50941   602850 SH    -  DEFINED 02           521450        0    81400
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100       51      600 SH    -  OTHER   02                0        0      600
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100    49476   585510 SH    -  DEFINED 01           377810        0   207700
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100    12514   148100 SH    -  DEFINED 02           148100        0        0
D VERTEX PHARMACEUTICALS, INC.   COMMON     92532F100      186     2200 SH    -  DEFINED 20             2200        0        0
D VERTICALNET INC                COMMON     92532L107       25      700 SH    -  DEFINED 20              700        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 313
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VERTICALNET INC                COMMON     92532L107     2037    58000 SH    -  DEFINED 02            58000        0        0
D VERTICALNET INC                COMMON     92532L107      724    20600 SH    -  DEFINED 01                0        0    20600
D VERTICALNET INC                COMMON     92532L107      615    17500 SH    -  DEFINED 02                0        0    17500
D VETERINARY CENTER OF AMERICA I COMMON     925514101        0    19700 SH    -  DEFINED 01                0        0    19700
D VIAD CORP.                     COMMON     92552R109      307    11540 SH    -  DEFINED 01                0        0    11540
D VIAD CORP.                     COMMON     92552R109       74     2800 SH    -  DEFINED 02                0        0     2800
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308   122355  2091533 SH    -  DEFINED 02                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308     1591    27205 SH    -  DEFINED 05                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308     2923    49961 SH    -  DEFINED 16                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308    18052   309019 SH    -  DEFINED 01                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308      707    12085 SH    -  OTHER   01                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308    80359  1373661 SH    -  DEFINED 02                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308       88     1500 SH    -  OTHER   02                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308     9170   156744 SH    -  DEFINED 20                0        0        0
D VIACOM, INC. - NON-VOTING CL B COMMON     925524308     1067    18246 SH    -  DEFINED 17                0        0        0
D VIATEL INC                     COMMON     925529208      123    12000 SH    -  DEFINED 02            12000        0        0
D VIATEL INC                     COMMON     925529208        5      500 SH    -  DEFINED 02              500        0        0
D VIANT CORP                     COMMON     92553N107        7     1200 SH    -  DEFINED 02             1200        0        0
D VIANT CORP                     COMMON     92553N107      287    48900 SH    -  DEFINED 02            48900        0        0
D VIANT CORP                     COMMON     92553N107        0       44 SH    -  DEFINED 01               44        0        0
D VICAL, INC.                    COMMON     925602104      215     8300 SH    -  DEFINED 01                0        0     8300
D VICAL, INC.                    COMMON     925602104      191     7400 SH    -  DEFINED 02             7400        0        0
D VICAL, INC.                    COMMON     925602104       57     2200 SH    -  DEFINED 02                0        0     2200
D VICINITY CORP                  COMMON     925653107       30     2700 SH    -  DEFINED 02             2700        0        0
D VICINITY CORP                  COMMON     925653107      211    19200 SH    -  DEFINED 02            19200        0        0
D VICOR CORP.                    COMMON     925815102      499     9200 SH    -  DEFINED 01                0        0     9200

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 314
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VICOR CORP.                    COMMON     925815102        0        2 SH    -  DEFINED 16                2        0        0
D VIA NET WRKS INC               COMMON     925912107      662    68763 SH    -  DEFINED 02            68763        0        0
D VIA NET WRKS INC               COMMON     925912107      274    28500 SH    -  DEFINED 02            28500        0        0
D VIGNETTE CORP                  COMMON     926734104     2132    71364 SH    -  DEFINED 01                0        0    71364
D VIGNETTE CORP                  COMMON     926734104      439    14700 SH    -  DEFINED 02                0        0    14700
D VIGNETTE CORP                  COMMON     926734104       51     1711 SH    -  DEFINED 16             1711        0        0
D VINTAGE PETROLEUM, INC.        COMMON     927460105      667    29300 SH    -  DEFINED 02            29300        0        0
D VINTAGE PETROLEUM, INC.        COMMON     927460105      348    15300 SH    -  DEFINED 01                0        0    15300
D VINTAGE PETROLEUM, INC.        COMMON     927460105      887    39000 SH    -  OTHER   01                0    39000        0
D VINTAGE PETROLEUM, INC.        COMMON     927460105     1447    63600 SH    -  DEFINED 02            63600        0        0
D VIRATA CORP                    COMMON     927646109     5110    77275 SH    -  DEFINED 02            77275        0        0
D VIRATA CORP                    COMMON     927646109    14914   225535 SH    -  DEFINED 01           122585        0   102950
D VIRATA CORP                    COMMON     927646109    10620   160600 SH    -  DEFINED 02           132725        0    27875
D VIRATA CORP                    COMMON     927646109      210     3175 SH    -  DEFINED 05                0        0     3175
D VIROPHARMA INC   'CONV BOND'   BOND       928241AA6        0  4500000 PRN   -  DEFINED 16                0        0        0
D VISHAY INTERTECHNOLOGY, INC.   COMMON     928298108      572    18600 SH    -  DEFINED 02                0        0    18600
D VISHAY INTERTECHNOLOGY, INC.   COMMON     928298108      798    25966 SH    -  DEFINED 01                0        0    25966
D VISTEON CORP                   COMMON     92839U107      570    37706 SH    -  DEFINED 01            27217        0    10489
D VISTEON CORP                   COMMON     92839U107      122     8082 SH    -  OTHER   01             3423     4659        0
D VISTEON CORP                   COMMON     92839U107       33     2200 SH    -  OTHER   21                0     2200        0
D VISTEON CORP                   COMMON     92839U107    10298   680891 SH    -  DEFINED 02           531896        0   148995
D VISTEON CORP                   COMMON     92839U107       17     1100 SH    -  OTHER   02             1100        0        0
D VISTEON CORP                   COMMON     92839U107       86     5700 SH    -  DEFINED 20             5700        0        0
D VISTEON CORP                   COMMON     92839U107      244    16157 SH    -  DEFINED 18            16157        0        0
D VISTEON CORP                   COMMON     92839U107    14537   961120 SH    -  DEFINED 02           568164        0   392956
D VISTEON CORP                   COMMON     92839U107      101     6660 SH    -  OTHER   02                0        0     6660

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 315
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VISTEON CORP                   COMMON     92839U107       95     6265 SH    -  DEFINED 05             2328        0     3937
D VISTEON CORP                   COMMON     92839U107       10      652 SH    -  OTHER   05              652        0        0
D VISX, INC.                     COMMON     92844S105        0        2 SH    -  DEFINED 16                2        0        0
D VISX, INC.                     COMMON     92844S105      733    27200 SH    -  DEFINED 02            27200        0        0
D VISX, INC.                     COMMON     92844S105      528    19600 SH    -  DEFINED 01                0        0    19600
D VISUAL NETWORKS, INC.          COMMON     928444108      778   118570 SH    -  DEFINED 01                0        0   118570
D VISUAL NETWORKS, INC.          COMMON     928444108      197    30000 SH    -  DEFINED 02            30000        0        0
D VISUAL NETWORKS, INC.          COMMON     928444108        3      400 SH    -  DEFINED 02              400        0        0
D VISUAL NETWORKS, INC.          COMMON     928444108      415    63254 SH    -  DEFINED 19            63254        0        0
D VITAL SIGNS, INC.              COMMON     928469105      437    16500 SH    -  DEFINED 02            16500        0        0
D VITAL SIGNS, INC.              COMMON     928469105      639    24100 SH    -  DEFINED 02            24100        0        0
D VITRIA TECHNOLOGY              COMMON     92849Q104      793    17000 SH    -  DEFINED 02                0        0    17000
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106     9314   104725 SH    -  DEFINED 02            75225        0    29500
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106      116     1300 SH    -  OTHER   02                0        0     1300
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106      947    10643 SH    -  DEFINED 16            10643        0        0
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106      125     1400 SH    -  DEFINED 20             1400        0        0
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106     1656    18620 SH    -  DEFINED 17            18620        0        0
D VITESSE SEMICONDUCTOR CORP.    COMMON     928497106     4198    47200 SH    -  DEFINED 01             1500        0    45700
D VIVUS, INC.                    COMMON     928551100      896   210800 SH    -  DEFINED 02           210800        0        0
D VIVUS, INC.                    COMMON     928551100       25     5900 SH    -  DEFINED 02             5900        0        0
D VLASIC FOODS INTERNATIONAL INC COMMON     928559103        0      100 SH    -  DEFINED 05              100        0        0
D VLASIC FOODS INTERNATIONAL INC COMMON     928559103       30    28400 SH    -  DEFINED 01              100        0    28300
D VLASIC FOODS INTERNATIONAL INC COMMON     928559103        3     2840 SH    -  OTHER   01                0     2840        0
D VODAFONE GROUP PLC NEW         COMMON     92857W100    16220   438377 SH    -  DEFINED 01           346621    10166    81590
D VODAFONE GROUP PLC NEW         COMMON     92857W100    11431   308943 SH    -  OTHER   01            79530   165663    63750
D VODAFONE GROUP PLC NEW         COMMON     92857W100    45341  1226800 SH    -  DEFINED 17          1226800        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 316
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D VODAFONE GROUP PLC NEW         COMMON     92857W100       44     1200 SH    -  DEFINED 05             1200        0        0
D VODAFONE GROUP PLC NEW         COMMON     92857W100      481    13000 SH    -  OTHER   05                0        0    13000
D VOICESTREAM WIRELESS CORP      COMMON     928615103    52744   441600 SH    -  DEFINED 16           441600        0        0
D VOICESTREAM WIRELESS CORP      COMMON     928615103    17909   154300 SH    -  DEFINED 02            95000        0    59300
D VOICESTREAM WIRELESS CORP      COMMON     928615103      151     1300 SH    -  OTHER   02                0        0     1300
D VOICESTREAM WIRELESS CORP      COMMON     928615103    14078   121300 SH    -  DEFINED 18           121300        0        0
D VOICESTREAM WIRELESS CORP      COMMON     928615103      209     1800 SH    -  DEFINED 20             1800        0        0
D VOICESTREAM WIRELESS CORP      COMMON     928615103     3415    29426 SH    -  DEFINED 01             1900        0    27526
D VOLT INFORMATION SCIENCES, INC COMMON     928703107      366    17000 SH    -  DEFINED 02                0        0    17000
D VOLT INFORMATION SCIENCES, INC COMMON     928703107        0        3 SH    -  DEFINED 16                3        0        0
D VORNADO REALTY TRUST S/B/I     COMMON     929042109    41810  1126200 SH    -  DEFINED 02          1055300        0    70900
D VORNADO REALTY TRUST S/B/I     COMMON     929042109      126     3400 SH    -  DEFINED 20             3400        0        0
D VORNADO REALTY TRUST S/B/I     COMMON     929042109    13165   354600 SH    -  DEFINED 02           347700        0     6900
D VORNADO REALTY TRUST S/B/I     COMMON     929042109      167     4500 SH    -  OTHER   21                0     4500        0
D VULCAN INTERNATIONAL CORP.     COMMON     929136109      221     6500 SH    -  DEFINED 01                0        0     6500
D VULCAN MATERIALS CO.           COMMON     929160109       80     2000 SH    -  DEFINED 01             2000        0        0
D VULCAN MATERIALS CO.           COMMON     929160109       48     1200 SH    -  DEFINED 17             1200        0        0
D VULCAN MATERIALS CO.           COMMON     929160109      747    18600 SH    -  DEFINED 02                0        0    18600
D WFS FINANCIAL, INC.            COMMON     92923B106       29     1700 SH    -  DEFINED 02             1700        0        0
D WFS FINANCIAL, INC.            COMMON     92923B106      151     8900 SH    -  DEFINED 02             8900        0        0
D WMS INDUSTRIES, INC.           COMMON     929297109     2291   101800 SH    -  DEFINED 02           101800        0        0
D WMS INDUSTRIES, INC.           COMMON     929297109       36     1600 SH    -  DEFINED 20             1600        0        0
D WMS INDUSTRIES, INC.           COMMON     929297109     3305   146900 SH    -  DEFINED 01           118100        0    28800
D WMS INDUSTRIES, INC.           COMMON     929297109     4469   198600 SH    -  DEFINED 02           170300        0    28300
D WPP GROUP PLC                  COMMON     929309300       24      400 SH    -  DEFINED 01              400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 317
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WPP GROUP PLC                  COMMON     929309300      663    11500 SH    -  DEFINED 17            11500        0        0
D WPS RESOURCES CORP.            COMMON     92931B106      219     6700 SH    -  DEFINED 01             2200        0     4500
D WPS RESOURCES CORP.            COMMON     92931B106      671    20500 SH    -  OTHER   01                0    20500        0
D WABASH NATIONAL CORP.          COMMON     929566107      141    15400 SH    -  DEFINED 01                0        0    15400
D WABTEC CORP                    COMMON     929740108       77     7600 SH    -  DEFINED 20             7600        0        0
D WABTEC CORP                    COMMON     929740108      274    27100 SH    -  DEFINED 02            27100        0        0
D WABTEC CORP                    COMMON     929740108      228    22500 SH    -  DEFINED 02            14900        0     7600
D WABTEC CORP                    COMMON     929740108      437    43176 SH    -  DEFINED 16            43176        0        0
D WACHOVIA CORP.                 COMMON     929771103      609    10745 SH    -  DEFINED 05             9602        0     1143
D WACHOVIA CORP.                 COMMON     929771103      136     2400 SH    -  DEFINED 17             2400        0        0
D WACHOVIA CORP.                 COMMON     929771103      964    17000 SH    -  DEFINED 06            17000        0        0
D WACHOVIA CORP.                 COMMON     929771103     3395    59895 SH    -  DEFINED 01            53793        0     6102
D WACHOVIA CORP.                 COMMON     929771103     1152    20314 SH    -  OTHER   01                0    20314        0
D WADDELL & REED FINL INC        COMMON     930059100      154     4956 SH    -  DEFINED 01             4956        0        0
D WADDELL & REED FINL INC        COMMON     930059100     1541    49700 SH    -  DEFINED 02            49700        0        0
D WADDELL & REED FINANCIAL, INC. COMMON     930059209      619    21330 SH    -  DEFINED 01            21330        0        0
D WAL-MART STORES, INC.          COMMON     931142103   241506  5018309 SH    -  DEFINED 01          3111964    46234  1849011
D WAL-MART STORES, INC.          COMMON     931142103    77899  1618683 SH    -  OTHER   01           464466  1032997   121220
D WAL-MART STORES, INC.          COMMON     931142103   354445  7365100 SH    -  DEFINED 02          5128800        0  2236300
D WAL-MART STORES, INC.          COMMON     931142103      505    10500 SH    -  OTHER   02            10500        0        0
D WAL-MART STORES, INC.          COMMON     931142103    25800   536100 SH    -  DEFINED 20           536100        0        0
D WAL-MART STORES, INC.          COMMON     931142103     6406   133100 SH    -  DEFINED 17           133100        0        0
D WAL-MART STORES, INC.          COMMON     931142103    11945   248215 SH    -  DEFINED 05           137375     5200   105640
D WAL-MART STORES, INC.          COMMON     931142103     1603    33300 SH    -  OTHER   05             5500    19800     8000
D WAL-MART STORES, INC.          COMMON     931142103     1444    30000 SH    -  OTHER   0304          30000        0        0
D WAL-MART STORES, INC.          COMMON     931142103     3532    73400 SH    -  OTHER   09            73400        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 318
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WAL-MART STORES, INC.          COMMON     931142103   790822 16432674 SH    -  DEFINED 02         10396916        0  6035758
D WAL-MART STORES, INC.          COMMON     931142103      765    15900 SH    -  OTHER   02                0        0    15900
D WALGREEN CO.                   COMMON     931422109    12155   320400 SH    -  DEFINED 02           283200        0    37200
D WALGREEN CO.                   COMMON     931422109       80     2100 SH    -  DEFINED 05                0        0     2100
D WALGREEN CO.                   COMMON     931422109      914    24100 SH    -  OTHER   05                0        0    24100
D WALGREEN CO.                   COMMON     931422109     5729   151000 SH    -  DEFINED 17           151000        0        0
D WALGREEN CO.                   COMMON     931422109     6620   174500 SH    -  DEFINED 20           174500        0        0
D WALGREEN CO.                   COMMON     931422109      505    13300 SH    -  DEFINED 02                0        0    13300
D WALGREEN CO.                   COMMON     931422109     7322   192997 SH    -  DEFINED 01           127797        0    65200
D WALGREEN CO.                   COMMON     931422109    19010   501072 SH    -  OTHER   01            25872   411200    64000
D WARNACO GROUP, INC.            COMMON     934390105      186    46500 SH    -  DEFINED 02            46500        0        0
D WARNACO GROUP, INC.            COMMON     934390105       40    10000 SH    -  DEFINED 02            10000        0        0
D WASHINGTON FEDERAL, INC.       COMMON     938824109     1729    76000 SH    -  DEFINED 02                0        0    76000
D WASHINGTON FEDERAL, INC.       COMMON     938824109       14      598 SH    -  DEFINED 01                0        0      598
D WASHINGTON GAS LIGHT CO.       COMMON     938837101     1755    65300 SH    -  DEFINED 02            65300        0        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103   193178  4852145 SH    -  DEFINED 02          3402505        0  1449640
D WASHINGTON MUTUAL, INC.        COMMON     939322103       86     2150 SH    -  OTHER   02                0        0     2150
D WASHINGTON MUTUAL, INC.        COMMON     939322103      149     3750 SH    -  DEFINED 05             3750        0        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103     2389    60000 SH    -  OTHER   0304          60000        0        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103     2038    51200 SH    -  OTHER   09            51200        0        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103    53759  1350281 SH    -  DEFINED 01           749062     8900   588513
D WASHINGTON MUTUAL, INC.        COMMON     939322103     9470   237874 SH    -  OTHER   01            80926   124112    32836
D WASHINGTON MUTUAL, INC.        COMMON     939322103      207     5200 SH    -  OTHER   21                0     5200        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103    76324  1917060 SH    -  DEFINED 02          1318095        0   598965
D WASHINGTON MUTUAL, INC.        COMMON     939322103      131     3300 SH    -  OTHER   02             3300        0        0
D WASHINGTON MUTUAL, INC.        COMMON     939322103      912    22900 SH    -  DEFINED 20            22900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 319
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WASHINGTON MUTUAL, INC.        COMMON     939322103      259     6500 SH    -  DEFINED 17             6500        0        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108      158      300 SH    -  DEFINED 20              300        0        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108   119629   226624 SH    -  DEFINED 01            16947   209677        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108   279758   529970 SH    -  OTHER   01                0   130451   399519
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108     2112     4000 SH    -  OTHER   10                0     4000        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108     2112     4000 SH    -  OTHER   11                0     4000        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108     7918    15000 SH    -  OTHER   12                0    15000        0
D WASHINGTON POST CO. CLASS "B"  COMMON     939640108      686     1300 SH    -  DEFINED 02                0        0     1300
D WASTE MANAGEMENT INC           COMMON     94106L109    63209  3624770 SH    -  DEFINED 02          3377562        0   247208
D WASTE MANAGEMENT INC           COMMON     94106L109       30     1730 SH    -  OTHER   02                0        0     1730
D WASTE MANAGEMENT INC           COMMON     94106L109       35     2000 SH    -  DEFINED 16             2000        0        0
D WASTE MANAGEMENT INC           COMMON     94106L109     1579    90563 SH    -  DEFINED 01            12227    52780    25556
D WASTE MANAGEMENT INC           COMMON     94106L109      697    39987 SH    -  OTHER   01             2900    36087     1000
D WASTE MANAGEMENT INC           COMMON     94106L109      108     6200 SH    -  DEFINED 20             6200        0        0
D WASTE MANAGEMENT INC           COMMON     94106L109     7014   402219 SH    -  DEFINED 02           314618        0    87601
D WASTE MANAGEMENT INC           COMMON     94106L109      373    21400 SH    -  DEFINED 17            21400        0        0
D WATCHGUARD TECHNOLOGIES INC    COMMON     941105108     4524    75400 SH    -  DEFINED 02            75400        0        0
D WATCHGUARD TECHNOLOGIES INC    COMMON     941105108     9348   155800 SH    -  DEFINED 02           130300        0    25500
D WATERS CORP                    COMMON     941848103     1424    16000 SH    -  DEFINED 02                0        0    16000
D WATERS CORP                    COMMON     941848103      356     4000 SH    -  OTHER   01                0     4000        0
D WATSON PHARMACEUTICALS, INC.   COMMON     942683103      169     2607 SH    -  DEFINED 01               35        0     2572
D WATSON PHARMACEUTICALS, INC.   COMMON     942683103      474     7300 SH    -  DEFINED 02             7300        0        0
D WATSON PHARMACEUTICALS, INC.   COMMON     942683103       58      900 SH    -  DEFINED 20              900        0        0
D WATSON PHARMACEUTICALS, INC.   COMMON     942683103       78     1200 SH    -  DEFINED 17             1200        0        0
D WATSON PHARMACEUTICALS, INC.   COMMON     942683103       58      900 SH    -  DEFINED 02                0        0      900
D WEATHERFORD INTERNATIONAL 'CON BOND       947074AA8        0 13000000 PRN   -  DEFINED 16                0        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 320
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WEATHERFORD INTERNATIONAL, INC COMMON     947074100      735    17100 SH    -  DEFINED 02                0        0    17100
D WEATHERFORD INTERNATIONAL, INC COMMON     947074100      777    18062 SH    -  DEFINED 01             2000        0    16062
D WEATHERFORD INTERNATIONAL, INC COMMON     947074100       47     1100 SH    -  OTHER   01                0     1100        0
D WEB STREET INC                 COMMON     947336103      131    61800 SH    -  DEFINED 02            61800        0        0
D WEB STREET INC                 COMMON     947336103      275   129400 SH    -  DEFINED 02           111200        0    18200
D WEBB (DEL) CORP.               COMMON     947423109     3205   115500 SH    -  DEFINED 02            66600        0    48900
D WEBB (DEL) CORP.               COMMON     947423109        0        3 SH    -  DEFINED 16                3        0        0
D WEBB (DEL) CORP.               COMMON     947423109     1324    47700 SH    -  DEFINED 02            47700        0        0
D WEBB (DEL) CORP.               COMMON     947423109      114     4100 SH    -  DEFINED 01                0        0     4100
D WEBMETHODS INC                 COMMON     94768C108       20      175 SH    -  DEFINED 01              125        0       50
D WEBMETHODS INC                 COMMON     94768C108       12      100 SH    -  OTHER   01                0        0      100
D WEBMETHODS INC                 COMMON     94768C108      461     4000 SH    -  DEFINED 02             4000        0        0
D WEBMETHODS INC                 COMMON     94768C108      150     1300 SH    -  DEFINED 02                0        0     1300
D WEBLINK WIRELESS INC           COMMON     94769A101       22     2800 SH    -  DEFINED 02              600        0     2200
D WEBLINK WIRELESS INC           COMMON     94769A101      120    15600 SH    -  DEFINED 02            15600        0        0
D WEBLINK WIRELESS INC           COMMON     94769A101       17     2200 SH    -  DEFINED 20             2200        0        0
D WEBLINK WIRELESS INC           COMMON     94769A101       79    10300 SH    -  DEFINED 01                0        0    10300
D WEBMD CORP                     COMMON     94769M105      465    30500 SH    -  DEFINED 01                0        0    30500
D WEBMD CORP                     COMMON     94769M105      558    36600 SH    -  DEFINED 02                0        0    36600
D WEBMD CORP                     COMMON     94769M105      580    38000 SH    -  DEFINED 16            38000        0        0
D WEBSTER FINANCIAL CORP.        COMMON     947890109      102     3800 SH    -  DEFINED 02             3800        0        0
D WEBSTER FINANCIAL CORP.        COMMON     947890109      461    17113 SH    -  DEFINED 01                0        0    17113
D WEBTRENDS CORP                 COMMON     94844D104     7959   212945 SH    -  DEFINED 01            46670        0   166275
D WEBTRENDS CORP                 COMMON     94844D104     3652    97700 SH    -  DEFINED 02            97700        0        0
D WEBTRENDS CORP                 COMMON     94844D104     9213   246500 SH    -  DEFINED 02           199600        0    46900

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 321
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WEBTRENDS CORP                 COMMON     94844D104      201     5375 SH    -  DEFINED 05                0        0     5375
D WEIRTON STEEL CORP.            COMMON     948774104     3250  1300000 SH    -  DEFINED 16          1300000        0        0
D WEIS MARKETS, INC.             COMMON     948849104      877    22100 SH    -  DEFINED 02                0        0    22100
D WELLMAN, INC.                  COMMON     949702104    18125  1255400 SH    -  DEFINED 02          1075150        0   180250
D WELLMAN, INC.                  COMMON     949702104      175    12125 SH    -  DEFINED 05                0        0    12125
D WELLMAN, INC.                  COMMON     949702104     7746   536500 SH    -  DEFINED 02           536500        0        0
D WELLMAN, INC.                  COMMON     949702104    17569  1216890 SH    -  DEFINED 01           764390        0   452500
D WELLPOINT HEALTH NETWORK CL. " COMMON     94973H108      106     1100 SH    -  DEFINED 01             1100        0        0
D WELLPOINT HEALTH NETWORK CL. " COMMON     94973H108       29      300 SH    -  OTHER   21                0      300        0
D WELLPOINT HEALTH NETWORK CL. " COMMON     94973H108       67      700 SH    -  DEFINED 17              700        0        0
D WELLPOINT HEALTH NETWORK CL. " COMMON     94973H108      950     9900 SH    -  DEFINED 02             9600        0      300
D WELLS FARGO COMPANY            COMMON     949746101    20635   449200 SH    -  DEFINED 02           139400        0   309800
D WELLS FARGO COMPANY            COMMON     949746101     1061    23100 SH    -  DEFINED 05             5100        0    18000
D WELLS FARGO COMPANY            COMMON     949746101      533    11600 SH    -  OTHER   09            11600        0        0
D WELLS FARGO COMPANY            COMMON     949746101     3023    65800 SH    -  DEFINED 02            12300        0    53500
D WELLS FARGO COMPANY            COMMON     949746101       69     1500 SH    -  OTHER   21                0     1500        0
D WELLS FARGO COMPANY            COMMON     949746101    72871  1586299 SH    -  DEFINED 01           554614     2950  1028735
D WELLS FARGO COMPANY            COMMON     949746101     5932   129120 SH    -  OTHER   01            35250    87570     6300
D WENDY'S INTERNATIONAL, INC.    COMMON     950590109     1978    98600 SH    -  DEFINED 02            98600        0        0
D WENDY'S INTERNATIONAL, INC.    COMMON     950590109       28     1400 SH    -  DEFINED 17             1400        0        0
D WERNER ENTERPRISES, INC.       COMMON     950755108     4626   393725 SH    -  DEFINED 02           393725        0        0
D WERNER ENTERPRISES, INC.       COMMON     950755108      123    10500 SH    -  DEFINED 01                0        0    10500
D WERNER ENTERPRISES, INC.       COMMON     950755108     6165   524675 SH    -  DEFINED 02           436225        0    88450
D WESLEY JESSEN VISIONCARE INC   COMMON     951018100       27      700 SH    -  DEFINED 02              700        0        0
D WESLEY JESSEN VISIONCARE INC   COMMON     951018100    17070   444100 SH    -  DEFINED 16           444100        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 322
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WESLEY JESSEN VISIONCARE INC   COMMON     951018100       31      800 SH    -  DEFINED 01              800        0        0
D WESLEY JESSEN VISIONCARE INC   COMMON     951018100      584    15200 SH    -  DEFINED 02            15200        0        0
D WEST COAST BANCORP             COMMON     952145100      100     8400 SH    -  DEFINED 02             8400        0        0
D WEST COAST BANCORP             COMMON     952145100      180    15100 SH    -  DEFINED 02            15100        0        0
D WEST TELESERVICES CORP         COMMON     956188106        0        2 SH    -  DEFINED 16                2        0        0
D WEST TELESERVICES CORP         COMMON     956188106      130     5900 SH    -  DEFINED 02             5900        0        0
D WEST TELESERVICES CORP         COMMON     956188106      108     4900 SH    -  DEFINED 01                0        0     4900
D WESTAMERICA BANCORPORATION     COMMON     957090103     1327    39700 SH    -  DEFINED 02            39700        0        0
D WESTAMERICA BANCORPORATION     COMMON     957090103     3678   110000 SH    -  DEFINED 02            88600        0    21400
D WESTCOAST ENERGY, INC.         COMMON     95751D102     1423    74141 SH    -  DEFINED 01            29800    44341        0
D WESTELL TECHNOLOGIES, INC. CL. COMMON     957541105       57     4400 SH    -  DEFINED 01                0        0     4400
D WESTELL TECHNOLOGIES, INC. CL. COMMON     957541105      135    10500 SH    -  DEFINED 17            10500        0        0
D WESTCORP, INC.                 COMMON     957907108      513    34200 SH    -  DEFINED 02            34200        0        0
D WESTCORP, INC.                 COMMON     957907108      308    20500 SH    -  DEFINED 02            20500        0        0
D WESTERN DIGITAL CORP.          COMMON     958102105      151    25700 SH    -  DEFINED 01                0        0    25700
D WESTERN PPTYS TR               COMMON     959261108      223    18100 SH    -  DEFINED 02            18100        0        0
D WESTERN PPTYS TR               COMMON     959261108      392    31800 SH    -  DEFINED 02            31800        0        0
D WESTERN WIRELESS CORP. CLASS " COMMON     95988E204      445    12500 SH    -  DEFINED 02                0        0    12500
D WESTERN WIRELESS CORP. CLASS " COMMON     95988E204     1792    50300 SH    -  DEFINED 02            50300        0        0
D WESTERN WIRELESS CORP. CLASS " COMMON     95988E204      114     3200 SH    -  DEFINED 17             3200        0        0
D WESTERN WIRELESS CORP. CLASS " COMMON     95988E204      965    27100 SH    -  DEFINED 01                0        0    27100
D WESTVACO CORP.                 COMMON     961548104     5523   206947 SH    -  DEFINED 01           205260        0     1687
D WESTVACO CORP.                 COMMON     961548104      170     6375 SH    -  OTHER   01                0     6375        0
D WESTVACO CORP.                 COMMON     961548104       32     1200 SH    -  DEFINED 17             1200        0        0
D WESTVACO CORP.                 COMMON     961548104     4350   163000 SH    -  DEFINED 02           163000        0        0
D WESTWOOD ONE, INC.             COMMON     961815107      176     8200 SH    -  DEFINED 02             8200        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 323
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WESTWOOD ONE, INC.             COMMON     961815107       11      500 SH    -  DEFINED 20              500        0        0
D WESTWOOD ONE, INC.             COMMON     961815107      670    31240 SH    -  DEFINED 01               40        0    31200
D WESTWOOD ONE, INC.             COMMON     961815107      598    27900 SH    -  DEFINED 02                0        0    27900
D WEYCO GROUP, INC.              COMMON     962149100      205     8100 SH    -  DEFINED 01                0        0     8100
D WEYERHAEUSER CO.               COMMON     962166104     1615    40000 SH    -  DEFINED 01            36825     3175        0
D WEYERHAEUSER CO.               COMMON     962166104      264     6550 SH    -  OTHER   01                0     4300     2250
D WEYERHAEUSER CO.               COMMON     962166104       40     1000 SH    -  OTHER   21                0     1000        0
D WEYERHAEUSER CO.               COMMON     962166104     2842    70400 SH    -  DEFINED 02            48500        0    21900
D WEYERHAEUSER CO.               COMMON     962166104      113     2800 SH    -  DEFINED 17             2800        0        0
D WEYERHAEUSER CO.               COMMON     962166104     3957    98000 SH    -  DEFINED 06            98000        0        0
D WEYERHAEUSER CO.               COMMON     962166104     7615   188600 SH    -  DEFINED 02           157800        0    30800
D WHITE ELECTR DESIGNS CORP      COMMON     963801105      190    15800 SH    -  DEFINED 02            15800        0        0
D WILEY (JOHN) & SONS, INC. CLAS COMMON     968223206      413    18000 SH    -  DEFINED 01                0        0    18000
D WILEY (JOHN) & SONS, INC. CLAS COMMON     968223206      849    37000 SH    -  OTHER   01                0    37000        0
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104      118     5900 SH    -  DEFINED 01             5900        0        0
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104      520    26000 SH    -  DEFINED 06            26000        0        0
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104      808    40384 SH    -  DEFINED 02            40384        0        0
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104     5664   283207 SH    -  DEFINED 02           173707        0   109500
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104       16      800 SH    -  OTHER   02                0        0      800
D WILLIAMS COMMUNICATIONS GROU   COMMON     969455104       82     4100 SH    -  DEFINED 16             4100        0        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100       13      300 SH    -  DEFINED 05              300        0        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100    70241  1662500 SH    -  DEFINED 02           926300        0   736200
D WILLIAMS COMPANIES, INC.       COMMON     969457100      161     3800 SH    -  OTHER   02                0        0     3800
D WILLIAMS COMPANIES, INC.       COMMON     969457100    35427   838500 SH    -  DEFINED 02           581300        0   257200
D WILLIAMS COMPANIES, INC.       COMMON     969457100       55     1300 SH    -  OTHER   02             1300        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 324
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WILLIAMS COMPANIES, INC.       COMMON     969457100      228     5400 SH    -  DEFINED 20             5400        0        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100     1082    25600 SH    -  DEFINED 06            25600        0        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100     3773    89300 SH    -  DEFINED 17            89300        0        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100     2232    52830 SH    -  DEFINED 01            44440        0     8390
D WILLIAMS COMPANIES, INC.       COMMON     969457100      667    15776 SH    -  OTHER   01              500    15276        0
D WILLIAMS COMPANIES, INC.       COMMON     969457100      165     3900 SH    -  OTHER   21                0     3900        0
D WILLIAMS CLAYTON ENERGY INC    COMMON     969490101     1268    31300 SH    -  DEFINED 02                0        0    31300
D WILLIAMS-SONOMA, INC.          COMMON     969904101       97     2800 SH    -  DEFINED 02                0        0     2800
D WILLIAMS-SONOMA, INC.          COMMON     969904101      172     4950 SH    -  DEFINED 01                0        0     4950
D WILLIS LEASE FINANCE CORP.     COMMON     970646105     1870   293400 SH    -  DEFINED 02           293400        0        0
D WILLIS LEASE FINANCE CORP.     COMMON     970646105     3441   539800 SH    -  DEFINED 02           481000        0    58800
D WIND RIVER SYSTEMS INC         COMMON     973149107     8106   169100 SH    -  DEFINED 02           135100        0    34000
D WIND RIVER SYSTEMS INC         COMMON     973149107      265     5520 SH    -  OTHER   10                0     5520        0
D WIND RIVER SYSTEMS INC         COMMON     973149107      265     5520 SH    -  OTHER   11                0     5520        0
D WIND RIVER SYSTEMS INC         COMMON     973149107     4746    99000 SH    -  DEFINED 02            99000        0        0
D WIND RIVER SYSTEMS INC         COMMON     973149107       24      500 SH    -  DEFINED 20              500        0        0
D WIND RIVER SYSTEMS INC         COMMON     973149107      287     5988 SH    -  DEFINED 01                0        0     5988
D WINN-DIXIE STORES, INC.        COMMON     974280109     1915   133225 SH    -  DEFINED 01           133225        0        0
D WINN-DIXIE STORES, INC.        COMMON     974280109       50     3500 SH    -  OTHER   01             3500        0        0
D WINN-DIXIE STORES, INC.        COMMON     974280109       24     1700 SH    -  DEFINED 17             1700        0        0
D WINN-DIXIE STORES, INC.        COMMON     974280109       98     6800 SH    -  DEFINED 05             6800        0        0
D WINNEBAGO INDUSTRIES, INC.     COMMON     974637100      374    29900 SH    -  DEFINED 02            29900        0        0
D WINNEBAGO INDUSTRIES, INC.     COMMON     974637100      120     9600 SH    -  DEFINED 01                0        0     9600
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107      358    23073 SH    -  DEFINED 01                0        0    23073
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107       16     1044 SH    -  OTHER   01                0     1044        0
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107       29     1872 SH    -  DEFINED 17             1872        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 325
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107      174    11200 SH    -  DEFINED 02            11200        0        0
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107      236    15250 SH    -  DEFINED 02                0        0    15250
D WINSTAR COMMUNICATIONS, INC.   COMMON     975515107      428    20373 SH    -  DEFINED 16            20373        0        0
D WIRELESS FACILITIES INC        COMMON     97653A103      189     3275 SH    -  DEFINED 05                0        0     3275
D WIRELESS FACILITIES INC        COMMON     97653A103     6769   117346 SH    -  DEFINED 02           105221        0    12125
D WIRELESS FACILITIES INC        COMMON     97653A103      813    14100 SH    -  DEFINED 02            14100        0        0
D WIRELESS FACILITIES INC        COMMON     97653A103    13299   230535 SH    -  DEFINED 01           114810        0   115725
D WISCONSIN CENT. TRANSPORTATION COMMON     976592105       47     4455 SH    -  DEFINED 01             4455        0        0
D WISCONSIN CENT. TRANSPORTATION COMMON     976592105      797    75414 SH    -  DEFINED 02            75414        0        0
D WISCONSIN CENT. TRANSPORTATION COMMON     976592105      641    60641 SH    -  DEFINED 02            59415        0     1226
D WISCONSIN ENERGY CORP.         COMMON     976657106    79669  3995826 SH    -  DEFINED 02          3164426        0   831400
D WISCONSIN ENERGY CORP.         COMMON     976657106      323    16200 SH    -  OTHER   02                0        0    16200
D WISCONSIN ENERGY CORP.         COMMON     976657106       10      500 SH    -  DEFINED 05              500        0        0
D WISCONSIN ENERGY CORP.         COMMON     976657106     1794    90000 SH    -  OTHER   0304          90000        0        0
D WISCONSIN ENERGY CORP.         COMMON     976657106    24711  1239400 SH    -  DEFINED 02           928900        0   310500
D WISCONSIN ENERGY CORP.         COMMON     976657106       22     1100 SH    -  OTHER   02             1100        0        0
D WISCONSIN ENERGY CORP.         COMMON     976657106      479    24000 SH    -  DEFINED 20            24000        0        0
D WISCONSIN ENERGY CORP.         COMMON     976657106     4523   226875 SH    -  DEFINED 01           170235     1100    55540
D WISCONSIN ENERGY CORP.         COMMON     976657106     3041   152500 SH    -  OTHER   01            32900   113500     6100
D WISCONSIN ENERGY CORP.         COMMON     976657106      255    12800 SH    -  OTHER   21                0    12800        0
D WIT SOUNDVIEW GROUP INC        COMMON     977383108      925   102800 SH    -  DEFINED 02           102800        0        0
D WIT SOUNDVIEW GROUP INC        COMMON     977383108       76     8400 SH    -  DEFINED 02             8400        0        0
D WITNESS SYS INC                COMMON     977424100     4675   258800 SH    -  DEFINED 02           218375        0    40425
D WITNESS SYS INC                COMMON     977424100       65     3575 SH    -  DEFINED 05                0        0     3575
D WITNESS SYS INC                COMMON     977424100     1739    96300 SH    -  DEFINED 02            96300        0        0
D WITNESS SYS INC                COMMON     977424100     5082   281375 SH    -  DEFINED 01           159250        0   122125

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 326
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WOLVERINE WORLD WIDE, INC.     COMMON     978097103      198    21262 SH    -  DEFINED 01                0        0    21262
D WOODWARD GOVERNOR CO.          COMMON     980745103      165     3700 SH    -  DEFINED 01                0        0     3700
D WOODWARD GOVERNOR CO.          COMMON     980745103      619    13900 SH    -  DEFINED 02            13900        0        0
D WORLD ACESS INC                COMMON     98141A101       14     2500 SH    -  DEFINED 02             2500        0        0
D WORLD ACESS INC                COMMON     98141A101       67    12317 SH    -  DEFINED 01                0        0    12317
D WORLD ACESS INC                COMMON     98141A101      432    79900 SH    -  DEFINED 02            79900        0        0
D WORLDGATE COMMUNICATIONS INC   COMMON     98156L307     1955    93100 SH    -  DEFINED 02            93100        0        0
D WORLDGATE COMMUNICATIONS INC   COMMON     98156L307     3617   172229 SH    -  DEFINED 01                0        0   172229
D WORLDGATE COMMUNICATIONS INC   COMMON     98156L307     3270   155700 SH    -  DEFINED 02           122200        0    33500
D WORLDCOM INC GA NEW            COMMON     98157D106      910    29950 SH    -  OTHER   02                0        0    29950
D WORLDCOM INC GA NEW            COMMON     98157D106   566261 18642350 SH    -  DEFINED 02         12570529        0  6071821
D WORLDCOM INC GA NEW            COMMON     98157D106     7250   238697 SH    -  DEFINED 05           113682     4100   120915
D WORLDCOM INC GA NEW            COMMON     98157D106      114     3750 SH    -  OTHER   05             2550     1200        0
D WORLDCOM INC GA NEW            COMMON     98157D106     1554    51150 SH    -  OTHER   09            51150        0        0
D WORLDCOM INC GA NEW            COMMON     98157D106       32     1069 SH    -  DEFINED 16             1069        0        0
D WORLDCOM INC GA NEW            COMMON     98157D106     2506    82500 SH    -  OTHER   0304          82500        0        0
D WORLDCOM INC GA NEW            COMMON     98157D106   187992  6189027 SH    -  DEFINED 01          2422469    28066  3653207
D WORLDCOM INC GA NEW            COMMON     98157D106    40066  1319046 SH    -  OTHER   01           387299   759281   172466
D WORLDCOM INC GA NEW            COMMON     98157D106      434    14300 SH    -  OTHER   21                0    14300        0
D WORLDCOM INC GA NEW            COMMON     98157D106   226530  7457764 SH    -  DEFINED 02          5356152        0  2101612
D WORLDCOM INC GA NEW            COMMON     98157D106      431    14200 SH    -  OTHER   02            14200        0        0
D WORLDCOM INC GA NEW            COMMON     98157D106    14105   464350 SH    -  DEFINED 20           464350        0        0
D WRIGLEY (WM.) JR. CO.          COMMON     982526105      105     1400 SH    -  DEFINED 17             1400        0        0
D WRIGLEY (WM.) JR. CO.          COMMON     982526105     5553    74160 SH    -  DEFINED 01            65160        0     9000

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 327
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D WRIGLEY (WM.) JR. CO.          COMMON     982526105      225     3000 SH    -  OTHER   01                0     3000        0
D WRIGLEY (WM.) JR. CO.          COMMON     982526105       15      200 SH    -  DEFINED 02                0        0      200
D XCEL ENERGY INC                COMMON     98389B100     2599    94500 SH    -  DEFINED 02            28200        0    66300
D XCEL ENERGY INC                COMMON     98389B100      483    17550 SH    -  DEFINED 05            12050        0     5500
D XCEL ENERGY INC                COMMON     98389B100       88     3200 SH    -  OTHER   05             3200        0        0
D XCEL ENERGY INC                COMMON     98389B100     2432    88430 SH    -  DEFINED 01            62800     2500    23130
D XCEL ENERGY INC                COMMON     98389B100     1303    47377 SH    -  OTHER   01             6300    41077        0
D XCEL ENERGY INC                COMMON     98389B100      112     4070 SH    -  DEFINED 17             4070        0        0
D XCEL ENERGY INC                COMMON     98389B100       63     2300 SH    -  DEFINED 20             2300        0        0
D XCEL ENERGY INC                COMMON     98389B100      809    29400 SH    -  DEFINED 02                0        0    29400
D XILINX, INC.                   COMMON     983919101    10224   119400 SH    -  DEFINED 02            11000        0   108400
D XILINX, INC.                   COMMON     983919101     6689    78120 SH    -  DEFINED 01            53800        0    24320
D XILINX, INC.                   COMMON     983919101      197     2300 SH    -  OTHER   01              300     2000        0
D XILINX, INC.                   COMMON     983919101       26      300 SH    -  DEFINED 05              300        0        0
D XILINX, INC.                   COMMON     983919101      575     6718 SH    -  DEFINED 16             6718        0        0
D XILINX, INC.                   COMMON     983919101    47573   555600 SH    -  DEFINED 02           333200        0   222400
D XILINX, INC.                   COMMON     983919101      103     1200 SH    -  OTHER   02                0        0     1200
D XIRCOM, INC.                   COMMON     983922105       23      900 SH    -  DEFINED 02              900        0        0
D XIRCOM, INC.                   COMMON     983922105        0        2 SH    -  DEFINED 16                2        0        0
D XIRCOM, INC.                   COMMON     983922105      374    14800 SH    -  DEFINED 01                0        0    14800
D XIRCOM, INC.                   COMMON     983922105      795    31500 SH    -  DEFINED 02            31500        0        0
D XEROX CORP.                    COMMON     984121103       51     3400 SH    -  DEFINED 02                0        0     3400
D XEROX CORP.                    COMMON     984121103      209    13900 SH    -  DEFINED 20            13900        0        0
D XEROX CORP.                    COMMON     984121103     1550   102900 SH    -  DEFINED 17           102900        0        0
D XEROX CORP.                    COMMON     984121103      553    36689 SH    -  DEFINED 01            24889     2600     9200
D XEROX CORP.                    COMMON     984121103      416    27600 SH    -  OTHER   01             7200    20400        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 328
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D XEROX CORP.                    COMMON     984121103       93     6200 SH    -  DEFINED 05             6200        0        0
D XEROX CORP.                    COMMON     984121103     4757   315800 SH    -  DEFINED 02            59200        0   256600
D XTRA CORP.                     COMMON     984138107      471    10600 SH    -  DEFINED 02            10600        0        0
D XTRA CORP.                     COMMON     984138107      240     5400 SH    -  DEFINED 01                0        0     5400
D XTRA CORP.                     COMMON     984138107     1360    30600 SH    -  DEFINED 02            30600        0        0
D XYBERNAUT CORP                 COMMON     984149104      176    29700 SH    -  DEFINED 02            29700        0        0
D XYBERNAUT CORP                 COMMON     984149104        2      400 SH    -  DEFINED 02              400        0        0
D YAHOO!, INC.                   COMMON     984332106   136910  1504500 SH    -  DEFINED 02           799600        0   704900
D YAHOO!, INC.                   COMMON     984332106      209     2300 SH    -  OTHER   02                0        0     2300
D YAHOO!, INC.                   COMMON     984332106       91     1000 SH    -  DEFINED 05             1000        0        0
D YAHOO!, INC.                   COMMON     984332106       26      287 SH    -  DEFINED 16              287        0        0
D YAHOO!, INC.                   COMMON     984332106    89135   979500 SH    -  DEFINED 02           761400        0   218100
D YAHOO!, INC.                   COMMON     984332106      164     1800 SH    -  OTHER   02             1800        0        0
D YAHOO!, INC.                   COMMON     984332106      974    10700 SH    -  DEFINED 20            10700        0        0
D YAHOO!, INC.                   COMMON     984332106     5862    64420 SH    -  DEFINED 17            64420        0        0
D YAHOO!, INC.                   COMMON     984332106    11714   128721 SH    -  DEFINED 18           128721        0        0
D YAHOO!, INC.                   COMMON     984332106     7294    80155 SH    -  DEFINED 01            61865        0    18290
D YAHOO!, INC.                   COMMON     984332106       46      500 SH    -  OTHER   01              400        0      100
D YANKEE CANDLE INC              COMMON     984757104     1208    60000 SH    -  OTHER   01                0    60000        0
D YELLOW CORP.                   COMMON     985509108      100     6600 SH    -  DEFINED 01                0        0     6600
D YELLOW CORP.                   COMMON     985509108     1835   121300 SH    -  DEFINED 02           121300        0        0
D YELLOW CORP.                   COMMON     985509108      681    45000 SH    -  DEFINED 02            45000        0        0
D YORK FINANCIAL CORP.           COMMON     986630101      346    22799 SH    -  DEFINED 01                0        0    22799
D YOUNG & RUBICAM INC            COMMON     987425105       45      900 SH    -  DEFINED 17              900        0        0
D YOUNG & RUBICAM INC            COMMON     987425105      525    10600 SH    -  DEFINED 02                0        0    10600
D YOUNG & RUBICAM INC            COMMON     987425105     2668    53900 SH    -  DEFINED 16            53900        0        0

                            FORM 13F INFORMATION TABLE                                         SEPTEMBER 29 2000      PAGE 329
                                 TITLE OF             VALUE     SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 CLASS      --CUSIP-- (X$1000)  PRN AMT PRN CALL DSCRETN MANAGERS       SOLE   SHARED     NONE
D YOUNG BROADCASTING CORP. CLASS COMMON     987434107        1       36 SH    -  DEFINED 16               36        0        0
D YOUNG BROADCASTING CORP. CLASS COMMON     987434107      154     4900 SH    -  DEFINED 01                0        0     4900
D YOUNG BROADCASTING CORP. CLASS COMMON     987434107      840    26719 SH    -  OTHER   01                0    25719     1000
D ZALE CORP.                     COMMON     988858106      234     7200 SH    -  DEFINED 01                0        0     7200
D ZALE CORP.                     COMMON     988858106     1776    54750 SH    -  DEFINED 02            54750        0        0
D ZALE CORP.                     COMMON     988858106       75     2300 SH    -  DEFINED 02                0        0     2300
D ZEBRA TECHNOLOGIES CORP. CLASS COMMON     989207105       34      700 SH    -  DEFINED 02              700        0        0
D ZEBRA TECHNOLOGIES CORP. CLASS COMMON     989207105     1442    30000 SH    -  DEFINED 02            30000        0        0
D ZEBRA TECHNOLOGIES CORP. CLASS COMMON     989207105       89     1850 SH    -  DEFINED 01                0        0     1850
D ZENITH NATIONAL INSURANCE CORP COMMON     989390109     4655   212816 SH    -  OTHER   01                0   212816        0
D ZIFF-DAVIS INC                 COMMON     989511100     1961   241400 SH    -  DEFINED 16           241400        0        0
D ZILA, INC.                     COMMON     989513205       56    15400 SH    -  DEFINED 01                0        0    15400
D ZIONS BANCORPORATION           COMMON     989701107     1493    29200 SH    -  DEFINED 01                0        0    29200
D ZIONS BANCORPORATION           COMMON     989701107      302     5900 SH    -  DEFINED 02                0        0     5900
D ZIONS BANCORPORATION           COMMON     989701107     1647    32200 SH    -  DEFINED 02            15100        0    17100
D ZOMAX INC MINN                 COMMON     989929104     1255   179300 SH    -  DEFINED 02             1800        0   177500
D ZOMAX INC MINN                 COMMON     989929104      587    83800 SH    -  DEFINED 02            83800        0        0
D ZOMAX INC MINN                 COMMON     989929104       88    12500 SH    -  DEFINED 20            12500        0        0

</TABLE>


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