NEUBERGER BERMAN LLC
13F-HR, 2000-07-28
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UNITED STATES
             SECURITIES AND EXCHANGE COMMISSION
                    Washington, D.C 20549

                          FORM 13F

                     FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2000

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

Institutional Investment Manager Filing this Report:

Name : NEUBERGER BERMAN, LLC
Address:  605 THIRD AVENUE
          NEW YORK
          NEW YORK 10158-3698

13F File Number: 28-454

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 part(s) of this form.


Person signing this report on behalf of Reporting Manager:

Name: Kevin Handwerker
Title: SENIOR VICE PRESIDENT AND GENERAL COUNSEL
Phone: (212) 476-9850
Signature, Place, and Date of signing:
Kevin Handwerker, New York, New York, June 30, 2000


Report Type (Check only One)

[X]  13F Holdings Report

[ ]  13F Notice

[ ]  13F Combination Report



List of Other Managers reporting for this Manager:


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: 0


Form 13F Information Table Entry Total: 1870


Form 13F Information Table Value Total: 39,041,453


List of Other Managers reporting for this Manager:

No.	13F File Number	Name
01	28-595		NEUBERGER BERMAN MANAGEMENT INCORPORATED
02                      FRED STEIN
<PAGE>


<TABLE>
                                                             VALUE    SHARES/ SH/ PUT/ INVSTMT            -----VOTING AUTHORITY-----
  NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP-- X$1000  PRN AMT   PRN CALL DSCRETN -MANAGERS-     SOLE   SHARED     NONE
                                 <C>                                              <C>
D AAR CORP                       COMMON STOCK     000361105    12194  1016195 SH       SOLE                 998395             17800
D AAR CORP                       COMMON STOCK     000361105    17125  1427050 SH       DEFINED                               1427050
D ADC TELECOMMUNICATIONS INC     COMMON STOCK     000886101      268     3199 SH       SOLE                   1699              1500
D AFLAC INC                      COMMON STOCK     001055102      663    14433 SH       SOLE                   8612              5821
D AES CORP                       COMMON STOCK     00130H105    50675  1110675 SH       SOLE                1007475            103200
D AES CORP                       COMMON STOCK     00130H105      630    13800 SH       DEFINED                                 13800
D AK STEEL HOLDING CORP          COMMON STOCK     001547108      598    53424 SH       SOLE                  51700              1724
D AMFM INC                       COMMON STOCK     001693100   105283  1525846 SH       SOLE                 909665            616181
D AMFM INC                       COMMON STOCK     001693100   101223  1467000 SH       DEFINED                               1467000
D AMR CORP-DEL                   COMMON STOCK     001765106    29632  1115605 SH       SOLE                 478615            636990
D AMR CORP-DEL                   COMMON STOCK     001765106    15714   594400 SH       DEFINED                                594400
D AT&T CORP                      COMMON STOCK     001957109   142801  4491501 SH       SOLE                2138203           2353298
D AT&T CORP                      COMMON STOCK     001957109    90504  2861800 SH       DEFINED                               2861800
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208   200514  8227945 SH       SOLE                4243903           3984042
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208    55872  2304000 SH       DEFINED                               2304000
D AT&T CORP                      COMMON STOCK     001957406     1719    61800 SH       SOLE                  48600             13200
D AT&T CORP                      COMMON STOCK     001957406    34568  1240100 SH       DEFINED                               1240100
D AXA FINL INC                   COMMON STOCK     002451102     1316    38695 SH       SOLE                  15552             23143
D AXA FINL INC                   COMMON STOCK     002451102     2108    62000 SH       DEFINED                                 62000
D AARON RENTS INC NEW            COMMON STOCK     002535201      172    13707 SH       SOLE                   4300              9407
D ABBOTT LABORATORIES            COMMON STOCK     002824100    82509  1851526 SH       SOLE                 938281            913245
D ABGENIX INC                    COMMON STOCK     00339B107     4227    35270 SH       SOLE                  34850               420
D ABGENIX INC                    COMMON STOCK     00339B107     3991    33300 SH       DEFINED                                 33300
D ABOUT.COM INC                  COMMON STOCK     003736105     3133    99455 SH       SOLE                  97024              2431
D ABOUT.COM INC                  COMMON STOCK     003736105     4252   135000 SH       DEFINED                                135000
D ACCRUE SOFTWARE INC            COMMON STOCK     00437W102     1980    55775 SH       SOLE                  55775
D ACCRUE SOFTWARE INC            COMMON STOCK     00437W102     4264   120100 SH       DEFINED                                120100
D ACE LTD                        CONVERTIBLE PREF 004408209    19169   306401 SH       SOLE                 254301             52100
D ACLARA BIOSCIENCES INC         COMMON STOCK     00461P106      914    17950 SH       SOLE                  17950
D ACNIELSEN CORP                 COMMON STOCK     004833109      759    34519 SH       SOLE                  24101             10418
D ACTIVE SOFTWARE INC            COMMON STOCK     00504E100      256     3300 SH       SOLE                   3300
D ACTUATE CORPORATION            COMMON STOCK     00508B102     6887   129034 SH       SOLE                  59444             69590
D ACTUATE CORPORATION            COMMON STOCK     00508B102     6197   116100 SH       DEFINED                                116100
D ACUSON CORP                    COMMON STOCK     005113105     1219    90300 SH       SOLE                  90300
D ACUSON CORP                    COMMON STOCK     005113105     4630   343000 SH       DEFINED                                343000
D ACXIOM CORP                    COMMON STOCK     005125109    17594   645635 SH       SOLE                 391255            254380
D ADAC LABORATORIES NEW          COMMON STOCK     005313200     1660    69187 SH       SOLE                  64187              5000
D ADAC LABORATORIES NEW          COMMON STOCK     005313200     5551   231300 SH       DEFINED                                231300
D ADELPHIA COMMUNICATIONS CORP   COMMON STOCK     006848105     1245    26550 SH       SOLE                  14450             12100
D ADOBE SYSTEMS INC              COMMON STOCK     00724F101    10091    77625 SH       SOLE                  77425               200
D ADOBE SYSTEMS INC              COMMON STOCK     00724F101    25805   198500 SH       DEFINED                                198500
D ADVANCED DIGITAL INFORMATION   COMMON STOCK     007525108     1561    97959 SH       SOLE                   7000             90959
D ADVANCED FIBRE COMMUNICATIONS  COMMON STOCK     00754A105     1545    34100 SH       SOLE                  34100
D ***AEGON NV-ORD AMERICAN REGD  COMMON STOCK     007924103      312     8766 SH       SOLE                   1874              6892
D AES TR III  6.75%              CONVERTIBLE PREF 00808N202    11893   164603 SH       SOLE                 156573              8030
D AETHER SYSTEMS INC             COMMON STOCK     00808V105     1662     8105 SH       SOLE                   7125               980
D AETNA INC                      COMMON STOCK     008117103     5412    82913 SH       SOLE                  64761             18152
D AFFILIATED MANAGERS GROUP INC  COMMON STOCK     008252108     1920    42200 SH       SOLE                  42200
D AFFILIATED MANAGERS GROUP INC  COMMON STOCK     008252108     4186    92000 SH       DEFINED                                 92000
D AFFYMETRIX INC                 COMMON STOCK     00826T108    10070    60983 SH       SOLE                  43825             17158
D AGILENT TECHNOLOGIES INC       COMMON STOCK     00846U101    91807  1244838 SH       SOLE                 645383            599455
D AGILENT TECHNOLOGIES INC       COMMON STOCK     00846U101     2212    30000 SH       DEFINED                                 30000
D AIR PRODUCTS & CHEMICALS INC   COMMON STOCK     009158106     1079    34816 SH       SOLE                  26406              8410
D AIRBORNE FREIGHT CORP          COMMON STOCK     009266107      189    10000 SH       SOLE                                    10000
D AIRGATE PCS INC                COMMON STOCK     009367103     5329   101380 SH       SOLE                  99630              1750
D AIRGATE PCS INC                COMMON STOCK     009367103     9267   176300 SH       DEFINED                                176300
D ALAMOSA PCS HOLDINGS INC       COMMON STOCK     011593100      831    39800 SH       SOLE                  39800
D ALAMOSA PCS HOLDINGS INC       COMMON STOCK     011593100     1802    86300 SH       DEFINED                                 86300
D ALASKA AIR GROUP INC-W/RTS     COMMON STOCK     011659109      252     9300 SH       SOLE                   9300
D ALBERTO CULVER CO-CL A         COMMON STOCK     013068200    15552   592450 SH       SOLE                 583550              8900
D ALBERTO CULVER CO-CL A         COMMON STOCK     013068200    21743   828300 SH       DEFINED                                828300
D ALBERTSONS INC                 COMMON STOCK     013104104     1727    51935 SH       SOLE                  23690             28245
D ***ALCAN ALUMINUM LTD          FOREIGN COMMON S 013716105      701    22425 SH       SOLE                   7575             14850
D ALCOA INC                      COMMON STOCK     013817101   146238  4571515 SH       SOLE                2300745           2270770
D ALCOA INC                      COMMON STOCK     013817101    51084  1761500 SH       DEFINED                               1761500
D ***ALCATEL - SPONSORED ADR     COMMON STOCK     013904305      954    14348 SH       SOLE                  12689              1659
D ALEXANDERS INC                 COMMON STOCK     014752109      256     3500 SH       SOLE                                     3500
D ALKERMES INC                   COMMON STOCK     01642T108     1755    37250 SH       SOLE                  37250
D ALLAIRE CORP                   COMMON STOCK     016714107     1253    34100 SH       SOLE                  34100
D ALLAIRE CORP                   COMMON STOCK     016714107     2720    74000 SH       DEFINED                                 74000
D ALLEGHANY CORP-DEL             COMMON STOCK     017175100     2193    13054 SH       SOLE                   1441             11613
D ALLEGHENY ENERGY INC           COMMON STOCK     017361106      271     9677 SH       SOLE                   4177              5500
D ALLIANCE CAP MGMT HLDG L P     COMMON STOCK     01855A101     2310    48692 SH       SOLE                  27892             20800
D ALLIANT TECHSYSTEMS INC-W/RTS  COMMON STOCK     018804104    25881   383778 SH       SOLE                 380278              3500
D ALLIANT TECHSYSTEMS INC-W/RTS  COMMON STOCK     018804104    35931   532800 SH       DEFINED                                532800
D ALLIED CAPITAL CORP NEW        COMMON STOCK     01903Q108     2878   169280 SH       SOLE                 108155             61125
D ALLMERICA FINANCIAL CORP       COMMON STOCK     019754100     1286    24561 SH       SOLE                  12224             12337
D ALLSTATE CORP                  COMMON STOCK     020002101     8256   365681 SH       SOLE                 189487            176194
D ALLTEL CORP                    COMMON STOCK     020039103      462     7462 SH       SOLE                   4887              2575
D ALLTRISTA CORP                 COMMON STOCK     020040101     5955   278600 SH       SOLE                  42900            235700
D ALTERA CORP                    COMMON STOCK     021441100     8545    83825 SH       SOLE                  83825
D ALTERA CORP                    COMMON STOCK     021441100    18807   184500 SH       DEFINED                                184500
D ALTERNATIVE LIVING SVCS INC    CONVERTIBLE BOND 02145KAB3      346   825000 PRN      SOLE                 725000            100000
D ALZA CORP                      COMMON STOCK     022615108    14528   246725 SH       SOLE                 174875             71850
D ALZA CORP                      COMMON STOCK     022615108     7574   128100 SH       DEFINED                                128100
D AMAZON.COM INC                 COMMON STOCK     023135106     1911    52640 SH       SOLE                  33100             19540
D AMAZON COM INC                 CONVERTIBLE BOND 023135AF3      367   580000 PRN      SOLE                 430000            150000
D AMBAC INC                      COMMON STOCK     023139108    40128   732100 SH       SOLE                 469590            262510
D AMBAC INC                      COMMON STOCK     023139108      406     7400 SH       DEFINED                                  7400
D AMERADA HESS CORP              COMMON STOCK     023551104    54042   875182 SH       SOLE                 343768            531414
D AMERADA HESS CORP              COMMON STOCK     023551104    71673  1160700 SH       DEFINED                               1160700
D AMEREN CORP                    COMMON STOCK     023608102      271     8032 SH       SOLE                   4650              3381
D AMERICA ONLINE INC-DEL         COMMON STOCK     02364J104   233208  4431201 SH       SOLE                2568293           1862908
D AMERICA ONLINE INC-DEL         COMMON STOCK     02364J104      585    11100 SH       DEFINED                                 11100
D AMERICAN ELECTRIC POWER CO INC COMMON STOCK     025537101      789    26647 SH       SOLE                  13892             12755
D AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106    11060   790000 SH       DEFINED                                790000
D AMERICAN EXPRESS COMPANY       COMMON STOCK     025816109   141740  2719228 SH       SOLE                1406584           1312644
D AMERICAN GENERAL CORP          COMMON STOCK     026351106     5959    97682 SH       SOLE                  61750             35932
D AMERICAN HOME PRODUCTS CORP    COMMON STOCK     026609107   238037  4080889 SH       SOLE                2481427           1599462
D AMERICAN HOME PRODUCTS CORP    COMMON STOCK     026609107   155717  2650500 SH       DEFINED                               2650500
D AMER INTERNATIONAL GROUP INC   COMMON STOCK     026874107   363022  3089551 SH       SOLE                1346647           1742904
D AMER INTERNATIONAL GROUP INC   COMMON STOCK     026874107    62545   532300 SH       DEFINED                                532300
D AMERICAN INTERNATIONAL         COMMON STOCK     026909408       24    43025 SH       SOLE                                    43025
D AMERICAN MGMT SYSTEMS INC      COMMON STOCK     027352103     7964   242600 SH       SOLE                 152800             89800
D AMERICAN MGMT SYSTEMS INC      COMMON STOCK     027352103    55676  1696000 SH       DEFINED                               1696000
D AMERICAN NATIONAL INSURANCE CO COMMON STOCK     028591105    14200   278435 SH       SOLE                  18250            260185
D AMERICAN POWER CONVERSION CORP COMMON STOCK     029066107     1073    26300 SH       SOLE                  24300              2000
D AMERICAN POWER CONVERSION CORP COMMON STOCK     029066107      775    19000 SH       DEFINED                                 19000
D AMERICAN SOFTWARE INC-CL A     COMMON STOCK     029683109       51    10000 SH       SOLE                  10000
D AMERICAN STANDARD COMPANIES    COMMON STOCK     029712106    17329   422670 SH       SOLE                 349370             73300
D AMERICAN STANDARD COMPANIES    COMMON STOCK     029712106      353     8600 SH       DEFINED                                  8600
D AMERICAN TOWER CORP            COMMON STOCK     029912201    24287   582600 SH       SOLE                 543300             39300
D AMERICAN TOWER CORP            COMMON STOCK     029912201     4306   103300 SH       DEFINED                                103300
D AMERON INTERNATIONAL CORP      COMMON STOCK     030710107     8166   228416 SH       SOLE                  15950            212466
D AMERUS LIFE HOLDINGS INC-CL A  COMMON STOCK     030732101      903    43792 SH       SOLE                                    43792
D AMERIGAS PARTNERS LP           COMMON STOCK     030975106      304    18000 SH       SOLE                  16000              2000
D AMGEN CORP                     COMMON STOCK     031162100    54871   781077 SH       SOLE                 411737            369340
D AMGEN CORP                     COMMON STOCK     031162100     1152    16400 SH       DEFINED                                 16400
D AMKOR TECHNLOLGY INC           COMMON STOCK     031652100    14743   417500 SH       DEFINED                                417500
D AMPAL-AMERICAN ISRAEL CORP A   COMMON STOCK     032015109      550    36700 SH       SOLE                                    36700
D AMPHENOL CORP NEW-CL A         COMMON STOCK     032095101      479     7234 SH       SOLE                   1500              5734
D ANADARKO PETROLEUM CORP        COMMON STOCK     032511107   127437  2582615 SH       SOLE                1785691            796924
D ANADARKO PETROLEUM CORP        COMMON STOCK     032511107    52325  1061100 SH       DEFINED                               1061100
D ANALOG DEVICES INC             COMMON STOCK     032654105    52694   693348 SH       SOLE                 327336            366012
D ANALOG DEVICES INC             COMMON STOCK     032654105    14759   194200 SH       DEFINED                                194200
D ANALYSTS INTERNATIONAL CORP    COMMON STOCK     032681108     4414   474009 SH       SOLE                 474009
D ANALYSTS INTERNATIONAL CORP    COMMON STOCK     032681108     7892   847500 SH       DEFINED                                847500
D ANGELICA CORP                  COMMON STOCK     034663104      111    13900 SH       SOLE                   7100              6800
D ANHEUSER BUSCH COMPANIES INC   COMMON STOCK     035229103   124064  1666207 SH       SOLE                1128306            537901
D ANHEUSER BUSCH COMPANIES INC   COMMON STOCK     035229103    77936  1043500 SH       DEFINED                               1043500
D ANN TAYLOR STORES CORP         COMMON STOCK     036115103    13013   392850 SH       SOLE                 392850
D ANN TAYLOR STORES CORP         COMMON STOCK     036115103    11567   349200 SH       DEFINED                                349200
D ANTEC CORP                     COMMON STOCK     03664P105     1567    37700 SH       SOLE                  37700
D AON CORP                       COMMON STOCK     037389103    78468  2462227 SH       SOLE                1822582            639645
D AON CORP                       COMMON STOCK     037389103    55593  1789700 SH       DEFINED                               1789700
D APACHE CORP                    COMMON STOCK     037411105    14002   238075 SH       SOLE                 210075             28000
D APACHE CORP                    COMMON STOCK     037411105      353     6000 SH       DEFINED                                  6000
D APOLLO GROUP INC-CL A          COMMON STOCK     037604105      616    22000 SH       SOLE                  22000
D APPLE COMPUTER INC             COMMON STOCK     037833100   132736  2466664 SH       SOLE                1979493            487171
D APPLE COMPUTER INC             COMMON STOCK     037833100   109951  2099300 SH       DEFINED                               2099300
D APPLIED MATERIALS INC          COMMON STOCK     038222105   101344  1120543 SH       SOLE                 418424            702119
D APPLIED MATERIALS INC          COMMON STOCK     038222105      489     5400 SH       DEFINED                                  5400
D APPLIED MICRO CIRCUITS CORP    COMMON STOCK     03822W109    15790   159900 SH       SOLE                 159900
D APPLIED MICRO CIRCUITS CORP    COMMON STOCK     03822W109    43055   436000 SH       DEFINED                                436000
D APPLIED SIGNAL TECHNOLOGY INC  COMMON STOCK     038237103     3413   295200 SH       SOLE                 290200              5000
D APPNET INC                     COMMON STOCK     03831Q101      670    18600 SH       SOLE                  18600
D APTARGROUP INC                 COMMON STOCK     038336103    33457  1239134 SH       SOLE                1197034             42100
D APTARGROUP INC                 COMMON STOCK     038336103    44618  1652500 SH       DEFINED                               1652500
D ARCH CAPITAL GROUP LTD         COMMON STOCK     03937L105      373    25000 SH       SOLE                                    25000
D ARCHER-DANIELS-MIDLAND CO      COMMON STOCK     039483102     1560   158977 SH       SOLE                  91692             67285
D AREMISSOFT CORP DEL            COMMON STOCK     040026106     3112   100000 SH       SOLE                                   100000
D ARIBA INC                      COMMON STOCK     04033V104     1000    10200 SH       SOLE                   8300              1900
D ARMSTRONG HOLDINGS INC         COMMON STOCK     042384107     1237    80800 SH       SOLE                                    80800
D ARROW ELECTRONICS INC          COMMON STOCK     042735100     1522    49085 SH       SOLE                  21435             27650
D ART TECHNOLOGY GROUP INC       COMMON STOCK     04289L107    15509   153650 SH       SOLE                 152206              1444
D ART TECHNOLOGY GROUP INC       COMMON STOCK     04289L107    32068   317700 SH       DEFINED                                317700
D ARTISAN COMPONETS INC          COMMON STOCK     042923102     2058   189240 SH       SOLE                 184853              4387
D ARTISAN COMPONETS INC          COMMON STOCK     042923102     3326   305800 SH       DEFINED                                305800
D EXCITE@HOME SERIES A           COMMON STOCK     045919107      239    11522 SH       SOLE                   4894              6628
D ASSOCIATES FIRST CAPITAL CORP  COMMON STOCK     046008108    23485  1052567 SH       SOLE                 634476            418091
D ASSOCIATES FIRST CAPITAL CORP  COMMON STOCK     046008108    52588  2356900 SH       DEFINED                               2356900
D ASTEC INDUSTRIES INC           COMMON STOCK     046224101     1251    49300 SH       SOLE                  49300
D ***ASTRAZENECA PLC             COMMON STOCK     046353108      247     5316 SH       SOLE                   2311              3005
D ASYST TECHNOLOGIES INC         COMMON STOCK     04648X107     1473    43000 SH       SOLE                  43000
D ASYST TECHNOLOGIES INC         COMMON STOCK     04648X107     3343    97600 SH       DEFINED                                 97600
D ATLAS AIR INC                  COMMON STOCK     049164106      258     7200 SH       SOLE                                     7200
D ATMEL CORP                     COMMON STOCK     049513104    21444   581525 SH       SOLE                 570704             10821
D ATMEL CORP                     COMMON STOCK     049513104    67655  1834700 SH       DEFINED                               1834700
D AUTOMATIC DATA PROCESSING INC  COMMON STOCK     053015103    21521   401799 SH       SOLE                 124777            277022
D AUTOMATIC DATA PROCESSING INC  COMMON STOCK     053015103      477     8900 SH       DEFINED                                  8900
D AUTOMATIC DATA PROCESSING INC  CONVERTIBLE BOND 053015AC7      242   185000 PRN      SOLE                                   185000
D AUTOZONE INC                   COMMON STOCK     053332102      345    15700 SH       SOLE                   3800             11900
D AVALONBAY COMMUNITIES INC      COMMON STOCK     053484101      887    21253 SH       SOLE                  10253             11000
D AVERY DENNISON CORP            COMMON STOCK     053611109    13917   207335 SH       SOLE                 134735             72600
D AVIALL INC NEW                 COMMON STOCK     05366B102     2478   501854 SH       SOLE                 468054             33800
D AVIALL INC NEW                 COMMON STOCK     05366B102     3797   769100 SH       DEFINED                                769100
D AVIRON                         COMMON STOCK     053762100      891    28854 SH       SOLE                                    28854
D AVIS GROUP HOLDINGS INC        COMMON STOCK     053790101    36074  1923920 SH       SOLE                 719122           1204798
D AVON PRODUCTS INC              COMMON STOCK     054303102    23116   519456 SH       SOLE                 363240            156216
D AVTEAM INC-CL A                COMMON STOCK     054527205     1913  1113283 SH       SOLE                 589200            524083
D AWARE INC-MASS                 COMMON STOCK     05453N100     1161    22700 SH       SOLE                  21900               800
D AWARE INC-MASS                 COMMON STOCK     05453N100     2382    46600 SH       DEFINED                                 46600
D AXYS PHARMACEUTICALS INC       COMMON STOCK     054635107       66    11100 SH       SOLE                    500             10600
D ***BCE INC                     COMMON STOCK     05534B109      246    10350 SH       SOLE                   3050              7300
D BISYS GROUP INC                COMMON STOCK     055472104    22269   362100 SH       SOLE                 285700             76400
D BJS WHOLESALE CLUB INC         COMMON STOCK     05548J106     2731    82755 SH       SOLE                  70055             12700
D ***BP AMOCO P L C              COMMON STOCK     055622104    25366   447978 SH       SOLE                 191403            256575
D ***BP AMOCO P L C              COMMON STOCK     055622104     2828    50000 SH       DEFINED                                 50000
D BP PRUDHOE BAY ROYALTY TRUST   COMMON STOCK     055630107     2302   239881 SH       DEFINED                                239881
D BMC SOFTWARE INC               COMMON STOCK     055921100      280     7680 SH       SOLE                   3480              4200
D BAIRNCO CORP                   COMMON STOCK     057097107     3552   481600 SH       SOLE                  50000            431600
D BAKER HUGHES INC               COMMON STOCK     057224107     1840    57566 SH       SOLE                  26446             31120
D BALDOR ELECTRIC CO             COMMON STOCK     057741100     1360    73033 SH       SOLE                  73033
D BANGOR HYDRO-ELECTRIC CO       COMMON STOCK     060077104     4666   199100 SH       SOLE                 194400              4700
D BANK OF AMER CORP              COMMON STOCK     060505104    15461   356612 SH       SOLE                 209842            146770
D BANK OF NEW YORK CO INC        COMMON STOCK     064057102    17797   382723 SH       SOLE                 105786            276937
D BANK OF NEW YORK CO INC        COMMON STOCK     064057102    97078  2087700 SH       DEFINED                               2087700
D BANK ONE CORP                  COMMON STOCK     06423A103     4018   141812 SH       SOLE                  81527             60285
D BANKNORTH GROUP INC NEW        COMMON STOCK     06646R107    18449  1204841 SH       SOLE                1107741             97100
D BANKNORTH GROUP INC NEW        COMMON STOCK     06646R107    20632  1347400 SH       DEFINED                               1347400
D C R BARD INC                   COMMON STOCK     067383109    64192  1333860 SH       SOLE                 880710            453150
D C R BARD INC                   COMMON STOCK     067383109      443     9200 SH       DEFINED                                  9200
D ***BARCLAYS PLC-ADR            COMMON STOCK     06738E204      370     3700 SH       SOLE                   2300              1400
D BARRA INC                      COMMON STOCK     068313105     6032   121700 SH       SOLE                 121700
D BAUSCH & LOMB INC              COMMON STOCK     071707103     1059    13686 SH       SOLE                   2200             11486
D BAXTER INTERNATIONAL INC       COMMON STOCK     071813109    26153   372567 SH       SOLE                 251198            121369
D BEA SYSTEMS INC                COMMON STOCK     073325102    21619   437305 SH       SOLE                 424431             12874
D BEA SYSTEMS INC                COMMON STOCK     073325102    42032   850200 SH       DEFINED                                850200
D BEAR STEARNS COMPANIES INC     COMMON STOCK     073902108   179898  4318263 SH       SOLE                1668192           2650071
D BEAR STEARNS COMPANIES INC     COMMON STOCK     073902108      254     6100 SH       DEFINED                                  6100
D BEAZER HOMES USA INC           COMMON STOCK     07556Q105    12815   702198 SH       SOLE                 121900            580298
D BECKMAN COULTER INC            COMMON STOCK     075811109     5085    87108 SH       SOLE                  56433             30675
D BECTON DICKINSON & CO          COMMON STOCK     075887109    89870  3132744 SH       SOLE                1725295           1407449
D BECTON DICKINSON & CO          COMMON STOCK     075887109      264     9200 SH       DEFINED                                  9200
D BELL & HOWELL CO (NEW)         COMMON STOCK     077852101    11483   473525 SH       SOLE                 266800            206725
D BELL ATLANTIC CORP             COMMON STOCK     077853109    93082  1828904 SH       SOLE                1120927            707977
D BELL ATLANTIC CORP             COMMON STOCK     077853109   104999  2066400 SH       DEFINED                               2066400
D BELLSOUTH CORP                 COMMON STOCK     079860102    15946   374105 SH       SOLE                 185027            189078
D A H BELO CORP-SER A            COMMON STOCK     080555105    72801  4204459 SH       SOLE                2861579           1342880
D A H BELO CORP-SER A            COMMON STOCK     080555105      623    36000 SH       DEFINED                                 36000
D BEMIS CO INC                   COMMON STOCK     081437105      434    12900 SH       SOLE                   2900             10000
D BENCHMARK ELECTRONICS INC      COMMON STOCK     08160H101    10409   284681 SH       SOLE                 284681
D BENCHMARK ELECTRONICS INC      COMMON STOCK     08160H101    16680   456200 SH       DEFINED                                456200
D BERGEN BRUNSWIG CORP CLASS A   COMMON STOCK     083739102       69    12510 SH       SOLE                   2150             10360
D BERINGER WINE ESTATES HOLDINGS COMMON STOCK     084102102     3556   100700 SH       SOLE                  74400             26300
D W R BERKLEY CORP               COMMON STOCK     084423102    10505   560242 SH       SOLE                 560242
D W R BERKLEY CORP               COMMON STOCK     084423102    15542   828900 SH       DEFINED                                828900
D BERKSHIRE BANCORP INC DEL      COMMON STOCK     084597103      670    20000 SH       SOLE                   1000             19000
D BERKSHIRE HATHAWAY INC-DEL     COMMON STOCK     084670108    13127      244 SH       SOLE                     81               163
D BERKSHIRE HATHAWAY INC-DEL     COMMON STOCK     084670207   100988    57379 SH       SOLE                  38900             18479
D BERKSHIRE HATHAWAY INC-DEL     COMMON STOCK     084670207    36432    20700 SH       DEFINED                                 20700
D BEST BUY COMPANY INC           COMMON STOCK     086516101    10025   158500 SH       SOLE                 158500
D BEST BUY COMPANY INC           COMMON STOCK     086516101    32675   516600 SH       DEFINED                                516600
D BESTFOODS                      COMMON STOCK     08658U101     9024   130304 SH       SOLE                  71052             59252
D BIO-TECHNOLOGY GENERAL CORP    COMMON STOCK     090578105     3288   249310 SH       SOLE                 249310
D BIOGEN INC                     COMMON STOCK     090597105    28253   435840 SH       SOLE                 216575            219265
D BIOTECH HOLDRS TR              COMMON STOCK     09067D201      267     1500 SH       SOLE                   1400               100
D BLACK & DECKER CORP            COMMON STOCK     091797100    17023   433320 SH       SOLE                 172250            261070
D BLACK BOX CORP-DEL             COMMON STOCK     091826107    21053   265920 SH       SOLE                 262420              3500
D BLACK BOX CORP-DEL             COMMON STOCK     091826107    30497   385200 SH       DEFINED                                385200
D BLACKROCK MUNICIPAL TARGET     COMMON STOCK     09247M105      111    10950 SH       SOLE                  10950
D E W BLANCH HOLDINGS INC        COMMON STOCK     093210102      374    18400 SH       SOLE                  18400
D BLOCK DRUG CO INC CLASS A      COMMON STOCK     093644102    13134   310410 SH       SOLE                 301450              8960
D BLOCK DRUG CO INC CLASS A      COMMON STOCK     093644102    18204   430238 SH       DEFINED                                430238
D H & R BLOCK INC                COMMON STOCK     093671105   105190  3248934 SH       SOLE                1392159           1856775
D BLOCKBUSTER INC                COMMON STOCK     093679108      368    38000 SH       SOLE                   3000             35000
D BOEING CO                      COMMON STOCK     097023105    29688   711837 SH       SOLE                 600043            111794
D BORG WARNER AUTOMOTIVE INC     COMMON STOCK     099724106     5206   148200 SH       SOLE                  90550             57650
D BOSTON PROPERTIES INC          COMMON STOCK     101121101    35391   916280 SH       SOLE                 893555             22725
D BOSTON PROPERTIES INC          COMMON STOCK     101121101      498    12900 SH       DEFINED                                 12900
D BOSTON SCIENTIFIC CORP         COMMON STOCK     101137107      585    26682 SH       SOLE                   1920             24762
D BOWATER INC                    COMMON STOCK     102183100    20901   473604 SH       SOLE                 360174            113430
D BOWATER INC                    COMMON STOCK     102183100      229     5200 SH       DEFINED                                  5200
D W H BRADY CO CL A NON VTG      COMMON STOCK     104674106    14128   434714 SH       SOLE                 434714
D W H BRADY CO CL A NON VTG      COMMON STOCK     104674106    20004   615500 SH       DEFINED                                615500
D ***BRANDERA.COM INC            FOREIGN COMMON S 105261101       94   100000 SH       SOLE                 100000
D BRIDGFORD FOODS CORP           COMMON STOCK     108763103      310    25800 SH       SOLE                                    25800
D BRIGGS & STRATTON CORP         COMMON STOCK     109043109     2942    85900 SH       SOLE                  36200             49700
D BRINKER INTERNATIONAL INC      COMMON STOCK     109641100     4021   137450 SH       SOLE                 116500             20950
D BRINKER INTERNATIONAL INC      COMMON STOCK     109641100    21939   750050 SH       DEFINED                                750050
D BRIO TECHNOLOGY INC            COMMON STOCK     109704106     3242   153000 SH       SOLE                 149699              3301
D BRIO TECHNOLOGY INC            COMMON STOCK     109704106     5327   251400 SH       DEFINED                                251400
D BRISTOL MYERS SQUIBB CO        COMMON STOCK     110122108   302673  5191119 SH       SOLE                2916448           2274671
D BRISTOL MYERS SQUIBB CO        COMMON STOCK     110122108   138524  2378100 SH       DEFINED                               2378100
D ***BRITISH TELECOMMUNICATIONS  COMMON STOCK     111021408      390     2950 SH       SOLE                   2950
D BROADCOM CORP                  COMMON STOCK     111320107     1084     4950 SH       SOLE                   3950              1000
D BROADCOM CORP                  COMMON STOCK     111320107    21149    96600 SH       DEFINED                                 96600
D BROADVISION INC                COMMON STOCK     111412102     6486   127650 SH       SOLE                 126750               900
D BROADVISION INC                COMMON STOCK     111412102    16672   328100 SH       DEFINED                                328100
D BROADWING INC                  COMMON STOCK     111620100      240     9200 SH       SOLE                   1200              8000
D BROCADE COMMUNICATIONS SYS INC COMMON STOCK     111621108     4149    22612 SH       SOLE                  19528              3084
D BROCADE COMMUNICATIONS SYS INC COMMON STOCK     111621108    13945    76000 SH       DEFINED                                 76000
D BROWN & BROWN INC              COMMON STOCK     115236101     8960   172300 SH       SOLE                 172300
D BROWN & BROWN INC              COMMON STOCK     115236101    12293   236400 SH       DEFINED                                236400
D BROWN FORMAN CORP-CL B         COMMON STOCK     115637209      552    10274 SH       SOLE                   5470              4804
D TOM BROWN INC NEW              COMMON STOCK     115660201      657    28500 SH       SOLE                                    28500
D BRUNSWICK CORP                 COMMON STOCK     117043109      465    28100 SH       SOLE                  11300             16800
D BUDGET GROUP INC-CL A          COMMON STOCK     119003101      357    86600 SH       SOLE                                    86600
D BURLINGTON NORTHERN SANTA FE   COMMON STOCK     12189T104     6565   286206 SH       SOLE                 130937            155269
D BURLINGTON NORTHERN SANTA FE   COMMON STOCK     12189T104    28759  1253800 SH       DEFINED                               1253800
D BURLINGTON RESOURCES INC       COMMON STOCK     122014103     4584   119843 SH       SOLE                  13298            106545
D BURNS INTL SVCS CORP           COMMON STOCK     122374101      731    58500 SH       SOLE                  14400             44100
D BUSH BOAKE ALLEN INC           COMMON STOCK     123162109     1802    41186 SH       SOLE                  41186
D BUTLER MANUFACTURING CO        COMMON STOCK     123655102      170    10000 SH       SOLE                  10000
D CB RICHARD ELLIS SERVICES      COMMON STOCK     12489L108      367    40187 SH       SOLE                  22347             17840
D CIGNA CORP                     COMMON STOCK     125509109     3748    40071 SH       SOLE                  22528             17543
D CIGNA CORP                     COMMON STOCK     125509109    96006  1026800 SH       DEFINED                               1026800
D CIT GROUP INC                  COMMON STOCK     125577106    18436  1134495 SH       SOLE                1038495             96000
D CKE RESTAURANTS INC            COMMON STOCK     12561E105     1190   396768 SH       SOLE                 395019              1749
D CMGI INC                       COMMON STOCK     125750109      240     5237 SH       SOLE                   2687              2550
D CSS INDUSTRIES INC             COMMON STOCK     125906107      321    15700 SH       SOLE                                    15700
D CNA FINANCIAL CORP             COMMON STOCK     126117100      862    25358 SH       SOLE                   9858             15500
D CNF TRANSPORTATION INC         COMMON STOCK     12612W104     2208    97075 SH       SOLE                  73975             23100
D CSG SYSTEMS INTERNATIONAL INC  COMMON STOCK     126349109    15986   285150 SH       SOLE                 285150
D CSG SYSTEMS INTERNATIONAL INC  COMMON STOCK     126349109    26960   480900 SH       DEFINED                                480900
D CSX CORP                       COMMON STOCK     126408103      409    19316 SH       SOLE                  18002              1314
D CTS CORP-W/RTS                 COMMON STOCK     126501105    12917   287034 SH       SOLE                 244549             42485
D CVS CORP                       COMMON STOCK     126650100     2633    65829 SH       SOLE                  22537             43292
D ***CABLE & WIRELESS HKT        COMMON STOCK     126828102      218    10118 SH       SOLE                   6204              3914
D ***CABLE & WIRELESS PLC        COMMON STOCK     126830207      422     8430 SH       SOLE                   8430
D ***CABLE & WIRELESS PLC        COMMON STOCK     126830207     1683    33620 SH       DEFINED                                 33620
D CABLEVISION SYSTEMS CORP-CL A  COMMON STOCK     12686C109     3987    58735 SH       SOLE                  30215             28520
D CABOT CORP                     COMMON STOCK     127055101      208     7650 SH       SOLE                   5650              2000
D CABOT CORP                     COMMON STOCK     127055101    63239  2320700 SH       DEFINED                               2320700
D CABOT OIL & GAS CORP-CL A      COMMON STOCK     127097103     7336   346231 SH       SOLE                 315681             30550
D CABOT OIL & GAS CORP-CL A      COMMON STOCK     127097103    14350   677300 SH       DEFINED                                677300
D CABOT MICROELECTRONICS CORP    COMMON STOCK     12709P103     3848    84100 SH       DEFINED                                 84100
D CACI INTERNATIONAL INC         COMMON STOCK     127190304     7113   364785 SH       SOLE                 364785
D CACI INTERNATIONAL INC         COMMON STOCK     127190304     9676   496200 SH       DEFINED                                496200
D CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108    32185  1550404 SH       SOLE                1378031            172373
D CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108    53217  2611900 SH       DEFINED                               2611900
D CAL DIVE INTERNATIONAL INC     COMMON STOCK     127914109     6122   112986 SH       SOLE                 112234               752
D CAL DIVE INTERNATIONAL INC     COMMON STOCK     127914109    19453   359000 SH       DEFINED                                359000
D CALGON CARBON CORP             COMMON STOCK     129603106     6952   897000 SH       SOLE                 661200            235800
D CALPINE CORP                   COMMON STOCK     131347106    27728   421950 SH       SOLE                 419218              2732
D CALPINE CORP                   COMMON STOCK     131347106    60858   925600 SH       DEFINED                                925600
D CAMDEN PROPERTY TRUST-SBI      COMMON STOCK     133131102      417    14200 SH       SOLE                  10000              4200
D CAMPBELL SOUP CO               COMMON STOCK     134429109     1094    37554 SH       SOLE                   6940             30614
D ***CANADIAN PACIFIC LTD NEW    FOREIGN COMMON S 135923100      473    18075 SH       SOLE                   6075             12000
D ***CANADIAN NATIONAL RAILROAD  FOREIGN COMMON S 136375102    16184   554481 SH       SOLE                 306305            248176
D CAPITAL ONE FINANCIAL CORP     COMMON STOCK     14040H105    24682   553100 SH       SOLE                 501082             52018
D CAPITAL ONE FINANCIAL CORP     COMMON STOCK     14040H105   222063  4976200 SH       DEFINED                               4976200
D CARDINAL HEALTH INC            COMMON STOCK     14149Y108      471     6360 SH       SOLE                   1661              4699
D CARNIVAL CORP-CL A             COMMON STOCK     143658102    12455   638705 SH       SOLE                 624005             14700
D CARNIVAL CORP-CL A             COMMON STOCK     143658102    62260  3192800 SH       DEFINED                               3192800
D CARTER WALLACE INC             COMMON STOCK     146285101      264    13100 SH       SOLE                                    13100
D CATALINA LIGHTING INC          COMMON STOCK     148865108      201    42400 SH       SOLE                                    42400
D CATALYTICA INC                 COMMON STOCK     148885106      121    11000 SH       SOLE                  10000              1000
D CATERPILLAR INC                COMMON STOCK     149123101      520    15350 SH       SOLE                   6150              9200
D ***CELESTICA INC               FOREIGN COMMON S 15101Q108      304     6200 SH       SOLE                   5000              1200
D CENDANT CORP                   COMMON STOCK     151313103    24984  1766926 SH       SOLE                1009413            757513
D CENTERPOINT PROPERTIES CORP    COMMON STOCK     151895109    18426   452014 SH       SOLE                 430814             21200
D CENTEX CORP                    COMMON STOCK     152312104      536    22805 SH       SOLE                  20805              2000
D CENTRAL NEWSPAPERS INC-CL A    COMMON STOCK     154647101     1132    17900 SH       SOLE                   5600             12300
D *** CENTRAL PACIFIC MINERALS   COMMON STOCK     154762306     2717   564582 SH       SOLE                 554082             10500
D CEPHALON INC                   COMMON STOCK     156708109     2092    34940 SH       SOLE                  33984               956
D CEPHALON INC                   COMMON STOCK     156708109     3221    53800 SH       DEFINED                                 53800
D CERIDIAN CORP-W/RTS            COMMON STOCK     15677T106    14221   591010 SH       SOLE                 552300             38710
D CERIDIAN CORP-W/RTS            COMMON STOCK     15677T106    48058  1997200 SH       DEFINED                               1997200
D CHARTER ONE FINANCIAL INC      COMMON STOCK     160903100      586    25470 SH       SOLE                  22965              2505
D CHARMING SHOPPES INC           COMMON STOCK     161133103      270    53000 SH       SOLE                   3000             50000
D CHARTER COMMUNICATIONS INC DEL COMMON STOCK     16117M107     1869   113725 SH       SOLE                  58000             55725
D CHASE MANHATTAN CORP NEW       COMMON STOCK     16161A108   109016  2259132 SH       SOLE                1809888            449244
D CHASE MANHATTAN CORP NEW       COMMON STOCK     16161A108   292225  6344100 SH       DEFINED                               6344100
D CHEESECAKE FACTORY INC         COMMON STOCK     163072101     1563    56850 SH       SOLE                  56850
D CHELSEA GCA REALTY INC         COMMON STOCK     163262108     3772   109124 SH       SOLE                  36829             72295
D CHEVRON CORP                   COMMON STOCK     166751107    43777   515630 SH       SOLE                 276500            239130
D CHEVRON CORP                   COMMON STOCK     166751107   115845  1365900 SH       DEFINED                               1365900
D CHIEFTAIN INTL FUNDING CORP    CONVERTIBLE PREF 168672202      504    19300 SH       SOLE                   4100             15200
D CHOICE HOTELS INTERNATIONAL    COMMON STOCK     169905106      758    76300 SH       SOLE                  42400             33900
D CHIRON CORP                    COMMON STOCK     170040109      403     8480 SH       SOLE                   2120              6360
D CHOICEPOINT INC                COMMON STOCK     170388102    34106   770570 SH       SOLE                 560870            209700
D CHOICEPOINT INC                COMMON STOCK     170388102      378     8500 SH       DEFINED                                  8500
D CHRIS-CRAFT INDUSTRIES INC     COMMON STOCK     170520100     1403    21234 SH       SOLE                   4223             17011
D CHROMAVISION MEDICAL SYSTEMS   COMMON STOCK     17111P104     1213    92000 SH       SOLE                  92000
D CHROMAVISION MEDICAL SYSTEMS   COMMON STOCK     17111P104     2498   189400 SH       DEFINED                                189400
D CHUBB CORP                     COMMON STOCK     171232101     9417   153115 SH       SOLE                  85284             67831
D CHURCH & DWIGHT CO INC         COMMON STOCK     171340102    17247   958183 SH       SOLE                 956183              2000
D CHURCH & DWIGHT CO INC         COMMON STOCK     171340102    23850  1325000 SH       DEFINED                               1325000
D CIBER INC                      COMMON STOCK     17163B102    12043   908869 SH       SOLE                 908869
D CIBER INC                      COMMON STOCK     17163B102    17424  1315000 SH       DEFINED                               1315000
D CIENA CORPORATION              COMMON STOCK     171779101      250     1500 SH       SOLE                                     1500
D CINCINNATI FINANCIAL CORP      COMMON STOCK     172062101    13994   445145 SH       SOLE                 296237            148908
D CINERGY CORP                   COMMON STOCK     172474108    22431   896440 SH       SOLE                 891053              5387
D CIRCLE INTERNATIONAL GROUP INC COMMON STOCK     172574105    15377   612004 SH       SOLE                 607504              4500
D CIRCLE INTERNATIONAL GROUP INC COMMON STOCK     172574105    21856   869900 SH       DEFINED                                869900
D CIRCUIT CITY STORES INC        COMMON STOCK     172737108     3768   113550 SH       SOLE                 101250             12300
D CISCO SYSTEMS INC              COMMON STOCK     17275R102   189010  2973611 SH       SOLE                1495462           1478149
D CISCO SYSTEMS INC              COMMON STOCK     17275R102     1055    16600 SH       DEFINED                                 16600
D CITADEL COMMUNICATIONS CORP    COMMON STOCK     172853202     2810    80435 SH       SOLE                  79498               937
D CITADEL COMMUNICATIONS CORP    COMMON STOCK     172853202     5328   152500 SH       DEFINED                                152500
D CITIGROUP INC                  COMMON STOCK     172967101  1103405 18269260 SH       SOLE                7958038          10311223
D CITIGROUP INC                  COMMON STOCK     172967101   343107  5694725 SH       DEFINED                               5694725
D CITIZENS COMMUNICATIONS CO     COMMON STOCK     17453B101     1743   101063 SH       SOLE                  76350             24713
D CITRIX SYSTEMS INC             COMMON STOCK     177376100    26012  1373569 SH       SOLE                 600475            773094
D CITY INVESTING CO LIQUIDATING  COMMON STOCK     177900107       86    66825 SH       SOLE                  48525             18300
D CLAIRES STORES INC             COMMON STOCK     179584107    19392  1007361 SH       SOLE                 922936             84425
D CLAIRES STORES INC             COMMON STOCK     179584107    24086  1251200 SH       DEFINED                               1251200
D CLARENT CORP                   COMMON STOCK     180461105     5112    71500 SH       SOLE                  71500
D CLARENT CORP                   COMMON STOCK     180461105    14786   206800 SH       DEFINED                                206800
D CLEAR CHANNEL COMMUNICATIONS   COMMON STOCK     184502102    19555   260727 SH       SOLE                 189029             71698
D CLEVELAND CLIFFS INC           COMMON STOCK     185896107      258    10000 SH       SOLE                                    10000
D CLOROX CO                      COMMON STOCK     189054109      374     8349 SH       SOLE                   2913              5436
D COACHMEN INDUSTRIES INC        COMMON STOCK     189873102     2256   196205 SH       SOLE                 192205              4000
D COASTAL CORP                   COMMON STOCK     190441105   226911  3773115 SH       SOLE                2924836            848279
D COASTAL CORP                   COMMON STOCK     190441105    40671   668100 SH       DEFINED                                668100
D COCA-COLA CO                   COMMON STOCK     191216100    48105   837523 SH       SOLE                 318542            518981
D COCA COLA ENTERPRISES INC      COMMON STOCK     191219104      300    18400 SH       SOLE                   8800              9600
D ***COCA-COLA FEMSA S A DE C V  COMMON STOCK     191241108      720    38125 SH       SOLE                  38125
D ***COFLEXIP-SPONSORED ADR      COMMON STOCK     192384105      534     8825 SH       SOLE                   8235               590
D ***COFLEXIP-SPONSORED ADR      COMMON STOCK     192384105     1947    32175 SH       DEFINED                                 32175
D COLDWATER CREEK INC            COMMON STOCK     193068103      389    12900 SH       SOLE                  12900
D COLLATERAL THERAPEUTICS INC.   COMMON STOCK     193921103      567    22350 SH       SOLE                  19150              3200
D COLGATE PALMOLIVE CO           COMMON STOCK     194162103   120335  2009766 SH       SOLE                1173961            835805
D ***COLT TELECOM GROUP PLC      COMMON STOCK     196877104      201     1485 SH       SOLE                    985               500
D COLUMBIA ENERGY GROUP          COMMON STOCK     197648108      212     3225 SH       SOLE                    225              3000
D COLUMBIA LABORATORIES INC      COMMON STOCK     197779101      706   122800 SH       SOLE                  60200             62600
D COMCAST CORP CLASS A           COMMON STOCK     200300101     4459   114700 SH       SOLE                  34200             80500
D COMCAST CORP CL A-SPL          COMMON STOCK     200300200   275801  6809913 SH       SOLE                3978938           2830975
D COMCAST CORP CL A-SPL          COMMON STOCK     200300200     2268    56000 SH       DEFINED                                 56000
D COMDISCO INC                   COMMON STOCK     200336105     8796   394200 SH       SOLE                 385400              8800
D COMDISCO INC                   COMMON STOCK     200336105      254    11400 SH       DEFINED                                 11400
D COMERICA INC                   COMMON STOCK     200340107      329     7330 SH       SOLE                   6130              1200
D COMMAND SECURITY CORP          COMMON STOCK     20050L100       44    54396 SH       SOLE                                    54396
D COMMERCE BANCORP INC-N.J.      COMMON STOCK     200519106      274     5964 SH       SOLE                                     5964
D COMMERCE BANCSHARES INC        COMMON STOCK     200525103      460    15455 SH       SOLE                   5293             10162
D COMMERCIAL FEDERAL CORP        COMMON STOCK     201647104      775    49775 SH       SOLE                   4775             45000
D COMMONWEALTH INDUSTRIES INC    COMMON STOCK     203004106      411    70000 SH       SOLE                                    70000
D COMMONWEALTH TELEPHONE         COMMON STOCK     203349105     3031    64394 SH       SOLE                  24957             39437
D COMMSCOPE INC                  COMMON STOCK     203372107     1638    39951 SH       SOLE                  39850               101
D COMMUNITY FIRST BANKSHARES INC COMMON STOCK     203902101      243    14900 SH       SOLE                  14900
D COMMUNITY FIRST BANKSHARES INC COMMON STOCK     203902101     3355   205700 SH       DEFINED                                205700
D COMPAQ COMPUTER CORP           COMMON STOCK     204493100   113948  4450108 SH       SOLE                3157306           1292802
D COMPAQ COMPUTER CORP           COMMON STOCK     204493100    84484  3305000 SH       DEFINED                               3305000
D COMPUTER ASSOCIATES INTL INC   COMMON STOCK     204912109    14720   287557 SH       SOLE                 239074             48483
D COMPUTER ASSOCIATES INTL INC   COMMON STOCK     204912109   183026  3575600 SH       DEFINED                               3575600
D COMPUTER SCIENCES CORP         COMMON STOCK     205363104   127014  1700606 SH       SOLE                1095243            605363
D COMPUTER SCIENCES CORP         COMMON STOCK     205363104   118477  1586300 SH       DEFINED                               1586300
D COMPUWARE CORP                 COMMON STOCK     205638109     5664   545925 SH       SOLE                 536325              9600
D COMPUWARE CORP                 COMMON STOCK     205638109    30497  2939500 SH       DEFINED                               2939500
D COMVERSE TECHNOLOGY INC NEW    COMMON STOCK     205862402    26326   283075 SH       SOLE                 268769             14306
D COMVERSE TECHNOLOGY INC NEW    COMMON STOCK     205862402    44966   483500 SH       DEFINED                                483500
D CONAGRA INC                    COMMON STOCK     205887102     4029   211366 SH       SOLE                 175788             35578
D CONCORD EFS INC                COMMON STOCK     206197105    20025   770175 SH       SOLE                 765190              4985
D CONCORD EFS INC                COMMON STOCK     206197105    33810  1300400 SH       DEFINED                               1300400
D CONEXANT SYSTEMS INC           COMMON STOCK     207142100    20130   413990 SH       SOLE                 377820             36170
D CONEXANT SYSTEMS INC           COMMON STOCK     207142100    41531   854100 SH       DEFINED                                854100
D CONGOLEUM CORP NEW-CL A        COMMON STOCK     207195108      740   185000 SH       SOLE                                   185000
D CONMED CORP                    COMMON STOCK     207410101     1360    52550 SH       SOLE                  49800              2750
D CONOCO INC-CL B                COMMON STOCK     208251405     1231    50134 SH       SOLE                  21263             28871
D CONSECO INC                    COMMON STOCK     208464107      355    36424 SH       SOLE                   6286             30138
D CONSOLIDATED EDISON INC        COMMON STOCK     209115104     1523    51413 SH       SOLE                  20146             31267
D CONSOLIDATED STORES CORP       COMMON STOCK     210149100     7401   616593 SH       SOLE                 614500              2093
D CONSOLIDATED STORES CORP       COMMON STOCK     210149100     9635   802900 SH       DEFINED                                802900
D CONSTELLATION ENERGY GROUP INC COMMON STOCK     210371100      931    28589 SH       SOLE                  24589              4000
D CONTINENTAL AIRLINES INC-CL B  COMMON STOCK     210795308    14929   319180 SH       SOLE                 318230               950
D CONTINENTAL AIRLINES INC-CL B  COMMON STOCK     210795308    47475  1010100 SH       DEFINED                               1010100
D CONVERGYS CORP                 COMMON STOCK     212485106    44242   852865 SH       SOLE                 613625            239240
D COOPER CAMERON CORP            COMMON STOCK     216640102    34841   527238 SH       SOLE                 415017            112221
D COOPER CAMERON CORP            COMMON STOCK     216640102    33700   510600 SH       DEFINED                                510600
D COORS /ADOLPH/ CO CLASS B      COMMON STOCK     217016104     6377   105400 SH       SOLE                  74000             31400
D CORINTHIAN COLLEGES INC        COMMON STOCK     218868107     3144   134160 SH       SOLE                 131053              3107
D CORINTHIAN COLLEGES INC        COMMON STOCK     218868107     5426   231500 SH       DEFINED                                231500
D CORN PRODUCTS INTERNATIONAL    COMMON STOCK     219023108     4970   187535 SH       SOLE                 130685             56850
D CORNING INC                    COMMON STOCK     219350105    59029   223283 SH       SOLE                  97873            125410
D CORRECTIONAL PPTYS TRUST       COMMON STOCK     22025E104     2439   232300 SH       SOLE                  75300            157000
D ***CORUS ENTERTAINMENT INC     FOREIGN COMMON S 220874101      375    13831 SH       SOLE                    833             12998
D COSTCO WHOLESALE CORP-NEW      COMMON STOCK     22160K105    47429  1154301 SH       SOLE                1029714            124587
D COSTCO WHOLESALE CORP-NEW      COMMON STOCK     22160K105    38098  1154500 SH       DEFINED                               1154500
D COTTON STATES LIFE INSURANCE   COMMON STOCK     221774102      500    58827 SH       SOLE                                    58827
D COUNTRYWIDE CREDIT INDS INC    COMMON STOCK     222372104    53195  1779149 SH       SOLE                1696612             82537
D COUNTRYWIDE CREDIT INDS INC    COMMON STOCK     222372104   139816  4612500 SH       DEFINED                               4612500
D COUSINS PROPERTIES INC         COMMON STOCK     222795106      570    14795 SH       SOLE                   8845              5950
D COX COMMUNICATIONS INC         COMMON STOCK     224044107     1324    29066 SH       SOLE                   8652             20414
D COX COMMUNICATIONS INC NEW     CONVERTIBLE PREF 224044305     1355    22050 SH       SOLE                   6850             15200
D COYOTE NETWORK SYSTEMS INC     COMMON STOCK     22406P108     1888   359533 SH       SOLE                   9500            350033
D CRANE CO                       COMMON STOCK     224399105     9630   396110 SH       SOLE                 396110
D CRANE CO                       COMMON STOCK     224399105      292    12000 SH       DEFINED                                 12000
D CREDIT ACCEPTANCE CORP-MICH    COMMON STOCK     225310101    19547  3514150 SH       SOLE                1702350           1811800
D CREE INC                       COMMON STOCK     225447101      975     7300 SH       SOLE                   7300
D CREE INC                       COMMON STOCK     225447101     1816    13600 SH       DEFINED                                 13600
D CRESCENT REAL ESTATE EQUITIES  COMMON STOCK     225756105     6929   338020 SH       SOLE                 276650             61370
D CROMPTON CORP                  COMMON STOCK     227116100      300    24526 SH       SOLE                   2800             21726
D CROSS TIMBERS OIL CO           COMMON STOCK     227573102    13690   618748 SH       SOLE                 616498              2250
D CROSS TIMBERS OIL CO           COMMON STOCK     227573102     5868   265200 SH       DEFINED                                265200
D CROWN CASTLE INTL CORP         COMMON STOCK     228227104     3362    92100 SH       SOLE                  48850             43250
D CROWN CORK & SEAL CO INC       COMMON STOCK     228255105      283    11350 SH       SOLE                  11350
D CROWN MEDIA HLDGS INC          COMMON STOCK     228411104     1642   107200 SH       SOLE                 105639              1561
D CROWN MEDIA HLDGS INC          COMMON STOCK     228411104     2977   194400 SH       DEFINED                                194400
D CROWN PACIFIC PARTNERS LP      COMMON STOCK     228439105      606    31900 SH       SOLE                  29900              2000
D CUBIST PHARMACEUTICALS INC     COMMON STOCK     229678107      246     5000 SH       SOLE                   5000
D CULLEN FROST BANKERS INC       COMMON STOCK     229899109     9813   372926 SH       SOLE                 356626             16300
D CULLEN FROST BANKERS INC       COMMON STOCK     229899109    19619   745600 SH       DEFINED                                745600
D CUMULUS MEDIA INC-CL A         COMMON STOCK     231082108      224    24500 SH       SOLE                    600             23900
D CYBERGOLD INC                  COMMON STOCK     23246N105     3829   411175 SH       SOLE                 405424              5751
D CYBERGOLD INC                  COMMON STOCK     23246N105     4745   509500 SH       DEFINED                                509500
D CYPRESS SEMICONDUCTOR CORP     COMMON STOCK     232806109     2777    65725 SH       SOLE                   9725             56000
D D R HORTON INC                 COMMON STOCK     23331A109    47957  3536004 SH       SOLE                 834280           2701724
D DALLAS SEMICONDUCTOR CORP      COMMON STOCK     235204104    32343   793684 SH       SOLE                 781884             11800
D DALLAS SEMICONDUCTOR CORP      COMMON STOCK     235204104    45595  1118900 SH       DEFINED                               1118900
D DANAHER CORP                   COMMON STOCK     235851102    10089   204085 SH       SOLE                 198087              5998
D DANAHER CORP                   COMMON STOCK     235851102     2254    45600 SH       DEFINED                                 45600
D ***DASSAULT SYSTEMES SA        COMMON STOCK     237545108      598     6360 SH       SOLE                   6360
D ***DASSAULT SYSTEMES SA        COMMON STOCK     237545108     2820    30000 SH       DEFINED                                 30000
D DATASCOPE CORP                 COMMON STOCK     238113104    10354   287607 SH       SOLE                 267157             20450
D DATASCOPE CORP                 COMMON STOCK     238113104    10314   286500 SH       DEFINED                                286500
D DATASTREAM SYSTEMS INC         COMMON STOCK     238124101     5775   462000 SH       SOLE                 425850             36150
D DAVOX CORP                     COMMON STOCK     239208101     6129   473725 SH       SOLE                 473725
D DAVOX CORP                     COMMON STOCK     239208101     8725   674400 SH       DEFINED                                674400
D DEAN FOODS CO                  COMMON STOCK     242361103      349    11012 SH       SOLE                   5600              5412
D DEERE & CO                     COMMON STOCK     244199105     3387    91536 SH       SOLE                  61386             30150
D DEERE & CO                     COMMON STOCK     244199105    20180   545400 SH       DEFINED                                545400
D DELHAIZE AMERICA INC           COMMON STOCK     246688204      305    19851 SH       SOLE                   4695             15156
D DELL COMPUTER CORP             COMMON STOCK     247025109    75095  1522838 SH       SOLE                1044388            478450
D DELPHI AUTOMOTIVE SYS CORP     COMMON STOCK     247126105    21909  1504432 SH       SOLE                 419300           1085132
D DELPHI FINANCIAL GROUP INC     COMMON STOCK     247131105    20820   613478 SH       SOLE                  47753            565725
D DELTA & PINE LAND CO           COMMON STOCK     247357106    10170   405800 SH       SOLE                 405800
D DELTA & PINE LAND CO           COMMON STOCK     247357106    14566   581200 SH       DEFINED                                581200
D DELTA AIR LINES INC            COMMON STOCK     247361108     8548   168764 SH       SOLE                  19440            149324
D DELUXE CORP                    COMMON STOCK     248019101      667    28300 SH       SOLE                   1000             27300
D DENDRITE INTERNATIONAL INC     COMMON STOCK     248239105      628    18850 SH       SOLE                                    18850
D DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107     7614   247100 SH       SOLE                 247100
D DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107    20623   669300 SH       DEFINED                                669300
D DEPARTMENT 56 INC              COMMON STOCK     249509100      268    24400 SH       SOLE                  10500             13900
D ***DEUTSCHE TELEKOM AG         COMMON STOCK     251566105     1170    20620 SH       SOLE                  17520              3100
D DEVON ENERGY CORPORATION NEW   COMMON STOCK     25179M103     1680    29946 SH       SOLE                  29802               144
D DEVON ENERGY CORP NEW          CONVERTIBLE BOND 25179MAB9     1403  1410000 PRN      SOLE                 545000            865000
D DEVRY INC-DEL                  COMMON STOCK     251893103      851    32188 SH       SOLE                  27388              4800
D ***DIAGEO PLC-SPONSORED ADR    COMMON STOCK     25243Q205      719    20209 SH       SOLE                  12509              7700
D DIAGNOSTIC PRODUCTS CORP       COMMON STOCK     252450101      326    10200 SH       SOLE                  10200
D DIAMOND OFFSHORE DRILLING INC  COMMON STOCK     25271C102     3281    93400 SH       SOLE                  51400             42000
D DIAMOND OFFSHORE DRILLING INC  COMMON STOCK     25271C102    32059   912700 SH       DEFINED                                912700
D DIAMONDS TRUST-UNIT SERIES 1   COMMON STOCK     252787106      209     2000 SH       SOLE                                     2000
D DIEBOLD INC                    COMMON STOCK     253651103     1592    57125 SH       SOLE                  45325             11800
D DIGEX INC DEL                  COMMON STOCK     253756100    11703   172255 SH       SOLE                 169740              2515
D DIGEX INC DEL                  COMMON STOCK     253756100    19335   284600 SH       DEFINED                                284600
D DIGITAL ISLAND INC DEL         COMMON STOCK     25385N101     1357    27900 SH       SOLE                  27800               100
D DIGITAL ISLAND INC DEL         COMMON STOCK     25385N101     2841    58425 SH       DEFINED                                 58425
D DIME BANCORP INC NEW           COMMON STOCK     25429Q102     1900   120618 SH       SOLE                  68678             51940
D DIONEX CORP                    COMMON STOCK     254546104    11386   425651 SH       SOLE                 419651              6000
D DIONEX CORP                    COMMON STOCK     254546104    16168   604400 SH       DEFINED                                604400
D WALT DISNEY CO HOLDING CO      COMMON STOCK     254687106   196883  5072738 SH       SOLE                2564893           2507845
D WALT DISNEY CO HOLDING CO      COMMON STOCK     254687106    65504  1687700 SH       DEFINED                               1687700
D DIVERSA CORP                   COMMON STOCK     255064107      712    21500 SH       SOLE                  21000               500
D DOLLAR GENERAL CORP            COMMON STOCK     256669102      236    12126 SH       SOLE                   6470              5656
D DOLLAR THRIFTY AUTOMOTIVE      COMMON STOCK     256743105     6319   342700 SH       SOLE                  47600            295100
D DOLLAR TREE STORES INC         COMMON STOCK     256747106     6342   160300 SH       SOLE                 160300
D DOLLAR TREE STORES INC         COMMON STOCK     256747106     3323    84000 SH       DEFINED                                 84000
D DOMINION RES INC VA NEW        COMMON STOCK     25746U109      245     5714 SH       SOLE                   2150              3564
D DONALDSON CO INC               COMMON STOCK     257651109     9732   492757 SH       SOLE                 492757
D DONALDSON CO INC               COMMON STOCK     257651109    13215   669100 SH       DEFINED                                669100
D ***DONCASTERS PLC              COMMON STOCK     257692103     6952   639300 SH       SOLE                 251800            387500
D R R DONNELLEY & SONS CO        COMMON STOCK     257867101    27149  1203261 SH       SOLE                 777085            426176
D ***DORAL FINANCIAL CORP        COMMON STOCK     25811P100      751    65701 SH       SOLE                  63931              1770
D DOUBLECLICK INC                COMMON STOCK     258609304     5054   132572 SH       SOLE                  77416             55156
D DOVER CORP                     COMMON STOCK     260003108    20626   508510 SH       SOLE                 158785            349725
D DOW CHEMICAL CO                COMMON STOCK     260543103    47106  1560458 SH       SOLE                 406868           1153590
D DOW CHEMICAL CO                COMMON STOCK     260543103    27902   924300 SH       DEFINED                                924300
D DOW JONES & CO INC             COMMON STOCK     260561105      253     3450 SH       SOLE                   1000              2450
D E I DU PONT DE NEMOURS & CO    COMMON STOCK     263534109    73697  1679476 SH       SOLE                1166526            512950
D E I DU PONT DE NEMOURS & CO    COMMON STOCK     263534109    88493  2022700 SH       DEFINED                               2022700
D DUCOMMUN INC                   COMMON STOCK     264147109     4100   343425 SH       SOLE                 326950             16475
D DUCOMMUN INC                   COMMON STOCK     264147109     2969   248750 SH       DEFINED                                248750
D DUKE ENERGY CORP               COMMON STOCK     264399106     6725   118505 SH       SOLE                  63983             54522
D DUKE REALTY INVESTMENTS INC    COMMON STOCK     264411505     2835   126698 SH       SOLE                  44392             82306
D DUN & BRADSTREET CORP DEL      COMMON STOCK     26483B106    67673  2364111 SH       SOLE                1499228            864883
D DUN & BRADSTREET CORP DEL      COMMON STOCK     26483B106      421    14700 SH       DEFINED                                 14700
D DYNEGY INC  (HOLDING CO)       COMMON STOCK     26816Q101    88311  1292723 SH       SOLE                1091768            200955
D DYNEGY INC  (HOLDING CO)       COMMON STOCK     26816Q101    30936   452863 SH       DEFINED                                452863
D EEX CORPORATION - NEW          COMMON STOCK     26842V207       66    12481 SH       SOLE                   8666              3815
D EMC CORP-MASS                  COMMON STOCK     268648102   116959  1519331 SH       SOLE                 850783            668548
D EMC CORP-MASS                  COMMON STOCK     268648102      892    11600 SH       DEFINED                                 11600
D ***ENI SPA-SPONSORED ADR       COMMON STOCK     26874R108      234     4030 SH       SOLE                   3720               310
D EOG RES INC                    COMMON STOCK     26875P101    68290  2038350 SH       SOLE                1471050            567300
D E-TEK DYNAMICS INC             COMMON STOCK     269240107    10943    41480 SH       SOLE                  40848               632
D E-TEK DYNAMICS INC             COMMON STOCK     269240107    36380   137900 SH       DEFINED                                137900
D EASTGROUP PROPERTIES INC       COMMON STOCK     277276101     1237    58725 SH       SOLE                  55600              3125
D EASTMAN KODAK CO               COMMON STOCK     277461109     3072    51525 SH       SOLE                  12590             38935
D EATON CORP                     COMMON STOCK     278058102    11164   166631 SH       SOLE                 162481              4150
D EATON CORP                     COMMON STOCK     278058102      328     4900 SH       DEFINED                                  4900
D EBAY INC                       COMMON STOCK     278642103      345     6360 SH       SOLE                   6150               210
D EBAY INC                       COMMON STOCK     278642103      293     5400 SH       DEFINED                                  5400
D ECHOSTAR COMMUNICATIONS CORP   COMMON STOCK     278762109    23596   712675 SH       SOLE                 423028            289647
D ECLIPSYS CORP                  COMMON STOCK     278856109     9034  1204475 SH       SOLE                1045775            158700
D ECOLAB INC                     COMMON STOCK     278865100      574    14700 SH       SOLE                   3300             11400
D EDISON INTERNATIONAL           COMMON STOCK     281020107     1415    69015 SH       SOLE                  33702             35313
D EDUCATION MANAGEMENT CORP      COMMON STOCK     28139T101    22446  1242704 SH       SOLE                 692944            549760
D EDWARDS LIFESCIENCES CORP      COMMON STOCK     28176E108     1665    90012 SH       SOLE                  54108             35904
D EFFICIENT NETWORKS INC         COMMON STOCK     282056100    15529   211095 SH       SOLE                 209407              1688
D EFFICIENT NETWORKS INC         COMMON STOCK     282056100    29638   402900 SH       DEFINED                                402900
D EGLOBE INC                     COMMON STOCK     282339100       45    15000 SH       SOLE                  15000
D EL PASO ENERGY CORP            COMMON STOCK     283905107    18545   364082 SH       SOLE                 247305            116777
D ***ELAN CORP PLC-ADR           COMMON STOCK     284131208    81068  1673669 SH       SOLE                1238589            435080
D ELECTRO SCIENTIFIC INDS INC    COMMON STOCK     285229100      308     7000 SH       SOLE                                     7000
D ELECTRONIC DATA SYSTEMS CORP   COMMON STOCK     285661104    31144   682685 SH       SOLE                 616149             66536
D ELECTRONIC DATA SYSTEMS CORP   COMMON STOCK     285661104     2108    51100 SH       DEFINED                                 51100
D ELECTRONICS FOR IMAGING INC    COMMON STOCK     286082102     6917   273250 SH       SOLE                 271000              2250
D ELECTRONICS FOR IMAGING INC    COMMON STOCK     286082102     9642   380900 SH       DEFINED                                380900
D EMCORE CORP                    COMMON STOCK     290846104     8724    72700 SH       SOLE                                    72700
D EMCOR GROUP INC                COMMON STOCK     29084Q100     1011    43600 SH       SOLE                  14000             29600
D EMERSON ELECTRIC CO            COMMON STOCK     291011104    45664   756334 SH       SOLE                 538041            218293
D EMERSON ELECTRIC CO            COMMON STOCK     291011104    12057   199700 SH       DEFINED                                199700
D EMISPHERE TECHNOLOGIES INC     COMMON STOCK     291345106     1866    43790 SH       SOLE                  43237               553
D EMISPHERE TECHNOLOGIES INC     COMMON STOCK     291345106     2782    65300 SH       DEFINED                                 65300
D EMMIS COMMUNICATIONS CORP-CL A COMMON STOCK     291525103    27812   672195 SH       SOLE                 631203             40992
D EMMIS COMMUNICATIONS CORP-CL A COMMON STOCK     291525103    36642   885600 SH       DEFINED                                885600
D EMMIS BROADCASTING CORP        CONVERTIBLE PREF 291525202     1122    19350 SH       SOLE                   4600             14750
D ENERGY EAST CORPORATION        COMMON STOCK     29266M109      278    14566 SH       SOLE                   6566              8000
D ENERGIZER HOLDINGS INC         COMMON STOCK     29266R108     6844   375035 SH       SOLE                 363137             11898
D ENERGIZER HOLDINGS INC         COMMON STOCK     29266R108      190    10400 SH       DEFINED                                 10400
D ENGELHARD CORP                 COMMON STOCK     292845104    11582   678775 SH       SOLE                 646500             32275
D ENRON CORP                     COMMON STOCK     293561106    60459   937345 SH       SOLE                 580292            357053
D ENRON CORP                     COMMON STOCK     293561106    22510   349000 SH       DEFINED                                349000
D ENRON CORP                     CONVERTIBLE PREF 293561882      664    21500 SH       SOLE                   8500             13000
D ENTERCOM COMMUNICATIONS CORP   COMMON STOCK     293639100     6273   128669 SH       SOLE                 128669
D ENTERCOM COMMUNICATIONS CORP   COMMON STOCK     293639100    21752   446200 SH       DEFINED                                446200
D ENTERTAINMENT PROPERTIES TRUST COMMON STOCK     29380T105      170    12300 SH       SOLE                   4000              8300
D ENZON INC                      COMMON STOCK     293904108     1807    42520 SH       SOLE                  41733               787
D ENZON INC                      COMMON STOCK     293904108     2644    62200 SH       DEFINED                                 62200
D EPLUS INC                      COMMON STOCK     294268107     1005    38000 SH       SOLE                  19000             19000
D EQUIFAX INC                    COMMON STOCK     294429105     6617   252087 SH       SOLE                  97587            154500
D EQUITY OFFICE PROPERTIES TRUST COMMON STOCK     294741103    14274   518187 SH       SOLE                 154101            364086
D EQUITY RESIDENTIAL PROPERTIES  COMMON STOCK     29476L107     8523   185412 SH       SOLE                 102337             83075
D ***L M ERICSSON TELEPHONE CO   COMMON STOCK     294821400     9117   454599 SH       SOLE                 234883            219716
D ESPEED INC                     COMMON STOCK     296643109     6422   147835 SH       SOLE                 146566              1269
D ESPEED INC                     COMMON STOCK     296643109    16007   368500 SH       DEFINED                                368500
D EXCEL LEGACY CORP              COMMON STOCK     300665106      257    95700 SH       SOLE                  14200             81500
D EXODUS COMMUNICATIONS INC      COMMON STOCK     302088109     1872    40646 SH       SOLE                  34996              5650
D EXULT INC                      COMMON STOCK     302284104     1250   125000 SH       SOLE                 125000
D EXXON MOBIL CORP               COMMON STOCK     30231G102   144697  1840574 SH       SOLE                1182241            658333
D EXXON MOBIL CORP               COMMON STOCK     30231G102   179342  2284609 SH       DEFINED                               2284609
D FBL FINANCIAL GROUP INC-CL A   COMMON STOCK     30239F106     6267   397901 SH       SOLE                 397901
D FBL FINANCIAL GROUP INC-CL A   COMMON STOCK     30239F106    10360   657800 SH       DEFINED                                657800
D FMC CORP-NEW                   COMMON STOCK     302491303    12336   212686 SH       SOLE                 212506               180
D FMC CORP-NEW                   COMMON STOCK     302491303      377     6500 SH       DEFINED                                  6500
D FPIC INSURANCE GROUP INC       COMMON STOCK     302563101      250    15962 SH       SOLE                                    15962
D FPL GROUP INC                  COMMON STOCK     302571104      440     8853 SH       SOLE                   5278              3575
D FVC COM INC                    COMMON STOCK     30266P100      226    29178 SH       SOLE                                    29178
D FACTORY 2-U INC                COMMON STOCK     303072102     3621    95765 SH       SOLE                  93624              2141
D FACTORY 2-U INC                COMMON STOCK     303072102     5698   150700 SH       DEFINED                                150700
D FAIR ISAAC & CO INC            COMMON STOCK     303250104    26329   598389 SH       SOLE                 592789              5600
D FAIR ISAAC & CO INC            COMMON STOCK     303250104    36938   839500 SH       DEFINED                                839500
D FAMILY DOLLAR STORES INC       COMMON STOCK     307000109      675    34500 SH       SOLE                  34500
D FASTENAL CO                    COMMON STOCK     311900104     3756    74200 SH       SOLE                  74200
D FASTENAL CO                    COMMON STOCK     311900104     2025    40000 SH       DEFINED                                 40000
D FEDDERS CORP                   COMMON STOCK     313135105     5887  1012800 SH       SOLE                 355900            656900
D FEDDERS CORP-CL A NON-VTG      COMMON STOCK     313135303     8199  1772722 SH       SOLE                 339022           1433700
D FREDDIE MAC-VOTING COMMON      COMMON STOCK     313400301    61244  1512194 SH       SOLE                 830297            681897
D FANNIE MAE                     COMMON STOCK     313586109    88907  1699758 SH       SOLE                1043628            656130
D FANNIE MAE                     COMMON STOCK     313586109     2442    46800 SH       DEFINED                                 46800
D FEDERATED DEPARTMENT STORES    COMMON STOCK     31410H101    50217  1487922 SH       SOLE                 833456            654466
D FEDERATED DEPARTMENT STORES    COMMON STOCK     31410H101    42198  1250300 SH       DEFINED                               1250300
D FEDEX CORP                     COMMON STOCK     31428X106     3673    96650 SH       SOLE                  27450             69200
D FIDELITY NATIONAL CORP-GA      COMMON STOCK     316320100      109    17768 SH       SOLE                  17768
D FIDELITY NATIONAL FINANCIAL    COMMON STOCK     316326107     3530   192754 SH       SOLE                 160114             32640
D FIFTH THIRD BANCORP            COMMON STOCK     316773100     1738    27476 SH       SOLE                  15753             11723
D FINANCIAL INSTITUTIONS INC     COMMON STOCK     317585404     2547   181924 SH       SOLE                 181924
D FINANCIAL SEC ASSURANCE HLDGS  COMMON STOCK     31769P100      865    11400 SH       SOLE                   7000              4400
D FINISAR CORP                   COMMON STOCK     31787A101      652    24900 SH       SOLE                  16200              8700
D FINLAY ENTERPRISES INC         COMMON STOCK     317884203    10748   826800 SH       SOLE                 204400            622400
D FINOVA GROUP INC               COMMON STOCK     317928109     2084   158428 SH       SOLE                 156000              2428
D ***FIRST AUSTRALIA PRIME       COMMON STOCK     318653102       82    17652 SH       SOLE                   5652             12000
D FIRST DATA CORP                COMMON STOCK     319963104    73594  1483007 SH       SOLE                 808412            674595
D FIRST INDUSTRIAL REALTY TRUST  COMMON STOCK     32054K103      201     6800 SH       SOLE                                     6800
D FIRST INDIANA CORP             COMMON STOCK     32054R108     3385   170308 SH       SOLE                                   170308
D FIRST TENNESSEE NATIONAL CORP  COMMON STOCK     337162101      182    11000 SH       SOLE                                    11000
D FIRST UNION CORP               COMMON STOCK     337358105     1014    40883 SH       SOLE                  22397             18486
D FIRST UNION REAL ESTATE EQUITY COMMON STOCK     337400105       36    12320 SH       SOLE                                    12320
D FIRST YEARS INC                COMMON STOCK     337610109     3302   296800 SH       SOLE                 296800
D FIRST YEARS INC                COMMON STOCK     337610109     5290   475500 SH       DEFINED                                475500
D FIRSTAR CORP WIS-NEW           COMMON STOCK     33763V109     1076    51069 SH       SOLE                   6931             44138
D FISERV INC                     COMMON STOCK     337738108    16597   383750 SH       SOLE                 381500              2250
D FISERV INC                     COMMON STOCK     337738108    24942   576700 SH       DEFINED                                576700
D FIRSTENERGY CORP               COMMON STOCK     337932107      204     8645 SH       SOLE                   5270              3375
D FLEETBOSTON FINL CORP          COMMON STOCK     339030108     8744   257174 SH       SOLE                 153836            103338
D FLEETBOSTON FINL CORP          COMMON STOCK     339030108    80580  2370000 SH       DEFINED                               2370000
D FLEMING COMPANIES INC          COMMON STOCK     339130106     2787   213350 SH       SOLE                  63050            150300
D FLORIDA PROGRESS CORP          COMMON STOCK     341109106      243     5193 SH       SOLE                    450              4743
D FLOWERS INDUSTRIES INC         COMMON STOCK     343496105     3645   182800 SH       SOLE                  98600             84200
D FLUSHING FINANCIAL CORP        COMMON STOCK     343873105      325    21300 SH       SOLE                  21300
D ***FOMENTO ECONOMICO MEXICANO  COMMON STOCK     344419106      431    10000 SH       SOLE                  10000
D FOODARAMA SUPERMARKETS INC     COMMON STOCK     344820105      409    16900 SH       SOLE                   2200             14700
D FORD MOTOR CO                  COMMON STOCK     345370100     8380   194874 SH       SOLE                  68148            126726
D FOREST LABORATORIES INC        COMMON STOCK     345838106    19715   195200 SH       SOLE                 194202               998
D FOREST LABORATORIES INC        COMMON STOCK     345838106    36572   362100 SH       DEFINED                                362100
D FORT JAMES CORPORATION         COMMON STOCK     347471104     3896   168462 SH       SOLE                  50312            118150
D FORTUNE BRANDS INC             COMMON STOCK     349631101     7718   334668 SH       SOLE                 163600            171068
D FOUNDATION HEALTH SYSTEMS INC  COMMON STOCK     350404109      283    20320 SH       SOLE                  11320              9000
D FOUNDATION HEALTH SYSTEMS INC  COMMON STOCK     350404109    16835  1295000 SH       DEFINED                               1295000
D FOUNDRY NETWORKS INC           COMMON STOCK     35063R100      457     4125 SH       SOLE                     25              4100
D FOX ENTERTAINMENT GROUP INC    COMMON STOCK     35138T107    33551  1104561 SH       SOLE                 566830            537731
D FOX ENTERTAINMENT GROUP INC    COMMON STOCK     35138T107     3493   115000 SH       DEFINED                                115000
D ***FRANCE TELECOM              COMMON STOCK     35177Q105      630     4422 SH       SOLE                   3854               568
D ***FRANCE TELECOM              COMMON STOCK     35177Q105     1731    12150 SH       DEFINED                                 12150
D FRANCHISE FINANCE CORP OF      COMMON STOCK     351807102     5441   236586 SH       SOLE                 123836            112750
D FRANKLIN ELECTRIC CO INC       COMMON STOCK     353514102    10731   158394 SH       SOLE                  43340            115054
D FRANKLIN RESOURCES INC         COMMON STOCK     354613101    10340   340400 SH       SOLE                 336100              4300
D FRANKLIN RESOURCES INC         COMMON STOCK     354613101      310    10200 SH       DEFINED                                 10200
D FRIEDE GOLDMAN HALTER          COMMON STOCK     358430106      663    74173 SH       SOLE                  74173
D FRIEDE GOLDMAN HALTER          COMMON STOCK     358430106     5958   666600 SH       DEFINED                                666600
D FRONTIER OIL CORP              COMMON STOCK     35914P105      116    14500 SH       SOLE                  14500
D H B FULLER & CO                COMMON STOCK     359694106      308     6750 SH       SOLE                   2000              4750
D FURNITURE BRANDS INTERNATIONAL COMMON STOCK     360921100      194    12300 SH       SOLE                   7000              5300
D FURNITURE BRANDS INTERNATIONAL COMMON STOCK     360921100    48628  3215100 SH       DEFINED                               3215100
D FUTURELINK CORP                COMMON STOCK     36114Q208      106    14800 SH       SOLE                    800             14000
D GATX CORP                      COMMON STOCK     361448103     1462    43000 SH       SOLE                  22300             20700
D GP STRATEGIES CORP             COMMON STOCK     36225V104      133    28000 SH       SOLE                  10000             18000
D GPU INC                        COMMON STOCK     36225X100      336    12410 SH       SOLE                   5525              6885
D GTE CORP                       COMMON STOCK     362320103    55982   889750 SH       SOLE                 628151            261599
D GTE CORP                       COMMON STOCK     362320103   105209  1690100 SH       DEFINED                               1690100
D GABLES RESIDENTIAL TRUST-SBI   COMMON STOCK     362418105     8578   333126 SH       SOLE                 318876             14250
D GADZOOX NETWORKS INC           COMMON STOCK     362555104      561    40950 SH       SOLE                  40550               400
D GAINSCO INC                    COMMON STOCK     363127101       50    10000 SH       SOLE                  10000
D GALEY & LORD INC               COMMON STOCK     36352K103       69    33500 SH       SOLE                  33500
D GALLAGHER ARTHUR J & CO        COMMON STOCK     363576109      878    20900 SH       SOLE                   6800             14100
D GANNETT CO INC                 COMMON STOCK     364730101    28431   475338 SH       SOLE                 237154            238184
D GAP INC                        COMMON STOCK     364760108    71784  2236983 SH       SOLE                1675759            561224
D GAP INC                        COMMON STOCK     364760108    22819   730200 SH       DEFINED                                730200
D GARDNER DENVER  INC            COMMON STOCK     365558105     7653   428132 SH       SOLE                 412632             15500
D GARDNER DENVER  INC            COMMON STOCK     365558105    11299   632120 SH       DEFINED                                632120
D GARTNER GROUP INC NEW-CL A     COMMON STOCK     366651107      212    17700 SH       SOLE                   1000             16700
D GARTNER GROUP INC NEW-CL A     COMMON STOCK     366651107    27600  2300000 SH       DEFINED                               2300000
D GATEWAY INC                    COMMON STOCK     367626108    34836   612270 SH       SOLE                 408970            203300
D GATEWAY INC                    COMMON STOCK     367626108   134889  2376900 SH       DEFINED                               2376900
D GENCORP INC                    COMMON STOCK     368682100     1089   136118 SH       SOLE                  26000            110118
D GENE LOGIC INC                 COMMON STOCK     368689105      889    24900 SH       SOLE                  24700               200
D GENENTECH INC                  COMMON STOCK     368710406      895     5205 SH       SOLE                   3996              1209
D GENENTECH INC                  COMMON STOCK     368710406      791     4600 SH       DEFINED                                  4600
D GENL AMERICAN INVESTORS CO INC COMMON STOCK     368802104      205     5231 SH       SOLE                    572              4659
D GENERAL DYNAMICS CORP          COMMON STOCK     369550108    82515  1578268 SH       SOLE                1401867            176401
D GENERAL DYNAMICS CORP          COMMON STOCK     369550108   103330  1977600 SH       DEFINED                               1977600
D GENERAL ELECTRIC CO            COMMON STOCK     369604103   378539  7142254 SH       SOLE                3161818           3980436
D GENERAL ELECTRIC CO            COMMON STOCK     369604103     1129    21300 SH       DEFINED                                 21300
D GENERAL MILLS INC              COMMON STOCK     370334104    22333   583878 SH       SOLE                 311760            272118
D GENERAL MOTORS CORP            COMMON STOCK     370442105   268801  4631780 SH       SOLE                1883843           2747937
D GENERAL MOTORS CORP            COMMON STOCK     370442105    14516   250000 SH       DEFINED                                250000
D GENERAL MOTORS CORP-CL H NEW   COMMON STOCK     370442832   237543  2707020 SH       SOLE                1436386           1270634
D GENERAL MOTORS CORP-CL H NEW   COMMON STOCK     370442832    91453  1042200 SH       DEFINED                               1042200
D GENLYTE GROUP INC              COMMON STOCK     372302109    18755   890423 SH       SOLE                 123800            766623
D GENTIVA HEALTH SERVICES INC    COMMON STOCK     37247A102      171    21000 SH       SOLE                                    21000
D GENZYME CORP-GENERAL DIVISION  COMMON STOCK     372917104    23707   398887 SH       SOLE                 384257             14630
D GENZYME CORP-GENERAL DIVISION  COMMON STOCK     372917104      666    11200 SH       DEFINED                                 11200
D GEORGIA PACIFIC CORP           COMMON STOCK     373298108      790    30078 SH       SOLE                  19376             10702
D GEORGIA PACIFIC CORP           COMMON STOCK     373298108     7938   302400 SH       DEFINED                                302400
D GEORGIA PACIFIC CORP           COMMON STOCK     373298702      293    13572 SH       SOLE                   2086             11486
D GILEAD SCIENCES INC            COMMON STOCK     375558103      357     5018 SH       SOLE                                     5018
D GILLETTE CO                    COMMON STOCK     375766102    60608  1734761 SH       SOLE                 788185            946576
D ***GLAXO PLC-SPONSORED ADR     COMMON STOCK     37733W105     2291    39631 SH       SOLE                  28081             11550
D GLOBAL INDUSTRIES LTD          COMMON STOCK     379336100    15257   808317 SH       SOLE                 798317             10000
D GLOBAL INDUSTRIES LTD          COMMON STOCK     379336100    18475   978800 SH       DEFINED                                978800
D GLOBAL MARINE INC NEW          COMMON STOCK     379352404     1495    53055 SH       SOLE                  30525             22530
D GLOBAL TELESYSTEMS INC         COMMON STOCK     37936U104     5983   496025 SH       SOLE                 349850            146175
D GLOBESPAN INC                  COMMON STOCK     379571102    12495   102350 SH       SOLE                 102350
D GLOBESPAN INC                  COMMON STOCK     379571102    31655   259300 SH       DEFINED                                259300
D GOLDEN STATE BANCORP INC       COMMON STOCK     381197102      299    16594 SH       SOLE                  11934              4660
D GOLDMAN SACHS GROUP INC        COMMON STOCK     38141G104    25331   266996 SH       SOLE                 126011            140985
D GOODYEAR TIRE & RUBBER CO      COMMON STOCK     382550101      308     9343 SH       SOLE                   7905              1438
D W R GRACE & CO-DEL NEW         COMMON STOCK     38388F108      174    14129 SH       SOLE                  14026               103
D GRACO INC                      COMMON STOCK     384109104      227     6975 SH       SOLE                   2525              4450
D W W GRAINGER INC               COMMON STOCK     384802104     6147   199477 SH       SOLE                 106134             93343
D GRANITE CONSTRUCTION INC       COMMON STOCK     387328107     1127    46000 SH       SOLE                  46000
D GRAY COMMUNICATIONS SYSTEMS    COMMON STOCK     389190109      213    21750 SH       SOLE                  10500             11250
D GREAT LAKES CHEMICAL CORP      COMMON STOCK     390568103      334    10600 SH       SOLE                                    10600
D GREENPOINT FINANCIAL CORP      COMMON STOCK     395384100      373    19902 SH       SOLE                   4702             15200
D GREY ADVERTISING INC           COMMON STOCK     397838103     1135     2183 SH       SOLE                    783              1400
D GRIFFON CORP                   COMMON STOCK     398433102       61    11010 SH       SOLE                  11010
D ***CGI GROUP INC-CL A SUB-VTG  FOREIGN COMMON S 39945C109      312    38336 SH       SOLE                  38336
D ***CGI GROUP INC-CL A SUB-VTG  FOREIGN COMMON S 39945C109      676    82800 SH       DEFINED                                 82800
D GRUBB & ELLIS CO NEW           COMMON STOCK     400095204       68    11550 SH       SOLE                   3450              8100
D ***GRUPO TELEVISA SA DE CV-GDS COMMON STOCK     40049J206     1442    20924 SH       SOLE                  20810               114
D GTECH HOLDINGS CORP            COMMON STOCK     400518106    31183  1374450 SH       SOLE                 355863           1018587
D GUIDANT CORP                   COMMON STOCK     401698105     7335   148188 SH       SOLE                  90524             57664
D ***GULF CANADA RESOURCES LTD   FOREIGN COMMON S 40218L305    61756 12832510 SH       SOLE                4089200           8743310
D H T E INC                      COMMON STOCK     403926108       18    14000 SH       SOLE                                    14000
D HCA - THE HEALTHCARE COMPANY   COMMON STOCK     404119109    21402   702416 SH       SOLE                 414236            288180
D HCC INSURANCE HOLDINGS INC     COMMON STOCK     404132102     2661   141000 SH       SOLE                 141000
D H E R C PRODUCTS INC           COMMON STOCK     404165102      138   346168 SH       SOLE                  60000            286168
D HMG WORLDWIDE INC              COMMON STOCK     404235103      226    50126 SH       SOLE                  50000               126
D HSB GROUP INC (HOLDING CO)     COMMON STOCK     40428N109     1058    34000 SH       SOLE                                    34000
D HS RESOURCES INC               COMMON STOCK     404297103    32290  1076350 SH       SOLE                 212600            863750
D HAEMONETICS CORP-MASS          COMMON STOCK     405024100    16864   803038 SH       SOLE                 803038
D HAEMONETICS CORP-MASS          COMMON STOCK     405024100    23222  1105800 SH       DEFINED                               1105800
D HALL KINION & ASSOCIATES INC   COMMON STOCK     406069104     2708    81300 SH       SOLE                  81300
D HALL KINION & ASSOCIATES INC   COMMON STOCK     406069104     5760   172900 SH       DEFINED                                172900
D HALLIBURTON CO                 COMMON STOCK     406216101    77566  1667756 SH       SOLE                1274593            393163
D HALLIBURTON CO                 COMMON STOCK     406216101   104185  2207900 SH       DEFINED                               2207900
D HANCOCK JOHN FINL SVCS INC     COMMON STOCK     41014S106     7155   302027 SH       SOLE                 301626               401
D HANCOCK JOHN FINL SVCS INC     COMMON STOCK     41014S106      244    10300 SH       DEFINED                                 10300
D HANNAFORD BROS CO              COMMON STOCK     410550107      284     3950 SH       SOLE                                     3950
D HANOVER COMPRESSOR CO          COMMON STOCK     410768105    11084   291672 SH       SOLE                 290594              1078
D HANOVER COMPRESSOR CO          COMMON STOCK     410768105     4085   107500 SH       DEFINED                                107500
D HARCOURT GENERAL INC           COMMON STOCK     41163G101   155051  2851812 SH       SOLE                1384269           1467543
D HARLEY DAVIDSON INC            COMMON STOCK     412822108    15489   402320 SH       SOLE                 330520             71800
D HARLEY DAVIDSON INC            COMMON STOCK     412822108    22484   584000 SH       DEFINED                                584000
D HARMAN INT'L INDUSTR. INC.-NEW COMMON STOCK     413086109      637    10450 SH       SOLE                   8450              2000
D HARRAHS ENTERTAINMENT INC      COMMON STOCK     413619107     1141    53805 SH       SOLE                  24075             29730
D HARRIS & HARRIS GROUP INC      COMMON STOCK     413833104      288    36000 SH       SOLE                                    36000
D HARTFORD FINANCIAL SERVICES    COMMON STOCK     416515104    14499   259199 SH       SOLE                  87572            171627
D HARTFORD FINANCIAL SERVICES    COMMON STOCK     416515104    65447  1170000 SH       DEFINED                               1170000
D HASBRO INC                     COMMON STOCK     418056107      878    58282 SH       SOLE                  26645             31637
D HAVEN BANCORP INC              COMMON STOCK     419352109     2883   155324 SH       SOLE                 150924              4400
D HAWK CORP                      COMMON STOCK     420089104     7225   955400 SH       SOLE                  63500            891900
D HAYES LEMMERZ INTERNATIONAL    COMMON STOCK     420781106     6098   505500 SH       SOLE                 103050            402450
D HEALTH CARE PROPERTY INVS INC  COMMON STOCK     421915109      978    35890 SH       SOLE                  19600             16290
D HEALTHSOUTH CORP               COMMON STOCK     421924101    10051  1398210 SH       SOLE                1395572              2638
D HEALTHSOUTH CORP               COMMON STOCK     421924101      303    42200 SH       DEFINED                                 42200
D HEALTH MANAGEMENT ASSOCIATES   COMMON STOCK     421933102     9261   709000 SH       SOLE                 709000
D HEALTH MANAGEMENT ASSOCIATES   COMMON STOCK     421933102    17368  1329600 SH       DEFINED                               1329600
D HEALTHAXIS INC                 COMMON STOCK     42219D100     2316   607425 SH       SOLE                 518735             88690
D HEARST-ARGYLE TELEVISION INC   COMMON STOCK     422317107     3334   171000 SH       SOLE                  90000             81000
D H J HEINZ CO                   COMMON STOCK     423074103     9600   219440 SH       SOLE                 132980             86460
D HELIX TECHNOLOGY CORP          COMMON STOCK     423319102     1985    50890 SH       SOLE                  49567              1323
D HELIX TECHNOLOGY CORP          COMMON STOCK     423319102     3206    82200 SH       DEFINED                                 82200
D ***HELLENIC TELECOMM.          COMMON STOCK     423325307      686    56280 SH       SOLE                  56280
D HELMERICH & PAYNE INC          COMMON STOCK     423452101     5161   138100 SH       SOLE                 126564             11536
D HENRY JACK & ASSOCIATES INC    COMMON STOCK     426281101    10073   200954 SH       SOLE                 200954
D HENRY JACK & ASSOCIATES INC    COMMON STOCK     426281101    14712   293500 SH       DEFINED                                293500
D HERSHEY FOODS CORP             COMMON STOCK     427866108    41625   858252 SH       SOLE                 559125            299127
D HERSHEY FOODS CORP             COMMON STOCK     427866108      349     7200 SH       DEFINED                                  7200
D HERTZ CORP                     COMMON STOCK     428040109    30179  1075433 SH       SOLE                 324800            750633
D HEWLETT PACKARD CO             COMMON STOCK     428236103   242679  1950334 SH       SOLE                1257871            692463
D HEWLETT PACKARD CO             COMMON STOCK     428236103    44431   355800 SH       DEFINED                                355800
D HIGHLAND BANCORP INC           COMMON STOCK     429879109      858    35200 SH       SOLE                  35200
D HIGHLAND BANCORP INC           COMMON STOCK     429879109     8078   331400 SH       DEFINED                                331400
D HILLENBRAND INDUSTRIES INC     COMMON STOCK     431573104     1135    36306 SH       SOLE                   5288             31018
D HILTON HOTELS CORP             COMMON STOCK     432848109     3944   420698 SH       SOLE                 311242            109456
D HOLLINGER INTERNATIONAL INC    COMMON STOCK     435569108     3781   277500 SH       SOLE                 112100            165400
D HOME DEPOT INC                 COMMON STOCK     437076102   110072  2204203 SH       SOLE                 882253           1321950
D HOME DEPOT INC                 COMMON STOCK     437076102      429     8600 SH       DEFINED                                  8600
D HOMESTAKE MINING CO            COMMON STOCK     437614100    11133  1619305 SH       SOLE                1619300                 5
D HOMESTAKE MINING CO            COMMON STOCK     437614100      342    49700 SH       DEFINED                                 49700
D HONEYWELL INTL INC             COMMON STOCK     438516106    47119  1331611 SH       SOLE                 979631            351980
D HONEYWELL INTL INC             COMMON STOCK     438516106    37420  1110800 SH       DEFINED                               1110800
D HOOPER HOLMES INC              COMMON STOCK     439104100      462    57800 SH       SOLE                  57800
D HORACE MANN EDUCATORS CORP NEW COMMON STOCK     440327104     1080    72000 SH       SOLE                  35400             36600
D HOST MARRIOTT CORP-NEW REIT    COMMON STOCK     44107P104      423    36731 SH       SOLE                  24731             12000
D HOUGHTON MIFFLIN CO            COMMON STOCK     441560109    12252   262433 SH       SOLE                 162365            100068
D HOUGHTON MIFFLIN CO            COMMON STOCK     441560109    13227   283300 SH       DEFINED                                283300
D HOUSEHOLD INTERNATIONAL INC    COMMON STOCK     441815107   170985  4113935 SH       SOLE                1561956           2551979
D HOUSEHOLD INTERNATIONAL INC    COMMON STOCK     441815107    45029  1083400 SH       DEFINED                               1083400
D HUBBELL INC CLASS A            COMMON STOCK     443510102      284    10970 SH       SOLE                   6174              4796
D HUBBELL INC CLASS B            COMMON STOCK     443510201     7920   310572 SH       SOLE                 180146            130426
D HUDSON CITY BANCORP INC        COMMON STOCK     443683107      589    34500 SH       SOLE                   5400             29100
D HUDSON UNITED BANCORP          COMMON STOCK     444165104     2426   108122 SH       SOLE                 108122
D HUDSON UNITED BANCORP          COMMON STOCK     444165104     3886   173199 SH       DEFINED                                173199
D HUFFY CORP-W/RTS               COMMON STOCK     444356109      837   194200 SH       SOLE                  61300            132900
D HUGHES SUPPLY INC              COMMON STOCK     444482103     5138   260150 SH       SOLE                  49300            210850
D HUGOTON ROYALTY TRUST TEXAS    COMMON STOCK     444717102      124    10000 SH       SOLE                  10000
D HUMAN GENOME SCIENCES INC      COMMON STOCK     444903108     7096    53200 SH       SOLE                  52200              1000
D HUMAN GENOME SCIENCES INC      COMMON STOCK     444903108    18286   137100 SH       DEFINED                                137100
D HUNTINGTON BANCSHARES INC      COMMON STOCK     446150104      471    29768 SH       SOLE                   2200             27568
D HYPERION SOLUTIONS CORP        COMMON STOCK     44914M104      257     7931 SH       SOLE                                     7931
D IBP INC                        COMMON STOCK     449223106     7493   485400 SH       SOLE                  57000            428400
D ICOS CORP                      COMMON STOCK     449295104      275     6250 SH       SOLE                   5750               500
D IDEC PHARMACEUTICALS CORP      COMMON STOCK     449370105    10936    93225 SH       SOLE                  92621               604
D IDEC PHARMACEUTICALS CORP      COMMON STOCK     449370105    21151   180300 SH       DEFINED                                180300
D IDX SYSTEMS CORP               COMMON STOCK     449491109      353    25000 SH       SOLE                  25000
D IHOP CORP NEW                  COMMON STOCK     449623107     5309   316967 SH       SOLE                 285317             31650
D IMCO RECYCLING INC             COMMON STOCK     449681105       57    10500 SH       SOLE                   6600              3900
D IMS HEALTH INC                 COMMON STOCK     449934108     2379   132155 SH       SOLE                  28600            103555
D IBIS TECHNOLOGY CORP           COMMON STOCK     450909106     2487    41200 SH       SOLE                                    41200
D IDEX CORP                      COMMON STOCK     45167R104    16618   526504 SH       SOLE                 504354             22150
D IDEX CORP                      COMMON STOCK     45167R104    21766   689600 SH       DEFINED                                689600
D IKON OFFICE SOLUTIONS INC      COMMON STOCK     451713101      647   152150 SH       SOLE                 127250             24900
D ILLINOIS TOOL WORKS INC        COMMON STOCK     452308109    10292   180570 SH       SOLE                  61437            119133
D ILLINOIS TOOL WORKS INC        COMMON STOCK     452308109    23530   412800 SH       DEFINED                                412800
D IMCLONE SYSTEMS INC            COMMON STOCK     45245W109     1193    15609 SH       SOLE                   5000             10609
D IMMUNEX CORP NEW               COMMON STOCK     452528102     3436    69500 SH       SOLE                  42600             26900
D IMMUNEX CORP NEW               COMMON STOCK     452528102    13665   276400 SH       DEFINED                                276400
D INAMED CORP                    COMMON STOCK     453235103     1654    45173 SH       SOLE                  34733             10440
D INAMED CORP                    COMMON STOCK     453235103     1677    45800 SH       DEFINED                                 45800
D INDEPENDENCE COMMUNITY BANK    COMMON STOCK     453414104      540    40744 SH       SOLE                    271             40473
D INDEPENDENT BANK CORP-MASS     COMMON STOCK     453836108     3269   288992 SH       SOLE                 288992
D ***INDEPENDENT ENERGY HLDGS    COMMON STOCK     45384X108      476    57300 SH       SOLE                  57300
D ***INDEPENDENT ENERGY HLDGS    COMMON STOCK     45384X108     1294   155700 SH       DEFINED                                155700
D INDYMAC BANCORP INC            COMMON STOCK     456607100    16482  1215150 SH       SOLE                1162250             52900
D INDYMAC BANCORP INC            COMMON STOCK     456607100      446    32900 SH       DEFINED                                 32900
D ***INFINEON TECHNOLOGIES AG    COMMON STOCK     45662N103      664     8375 SH       SOLE                   8375
D ***INFINEON TECHNOLOGIES AG    COMMON STOCK     45662N103     3309    41750 SH       DEFINED                                 41750
D INFINITY BROADCASTING CORP NEW COMMON STOCK     45662S102    14192   389496 SH       SOLE                 101099            288397
D INFORMATION ARCHITECTS CORP    COMMON STOCK     45669R107      305    43933 SH       SOLE                   9600             34333
D ***INFOSYS TECHNOLOGIES LTD    COMMON STOCK     456788108      872     4920 SH       SOLE                   4920
D INGERSOLL RAND CO              COMMON STOCK     456866102    15595   387357 SH       SOLE                 370057             17300
D INKTOMI CORP                   COMMON STOCK     457277101      407     3440 SH       SOLE                   2500               940
D INSIGHT ENTERPRISES INC        COMMON STOCK     45765U103    20521   345980 SH       SOLE                 343303              2677
D INSIGHT ENTERPRISES INC        COMMON STOCK     45765U103    13061   220200 SH       DEFINED                                220200
D INTEGRATED DEVICE TECHNOLOGY   COMMON STOCK     458118106    17635   294525 SH       SOLE                 292162              2363
D INTEGRATED DEVICE TECHNOLOGY   COMMON STOCK     458118106    33213   554700 SH       DEFINED                                554700
D INTEL CORP                     COMMON STOCK     458140100   558680  4178996 SH       SOLE                2101155           2077841
D INTEL CORP                     COMMON STOCK     458140100     6604    49400 SH       DEFINED                                 49400
D INTELLICALL INC                COMMON STOCK     45815C103       15    18000 SH       SOLE                  18000
D INTERGRAPH-W/RTS               COMMON STOCK     458683109      182    24000 SH       SOLE                                    24000
D INTERIM SERVICES INC           COMMON STOCK     45868P100     2117   119260 SH       SOLE                   5700            113560
D INTERMEDIA COMMUNICATIONS OF   COMMON STOCK     458801107     7696   258700 SH       SOLE                 258700
D INTERMEDIA COMMUNICATIONS OF   COMMON STOCK     458801107    17844   599800 SH       DEFINED                                599800
D INTL ASSETS HOLDING CORP       COMMON STOCK     459028106       63    11440 SH       SOLE                  11440
D INTERNATIONAL BUSINESS         COMMON STOCK     459200101   872850  7967653 SH       SOLE                3173097           4794556
D INTERNATIONAL BUSINESS         COMMON STOCK     459200101   132494  1209300 SH       DEFINED                               1209300
D INTL FLAVORS & FRAGRANCES INC  COMMON STOCK     459506101    11636   385457 SH       SOLE                 230025            155432
D INTL FLAVORS & FRAGRANCES INC  COMMON STOCK     459506101     2264    75000 SH       DEFINED                                 75000
D INTERNATIONAL PAPER CO         COMMON STOCK     460146103     1023    34316 SH       SOLE                  21906             12410
D INTERNATIONAL RECTIFIER CORP   COMMON STOCK     460254105      336     6006 SH       SOLE                   4506              1500
D INTERNATIONAL RECTIFIER CORP   COMMON STOCK     460254105    39200   700000 SH       DEFINED                                700000
D INTERPORE INTERNATIONAL NEW    COMMON STOCK     46062W107      100    10300 SH       SOLE                   6300              4000
D INTERPUBLIC GROUP OF COS INC   COMMON STOCK     460690100     1435    33374 SH       SOLE                  20870             12504
D INTERSIL HLDG CORP             COMMON STOCK     46069S109    13848   256150 SH       SOLE                 254312              1838
D INTERSIL HLDG CORP             COMMON STOCK     46069S109    27291   504800 SH       DEFINED                                504800
D INTRANET SOLUTIONS INC NEW     COMMON STOCK     460939309     2629    68500 SH       SOLE                  53500             15000
D INTRANET SOLUTIONS INC NEW     COMMON STOCK     460939309     4290   111800 SH       DEFINED                                111800
D INTERTAN INC                   COMMON STOCK     461120107     3349   285000 SH       SOLE                                   285000
D INTERVOICE-BRITE INC           COMMON STOCK     461142101     3708   565000 SH       DEFINED                                565000
D INTIMATE BRANDS INC-CL A       COMMON STOCK     461156101    18786   941068 SH       SOLE                 655858            285210
D INTUIT INC                     COMMON STOCK     461202103    25185   608701 SH       SOLE                 601577              7124
D INTUIT INC                     COMMON STOCK     461202103    37188   898800 SH       DEFINED                                898800
D INVACARE CORP                  COMMON STOCK     461203101    30316  1154900 SH       SOLE                 203400            951500
D INVESTMENT TECHNOLOGY GROUP    COMMON STOCK     46145F105     5941   150400 SH       SOLE                 150400
D INVESTMENT TECHNOLOGY GROUP    COMMON STOCK     46145F105     8891   225100 SH       DEFINED                                225100
D ***IONA TECHNOLOGIES PLC       COMMON STOCK     46206P109     3572    56700 SH       SOLE                  54635              2065
D ***IONA TECHNOLOGIES PLC       COMMON STOCK     46206P109     6791   107800 SH       DEFINED                                107800
D IRON MOUNTAIN INC PA NEW       COMMON STOCK     462846106    14503   426554 SH       SOLE                 424865              1689
D IRON MOUNTAIN INC PA NEW       COMMON STOCK     462846106     4265   125450 SH       DEFINED                                125450
D ISHARES INC                    COMMON STOCK     464286830     1001   160215 SH       SOLE                 160215
D ISHARES INC                    COMMON STOCK     464286830     1349   215820 SH       DEFINED                                215820
D ISIS PHARMACEUTICALS INC       COMMON STOCK     464330109      290    20000 SH       SOLE                                    20000
D ***ISPAT INTERNATIONAL NV-CL A COMMON STOCK     464899103      486    51200 SH       SOLE                  51200
D IVAX CORPORATION               COMMON STOCK     465823102      818    20018 SH       SOLE                                    20018
D IVEX PACKAGING CORP-DEL        COMMON STOCK     465855104     1805   144400 SH       SOLE                    800            143600
D JDS UNIPHASE CORP              COMMON STOCK     46612J101     3891    32460 SH       SOLE                  11460             21000
D JDS UNIPHASE CORP              COMMON STOCK     46612J101    25222   210400 SH       DEFINED                                210400
D JLK DIRECT DISTRIBUTION INC    COMMON STOCK     46621C105      216    42100 SH       SOLE                                    42100
D JABIL CIRCUIT INC              COMMON STOCK     466313103    11181   225300 SH       SOLE                 225300
D JABIL CIRCUIT INC              COMMON STOCK     466313103    22525   453900 SH       DEFINED                                453900
D JACOBS ENGINEERING GROUP INC   COMMON STOCK     469814107      598    18300 SH       SOLE                   6500             11800
D JAPAN EQUITY FUND INC          COMMON STOCK     471057109       77    10000 SH       SOLE                  10000
D JEFFRIES GROUP INC NEW         COMMON STOCK     472319102     5144   254800 SH       SOLE                 254800
D JEFFERSON PILOT CORP           COMMON STOCK     475070108     1000    17718 SH       SOLE                  12400              5318
D JOHNS MANVILLE CORP NEW        COMMON STOCK     478129109    37203  2769144 SH       SOLE                 708486           2060658
D JOHNSON & JOHNSON              COMMON STOCK     478160104   246043  2415161 SH       SOLE                1171470           1243691
D JOHNSON & JOHNSON              COMMON STOCK     478160104   100693   988400 SH       DEFINED                                988400
D JONES APPAREL GROUP INC        COMMON STOCK     480074103    11221   477502 SH       SOLE                 201737            275765
D JONES APPAREL GROUP INC        COMMON STOCK     480074103    56870  2420000 SH       DEFINED                               2420000
D JORE CORP                      COMMON STOCK     480815109      160    29400 SH       SOLE                  12000             17400
D JOURNAL REGISTER CO            COMMON STOCK     481138105     1455    79750 SH       SOLE                  60550             19200
D JUNIPER NETWORKS               COMMON STOCK     48203R104      632     4340 SH       SOLE                   3240              1100
D JUNIPER NETWORKS               COMMON STOCK     48203R104      582     4000 SH       DEFINED                                  4000
D KLA-TENCOR CORP                COMMON STOCK     482480100    22461   383540 SH       SOLE                 361551             21989
D KLA-TENCOR CORP                COMMON STOCK     482480100    33955   579800 SH       DEFINED                                579800
D KANSAS CITY SOUTHERN INDS INC  COMMON STOCK     485170104    17099   192800 SH       SOLE                 179600             13200
D KANSAS CITY SOUTHERN INDS INC  COMMON STOCK     485170104      479     5400 SH       DEFINED                                  5400
D KAYDON CORP                    COMMON STOCK     486587108    18874   898773 SH       SOLE                 883973             14800
D KAYDON CORP                    COMMON STOCK     486587108    26200  1247600 SH       DEFINED                               1247600
D KEANE INC                      COMMON STOCK     486665102      625    28900 SH       SOLE                  28900
D KEANE INC                      COMMON STOCK     486665102     3536   163500 SH       DEFINED                                163500
D KELLOGG CO                     COMMON STOCK     487836108     1433    48167 SH       SOLE                  20326             27841
D KENT ELECTRONICS CORP W/RTS    COMMON STOCK     490553104     6180   207300 SH       SOLE                 207300
D KERR MCGEE CORP                COMMON STOCK     492386107      776    13165 SH       SOLE                   2805             10360
D KERR MCGEE CORP                CONVERTIBLE BOND 492386AL1      824   865000 PRN      SOLE                 350000            515000
D KERR-MCGEE CORP                CONVERTIBLE BOND 492386AP2      289   250000 PRN      SOLE                  50000            200000
D KEY ENERGY GROUP INC           COMMON STOCK     492914106      108    11200 SH       SOLE                   5200              6000
D KEYCORP NEW                    COMMON STOCK     493267108      650    36889 SH       SOLE                   3725             33164
D KEYSPAN CORP                   COMMON STOCK     49337W100    23544   765653 SH       SOLE                 362238            403415
D KEYSPAN CORP                   COMMON STOCK     49337W100     3690   120000 SH       DEFINED                                120000
D KIMBERLY CLARK CORP            COMMON STOCK     494368103   121392  2098482 SH       SOLE                1586638            511844
D KIMBERLY CLARK CORP            COMMON STOCK     494368103    89700  1563400 SH       DEFINED                               1563400
D KIMCO REALTY CORP              COMMON STOCK     49446R109    13509   329481 SH       SOLE                 186110            143371
D KINDER MORGAN ENERGY PARTNERS  COMMON STOCK     494550106      289     7224 SH       SOLE                   1200              6024
D KINDER MORGAN INC              COMMON STOCK     49455P101     8506   246100 SH       SOLE                 246100
D KINDER MORGAN INC              COMMON STOCK     49455P101      263     7600 SH       DEFINED                                  7600
D KING PHARMACEUTICALS INC       COMMON STOCK     495582108     5638   128500 SH       SOLE                 128500
D KING PHARMACEUTICALS INC       COMMON STOCK     495582108    13880   316350 SH       DEFINED                                316350
D KNAPE & VOGT MANUFACTURING CO  COMMON STOCK     498782101      352    23100 SH       SOLE                                    23100
D KNIGHT-RIDDER INC              COMMON STOCK     499040103      945    17766 SH       SOLE                   5800             11966
D KOHLS CORP                     COMMON STOCK     500255104      323     5800 SH       SOLE                   1800              4000
D ***KONINKLIJKE PHILIPS         COMMON STOCK     500472204      374     7888 SH       SOLE                   5680              2208
D KOPIN CORP                     COMMON STOCK     500600101     2896    41815 SH       SOLE                  41105               710
D KOPIN CORP                     COMMON STOCK     500600101     5665    81800 SH       DEFINED                                 81800
D ***KOREA TELECOM               COMMON STOCK     50063P103      216     4500 SH       SOLE                   4500
D KROGER CO                      COMMON STOCK     501044101    23942  1085336 SH       SOLE                 883972            201364
D KROGER CO                      COMMON STOCK     501044101   125033  5667200 SH       DEFINED                               5667200
D KRONOS INC                     COMMON STOCK     501052104     6906   265600 SH       SOLE                 265600
D KRONOS INC                     COMMON STOCK     501052104     9433   362800 SH       DEFINED                                362800
D KULICKE & SOFFA INDUSTRIES INC COMMON STOCK     501242101     2078    35000 SH       SOLE                   5000             30000
D KUSHNER LOCKE CO NEW           COMMON STOCK     501337406       82    41000 SH       SOLE                                    41000
D ***KYOCERA CORP ADR            COMMON STOCK     501556203      733     4268 SH       SOLE                   3928               340
D ***KYOCERA CORP ADR            COMMON STOCK     501556203     2191    12750 SH       DEFINED                                 12750
D LNR PROPERTY CORP              COMMON STOCK     501940100      466    23650 SH       SOLE                  10200             13450
D LSI LOGIC CORP                 COMMON STOCK     502161102      429     7925 SH       SOLE                   5225              2700
D LTC PROPERTIES INC             COMMON STOCK     502175102      637   107220 SH       SOLE                  52225             54995
D LTC PROPERTIES INC             CORPORATE BONDS  502175AE2      400   500000 SH       SOLE                 500000
D LTC PROPERTIES INC             CONVERTIBLE BOND 502175AF9      724   810000 PRN      SOLE                 175000            635000
D LADISH CO INC NEW              COMMON STOCK     505754200     6198   635700 SH       SOLE                 103000            532700
D LAKEHEAD PIPE LINE PARTNERS LP COMMON STOCK     511557100      240     6000 SH       SOLE                                     6000
D LAKES GAMING                   COMMON STOCK     51206P109      452    50934 SH       SOLE                  35167             15767
D LANCASTER COLONY CORP          COMMON STOCK     513847103      285    14600 SH       SOLE                   4100             10500
D LANDS END INC                  COMMON STOCK     515086106      414    12400 SH       SOLE                                    12400
D LANGER BIOMECHANICS GROUP INC  COMMON STOCK     515707107      203   129826 SH       SOLE                                   129826
D LATTICE SEMICONDUCTOR CORP     COMMON STOCK     518415104    45277   655000 SH       DEFINED                                655000
D LATTICE SEMICONDUCTOR CORP     CONVERTIBLE BOND 518415AA2      900   500000 PRN      SOLE                 500000
D ESTEE LAUDER COMPANIES INC     COMMON STOCK     518439104    12568   254220 SH       SOLE                 238249             15971
D ESTEE LAUDER COMPANIES INC     COMMON STOCK     518439104    21728   439500 SH       DEFINED                                439500
D LAZARE KAPLAN INTL INC         COMMON STOCK     521078105     1423   175175 SH       SOLE                  76500             98675
D LEAR CORP                      COMMON STOCK     521865105    22866  1143125 SH       SOLE                 954975            188150
D LEAR CORP                      COMMON STOCK     521865105    65004  3250200 SH       DEFINED                               3250200
D LEGGETT & PLATT INC            COMMON STOCK     524660107     1338    81110 SH       SOLE                  46850             34260
D LEHMAN BROTHERS HOLDINGS INC   COMMON STOCK     524908100     7250    76658 SH       SOLE                  76465               193
D LEHMAN BROTHERS HOLDINGS INC   COMMON STOCK     524908100    17664   186800 SH       DEFINED                                186800
D LENNAR CORP                    COMMON STOCK     526057104    22033  1088052 SH       SOLE                 532137            555915
D LEUCADIA NATIONAL CORP         COMMON STOCK     527288104      564    24728 SH       SOLE                  15200              9528
D LEVEL 3 COMMUNICATIONS INC     COMMON STOCK     52729N100    14398   163615 SH       SOLE                  23350            140265
D LEXMARK INTERNATIONAL INC      COMMON STOCK     529771107     4025    59850 SH       SOLE                  45850             14000
D LEXMARK INTERNATIONAL INC      COMMON STOCK     529771107    74278  1104500 SH       DEFINED                               1104500
D LIBBEY INC                     COMMON STOCK     529898108    12009   373821 SH       SOLE                 180637            193184
D LIBERTE INVESTORS INC          COMMON STOCK     530154103       48    15000 SH       SOLE                  15000
D LIBERTY CORP-SC                COMMON STOCK     530370105     1637    38975 SH       SOLE                   8225             30750
D LIBERTY DIGITAL INC            COMMON STOCK     530436104      324    10800 SH       SOLE                   2000              8800
D LIBERTY FINANCIAL COMPANIES    COMMON STOCK     530512102     3727   169897 SH       SOLE                  13500            156397
D LIFEMINDERS INC                COMMON STOCK     53220Q105     3477   117605 SH       SOLE                 116105              1500
D LIFEMINDERS INC                COMMON STOCK     53220Q105     6486   219400 SH       DEFINED                                219400
D ELI LILLY & CO                 COMMON STOCK     532457108    90666   927789 SH       SOLE                 699403            228386
D LIMITED INC                    COMMON STOCK     532716107    23321  1078412 SH       SOLE                 802360            276052
D LIMITED INC                    COMMON STOCK     532716107    21534   995800 SH       DEFINED                                995800
D LINCOLN ELEC HOLDINGS INC      COMMON STOCK     533900106    11363   797407 SH       SOLE                 401857            395550
D LINCOLN ELEC HOLDINGS INC      COMMON STOCK     533900106     3396   238300 SH       DEFINED                                238300
D LINCOLN NATIONAL CORP-IND      COMMON STOCK     534187109      420    11616 SH       SOLE                    400             11216
D LINEAR TECHNOLOGY CORP         COMMON STOCK     535678106      459     7175 SH       SOLE                   6775               400
D LINENS N THINGS INC            COMMON STOCK     535679104    12903   475700 SH       SOLE                 475700
D LINENS N THINGS INC            COMMON STOCK     535679104    18098   667200 SH       DEFINED                                667200
D LITTON INDUSTRIES INC          COMMON STOCK     538021106    18054   429857 SH       SOLE                 373055             56802
D LOCKHEED MARTIN CORP           COMMON STOCK     539830109      240     9681 SH       SOLE                   6377              3304
D LODGIAN INC                    COMMON STOCK     54021P106       38    16000 SH       SOLE                                    16000
D LOEWS CORP                     COMMON STOCK     540424108    32434   540568 SH       SOLE                 145322            395246
D LOUIS DREYFUS NATURAL GAS CORP COMMON STOCK     546011107     2773    88555 SH       SOLE                  40000             48555
D LOWES CO INC                   COMMON STOCK     548661107    19504   473900 SH       SOLE                 256500            217400
D LOWES CO INC                   COMMON STOCK     548661107    54814  1334900 SH       DEFINED                               1334900
D LUCENT TECHNOLOGIES INC        COMMON STOCK     549463107    82135  1397957 SH       SOLE                 586037            811920
D ***LUXOTTICA GROUP SPA         COMMON STOCK     55068R202     8342   684500 SH       SOLE                 616000             68500
D LYONDELL CHEMICAL CO           COMMON STOCK     552078107      211    12625 SH       SOLE                   7725              4900
D M & T BANK CORP                COMMON STOCK     55261F104    13541    30092 SH       SOLE                  27819              2273
D M & T BANK CORP                COMMON STOCK     55261F104    13005    28900 SH       DEFINED                                 28900
D MAF BANCORP INC                COMMON STOCK     55261R108      243    13375 SH       SOLE                   5325              8050
D MBIA INC                       COMMON STOCK     55262C100    99222  2059080 SH       SOLE                 900785           1158295
D MBIA INC                       COMMON STOCK     55262C100     9435   195800 SH       DEFINED                                195800
D MBNA CORP                      COMMON STOCK     55262L100    13181   485927 SH       SOLE                 198215            287712
D MCN CORP                       COMMON STOCK     55267J100      451    21100 SH       SOLE                   2900             18200
D MGIC INVESTMENT CORP-WIS       COMMON STOCK     552848103      366     8050 SH       SOLE                   1050              7000
D M I SCHOTTENSTEIN HOMES INC    COMMON STOCK     55305B101     1465    93000 SH       SOLE                                    93000
D MTI TECHNOLOGY CORP            COMMON STOCK     553903105       85    10650 SH       SOLE                  10650
D MACK-CALI REALTY CORP          COMMON STOCK     554489104     1562    60800 SH       SOLE                  32200             28600
D MACROCHEM CORP-DEL             COMMON STOCK     555903103       54    11145 SH       SOLE                    500             10645
D MACROMEDIA INC                 COMMON STOCK     556100105     2569    26575 SH       SOLE                  26475               100
D ***MACRONIX INTERNATIONAL CO   COMMON STOCK     556103109      594    23220 SH       SOLE                  23220
D STEVEN MADDEN LTD              COMMON STOCK     556269108     1034   157500 SH       SOLE                 157500
D MAGNA INTERNATIONAL INC        CORPORATE BONDS  559222AE4       10    10000 SH       SOLE                                    10000
D MAIL WELL INC                  COMMON STOCK     560321200      952   110400 SH       SOLE                  15000             95400
D MALLINCKRODT INC  NEW          COMMON STOCK     561232109      661    15225 SH       SOLE                   5375              9850
D MANAGED HIGH INCOME PORTFOLIO  COMMON STOCK     56166C105       87    10081 SH       SOLE                  10081
D MANUFACTURED HOME COMMUNITIES  COMMON STOCK     564682102     1321    55200 SH       SOLE                  16950             38250
D MARCHFIRST INC                 COMMON STOCK     566244109     1583    86759 SH       SOLE                  57571             29188
D MARCUS CORP                    COMMON STOCK     566330106     2264   186712 SH       SOLE                  29225            157487
D MARINE DRILLING COMPANIES INC  COMMON STOCK     568240204     2152    76860 SH       SOLE                  74938              1922
D MARINE DRILLING COMPANIES INC  COMMON STOCK     568240204     3114   111200 SH       DEFINED                                111200
D MARITRANS INC                  COMMON STOCK     570363101      572    94300 SH       SOLE                  94300
D MARITRANS INC                  COMMON STOCK     570363101     1295   213600 SH       DEFINED                                213600
D MARK IV INDUSTRIES INC         COMMON STOCK     570387100    20577   985717 SH       SOLE                 288817            696900
D MARSH & MCLENNAN COS INC       COMMON STOCK     571748102    53198   509378 SH       SOLE                 357560            151818
D MARRIOTT INTERNATIONAL INC NEW COMMON STOCK     571903202    18909   524348 SH       SOLE                 326650            197698
D MARRIOTT INTERNATIONAL INC NEW COMMON STOCK     571903202     3246    90000 SH       DEFINED                                 90000
D MASCO CORP                     COMMON STOCK     574599106      314    17380 SH       SOLE                   2830             14550
D MASTEC INC                     COMMON STOCK     576323109      248     6500 SH       SOLE                   1100              5400
D ***MATSUSHITA ELECTRIC         COMMON STOCK     576879209      218      847 SH       SOLE                    372               475
D MATTEL INC                     COMMON STOCK     577081102    13610  1032004 SH       SOLE                 835713            196291
D MATTHEWS INTERNATIONAL CORP    COMMON STOCK     577128101    11996   413665 SH       SOLE                 411265              2400
D MATTHEWS INTERNATIONAL CORP    COMMON STOCK     577128101    11484   396000 SH       DEFINED                                396000
D MAXTOR CORP (NEW)              COMMON STOCK     577729205      109    10300 SH       SOLE                                    10300
D MAXYGEN INC                    COMMON STOCK     577776107     1024    18031 SH       SOLE                  13500              4531
D MAY DEPARTMENT STORES CO       COMMON STOCK     577778103     1720    71672 SH       SOLE                  17717             53955
D MAVERICK TUBE CORP             COMMON STOCK     577914104     2806    96335 SH       SOLE                  94357              1978
D MAVERICK TUBE CORP             COMMON STOCK     577914104     4753   163200 SH       DEFINED                                163200
D MCDONALDS CORP                 COMMON STOCK     580135101   172132  5203257 SH       SOLE                3111721           2091536
D MCDONALDS CORP                 COMMON STOCK     580135101    74962  2275900 SH       DEFINED                               2275900
D MCGRAW HILL COMPANIES INC      COMMON STOCK     580645109    41231   763543 SH       SOLE                 552770            210773
D MCK COMMUNICATIONS INC         COMMON STOCK     581243102     3488   150815 SH       SOLE                 147271              3544
D MCK COMMUNICATIONS INC         COMMON STOCK     581243102     5566   240700 SH       DEFINED                                240700
D MCKESSON HBOC INC              COMMON STOCK     58155Q103      379    18104 SH       SOLE                   5754             12350
D MCLEOD INC-CL A                COMMON STOCK     582266102     4847   234300 SH       SOLE                 234300
D MCLEOD INC-CL A                COMMON STOCK     582266102    18255   882400 SH       DEFINED                                882400
D MEAD CORP                      COMMON STOCK     582834107    30282  1048947 SH       SOLE                 945102            103845
D MEAD CORP                      COMMON STOCK     582834107     8704   344700 SH       DEFINED                                344700
D MEDALLION FINANCIAL CORP       COMMON STOCK     583928106      154    10000 SH       SOLE                   2000              8000
D MEDIAONE GROUP INC             COMMON STOCK     58440J104    73397  1086089 SH       SOLE                 857665            228424
D MEDIAONE GROUP INC             COMMON STOCK     58440J104     6317    95000 SH       DEFINED                                 95000
D MEDICAL MANAGER CORP NEW       COMMON STOCK     58461U103      266     7816 SH       SOLE                   7150               666
D MEDIMMUNE INC                  COMMON STOCK     584699102    63292   855292 SH       SOLE                 667869            187423
D MEDIMMUNE INC                  COMMON STOCK     584699102    51793   699900 SH       DEFINED                                699900
D MEDTRONIC INC                  COMMON STOCK     585055106    46119   925857 SH       SOLE                 481729            444128
D MELLON FINL CORP               COMMON STOCK     58551A108     5486   150572 SH       SOLE                  83467             67105
D MENTOR CORP MINN               COMMON STOCK     587188103    22506   827792 SH       SOLE                 813792             14000
D MENTOR CORP MINN               COMMON STOCK     587188103    30045  1105100 SH       DEFINED                               1105100
D MERCANTILE BANKSHARES CORP     COMMON STOCK     587405101      250     8400 SH       SOLE                   7050              1350
D MERCATOR SOFTWARE INC          COMMON STOCK     587587106     3712    54000 SH       SOLE                  46400              7600
D MERCER INTERNATIONAL INC-SBI   COMMON STOCK     588056101      116    14000 SH       SOLE                  14000
D MERCHANTS GROUP INC            COMMON STOCK     588539106      367    22100 SH       SOLE                                    22100
D MERCK & CO INC                 COMMON STOCK     589331107   250749  3272431 SH       SOLE                1478165           1794266
D MERCK & CO INC                 COMMON STOCK     589331107   103436  1349900 SH       DEFINED                               1349900
D MERCURY INTERACTIVE CORP       COMMON STOCK     589405109    14503   149900 SH       DEFINED                                149900
D MEREDITH CORP                  COMMON STOCK     589433101     3201    94858 SH       SOLE                  60364             34494
D MEREDITH CORP                  COMMON STOCK     589433101     8535   252900 SH       DEFINED                                252900
D MERRILL LYNCH & CO INC         COMMON STOCK     590188108    59788   519895 SH       SOLE                 197325            322570
D MERRILL LYNCH & CO INC         COMMON STOCK     590188108      759     6600 SH       DEFINED                                  6600
D META GROUP INC                 COMMON STOCK     591002100     7943   412600 SH       SOLE                 412600
D META GROUP INC                 COMMON STOCK     591002100     8172   424500 SH       DEFINED                                424500
D METASOLV SOFTWARE INC          COMMON STOCK     591393103      427     9700 SH       SOLE                   8600              1100
D METLIFE INC                    COMMON STOCK     59156R108   255221 12117335 SH       SOLE                4938650           7178685
D METLIFE INC                    COMMON STOCK     59156R108    14641   695100 SH       DEFINED                                695100
D METRICOM INC                   COMMON STOCK     591596101     2236    80200 SH       SOLE                  80200
D METRIS COMPANIES INC           COMMON STOCK     591598107      387    15462 SH       SOLE                  11286              4176
D METRO ONE TELECOMMUNICATIONS   COMMON STOCK     59163F105      201    16000 SH       SOLE                  16000
D METROCALL INC                  COMMON STOCK     591647102       90    10000 SH       SOLE                                    10000
D METROMEDIA FIBER NETWORK INC   COMMON STOCK     591689104    18182   458125 SH       SOLE                 386748             71377
D METROMEDIA FIBER NETWORK INC   COMMON STOCK     591689104    28912   728500 SH       DEFINED                                728500
D METROMEDIA INTERNATIONAL GROUP COMMON STOCK     591695101      301    63300 SH       SOLE                  29400             33900
D METTLER-TOLEDO INTERNATIONAL   COMMON STOCK     592688105     2238    55956 SH       SOLE                  38956             17000
D MICROS SYSTEMS INC             COMMON STOCK     594901100     5249   282800 SH       SOLE                 282800
D MICROS SYSTEMS INC             COMMON STOCK     594901100     7696   414600 SH       DEFINED                                414600
D MICROSOFT CORP                 COMMON STOCK     594918104   185308  2316344 SH       SOLE                1446935            869409
D MICROCHIP TECHNOLOGY INC       COMMON STOCK     595017104      236     4050 SH       SOLE                    300              3750
D MICROCHIP TECHNOLOGY INC       COMMON STOCK     595017104    46904   805000 SH       DEFINED                                805000
D MICROMUSE INC                  COMMON STOCK     595094103    12324    74475 SH       SOLE                  74475
D MICROMUSE INC                  COMMON STOCK     595094103    29903   180700 SH       DEFINED                                180700
D MICRON TECHNOLOGY INC          COMMON STOCK     595112103    39962   452795 SH       SOLE                 324925            127870
D MICRON TECHNOLOGY INC          COMMON STOCK     595112103   101016  1147100 SH       DEFINED                               1147100
D MID-AMERICA APARTMENT          COMMON STOCK     59522J103      256    10650 SH       SOLE                   1950              8700
D MIDLAND CO                     COMMON STOCK     597486109      412    16800 SH       SOLE                                    16800
D MILLENNIUM PHARMACEUTICALS INC COMMON STOCK     599902103    20322   181653 SH       SOLE                 171453             10200
D MILLENNIUM PHARMACEUTICALS INC COMMON STOCK     599902103    29949   267700 SH       DEFINED                         2300   265400
D ***MILLENNIUM CHEMICALS INC    COMMON STOCK     599903101      949    55850 SH       SOLE                  55150               700
D ***MILLENNIUM CHEMICALS INC    COMMON STOCK     599903101    22833  1343100 SH       DEFINED                               1343100
D MILLIPORE CORP                 COMMON STOCK     601073109    13622   180725 SH       SOLE                 176864              3861
D MILLIPORE CORP                 COMMON STOCK     601073109    25989   344800 SH       DEFINED                                344800
D MILLS CORP                     COMMON STOCK     601148109     1177    62550 SH       SOLE                  58800              3750
D MINERALS TECHNOLOGIES INC      COMMON STOCK     603158106     5082   110475 SH       SOLE                  65875             44600
D MINIMED INC                    COMMON STOCK     60365K108    16462   139510 SH       SOLE                 137499              2011
D MINIMED INC                    COMMON STOCK     60365K108    33701   285600 SH       DEFINED                                285600
D MINNESOTA MINING & MFG CO      COMMON STOCK     604059105   122446  1469710 SH       SOLE                 974981            494729
D MINNESOTA MINING & MFG CO      COMMON STOCK     604059105     3300    40000 SH       DEFINED                                 40000
D MISSION WEST PPTYS INC MD      COMMON STOCK     605203108     5806   553000 SH       SOLE                 245900            307100
D MITCHELL ENERGY & DEV CORP     COMMON STOCK     606592202    28204   877944 SH       SOLE                 156410            721534
D MOLEX INC-CL A                 COMMON STOCK     608554200      204     5823 SH       SOLE                   4813              1010
D MONACO COACH CORP              COMMON STOCK     60886R103      346    25417 SH       SOLE                  25417
D MONTANA POWER CO               COMMON STOCK     612085100      924    26100 SH       SOLE                  24500              1600
D MONTANA POWER CO               COMMON STOCK     612085100     6529   184900 SH       DEFINED                                184900
D MONY GROUP INC                 COMMON STOCK     615337102     2560    75721 SH       SOLE                  31521             44200
D MOOG INC CL A                  COMMON STOCK     615394202     2350    89100 SH       SOLE                  89100
D MOOG INC CL A                  COMMON STOCK     615394202     8696   329700 SH       DEFINED                                329700
D J P MORGAN & CO INC            COMMON STOCK     616880100     6315    57342 SH       SOLE                  22027             35315
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     617446448   172931  2077251 SH       SOLE                1284100            793151
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     617446448   250891  3013700 SH       DEFINED                               3013700
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61744H105      108    15350 SH       SOLE                                    15350
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61744U106      311    30500 SH       SOLE                  30500
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61745P734      164    12000 SH       SOLE                                    12000
D MOTOROLA INC                   COMMON STOCK     620076109   109831  2998280 SH       SOLE                2014138            984142
D MOTOROLA INC                   COMMON STOCK     620076109    44271  1523300 SH       DEFINED                               1523300
D MUELLER INDUSTRIES INC         COMMON STOCK     624756102    13113   468304 SH       SOLE                 269716            198588
D MULTIMEDIA K I D INC           COMMON STOCK     62546D102       30    20000 SH       SOLE                  20000
D MUTUAL RISK MANAGEMENT LTD     COMMON STOCK     628351108    25821  1491482 SH       SOLE                1315452            176030
D MUTUAL RISK MANAGEMENT LTD     COMMON STOCK     628351108    28886  1668500 SH       DEFINED                               1668500
D MYPOINTS.COM INC               COMMON STOCK     62855T102     1392    73450 SH       SOLE                  71756              1694
D MYPOINTS.COM INC               COMMON STOCK     62855T102     4316   227700 SH       DEFINED                                227700
D NCR CORP NEW                   COMMON STOCK     62886E108      256     6572 SH       SOLE                   3601              2971
D NN INC                         COMMON STOCK     629337106     2896   275766 SH       SOLE                 275766
D NPS PHAMACEUTICALS INC         COMMON STOCK     62936P103      233     8700 SH       SOLE                   1500              7200
D NTL INC                        COMMON STOCK     629407107   164594  2748963 SH       SOLE                1656877           1092086
D NTL INC                        COMMON STOCK     629407107   110195  1840411 SH       DEFINED                               1840411
D N U I CORP                     COMMON STOCK     629430109     2884   106805 SH       SOLE                 101505              5300
D N U I CORP                     COMMON STOCK     629430109     6426   238000 SH       DEFINED                                238000
D NABISCO HOLDINGS CORP-CL A     COMMON STOCK     629526104    14118   270280 SH       SOLE                 264500              5780
D NABISCO HOLDINGS CORP-CL A     COMMON STOCK     629526104    16338   311200 SH       DEFINED                                311200
D NABORS INDUSTRIES INC          COMMON STOCK     629568106     5024   120878 SH       SOLE                  84016             36862
D NABORS INDUSTRIES INC          COMMON STOCK     629568106    17556   422400 SH       DEFINED                                422400
D NASDAQ 100 SHARES              COMMON STOCK     631100104      201     2150 SH       SOLE                   1350               800
D NASH-FINCH CO-W/RTS            COMMON STOCK     631158102      309    37400 SH       SOLE                   8700             28700
D NATIONAL CITY CORP             COMMON STOCK     635405103     1293    75754 SH       SOLE                  58058             17696
D NATIONAL HEALTH INVESTORS INC  CORPORATE BONDS  63633DAA2       53    40000 SH       SOLE                                    40000
D NATIONAL HEALTH INVESTORS INC  CONVERTIBLE BOND 63633DAB0     1122  1250000 PRN      SOLE                1250000
D NATIONAL INFORMATION           COMMON STOCK     636491102     1026    90200 SH       SOLE                  15000             75200
D NATIONAL-OILWELL INC           COMMON STOCK     637071101    33046  1005187 SH       SOLE                 991371             13816
D NATIONAL-OILWELL INC           COMMON STOCK     637071101    57678  1754477 SH       DEFINED                               1754477
D NATIONAL SEMICONDUCTOR CORP    COMMON STOCK     637640103    31081   547690 SH       SOLE                 287775            259915
D NATIONAL SEMICONDUCTOR CORP    COMMON STOCK     637640103    44237   779500 SH       DEFINED                                779500
D NATL WESTERN LIFE INS CO CL A  COMMON STOCK     638522102      288     4000 SH       SOLE                                     4000
D NATIONWIDE FINANCIAL SERVICES  COMMON STOCK     638612101    17624   536100 SH       SOLE                 534100              2000
D NATIONWIDE FINANCIAL SERVICES  COMMON STOCK     638612101    59711  1816300 SH       DEFINED                               1816300
D NATIONWIDE HEALTH PROP INC     COMMON STOCK     638620104     3131   224610 SH       SOLE                 123931            100679
D NATURAL MICROSYSTEMS CORP      COMMON STOCK     638882100     3564    31700 SH       SOLE                  31700
D NATURAL MICROSYSTEMS CORP      COMMON STOCK     638882100     7736    68800 SH       DEFINED                                 68800
D NEIMAN-MARCUS GROUP INC        COMMON STOCK     640204202    35970  1193880 SH       SOLE                 592148            601732
D NEIMAN-MARCUS GROUP INC        COMMON STOCK     640204301    26934   970606 SH       SOLE                 479261            491345
D NEIMAN-MARCUS GROUP INC        COMMON STOCK     640204301     7368   265500 SH       DEFINED                                265500
D NEOTHERAPEUTICS INC            COMMON STOCK     640656104      497    46500 SH       SOLE                                    46500
D WTS NEOTHERAPEUTICS INC        WARRANT OR RIGHT 640656112       65    13000 SH       SOLE                                    13000
D NETEGRITY INC                  COMMON STOCK     64110P107     3249    43135 SH       SOLE                  41902              1233
D NETEGRITY INC                  COMMON STOCK     64110P107     4293    57000 SH       DEFINED                                 57000
D NETOPIA INC                    COMMON STOCK     64114K104     4940   122731 SH       SOLE                  90142             32589
D NETOPIA INC                    COMMON STOCK     64114K104     6190   153800 SH       DEFINED                                153800
D NETRO CORPORATION              COMMON STOCK     64114R109     2430    42350 SH       SOLE                  36150              6200
D NETIQ CORP                     COMMON STOCK     64115P102      614    10300 SH       SOLE                   9600               700
D NETWORK APPLIANCE INC          COMMON STOCK     64120L104     9459   117500 SH       SOLE                 117000               500
D NETWORK APPLIANCE INC          COMMON STOCK     64120L104    30188   375000 SH       DEFINED                                375000
D NETZEE INC                     COMMON STOCK     64122W108      588   102755 SH       SOLE                 100329              2426
D NETZEE INC                     COMMON STOCK     64122W108      946   165400 SH       DEFINED                                165400
D NEUBERGER BERMAN INC.          COMMON STOCK     641234109   199050  4280644 SH       SOLE                   2300           4278344
D NEW CENTURY ENERGIES INC       COMMON STOCK     64352U103      374    12477 SH       SOLE                   6265              6212
D NEW FRONTIER MEDIA INC         COMMON STOCK     644398109       74    10100 SH       SOLE                                    10100
D NEW PLAN EXCEL REALTY TRUST    COMMON STOCK     648053106     2705   208087 SH       SOLE                 103576            104511
D NEW YORK TIMES CO-CL A         COMMON STOCK     650111107     6390   161778 SH       SOLE                  47810            113968
D NEWELL RUBBERMAID INC          COMMON STOCK     651229106     1265    49107 SH       SOLE                  21435             27672
D NEWFIELD EXPLORATION CO        COMMON STOCK     651290108     1375    35132 SH       SOLE                  30300              4832
D NEWPARK RESOURCES INC NEW      COMMON STOCK     651718504    10504  1113014 SH       SOLE                 692950            420064
D NEWPORT NEWS SHIPBUILDING INC  COMMON STOCK     652228107    29379   799436 SH       SOLE                 778536             20900
D NEWPORT NEWS SHIPBUILDING INC  COMMON STOCK     652228107    39054  1062700 SH       DEFINED                               1062700
D ***NEWS CORP LTD-ADR NEW       COMMON STOCK     652487703     3812    69946 SH       SOLE                  15401             54545
D NEXTEL COMMUNICATIONS INC-CL A COMMON STOCK     65332V103    76624  1167478 SH       SOLE                1025810            141668
D NEXTEL COMMUNICATIONS INC-CL A COMMON STOCK     65332V103    68640  1121800 SH       DEFINED                               1121800
D NEXTEL PARTNERS INC            COMMON STOCK     65333F107      433    13300 SH       SOLE                  10500              2800
D NEXT LEVEL COMMUNICATIONS INC  COMMON STOCK     65333U104     3941    45959 SH       SOLE                  43350              2609
D NEXT LEVEL COMMUNICATIONS INC  COMMON STOCK     65333U104    13411   156400 SH       DEFINED                                156400
D NIKE INC-CL B                  COMMON STOCK     654106103    41194  1006041 SH       SOLE                 848559            157482
D 99 CENTS ONLY STORES           COMMON STOCK     65440K106     7257   182003 SH       SOLE                 182003
D 99 CENTS ONLY STORES           COMMON STOCK     65440K106    10743   269424 SH       DEFINED                                269424
D ***NIPPON TELEGRAPH &          COMMON STOCK     654624105     2504    36625 SH       SOLE                  24325             12300
D NOBLE AFFILIATES INC           COMMON STOCK     654894104     1432    38439 SH       SOLE                  13000             25439
D ***NOKIA CORP-SPONSORED ADR    COMMON STOCK     654902204   127224  2542424 SH       SOLE                1243641           1298783
D ***NOKIA CORP-SPONSORED ADR    COMMON STOCK     654902204     5983   119800 SH       DEFINED                                119800
D NOBLE DRILLING CORP            COMMON STOCK     655042109     7778   188848 SH       SOLE                 187300              1548
D NOBLE DRILLING CORP            COMMON STOCK     655042109      202     4900 SH       DEFINED                                  4900
D NORDSTROM INC                  COMMON STOCK     655664100      765    31700 SH       SOLE                  13500             18200
D NORFOLK SOUTHERN CORP          COMMON STOCK     655844108      688    46265 SH       SOLE                  19903             26362
D NORSTAN INC                    COMMON STOCK     656535101       49    12297 SH       SOLE                  12000               297
D NORTEK INC-W/RTS               COMMON STOCK     656559101    16522   836550 SH       SOLE                  71900            764650
D ***NORTEL NETWORKS CORP        FOREIGN COMMON S 656568102    88010  1282144 SH       SOLE                 751595            530549
D ***NORTEL NETWORKS CORP        FOREIGN COMMON S 656568102     4584    67160 SH       DEFINED                                 67160
D NORTH EUROPEAN OIL ROYALTY     COMMON STOCK     659310106      344    21700 SH       SOLE                                    21700
D NORTH FORK BANCORPORATION INC  COMMON STOCK     659424105     3031   200392 SH       SOLE                 135368             65024
D NORTHEAST PENNSYLVANIA         COMMON STOCK     663905107      517    50400 SH       SOLE                  50400
D NORTHEAST UTILITIES            COMMON STOCK     664397106      226    10381 SH       SOLE                   1000              9381
D NORTHERN TRUST CORP            COMMON STOCK     665859104    53791   826760 SH       SOLE                 679685            147075
D NORTHPOINT COMMUNICATIONS      COMMON STOCK     666610100      239    21369 SH       SOLE                                    21369
D ***NOVARTIS AG-SPONSORED ADR   COMMON STOCK     66987V109     3635    90886 SH       SOLE                  38450             52436
D ***NOVARTIS AG-SPONSORED ADR   COMMON STOCK     66987V109     2208    55190 SH       DEFINED                                 55190
D NOVELL INC                     COMMON STOCK     670006105     7620   823731 SH       SOLE                 436300            387431
D NOVELLUS SYSTEMS INC           COMMON STOCK     670008101     1471    26000 SH       SOLE                  24200              1800
D NOVOSTE CORP                   COMMON STOCK     67010C100      946    15500 SH       SOLE                  15500
D NUEVO ENERGY CO                COMMON STOCK     670509108      663    35100 SH       SOLE                                    35100
D NUMERICAL TECHNOLOGIES INC     COMMON STOCK     67053T101      515    10600 SH       SOLE                  10600
D NUMERICAL TECHNOLOGIES INC     COMMON STOCK     67053T101     1396    28700 SH       DEFINED                                 28700
D NUVEEN NEW YORK PERFORMANCE    COMMON STOCK     67062R104      137    10185 SH       SOLE                   1685              8500
D ***NYMOX PHARMACEUTICAL CORP   FOREIGN COMMON S 67076P102       84    19000 SH       SOLE                                    19000
D OHM CORP CONV SUB DEB-REG-     CORPORATE BONDS  670839AA7       79    96000 SH       SOLE                                    96000
D OM GROUP INC                   COMMON STOCK     670872100      349     7939 SH       SOLE                    200              7739
D OSI PHARMACEUTICALS INC        COMMON STOCK     671040103      337    11700 SH       SOLE                  10600              1100
D OCCIDENTAL PETROLEUM CORP      COMMON STOCK     674599105      366    17366 SH       SOLE                  10816              6550
D OCEAN ENERGY INC TEX (NEW)     COMMON STOCK     67481E106     4325   304852 SH       SOLE                 118078            186774
D OCEANEERING INTERNATIONAL INC  COMMON STOCK     675232102    13867   729844 SH       SOLE                 724344              5500
D OCEANEERING INTERNATIONAL INC  COMMON STOCK     675232102    15170   798400 SH       DEFINED                                798400
D OCEANFIRST FINANCIAL COR       COMMON STOCK     675234108     9619   521690 SH       SOLE                 521690
D OCEANFIRST FINANCIAL COR       COMMON STOCK     675234108     9811   532100 SH       DEFINED                                532100
D OFFICE DEPOT INC               COMMON STOCK     676220106     4669   746985 SH       SOLE                   2400            744585
D OFFSHORE LOGISTICS INC         COMMON STOCK     676255102     8949   622527 SH       SOLE                 622527
D OFFSHORE LOGISTICS INC         COMMON STOCK     676255102    11236   781600 SH       DEFINED                                781600
D OLD REPUBLIC INTL CORP         COMMON STOCK     680223104      293    17736 SH       SOLE                   1802             15934
D OMNICARE INC                   CONVERTIBLE BOND 681904AD0      362      540 PRN      SOLE                    540
D OMNICOM GROUP INC              COMMON STOCK     681919106    10367   116400 SH       SOLE                  50520             65880
D OMEGA HELATHCARE INVESTORS INC CONVERTIBLE BOND 681936AG5      465   500000 PRN      SOLE                 500000
D OMNOVA SOLUTIONS INC           COMMON STOCK     682129101      908   145218 SH       SOLE                  26000            119218
D ONI SYS CORP                   COMMON STOCK     68273F103      353     3015 SH       SOLE                   3000                15
D ***OPTIMAL ROBOTICS CORP-CL A  FOREIGN COMMON S 68388R208      677    17645 SH       SOLE                  14500              3145
D ORACLE CORP                    COMMON STOCK     68389X105    59571   708649 SH       SOLE                 318326            390323
D ORACLE CORP                    COMMON STOCK     68389X105    62004   737600 SH       DEFINED                                737600
D ORBITAL SCIENCES CORP          COMMON STOCK     685564106     6403   525347 SH       SOLE                 297257            228090
D OSCA INC                       COMMON STOCK     687836106      295    17500 SH       SOLE                                    17500
D OSICOM TECHNOLOGIES INC-NEW    COMMON STOCK     688271501     3618    42755 SH       SOLE                  41962               793
D OSICOM TECHNOLOGIES INC-NEW    COMMON STOCK     688271501     6220    73500 SH       DEFINED                                 73500
D OTTER TAIL POWER CO            COMMON STOCK     689648103     2510   119532 SH       DEFINED                                119532
D OVERSEAS SHIPHOLDING GROUP INC COMMON STOCK     690368105      337    13679 SH       SOLE                                    13679
D OWENS & MINOR INC HOLDING CO   COMMON STOCK     690732102     4309   250700 SH       SOLE                  76700            174000
D OWENS ILLINOIS INC NEW         COMMON STOCK     690768403     4725   392693 SH       SOLE                 308480             84213
D OWENS ILLINOIS INC             CONVERTIBLE PREF 690768502      244    10950 SH       SOLE                   6000              4950
D PECO ENERGY CO                 COMMON STOCK     693304107      599    14850 SH       SOLE                  10050              4800
D PG&E CORP                      COMMON STOCK     69331C108      359    13418 SH       SOLE                  11055              2363
D PE CORP                        COMMON STOCK     69332S102    99287  1504872 SH       SOLE                 733010            771862
D PE CORP                        COMMON STOCK     69332S102    32753   497200 SH       DEFINED                                497200
D PE CORP                        COMMON STOCK     69332S201     7511    80327 SH       SOLE                  32111             48216
D PMC-SIERRA INC                 COMMON STOCK     69344F106     4775    26875 SH       SOLE                  24575              2300
D PMC-SIERRA INC                 COMMON STOCK     69344F106    17467    98300 SH       DEFINED                                 98300
D PPG INDUSTRIES INC             COMMON STOCK     693506107     1325    29890 SH       SOLE                  14650             15240
D PACIFIC GULF PROPERTIES INC    COMMON STOCK     694396102      327    13050 SH       SOLE                   2300             10750
D PACIFIC SUNWEAR OF CALIFORNIA  COMMON STOCK     694873100    11438   610000 SH       DEFINED                                610000
D PACIFICARE HEALTH SYSTEMS INC  COMMON STOCK     695112102    23622   392277 SH       SOLE                 244541            147736
D PACKAGING CORP AMER            COMMON STOCK     695156109      152    15000 SH       SOLE                  15000
D PALL CORP                      COMMON STOCK     696429307    22225  1201325 SH       SOLE                 895414            305911
D PALL CORP                      COMMON STOCK     696429307      263    14200 SH       DEFINED                                 14200
D PANAMSAT CORP NEW              COMMON STOCK     697933109      655    15000 SH       SOLE                  15000
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100      389    35400 SH       SOLE                  33400              2000
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100    27036  2457800 SH       DEFINED                               2457800
D PARKER HANNIFIN CORP           COMMON STOCK     701094104      304     8879 SH       SOLE                    850              8029
D PARLEX CORP                    COMMON STOCK     701630105      893    21200 SH       SOLE                  21200
D PARLEX CORP                    COMMON STOCK     701630105     1942    46100 SH       DEFINED                                 46100
D PATTERSON DENTAL COMPANY       COMMON STOCK     703412106    19385   380105 SH       SOLE                 380105
D PATTERSON DENTAL COMPANY       COMMON STOCK     703412106    25191   493950 SH       DEFINED                                493950
D PATTERSON ENERGY INC           COMMON STOCK     703414102     3213   112720 SH       SOLE                 107100              5620
D PATTERSON ENERGY INC           COMMON STOCK     703414102     5210   182800 SH       DEFINED                                182800
D PAXAR CORP                     COMMON STOCK     704227107      170    14768 SH       SOLE                                    14768
D PAYCHEX INC                    COMMON STOCK     704326107     1205    28700 SH       SOLE                  23443              5257
D PAYLESS SHOESOURCE INC         COMMON STOCK     704379106     7741   151039 SH       SOLE                 148474              2565
D PAYLESS SHOESOURCE INC         COMMON STOCK     704379106     9302   181500 SH       DEFINED                                181500
D PEGASUS COMMUNICATIONS CORP    COMMON STOCK     705904100     1222    24900 SH       SOLE                  24600               300
D PEGASUS COMMUNICATIONS CORP    COMMON STOCK     705904100     2605    53100 SH       DEFINED                                 53100
D J C PENNEY CO INC              COMMON STOCK     708160106      289    10911 SH       SOLE                   6781              4130
D PENNZOIL-QUAKER STATE CO       COMMON STOCK     709323109      366    30380 SH       SOLE                    180             30200
D PENTAIR INC                    COMMON STOCK     709631105     2860    80550 SH       SOLE                  55350             25200
D PEOPLESOFT INC                 COMMON STOCK     712713106      306    18260 SH       SOLE                  10000              8260
D PEPSICO INC                    COMMON STOCK     713448108    34765   782333 SH       SOLE                 374514            407819
D PEPSICO INC                    COMMON STOCK     713448108    42020   945600 SH       DEFINED                                945600
D PEREGRINE SYSTEMS INC          COMMON STOCK     71366Q101    25020   721308 SH       SOLE                 532596            188712
D PEREGRINE SYSTEMS INC          COMMON STOCK     71366Q101    38319  1104700 SH       DEFINED                               1104700
D PHARMACYCLICS INC              COMMON STOCK     716933106     1760    28850 SH       SOLE                  28165               685
D PHARMACYCLICS INC              COMMON STOCK     716933106     3166    51900 SH       DEFINED                                 51900
D PFIZER INC                     COMMON STOCK     717081103   522048 10877034 SH       SOLE                5131482           5745552
D PFIZER INC                     COMMON STOCK     717081103    46366   965950 SH       DEFINED                                965950
D PHARMACIA CORP                 COMMON STOCK     71713U102    60406  1287393 SH       SOLE                1092571            194822
D PHARMACIA CORP                 COMMON STOCK     71713U102    31845   616100 SH       DEFINED                                616100
D PHILADELPHIA SUBURBAN CORP-NEW COMMON STOCK     718009608      318    15500 SH       SOLE                   2000             13500
D PHILIP MORRIS COMPANIES INC    COMMON STOCK     718154107    19737   742733 SH       SOLE                 226695            516038
D PHILIP MORRIS COMPANIES INC    COMMON STOCK     718154107    43145  1624300 SH       DEFINED                               1624300
D PHILLIPS PETROLEUM CO          COMMON STOCK     718507106     3326    65614 SH       SOLE                  16641             48973
D PHONE.COM INC                  COMMON STOCK     71920Q100    12672   194575 SH       SOLE                 167525             27050
D PHONE.COM INC                  COMMON STOCK     71920Q100    24213   371800 SH       DEFINED                                371800
D PHOTRONICS INC                 COMMON STOCK     719405102     6526   230000 SH       DEFINED                                230000
D PILGRIM FD                     COMMON STOCK     72146W103      957   107785 SH       SOLE                  24635             83150
D PILOT NETWORK SERVICES INC     COMMON STOCK     721596104     1084    72900 SH       SOLE                  72900
D PINNACLE HOLDINGS INC          COMMON STOCK     72346N101     5584   103410 SH       SOLE                 100902              2508
D PINNACLE HOLDINGS INC          COMMON STOCK     72346N101     7927   146800 SH       DEFINED                                146800
D PITNEY BOWES INC               COMMON STOCK     724479100     1898    47450 SH       SOLE                  27650             19800
D PITNEY BOWES INC               COMMON STOCK     724479100    34328   858200 SH       DEFINED                                858200
D PLANTRONICS INC NEW            COMMON STOCK     727493108    15777   136597 SH       SOLE                  96283             40314
D PLANTRONICS INC NEW            COMMON STOCK     727493108     1559    13500 SH       DEFINED                                 13500
D POGO PRODUCING CO              COMMON STOCK     730448107     1162    52500 SH       SOLE                  10000             42500
D POLO RALPH LAUREN CORP-CL A    COMMON STOCK     731572103      791    55500 SH       SOLE                  53300              2200
D POLYCOM INC                    COMMON STOCK     73172K104     2545    27050 SH       SOLE                   1850             25200
D POLYMEDICA CORP                COMMON STOCK     731738100     2134    49340 SH       SOLE                  48097              1243
D POLYMEDICA CORP                COMMON STOCK     731738100     3335    77100 SH       DEFINED                                 77100
D PORTAL SOFTWARE INC            COMMON STOCK     736126103    30424   476300 SH       SOLE                 415100             61200
D PORTAL SOFTWARE INC            COMMON STOCK     736126103    68832  1077600 SH       DEFINED                               1077600
D POST PROPERTIES INC            COMMON STOCK     737464107     1429    32500 SH       SOLE                  11900             20600
D POTOMAC ELECTRIC POWER CO      COMMON STOCK     737679100      231     8888 SH       SOLE                    200              8688
D PRAECIS PHARMACEUTICALS INC    COMMON STOCK     739421105      298    10700 SH       SOLE                   3000              7700
D PRAXAIR INC                    COMMON STOCK     74005P104    38922  1040000 SH       SOLE                 708215            331785
D PRAXAIR INC                    COMMON STOCK     74005P104    71472  1909100 SH       DEFINED                               1909100
D ***PRECISION DRILLING CORP     FOREIGN COMMON S 74022D100     1464    37900 SH       SOLE                  37900
D ***PRECISION DRILLING CORP     FOREIGN COMMON S 74022D100     3144    81400 SH       DEFINED                                 81400
D PRESIDENTIAL LIFE CORP         COMMON STOCK     740884101      234    16866 SH       SOLE                  15000              1866
D PRICELINE.COM INC              COMMON STOCK     741503106     2233    58800 SH       SOLE                  44150             14650
D PRIMEDIA INC                   COMMON STOCK     74157K101      739    32475 SH       SOLE                  19300             13175
D PRIMEX TECHNOLOGIES INC        COMMON STOCK     741597108    12126   551161 SH       SOLE                 531261             19900
D PRIMEX TECHNOLOGIES INC        COMMON STOCK     741597108    16045   729300 SH       DEFINED                                729300
D PRIMARK CORP                   COMMON STOCK     741903108    16764   450045 SH       SOLE                 214173            235872
D PRIME HOSPITALITY CORP         COMMON STOCK     741917108    28729  3044131 SH       SOLE                1125981           1918150
D PRIME HOSPITALITY CORP         COMMON STOCK     741917108     4310   456700 SH       DEFINED                                456700
D PRIDE INTERNATIONAL INC        COMMON STOCK     741932107    14956   604302 SH       SOLE                 604302
D PRIDE INTERNATIONAL INC        COMMON STOCK     741932107    18991   767300 SH       DEFINED                                767300
D PRISON REALTY TRUST INC        COMMON STOCK     74264N105      139    41300 SH       SOLE                                    41300
D PROCTER & GAMBLE CO            COMMON STOCK     742718109    96209  1609835 SH       SOLE                1036287            573548
D PROCTER & GAMBLE CO            COMMON STOCK     742718109    48210   842100 SH       DEFINED                                842100
D PROGRESSIVE CORP-OHIO-         COMMON STOCK     743315103     2117    28801 SH       SOLE                   1650             27151
D PROJECT SOFTWARE & DEVELOPMENT COMMON STOCK     74339P101     1232    68450 SH       SOLE                  51050             17400
D PROTECTIVE LIFE CORP           COMMON STOCK     743674103     3142   118000 SH       SOLE                  25000             93000
D PROVIDENCE & WORCESTER         COMMON STOCK     743737108      133    17500 SH       SOLE                   7000             10500
D PROVIDENT FINANCIAL HOLDINGS   COMMON STOCK     743868101     2591   185900 SH       SOLE                 185900
D PROVIDIAN FINANCIAL CORP       COMMON STOCK     74406A102    23355   259500 SH       SOLE                 242635             16865
D PROVIDIAN FINANCIAL CORP       COMMON STOCK     74406A102   227187  2524300 SH       DEFINED                               2524300
D PSINET INC                     COMMON STOCK     74437C101     9614   382655 SH       SOLE                 176755            205900
D PUBLIC SERVICE ENTERPRISE      COMMON STOCK     744573106     1142    32994 SH       SOLE                  12972             20022
D PULITZER INC                   COMMON STOCK     745769109     1950    46234 SH       SOLE                  46234
D PULTE CORP                     COMMON STOCK     745867101      216    10000 SH       SOLE                  10000
D PURCHASEPRO.COM INC            COMMON STOCK     746144104     5754   140350 SH       SOLE                 140350
D PURCHASEPRO.COM INC            COMMON STOCK     746144104    14459   352650 SH       DEFINED                                352650
D PURE RESOURCES INC             COMMON STOCK     74622E102      769    43023 SH       SOLE                  43023
D PUTNAM PREMIER INCOME TRUST    COMMON STOCK     746853100      903   143050 SH       SOLE                  20100            122950
D ***QLT INC                     COMMON STOCK     746927102    10658   137850 SH       SOLE                 136800              1050
D ***QLT INC                     COMMON STOCK     746927102    23511   304100 SH       DEFINED                                304100
D QLOGIC CORP                    COMMON STOCK     747277101    10117   153150 SH       SOLE                 153150
D QLOGIC CORP                    COMMON STOCK     747277101    11072   167600 SH       DEFINED                                167600
D QUAKER OATS CO                 COMMON STOCK     747402105     3482    46350 SH       SOLE                  41650              4700
D QUAKER OATS CO                 COMMON STOCK     747402105     7918   105400 SH       DEFINED                                105400
D QUALCOMM INC                   COMMON STOCK     747525103     6348   105800 SH       SOLE                  49840             55960
D QUANTUM CORP                   CONVERTIBLE BOND 747906AC9      443   560000 PRN      SOLE                 185000            375000
D QUEENS COUNTY BANCORP INC      COMMON STOCK     748242104      705    38247 SH       SOLE                                    38247
D QWEST COMMUNICATIONS           COMMON STOCK     749121109     7915   159302 SH       SOLE                  75507             83795
D QWEST COMMUNICATIONS           COMMON STOCK     749121109      745    15000 SH       DEFINED                                 15000
D R & B FALCON CORP              COMMON STOCK     74912E101      273    11600 SH       SOLE                   3700              7900
D RCN CORP                       COMMON STOCK     749361101     7204   283910 SH       SOLE                 205170             78740
D RFS HOTEL INVESTORS INC        COMMON STOCK     74955J108      294    25000 SH       SOLE                   5000             20000
D R H DONNELLEY CORP (NEW)       COMMON STOCK     74955W307     7113   367126 SH       SOLE                 228810            138316
D RLI CORP                       COMMON STOCK     749607107      286     8225 SH       SOLE                   5775              2450
D RADIAN GROUP INC               COMMON STOCK     750236101      388     7500 SH       SOLE                                     7500
D RADIOSHACK CORP                COMMON STOCK     750438103    49305  1040735 SH       SOLE                 702675            338060
D RAINBOW TECHNOLOGIES INC       COMMON STOCK     750862104     4559    93750 SH       SOLE                  72729             21021
D RAINBOW TECHNOLOGIES INC       COMMON STOCK     750862104     6880   141500 SH       DEFINED                                141500
D RAMBUS INC                     COMMON STOCK     750917106    17038   165413 SH       SOLE                 116420             48993
D RAMBUS INC                     COMMON STOCK     750917106     8425    81800 SH       DEFINED                                 81800
D RALSTON-RALSTON PURINA GROUP   COMMON STOCK     751277302     1145    57415 SH       SOLE                  16975             40440
D RARE MEDIUM GROUP INC          COMMON STOCK     75382N109      497    31400 SH       SOLE                   3500             27900
D RATIONAL SOFTWARE CORP NEW     COMMON STOCK     75409P202    25314   272375 SH       SOLE                 271375              1000
D RATIONAL SOFTWARE CORP NEW     COMMON STOCK     75409P202   228134  2454700 SH       DEFINED                               2454700
D RAYMOND JAMES FINANCIAL INC    COMMON STOCK     754730109      686    30500 SH       SOLE                  30500
D RAYTHEON CO-CL A               COMMON STOCK     755111309      474    13559 SH       SOLE                  10611              2948
D RAYTHEON CO-CL B               COMMON STOCK     755111408     1464    76029 SH       SOLE                  68789              7240
D READERS DIGEST ASSOCIATION INC COMMON STOCK     755267101     2150    54100 SH       SOLE                  42850             11250
D READERS DIGEST AUTOMATIC COM   COMMON STOCK     755271202     2460    70300 SH       SOLE                  60300             10000
D REALNETWORKS INC               COMMON STOCK     75605L104     7646   151216 SH       SOLE                 140800             10416
D REALNETWORKS INC               COMMON STOCK     75605L104    15128   299200 SH       DEFINED                                299200
D RECKSON ASSOCS RLTY CORP       COMMON STOCK     75621K304      401    15747 SH       SOLE                   2365             13382
D REDBACK NETWORK INC            COMMON STOCK     757209101    20757   116082 SH       SOLE                  83800             32282
D REDBACK NETWORK INC            COMMON STOCK     757209101    35718   199400 SH       DEFINED                                199400
D REFAC                          COMMON STOCK     758653109       34    10000 SH       SOLE                                    10000
D REGENERON PHARMACEUTICALS INC  COMMON STOCK     75886F107      450    15100 SH       SOLE                   3100             12000
D REGIONS FINANCIAL CORP         COMMON STOCK     758940100      388    19510 SH       SOLE                                    19510
D RELIANT ENERGY INC             COMMON STOCK     75952J108      415    13823 SH       SOLE                   4998              8825
D RELIASTAR FINANCIAL CORP       COMMON STOCK     75952U103    16167   308313 SH       SOLE                 142245            166068
D REMEC INC                      COMMON STOCK     759543101     1595    38100 SH       SOLE                  38100
D REMEC INC                      COMMON STOCK     759543101     3463    82700 SH       DEFINED                                 82700
D ***REPSOL SA-SPONSORED ADR     COMMON STOCK     76026T205      339    17100 SH       SOLE                  17100
D REPUBLIC SERVICES INC          COMMON STOCK     760759100    22293  1393300 SH       SOLE                 914900            478400
D REPUBLIC SERVICES INC          COMMON STOCK     760759100    38939  2433700 SH       DEFINED                               2433700
D RESOURCE ASSET INVESTMENT      COMMON STOCK     761196104      226    20550 SH       SOLE                   9550             11000
D RESPIRONICS INC                COMMON STOCK     761230101     6857   380961 SH       SOLE                 380961
D ***REUTERS GROUP PLC           COMMON STOCK     76132M102      738     7386 SH       SOLE                   3827              3559
D REYNOLDS & REYNOLDS COMPANY    COMMON STOCK     761695105    28082  1538728 SH       SOLE                 450163           1088565
D RICHMOND COUNTY FINANCIAL CORP COMMON STOCK     764556106      667    34900 SH       SOLE                  34900
D RICHMOND COUNTY FINANCIAL CORP COMMON STOCK     764556106     2486   130000 SH       DEFINED                                130000
D RITE AID CORP                  COMMON STOCK     767754104      482    73750 SH       SOLE                  53650             20100
D RITE AID CORP                  CONVERTIBLE BOND 767754AL8      151   250000 PRN      SOLE                 140000            110000
D ROBBINS & MYERS INC            COMMON STOCK     770196103     5210   228400 SH       SOLE                 228400
D ROBERT HALF INTERNATIONAL INC  COMMON STOCK     770323103      222     7800 SH       SOLE                   7800
D ROCKWELL INTERNATIONAL CORP    COMMON STOCK     773903109    23118   733908 SH       SOLE                 256268            477640
D *** ROGERS COMMUNICATIONS INC  FOREIGN COMMON S 775109200      698    24500 SH       SOLE                    100             24400
D ROHM & HAAS CO                 COMMON STOCK     775371107     9485   274914 SH       SOLE                 179076             95838
D ROLLINS TRUCK LEASING CORP     COMMON STOCK     775741101    38246  5512958 SH       SOLE                2043299           3469659
D ROPER INDUSTRIES INC NEW       COMMON STOCK     776696106    10980   428485 SH       SOLE                 424375              4110
D ROPER INDUSTRIES INC NEW       COMMON STOCK     776696106    15606   609000 SH       DEFINED                                609000
D ROWAN COMPANIES INC W/RTS      COMMON STOCK     779382100    39020  1284594 SH       SOLE                 978064            306530
D ROWAN COMPANIES INC W/RTS      COMMON STOCK     779382100    38570  1269800 SH       DEFINED                               1269800
D THE ROWE COMPANIES             COMMON STOCK     779528108      126    33110 SH       SOLE                                    33110
D ***ROYAL DUTCH PETROLEUM CO    COMMON STOCK     780257804    96775  1571986 SH       SOLE                1057852            514134
D ***ROYAL DUTCH PETROLEUM CO    COMMON STOCK     780257804    32622   529900 SH       DEFINED                                529900
D RUDDICK CORP                   COMMON STOCK     781258108    10118   856526 SH       SOLE                 837226             19300
D RUDDICK CORP                   COMMON STOCK     781258108    13055  1105200 SH       DEFINED                               1105200
D RYDER SYSTEM INC               COMMON STOCK     783549108     1928   101800 SH       SOLE                   1000            100800
D SBC COMMUNICATIONS INC         COMMON STOCK     78387G103    38038   879488 SH       SOLE                 548130            331358
D SBC COMMUNICATIONS INC         COMMON STOCK     78387G103    65160  1506600 SH       DEFINED                               1506600
D SBS TECHNOLOGIES INC           COMMON STOCK     78387P103      931    25200 SH       SOLE                  25200
D SBS TECHNOLOGIES INC           COMMON STOCK     78387P103    10682   289200 SH       DEFINED                                289200
D SCI SYSTEMS INC                COMMON STOCK     783890106     9334   238200 SH       SOLE                 183500             54700
D SCI SYSTEMS INC                COMMON STOCK     783890106    61434  1567700 SH       DEFINED                               1567700
D SDL INC                        COMMON STOCK     784076101      207      725 SH       SOLE                    725
D SDL INC                        COMMON STOCK     784076101    14944    52400 SH       DEFINED                                 52400
D SFX ENTERTAINMENT INC-CL A     COMMON STOCK     784178105    22561   497895 SH       SOLE                 434695             63200
D SLM HOLDING CORP               COMMON STOCK     78442A109   123400  3271123 SH       SOLE                2276144            994979
D SLM HOLDING CORP               COMMON STOCK     78442A109    45438  1213700 SH       DEFINED                               1213700
D STANDARD & POORS DEPOSITARY    COMMON STOCK     78462F103     5523    38016 SH       SOLE                  36980              1036
D SOS STAFFING SERVICES INC      COMMON STOCK     78462X104      893   291700 SH       SOLE                 291700
D SOS STAFFING SERVICES INC      COMMON STOCK     78462X104     2418   789400 SH       DEFINED                                789400
D SPX CORP                       COMMON STOCK     784635104    18680   154460 SH       SOLE                 153204              1256
D SPX CORP                       COMMON STOCK     784635104      568     4700 SH       DEFINED                                  4700
D SABRE HOLDINGS CORP CL A       COMMON STOCK     785905100    92689  3252514 SH       SOLE                2134642           1117872
D SAFEGUARD SCIENTIFICS INC      COMMON STOCK     786449108     8993   280490 SH       SOLE                 278337              2153
D SAFEGUARD SCIENTIFICS INC      COMMON STOCK     786449108    19616   611800 SH       DEFINED                                611800
D SAFEWAY INC                    COMMON STOCK     786514208    47616  1078260 SH       SOLE                 920416            157844
D SAFEWAY INC                    COMMON STOCK     786514208    43974   977200 SH       DEFINED                                977200
D ST JUDE MEDICAL INC            COMMON STOCK     790849103    10660   232373 SH       SOLE                 225950              6423
D ST JUDE MEDICAL INC            COMMON STOCK     790849103      307     6700 SH       DEFINED                                  6700
D ST MARY LAND & EXPLORATION CO  COMMON STOCK     792228108      374     8900 SH       SOLE                   8900
D SANMINA CORP                   COMMON STOCK     800907107    29996   350825 SH       SOLE                 347907              2918
D SANMINA CORP                   COMMON STOCK     800907107    54959   642800 SH       DEFINED                                642800
D SANTA FE SNYDER CORP           COMMON STOCK     80218K105    11343   997206 SH       SOLE                 170210            826996
D ***SAP AG-SPONSORED ADR        COMMON STOCK     803054204     3928    84240 SH       SOLE                  42195             42045
D SARA LEE CORP                  COMMON STOCK     803111103     7799   406485 SH       SOLE                 197372            209113
D ***SATYAM INFOWAY LTD          COMMON STOCK     804099109      346    15530 SH       SOLE                  15530
D SCHERING PLOUGH CORP           COMMON STOCK     806605101   162914  3245172 SH       SOLE                2323218            921954
D SCHERING PLOUGH CORP           COMMON STOCK     806605101    32598   645500 SH       DEFINED                                645500
D ***SCHLUMBERGER LTD            COMMON STOCK     806857108   138521  1856233 SH       SOLE                1072075            784158
D ***SCHLUMBERGER LTD            COMMON STOCK     806857108     3381    45300 SH       DEFINED                                 45300
D CHARLES SCHWAB CORP NEW        COMMON STOCK     808513105     3130    93076 SH       SOLE                  32319             60757
D SCIENTIFIC ATLANTA INC         COMMON STOCK     808655104      426     5722 SH       SOLE                   4700              1022
D E W SCRIPPS CO NEW-CL A        COMMON STOCK     811054204    14551   295450 SH       SOLE                 262600             32850
D E W SCRIPPS CO NEW-CL A        COMMON STOCK     811054204      384     7800 SH       DEFINED                                  7800
D ***SEA CONTAINERS LTD-CL A     COMMON STOCK     811371707     1046    49500 SH       SOLE                  10600             38900
D SEAGATE TECHNOLOGY INC         COMMON STOCK     811804103     2274    41341 SH       SOLE                  35355              5986
D SEAGATE TECHNOLOGY INC         COMMON STOCK     811804103    34040   618900 SH       DEFINED                                618900
D JOSEPH E SEAGRAMS & SONS INC   ZERO COUPON BOND 811845AH9       19    20000 SH       SOLE                  20000
D ***SEAGRAM CO LTD              COMMON STOCK     811850106      555     9566 SH       SOLE                   2000              7566
D SEALED AIR CORP NEW            COMMON STOCK     81211K100    14479   276455 SH       SOLE                 244530             31925
D SEALED AIR CORP NEW            COMMON STOCK     81211K100      314     6000 SH       DEFINED                                  6000
D SEALED AIR CORP NEW-$2 CONV    PREFERRED STOCK  81211K209      402     7938 SH       SOLE                   6851              1087
D SEARS ROEBUCK & CO             COMMON STOCK     812387108      998    28071 SH       SOLE                  21130              6941
D SECURITY CAPITAL GROUP INC     COMMON STOCK     81413P204     5970   351200 SH       SOLE                  46100            305100
D SELECTIVE INSURANCE GROUP INC  COMMON STOCK     816300107     5845   307654 SH       SOLE                 168442            139212
D SEPRACOR INC                   COMMON STOCK     817315104    39830   330200 SH       SOLE                 239650             90550
D SEPRACOR INC                   COMMON STOCK     817315104    36084   299140 SH       DEFINED                         2140   297000
D SEQUENOM INC                   COMMON STOCK     817337108     9469   208694 SH       SOLE                 134900             73794
D SEQUENOM INC                   COMMON STOCK     817337108     2886    63600 SH       DEFINED                                 63600
D SERENA SOFTWARE INC            COMMON STOCK     817492101     1861    40987 SH       SOLE                  39666              1321
D SERENA SOFTWARE INC            COMMON STOCK     817492101     2615    57600 SH       DEFINED                                 57600
D SHARED TECHNOLOGIES CELLULAR   COMMON STOCK     819487109       44    17500 SH       SOLE                  17500
D SHAW INDUSTRIES INC            COMMON STOCK     820286102     5007   401090 SH       SOLE                 191400            209690
D ***SHAW COMMUNICATIONS INC     FOREIGN COMMON S 82028K200    25258  1023100 SH       SOLE                 349200            673900
D ***SHELL TRANSPORT & TRADING   COMMON STOCK     822703609      313     6260 SH       SOLE                   2000              4260
D SHERWIN WILLIAMS CO            COMMON STOCK     824348106      880    41545 SH       SOLE                  17045             24500
D SHOPKO STORES INC              COMMON STOCK     824911101     6613   430100 SH       SOLE                 430100
D SHOPKO STORES INC              COMMON STOCK     824911101     8841   575000 SH       DEFINED                                575000
D SIEBEL SYSTEMS INC             COMMON STOCK     826170102      367     2245 SH       SOLE                   2155                90
D SIERRACITIES.COM INC           COMMON STOCK     826521106      376   100185 SH       SOLE                  96416              3769
D SIERRACITIES.COM INC           COMMON STOCK     826521106      875   233300 SH       DEFINED                                233300
D SIGMA-ALDRICH CORP             COMMON STOCK     826552101      201     6875 SH       SOLE                   2500              4375
D SILICON VALLEY BANCSHARES      COMMON STOCK     827064106      725    17000 SH       SOLE                                    17000
D SIMON PROPERTY GROUP INC       COMMON STOCK     828806109     2134    96200 SH       SOLE                  88100              8100
D SIMPSON MANUFACTURING CO INC   COMMON STOCK     829073105    13106   274116 SH       SOLE                 258216             15900
D SIMPSON MANUFACTURING CO INC   COMMON STOCK     829073105    14272   298500 SH       DEFINED                                298500
D SINCLAIR BROADCAST GROUP INC   COMMON STOCK     829226109    71329  6484450 SH       SOLE                2080304           4404146
D SIRIUS SATELLITE RADIO INC     COMMON STOCK     82966U103      483    10910 SH       SOLE                  10700               210
D SKYLINE CORP                   COMMON STOCK     830830105     1075    50000 SH       SOLE                  13500             36500
D SMITH INTERNATIONAL INC-W/RTS  COMMON STOCK     832110100    15872   221833 SH       SOLE                 145150             76683
D SMITH INTERNATIONAL INC-W/RTS  COMMON STOCK     832110100     8941   122800 SH       DEFINED                                122800
D SMITHFIELD FOODS INC           COMMON STOCK     832248108    15249   543400 SH       SOLE                 175800            367600
D ***SMITHKLINE BEECHAM PLC      COMMON STOCK     832378301    20939   321214 SH       SOLE                 110440            210774
D SNYDER COMMUNICATIONS INC      COMMON STOCK     832914105      451    19000 SH       SOLE                  12000              7000
D SNAP-ON INC                    COMMON STOCK     833034101      240     9000 SH       SOLE                                     9000
D SOFTWARE COM INC               COMMON STOCK     83402P104     4592    35355 SH       SOLE                  13855             21500
D SOLA INERNATIONAL INC          COMMON STOCK     834092108      228    46800 SH       SOLE                    800             46000
D SOLECTRON CORP                 COMMON STOCK     834182107      463    11054 SH       SOLE                   4100              6954
D SOLUTIA INC                    COMMON STOCK     834376105      912    66341 SH       SOLE                  59020              7321
D SOMERSET GROUP INC             COMMON STOCK     834706103      831    38002 SH       SOLE                   1000             37002
D SONIC AUTOMOTIVE INC-CL A      COMMON STOCK     83545G102    17216  1610900 SH       SOLE                 482400           1128500
D SONICWALL INC                  COMMON STOCK     835470105     3655    41510 SH       SOLE                  41101               409
D SONICWALL INC                  COMMON STOCK     835470105     6376    72400 SH       DEFINED                                 72400
D ***SONY CORP-ADR NEW           COMMON STOCK     835699307      730     7737 SH       SOLE                   6991               746
D SOUTHDOWN INC                  COMMON STOCK     841297104      395     6842 SH       SOLE                   3014              3828
D SOUTHERN CO                    COMMON STOCK     842587107      402    17236 SH       SOLE                  10904              6332
D SOUTHERN UNION CO NEW          COMMON STOCK     844030106      361    22804 SH       SOLE                                    22804
D SOUTHTRUST CORP                COMMON STOCK     844730101      341    15053 SH       SOLE                  10250              4803
D SOUTHWEST AIRLINES CO          COMMON STOCK     844741108     9734   514000 SH       SOLE                 511900              2100
D SOUTHWEST AIRLINES CO          COMMON STOCK     844741108      294    15500 SH       DEFINED                                 15500
D SOVEREIGN BANCORP INC          COMMON STOCK     845905108      176    25000 SH       SOLE                  25000
D SPECIALTY EQUIPMENT COMPANIES  COMMON STOCK     847497203     1872    69025 SH       SOLE                  49425             19600
D SPIEKER PROPERTIES INC         COMMON STOCK     848497103    19221   417850 SH       SOLE                 392850             25000
D SPIEKER PROPERTIES INC         COMMON STOCK     848497103      391     8500 SH       DEFINED                                  8500
D SPRINT CORP                    COMMON STOCK     852061100    22045   432264 SH       SOLE                 251879            180385
D SPRINT CORPORATION             COMMON STOCK     852061506     4059    68218 SH       SOLE                  42086             26132
D STAAR SURGICAL CO NEW          COMMON STOCK     852312305     4964   443700 SH       DEFINED                                443700
D STANCORP FINL GROUP INC        COMMON STOCK     852891100     2978    92700 SH       SOLE                  17000             75700
D STANDEX INTERNATIONAL CORP     COMMON STOCK     854231107     4546   286336 SH       SOLE                  15600            270736
D STANLEY WORKS                  COMMON STOCK     854616109     2418   101792 SH       SOLE                  53150             48642
D STAPLES INC                    COMMON STOCK     855030102      662    43071 SH       SOLE                   3365             39706
D STARBUCKS CORP                 COMMON STOCK     855244109     9982   261400 SH       SOLE                 255700              5700
D STARBUCKS CORP                 COMMON STOCK     855244109    24883   651600 SH       DEFINED                                651600
D STARWOOD HOTELS & RESORTS      COMMON STOCK     85590A203    66345  2037473 SH       SOLE                1091410            946063
D STARWOOD HOTELS & RESORTS      COMMON STOCK     85590A203      628    19300 SH       DEFINED                                 19300
D STATE STREET CORP              COMMON STOCK     857477103     3725    35118 SH       SOLE                  10836             24282
D STATEN ISLAND BANCORP INC      COMMON STOCK     857550107      184    10450 SH       SOLE                   9450              1000
D STERLING BANCSHARES INC        COMMON STOCK     858907108     7799   721294 SH       SOLE                 721294
D STERLING BANCSHARES INC        COMMON STOCK     858907108    11158  1031975 SH       DEFINED                               1031975
D STERLING FINANCIAL CORP-WASH   COMMON STOCK     859319105      158    13700 SH       SOLE                   2000             11700
D STEWART INFORMATION SERVICES   COMMON STOCK     860372101      329    22500 SH       SOLE                                    22500
D ***STMICROELECTRONICS N V      COMMON STOCK     861012102      918    14300 SH       SOLE                  11600              2700
D STRATEGIC DIAGNOSTICS INC      COMMON STOCK     862700101     1548   278269 SH       SOLE                 268377              9892
D STRATEGIC DIAGNOSTICS INC      COMMON STOCK     862700101     3246   583500 SH       DEFINED                                583500
D STRATUS PROPERTIES INC         COMMON STOCK     863167102      464   109084 SH       SOLE                  10300             98784
D SUBURBAN PROPANE PARTNERS LP   COMMON STOCK     864482104      260    13000 SH       SOLE                   1500             11500
D SUMMIT BANCORP                 COMMON STOCK     866005101      336    13635 SH       SOLE                   7132              6503
D SUN MICROSYSTEMS INC           COMMON STOCK     866810104    85162   936493 SH       SOLE                 654706            281787
D SUN MICROSYSTEMS INC           COMMON STOCK     866810104      891     9800 SH       DEFINED                                  9800
D ***SUNCOR ENERGY INC           COMMON STOCK     867229106    34173  1465869 SH       SOLE                1238859            227010
D SUNGARD DATA SYSTEMS INC       COMMON STOCK     867363103     7965   256950 SH       SOLE                 256950
D SUNGARD DATA SYSTEMS INC       COMMON STOCK     867363103      251     8100 SH       DEFINED                                  8100
D SUNTRUST BANKS INC             COMMON STOCK     867914103      336     7349 SH       SOLE                    709              6640
D SUNSOURCE INC                  COMMON STOCK     867948101       96    18900 SH       SOLE                   9600              9300
D SUPERGEN INC                   COMMON STOCK     868059106     1259    34720 SH       SOLE                  34720
D SUPERGEN INC                   COMMON STOCK     868059106     2530    69800 SH       DEFINED                                 69800
D SUPERIOR UNIFORM GROUP INC     COMMON STOCK     868358102      359    41300 SH       SOLE                                    41300
D SUPERVALU INC                  COMMON STOCK     868536103      229    12020 SH       SOLE                  10700              1320
D SWIFT ENERGY CO                COMMON STOCK     870738101    15903   560474 SH       SOLE                 560474
D SWIFT ENERGY CO                COMMON STOCK     870738101    22935   808290 SH       DEFINED                                808290
D SYBRON INTERNATIONAL CORP-WISC COMMON STOCK     87114F106    10596   534805 SH       SOLE                 210734            324071
D SYCAMORE NETWORKS INC          COMMON STOCK     871206108      248     2250 SH       SOLE                    650              1600
D SYMYX TECHNOLOGIES INC         COMMON STOCK     87155S108      430    10100 SH       SOLE                   3600              6500
D SYNOPSYS INC                   COMMON STOCK     871607107    24090   697000 SH       DEFINED                                697000
D SYNTROLEUM CORP                COMMON STOCK     871630109      185    10800 SH       SOLE                                    10800
D SYSCO CORP                     COMMON STOCK     871829107     1250    29675 SH       SOLE                   9875             19800
D TCF FINANCIAL CORP             COMMON STOCK     872275102     1155    44973 SH       SOLE                  37640              7333
D TEPPCO PARTNERS LP             COMMON STOCK     872384102    21791   917520 SH       SOLE                 868570             48950
D TJX COMPANIES INC NEW          COMMON STOCK     872540109     4856   259000 SH       SOLE                 105350            153650
D TRW INC                        COMMON STOCK     872649108    28707   661824 SH       SOLE                 572138             89686
D TV GUIDE INC CL A              COMMON STOCK     87307Q109     1152    33625 SH       SOLE                  32125              1500
D TV GUIDE INC CL A              COMMON STOCK     87307Q109      956    27900 SH       DEFINED                                 27900
D TXU CORP                       COMMON STOCK     873168108      625    21173 SH       SOLE                   1936             19237
D ***TAIWAN SEMICONDUCTOR MFG CO COMMON STOCK     874039100      807    20832 SH       SOLE                  20376               456
D TANGER FACTORY OUTLET CENTERS  COMMON STOCK     875465106      344    14650 SH       SOLE                   4850              9800
D TANOX INC                      COMMON STOCK     87588Q109      558    11800 SH       SOLE                  11800
D TANOX INC                      COMMON STOCK     87588Q109     1211    25600 SH       DEFINED                                 25600
D TARGET CORP                    COMMON STOCK     87612E106    45529   784979 SH       SOLE                 377549            407430
D TARGET CORP                    COMMON STOCK     87612E106    20921   360700 SH       DEFINED                                360700
D TECH DATA CORP                 COMMON STOCK     878237106    56130  1288500 SH       DEFINED                               1288500
D TECH SYM CORP                  COMMON STOCK     878308105     1851    65800 SH       SOLE                   4100             61700
D TECHNITROL INC                 COMMON STOCK     878555101    10404   107400 SH       SOLE                 107400
D TECHNITROL INC                 COMMON STOCK     878555101     4805    49600 SH       DEFINED                                 49600
D TECUMSEH PRODUCTS CO-CL A      COMMON STOCK     878895200      493    12900 SH       SOLE                   3400              9500
D TEKTRONIX INC                  COMMON STOCK     879131100     9128   123350 SH       SOLE                 122100              1250
D TEKTRONIX INC                  COMMON STOCK     879131100    16768   226600 SH       DEFINED                                226600
D ***TELECOMUNICACOES BRASILEI-  COMMON STOCK     879287100        0    10960 SH       SOLE                   9960              1000
D ***TELECOMINICAOES BRASILEIRAS COMMON STOCK     879287308      384     3950 SH       SOLE                   3350               600
D TELEFLEX INC                   COMMON STOCK     879369106      315     8800 SH       SOLE                   5000              3800
D ***TELEFONICA  S A             COMMON STOCK     879382208     1204    18800 SH       SOLE                  16360              2440
D ***TELEFONICA  S A             COMMON STOCK     879382208     3106    48477 SH       DEFINED                                 48477
D ***TELEFONOS DE MEXICO SA      COMMON STOCK     879403780     1313    22984 SH       SOLE                  22582               402
D ***TELEFONOS DE MEXICO SA      COMMON STOCK     879403780     1901    33280 SH       DEFINED                                 33280
D TELEPHONE & DATA SYSTEMS INC   COMMON STOCK     879433100    36698   366063 SH       SOLE                 241679            124384
D TELLABS INC                    COMMON STOCK     879664100     8920   130340 SH       SOLE                  43890             86450
D TEMPLE-INLAND INC              COMMON STOCK     879868107      506    10989 SH       SOLE                   5659              5330
D TEMPLETON DRAGON FUND INC      COMMON STOCK     88018T101     3650   429390 SH       SOLE                 298391            130999
D TEMPLETON VIETNAM & SOUTHEAST  COMMON STOCK     88022J107      345    48800 SH       SOLE                  22000             26800
D TENET HEALTHCARE CORP          COMMON STOCK     88033G100    21582   799335 SH       SOLE                 749540             49795
D TENET HEALTHCARE CORP          COMMON STOCK     88033G100      567    21000 SH       DEFINED                                 21000
D TERADYNE INC                   COMMON STOCK     880770102    35339   483409 SH       SOLE                 272814            210595
D TERADYNE INC                   COMMON STOCK     880770102      573     7800 SH       DEFINED                                  7800
D TERREMARK WORLDWIDE INC        COMMON STOCK     881448104       54    10850 SH       SOLE                  10850
D ***TEVA PHARMACEUTICAL INDS    COMMON STOCK     881624209      832    15000 SH       SOLE                   5000             10000
D TEXACO INC                     COMMON STOCK     881694103     8891   166798 SH       SOLE                  71313             95485
D TEXACO INC                     COMMON STOCK     881694103    18600   349300 SH       DEFINED                                349300
D TEXAS INSTRUMENTS INC          COMMON STOCK     882508104   195453  2843898 SH       SOLE                1424018           1419880
D TEXAS REGIONAL BANCSHARES INC  COMMON STOCK     882673106     6570   258920 SH       SOLE                 258920
D TEXAS REGIONAL BANCSHARES INC  COMMON STOCK     882673106     8053   317350 SH       DEFINED                                317350
D TEXTRON INC                    COMMON STOCK     883203101    19374   356720 SH       SOLE                 189608            167112
D THERMO ELECTRON CORP           COMMON STOCK     883556102      420    19956 SH       SOLE                  10875              9081
D THOMAS INDUSTRIES INC          COMMON STOCK     884425109    13256   749475 SH       SOLE                 105525            643950
D ***THOMSON MULTIMEDIA          COMMON STOCK     885118109     1439    22660 SH       DEFINED                                 22660
D THOR INDUSTRIES INC            COMMON STOCK     885160101     1498    71350 SH       SOLE                  71350
D THORNBURG MORTGAGE INC         COMMON STOCK     885218107     1665   231625 SH       SOLE                 221625             10000
D 3COM CORP                      COMMON STOCK     885535104      208     3610 SH       SOLE                   2600              1010
D TIDEWATER INC                  COMMON STOCK     886423102     3760   104450 SH       SOLE                  16950             87500
D TIFFANY & CO NEW               COMMON STOCK     886547108    42787   633882 SH       SOLE                 493667            140215
D TIFFANY & CO NEW               COMMON STOCK     886547108    27392   405800 SH       DEFINED                                405800
D TIMBERLAND COMPANY CL A        COMMON STOCK     887100105      425     6000 SH       SOLE                                     6000
D TIME WARNER INC                COMMON STOCK     887315109   208597  2747260 SH       SOLE                1675349           1071911
D TIME WARNER INC                COMMON STOCK     887315109      312     4100 SH       DEFINED                                  4100
D ***TOKIO MARINE & FIRE         COMMON STOCK     889090403      325     5455 SH       SOLE                   1024              4431
D TOO INC                        COMMON STOCK     890333107     1747    68676 SH       SOLE                  50038             18638
D TORCHMARK CORP                 COMMON STOCK     891027104     8142   329800 SH       SOLE                 219189            110611
D TOSCO CORP NEW                 COMMON STOCK     891490302    17127   606364 SH       SOLE                 426789            179575
D ***TOTAL FINA ELF S.A.         COMMON STOCK     89151E109     2056    26762 SH       SOLE                  12094             14668
D ***TOTAL FINA ELF S.A.         COMMON STOCK     89151E109     2003    26070 SH       DEFINED                                 26070
D TRACK DATA CORP                COMMON STOCK     891918104       13    10218 SH       SOLE                  10000               218
D TOYS R US                      COMMON STOCK     892335100      227    15420 SH       SOLE                   4997             10423
D TRANSACTION SYSTEMS ARCHITECTS COMMON STOCK     893416107      190    11100 SH       SOLE                    900             10200
D TRANSMEDIA NETWORK INC NEW     COMMON STOCK     893767301       69    16200 SH       SOLE                   4300             11900
D TRAVELOCITY.COM INC            COMMON STOCK     893953109     2396   146300 SH       SOLE                  75075             71225
D TRIARC COMPANIES INC-CL A      COMMON STOCK     895927101    30725  1498775 SH       SOLE                 433375           1065400
D TRICON GLOBAL RESTAURANTS INC  COMMON STOCK     895953107     8006   283385 SH       SOLE                 203717             79668
D TRIBUNE CO NEW                 COMMON STOCK     896047107    70160  1911637 SH       SOLE                1528523            383114
D TRIGON HEALTHCARE INC-CL A     COMMON STOCK     89618L100    26287   509815 SH       SOLE                 500515              9300
D TRIGON HEALTHCARE INC-CL A     COMMON STOCK     89618L100    37192   721300 SH       DEFINED                                721300
D TRINITY INDUSTRIES INC         COMMON STOCK     896522109      555    30000 SH       SOLE                                    30000
D TRUE NORTH COMMUNICATIONS INC  COMMON STOCK     897844106    27383   622340 SH       SOLE                 378740            243600
D ***TYCO INTERNATIONAL LTD      COMMON STOCK     902124106    67859  1432635 SH       SOLE                 763018            669617
D ***TYCO INTERNATIONAL LTD      COMMON STOCK     902124106     4562    96300 SH       DEFINED                                 96300
D TYSON FOODS INC CL A           COMMON STOCK     902494103       97    11050 SH       SOLE                   2350              8700
D UAL CORP NEW                   COMMON STOCK     902549500     3433    59000 SH       SOLE                  17000             42000
D UCBH HOLDINGS INC              COMMON STOCK     90262T308     3424   128300 SH       SOLE                 128300
D USX-MARATHON GROUP             COMMON STOCK     902905827    19820   790825 SH       SOLE                 629150            161675
D USX-MARATHON GROUP             COMMON STOCK     902905827      356    14200 SH       DEFINED                                 14200
D UST INC                        COMMON STOCK     902911106     1205    82030 SH       SOLE                  54850             27180
D U S PLASTIC LUMBER CORP        COMMON STOCK     902948108       70    16000 SH       SOLE                  16000
D U S BANCORP-DEL                COMMON STOCK     902973106    36216  1881346 SH       SOLE                1680469            200877
D USA NETWORKS INC               COMMON STOCK     902984103     7426   343380 SH       SOLE                 306080             37300
D USA NETWORKS INC               COMMON STOCK     902984103    14493   670200 SH       DEFINED                                670200
D USG CORP NEW                   COMMON STOCK     903293405    26125   857535 SH       SOLE                 406050            451485
D USEC INC                       COMMON STOCK     90333E108      127    27500 SH       SOLE                  27500
D UTI ENERGY CORP                COMMON STOCK     903387108     6772   168785 SH       SOLE                 158807              9978
D UTI ENERGY CORP                COMMON STOCK     903387108    17880   445600 SH       DEFINED                                445600
D US UNWIRED INC-CL A            COMMON STOCK     90338R104     1128    86800 SH       SOLE                  86800
D US UNWIRED INC-CL A            COMMON STOCK     90338R104     2436   187400 SH       DEFINED                                187400
D UNIFY CORP                     COMMON STOCK     904743101      257    30002 SH       SOLE                                    30002
D ***UNILEVER N V                FOREIGN COMMON S 904784709     3482    80976 SH       SOLE                  50893             30083
D UNICOM CORP                    COMMON STOCK     904911104    51888  1341805 SH       SOLE                1223329            118476
D UNICOM CORP                    COMMON STOCK     904911104      441    11400 SH       DEFINED                                 11400
D UNION CARBIDE CORP             COMMON STOCK     905581104      470     9490 SH       SOLE                   5440              4050
D UNION PACIFIC CORP             COMMON STOCK     907818108     3124    83308 SH       SOLE                  28703             54605
D UNION PACIFIC RESOURCES GROUP  COMMON STOCK     907834105    54083  2458301 SH       SOLE                 868544           1589757
D UNION PACIFIC RESOURCES GROUP  COMMON STOCK     907834105    75409  3427700 SH       DEFINED                               3427700
D UNISOURCE ENERGY CORP          COMMON STOCK     909205106     1432    95500 SH       SOLE                  51700             43800
D UNISYS CORP                    COMMON STOCK     909214108      623    42768 SH       SOLE                  23033             19735
D UNIT CORP                      COMMON STOCK     909218109     9595   710774 SH       SOLE                 683874             26900
D UNIT CORP                      COMMON STOCK     909218109    12076   894500 SH       DEFINED                                894500
D UNITED AUTO GROUP INC          COMMON STOCK     909440109     3689   404300 SH       SOLE                 197500            206800
D ***UNITED DOMINION INDUSTRIES  FOREIGN COMMON S 909914103     2438   143400 SH       SOLE                  14000            129400
D UNITED INDUSTRIAL CORP         COMMON STOCK     910671106     1383   151600 SH       SOLE                  67800             83800
D UNITED PARCEL SVC INC          COMMON STOCK     911312106    52476   889425 SH       SOLE                 633892            255533
D UNITED RENTALS INC             COMMON STOCK     911363109      217    12700 SH       SOLE                    500             12200
D USAIR GROUP INC                COMMON STOCK     911905107      226     5800 SH       SOLE                   5000               800
D U S INDUSTRIES INC NEW         COMMON STOCK     912080108     4501   371200 SH       SOLE                  58600            312600
D U S WEST INC NEW               COMMON STOCK     91273H101     3462    40378 SH       SOLE                  12412             27966
D UNITED STATIONERS INC          COMMON STOCK     913004107    22750   702712 SH       SOLE                 702712
D UNITED STATIONERS INC          COMMON STOCK     913004107    31656   977800 SH       DEFINED                                977800
D UNITED TECHNOLOGIES CORP       COMMON STOCK     913017109    74608  1267228 SH       SOLE                 948150            319078
D UNITED TECHNOLOGIES CORP       COMMON STOCK     913017109    21148   359200 SH       DEFINED                                359200
D UNITEDGLOBALCOM                COMMON STOCK     913247508     5921   126650 SH       SOLE                 109000             17650
D UNITEDHEALTH GROUP INC         COMMON STOCK     91324P102    12818   149479 SH       SOLE                 100274             49205
D UNITRIN INC                    COMMON STOCK     913275103      215     7320 SH       SOLE                   2320              5000
D UNIVERSAL HEALTH SERV.INC CL B COMMON STOCK     913903100    14635   223440 SH       SOLE                  87400            136040
D UNIVERSAL HEALTH SERV.INC CL B COMMON STOCK     913903100    23292   355600 SH       DEFINED                                355600
D UNIVISION COMMUNICATIONS INC   COMMON STOCK     914906102    37689   364145 SH       SOLE                 339066             25079
D UNIVISION COMMUNICATIONS INC   COMMON STOCK     914906102    44712   432000 SH       DEFINED                                432000
D UNOCAL CORP                    COMMON STOCK     915289102    25326   765102 SH       SOLE                 742409             22693
D UNUMPROVIDENT CORP             COMMON STOCK     91529Y106    14306   713051 SH       SOLE                 661824             51227
D UNUMPROVIDENT CORP             COMMON STOCK     91529Y106      407    20300 SH       DEFINED                                 20300
D VALASSIS COMMUNICATIONS INC    COMMON STOCK     918866104    30322   795339 SH       SOLE                 469865            325474
D VALASSIS COMMUNICATIONS INC    COMMON STOCK     918866104     9726   255100 SH       DEFINED                                255100
D VALLEY NATIONAL BANCORP        COMMON STOCK     919794107     8669   356586 SH       SOLE                 356586
D VALLEY NATIONAL BANCORP        COMMON STOCK     919794107      235     9660 SH       DEFINED                                  9660
D VALUECLICK INC                 COMMON STOCK     92046N102      496    48400 SH       SOLE                  46400              2000
D VARCO INTL INC DEL             COMMON STOCK     922122106    12849   552628 SH       SOLE                 548773              3855
D VARCO INTL INC DEL             COMMON STOCK     922122106    14671   631000 SH       DEFINED                                631000
D VARIAN INC                     COMMON STOCK     922206107     2332    50556 SH       SOLE                  42600              7956
D VARIAN SEMICONDUCTOR EQUIPMENT COMMON STOCK     922207105      923    14700 SH       SOLE                   5900              8800
D VARIAN MEDICAL SYSTEMS INC     COMMON STOCK     92220P105    32037   818847 SH       SOLE                 556236            262611
D VEECO INSTRUMENTS INC-DEL      COMMON STOCK     922417100     1172    16001 SH       SOLE                  15518               483
D VEECO INSTRUMENTS INC-DEL      COMMON STOCK     922417100     2176    29700 SH       DEFINED                                 29700
D VERIO INC                      COMMON STOCK     923433106     4808    86660 SH       SOLE                  52710             33950
D VERITAS SOFTWARE CORP          COMMON STOCK     923436109     7858    69522 SH       SOLE                  13593             55929
D VERITAS SOFTWARE CORP          COMMON STOCK     923436109    30531   270150 SH       DEFINED                                270150
D VERISIGN INC                   COMMON STOCK     92343E102    46562   263808 SH       SOLE                 165602             98206
D VERISIGN INC                   COMMON STOCK     92343E102    33111   187600 SH       DEFINED                                187600
D VERTICALNET INC-PA             COMMON STOCK     92532L107      464    12561 SH       SOLE                   1400             11161
D VIACOM INC-CL B FORMLY NON VTG COMMON STOCK     925524308   148768  2190780 SH       SOLE                1638852            551928
D VIATEL INC                     COMMON STOCK     925529208     1779    62300 SH       SOLE                  39800             22500
D VIASAT INC                     COMMON STOCK     92552V100     2919    53805 SH       SOLE                  17950             35855
D VIGNETTE CORP                  COMMON STOCK     926734104    13011   250125 SH       SOLE                 248925              1200
D VIGNETTE CORP                  COMMON STOCK     926734104    38075   732000 SH       DEFINED                                732000
D VIRATA CORP                    COMMON STOCK     927646109     6427   107790 SH       SOLE                 105528              2262
D VIRATA CORP                    COMMON STOCK     927646109     8848   148400 SH       DEFINED                                148400
D VISHAY INTERTECHNOLOGY INC     COMMON STOCK     928298108     4485   118315 SH       SOLE                  57266             61049
D VISHAY INTERTECHNOLOGY INC     COMMON STOCK     928298108     5061   133400 SH       DEFINED                                133400
D VISTEON CORP                   COMMON STOCK     92839U107      306    25254 SH       SOLE                   8683             16571
D VITAMINSHOPPE.COM INC          COMMON STOCK     92848M104       28    21000 SH       SOLE                  10000             11000
D VITESSE SEMICONDUCTOR CORP     COMMON STOCK     928497106     9070   123300 SH       SOLE                 123300
D VITESSE SEMICONDUCTOR CORP     COMMON STOCK     928497106     4634    63000 SH       DEFINED                                 63000
D ***VODAFONE AIRTOUCH PLC       COMMON STOCK     92857T107    70128  1683015 SH       SOLE                1008123            674892
D VOICESTREAM WIRELESS CORP      COMMON STOCK     928615103    21815   187578 SH       SOLE                 147436             40142
D VOICESTREAM WIRELESS CORP      COMMON STOCK     928615103    20933   180000 SH       DEFINED                                180000
D VOLT INFORMATION SCIENCES INC  COMMON STOCK     928703107      319     9675 SH       SOLE                                     9675
D VORNADO REALTY TRUST           COMMON STOCK     929042109    46854  1347517 SH       SOLE                 912240            435277
D VORNADO REALTY TRUST           COMMON STOCK     929042109      448    12900 SH       DEFINED                                 12900
D VORNADO OPERATING CO           COMMON STOCK     92904N103       81    10440 SH       SOLE                    400             10040
D VULCAN MATERIALS CO            COMMON STOCK     929160109    17062   399703 SH       SOLE                 245353            154350
D WBK STRYPES TR-10% STRUCTURED  COMMON STOCK     929229102      761    23050 SH       SOLE                  12850             10200
D WHX CORP                       COMMON STOCK     929248102     1271   231100 SH       SOLE                  76000            155100
D ***WPP GROUP PLC-SPONSORED ADR COMMON STOCK     929309300      211     2908 SH       SOLE                   2908
D WACHOVIA CORP NEW              COMMON STOCK     929771103      289     5332 SH       SOLE                   1490              3842
D WACKENHUT CORP-CL B            COMMON STOCK     929794303     6808   726211 SH       SOLE                 154646            571565
D WACKENHUT CORRECTIONS CORP     COMMON STOCK     929798106     3460   461400 SH       SOLE                 160400            301000
D WADDELL & REED FINANCIAL INC   COMMON STOCK     930059100      566    17243 SH       SOLE                   6938             10305
D WADDELL & REED FINANCIAL INC   COMMON STOCK     930059209      310    10682 SH       SOLE                   1613              9069
D WAL-MART STORES INC            COMMON STOCK     931142103   140194  2432876 SH       SOLE                1510439            922437
D WAL-MART STORES INC            COMMON STOCK     931142103     3008    52200 SH       DEFINED                                 52200
D WALGREEN CO                    COMMON STOCK     931422109    13786   429134 SH       SOLE                 289164            139970
D WALLACE COMPUTER SERVICES INC  COMMON STOCK     932270101    12685  1284520 SH       SOLE                1233220             51300
D WALLACE COMPUTER SERVICES INC  COMMON STOCK     932270101    17994  1822200 SH       DEFINED                               1822200
D WARNACO GROUP INC-CL A         COMMON STOCK     934390105      158    20400 SH       SOLE                    700             19700
D WASHINGTON MUTUAL INC          COMMON STOCK     939322103     7229   250884 SH       SOLE                 123321            127563
D WASHINGTON POST CO CLASS B     COMMON STOCK     939640108      250      524 SH       SOLE                    200               324
D WASHINGTON REAL ESTATE         COMMON STOCK     939653101      265    14800 SH       SOLE                   2800             12000
D WATERS CORP                    COMMON STOCK     941848103    53710   430326 SH       SOLE                 342128             88198
D WATERS CORP                    COMMON STOCK     941848103    39453   316100 SH       DEFINED                                316100
D WEATHERFORD INTERNATIONAL INC  COMMON STOCK     947074100     4917   123492 SH       SOLE                 119492              4000
D WEATHERFORD INTERNATIONAL INC  COMMON STOCK     947074100    16849   423200 SH       DEFINED                                423200
D WTS WEBFINANCIAL CORP          WARRANT OR RIGHT 94767P118       90   319344 SH  F    SOLE                                   319344
D WEBSTER FINANCIAL CORP         COMMON STOCK     947890109    14048   633156 SH       SOLE                 633156
D WEBSTER FINANCIAL CORP         COMMON STOCK     947890109    22500  1014100 SH       DEFINED                               1014100
D WELLPOINT HEALTH NETWORKS INC  COMMON STOCK     94973H108    60706   838046 SH       SOLE                 636127            201919
D WELLPOINT HEALTH NETWORKS INC  COMMON STOCK     94973H108   247389  3415200 SH       DEFINED                               3415200
D WELLS FARGO & CO-NEW           COMMON STOCK     949746101    80724  2082310 SH       SOLE                1182987            899323
D WELLS FARGO & CO-NEW           COMMON STOCK     949746101   148095  3821800 SH       DEFINED                               3821800
D WELLSFORD REAL PROPERTIES INC  COMMON STOCK     950240200      186    12299 SH       SOLE                   2813              9486
D WENDYS INTERNATIONAL INC       COMMON STOCK     950590109     2346   131701 SH       SOLE                  61000             70701
D WESLEY JESSEN VISIONCARE INC   COMMON STOCK     951018100      257     6850 SH       SOLE                   3550              3300
D WEST TELESERVICES CORP         COMMON STOCK     956188106      905    35750 SH       SOLE                  35750
D WESTELL TECHNOLOGIES INC-CL A  COMMON STOCK     957541105      746    49750 SH       SOLE                  47400              2350
D WESTERN RESOURCES INC          COMMON STOCK     959425109      199    12810 SH       SOLE                   2000             10810
D WESTERN WIRELESS CORP-CL A     COMMON STOCK     95988E204     8261   151582 SH       SOLE                  66800             84782
D WESTFIELD AMERICA INC          COMMON STOCK     959910100      215    16000 SH       SOLE                                    16000
D WESTVACO CORP                  COMMON STOCK     961548104     2508   101096 SH       SOLE                 101096
D WESTWOOD ONE INC               COMMON STOCK     961815107    15131   443400 SH       SOLE                 443400
D WESTWOOD ONE INC               COMMON STOCK     961815107    38476  1127500 SH       DEFINED                               1127500
D WEYERHAEUSER CO                COMMON STOCK     962166104      635    14775 SH       SOLE                   9525              5250
D WEYERHAEUSER CO                COMMON STOCK     962166104    30745   715000 SH       DEFINED                                715000
D WHOLE FOODS MARKET INC         COMMON STOCK     966837106    10643   257610 SH       SOLE                 257110               500
D WHOLE FOODS MARKET INC         COMMON STOCK     966837106    15298   370300 SH       DEFINED                                370300
D JOHN WILEY & SONS INC CL A     COMMON STOCK     968223206     7943   353020 SH       SOLE                 140020            213000
D JOHN WILEY & SONS INC CL B     COMMON STOCK     968223305      992    42200 SH       SOLE                   7200             35000
D WILLAMETTE INDUSTRIES INC      COMMON STOCK     969133107     1870    67894 SH       SOLE                  30410             37484
D WILLIAMS COMMUNICATIONS GROUP  COMMON STOCK     969455104      725    21850 SH       SOLE                   8200             13650
D WILLIAMS COMPANIES INC         COMMON STOCK     969457100    71501  1762509 SH       SOLE                1722354             40155
D WILLIAMS COMPANIES INC         COMMON STOCK     969457100    93618  2245700 SH       DEFINED                               2245700
D WILMINGTON TRUST CORP          COMMON STOCK     971807102      393     9185 SH       SOLE                                     9185
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107    14240   420378 SH       SOLE                 402206             18172
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107    25825   762350 SH       DEFINED                                762350
D WISCONSIN ST CLEAN WTR REV     MUNICIPAL BONDS  977092EU5     1450  1440000 SH       SOLE                1440000
D WOODHEAD INDUSTRIES INC W/RTS  COMMON STOCK     979438108     6205   340001 SH       SOLE                 340001
D WOODHEAD INDUSTRIES INC W/RTS  COMMON STOCK     979438108     3790   207650 SH       DEFINED                                207650
D WORLD ACCESS INC               COMMON STOCK     98141A101      865    78200 SH       SOLE                   5500             72700
D WORLDCOM INC GA NEW            COMMON STOCK     98157D106   302981  6720510 SH       SOLE                4076172           2644339
D WORLDCOM INC GA NEW            COMMON STOCK     98157D106   212314  4628100 SH       DEFINED                               4628100
D WORLDCORP INC CONV SUB DEB     CONVERTIBLE BOND 981904AB1       37   430000 PRN      SOLE                                   430000
D WM WRIGLEY JR CO               COMMON STOCK     982526105      348     4358 SH       SOLE                    958              3400
D ***XEIKON NV-SPONSORED ADR     COMMON STOCK     984003103     2114   137500 SH       SOLE                 129000              8500
D XEROX CORP                     COMMON STOCK     984121103    14325   690307 SH       SOLE                 277361            412946
D XEROX CORP                     COMMON STOCK     984121103    51128  2464000 SH       DEFINED                               2464000
D XTRA CORP                      COMMON STOCK     984138107     4607   116820 SH       SOLE                  67500             49320
D YAHOO INC                      COMMON STOCK     984332106     1926    15550 SH       SOLE                   6054              9496
D YAHOO INC                      COMMON STOCK     984332106      570     4600 SH       DEFINED                                  4600
D YANKEE CANDLE INC              COMMON STOCK     984757104      324    15000 SH       SOLE                                    15000
D YOUNG BROADCASTING INC-CL A    COMMON STOCK     987434107    38978  1517383 SH       SOLE                 495450           1021933
D ZALE CORP NEW                  COMMON STOCK     988858106      215     5900 SH       SOLE                   5600               300
D ZEBRA TECHNOLOGIES CORP-CL A   COMMON STOCK     989207105    25356   572198 SH       SOLE                 566398              5800
D ZEBRA TECHNOLOGIES CORP-CL A   COMMON STOCK     989207105    37723   851300 SH       DEFINED                                851300
D ZIXIT CORP                     COMMON STOCK     98974P100     3182    69085 SH       SOLE                  43990             25095
D ZYGO CORP                      COMMON STOCK     989855101      772     8500 SH       SOLE                   8500
D ZYGO CORP                      COMMON STOCK     989855101     1680    18500 SH       DEFINED                                 18500
D ***DAIMLERCHRYSLER A.G.        COMMON STOCK     D1668R123     1884    36181 SH       SOLE                  18251             17930
D ***ACE LTD-ORD                 FOREIGN COMMON S G0070K103    36575  1304809 SH       SOLE                 962240            342569
D ***ACE LTD-ORD                 FOREIGN COMMON S G0070K103      588    21000 SH       DEFINED                                 21000
D AMDOCS LIMITED                 COMMON STOCK     G02602103    19639   255880 SH       SOLE                 244889             10991
D AMDOCS LIMITED                 COMMON STOCK     G02602103    37955   494530 SH       DEFINED                                494530
D ***ANNUITY & LIFE RE HOLDINGS  FOREIGN COMMON S G03910109    16612   678054 SH       SOLE                 672304              5750
D ***ANNUITY & LIFE RE HOLDINGS  FOREIGN COMMON S G03910109    23023   939700 SH       DEFINED                                939700
D ***CORECOMM LIMITED            COMMON STOCK     G2422R109      363    18619 SH       SOLE                  12687              5932
D ***DSG INTERNATIONAL LTD-ORD   COMMON STOCK     G28471103      336    67193 SH       SOLE                                    67193
D EVEREST RE GROUP LTD           COMMON STOCK     G3223R108     2364    71900 SH       SOLE                  33500             38400
D ***GEMSTAR INTERNATIONAL GROUP FOREIGN COMMON S G3788V106    63765  1037614 SH       SOLE                 720050            317564
D ***GEMSTAR INTERNATIONAL GROUP FOREIGN COMMON S G3788V106    41979   683100 SH       DEFINED                                683100
D GLOBAL CROSSING LTD            COMMON STOCK     G3921A100    55301  2101695 SH       SOLE                1390147            711548
D ***HELEN OF TROY LTD-BERMUDA   FOREIGN COMMON S G4388N106       95    16900 SH       SOLE                                    16900
D ***KNIGHTSBRIDGE TANKERS LTD   FOREIGN COMMON S G5299G106     6396   319800 SH       SOLE                 270250             49550
D ***LORAL SPACE &               COMMON STOCK     G56462107    17447  2507970 SH       SOLE                2056007            451963
D ***LORAL SPACE &               COMMON STOCK     G56462107      378    54500 SH       DEFINED                                 54500
D ***PARTNERRE LTD               COMMON STOCK     G6852T105    33429   943333 SH       SOLE                 710955            232378
D ***PARTNERRE LTD               COMMON STOCK     G6852T105    14618   412500 SH       DEFINED                                412500
D PXRE GROUP LTD BERMUDA         COMMON STOCK     G73018106     1477   109405 SH       SOLE                 109405
D ***RENAISSANCE RE HOLDINGS LTD FOREIGN COMMON S G7496G103     6076   139469 SH       SOLE                  77206             62263
D RSL COMMUNICATIONS LTD-CL A    COMMON STOCK     G7702U102      285    24900 SH       SOLE                   6400             18500
D ***SANTA FE INTERNATIONAL CORP COMMON STOCK     G7805C108     8500   243300 SH       SOLE                 231200             12100
D ***SANTA FE INTERNATIONAL CORP COMMON STOCK     G7805C108      241     6900 SH       DEFINED                                  6900
D ***SCOTTISH ANNUNITY & LIFE    COMMON STOCK     G7885T104     4589   547982 SH       SOLE                 547982
D ***SCOTTISH ANNUNITY & LIFE    COMMON STOCK     G7885T104     7466   891500 SH       DEFINED                                891500
D ***TRANSOCEAN SEDCO FOREX INC  COMMON STOCK     G90078109    39963   783190 SH       SOLE                 703367             79823
D ***TRANSOCEAN SEDCO FOREX INC  COMMON STOCK     G90078109    98180  1837294 SH       DEFINED                               1837294
D ***XL CAPITAL LTD-CL A         FOREIGN COMMON S G98255105    83178  1541379 SH       SOLE                1333758            207621
D ***XL CAPITAL LTD-CL A         FOREIGN COMMON S G98255105    75708  1398755 SH       DEFINED                               1398755
D XOMA LTD-(BERMUDA)             COMMON STOCK     G9825R107      654   152800 SH       SOLE                  61800             91000
D ***SBS BROADCASTING SA         FOREIGN COMMON S L8137F102    20635   378633 SH       SOLE                 232268            146365
D AUDIOCODES LTD ORD             COMMON STOCK     M15342104     2567    21388 SH       SOLE                  21300                88
D AUDIOCODES LTD ORD             COMMON STOCK     M15342104     5508    45900 SH       DEFINED                                 45900
D ***CHECK POINT SOFTWARE        FOREIGN COMMON S M22465104     1313     6200 SH       SOLE                   5870               330
D ***CHECK POINT SOFTWARE        FOREIGN COMMON S M22465104     2098     9910 SH       DEFINED                                  9910
D ***GILAT SATELLITE NETWORKS    FOREIGN COMMON S M51474100     1929    27800 SH       SOLE                  27700               100
D ***ORBOTECH LTD-ORD            FOREIGN COMMON S M75253100     1380    14860 SH       SOLE                  14210               650
D ***ORBOTECH LTD-ORD            FOREIGN COMMON S M75253100     1227    13215 SH       DEFINED                                 13215
D ***CHICAGO BRIDGE & IRON CO    COMMON STOCK     N19808109    13283   904341 SH       SOLE                 187600            716741
D ***CNH GLOBAL N.V.             FOREIGN COMMON S N20935107     1882   203500 SH       SOLE                 110600             92900
D ***QIAGEN NV                   FOREIGN COMMON S N72482107     3546    20380 SH       SOLE                  20380
D ***ASE TEST LTD-ORD            FOREIGN COMMON S Y02516105      686    23315 SH       SOLE                  23315
D ***FLEXTRONICS INTERNATIONAL   FOREIGN COMMON S Y2573F102    27624   402170 SH       SOLE                 389711             12459
D ***FLEXTRONICS INTERNATIONAL   FOREIGN COMMON S Y2573F102    33526   488100 SH       DEFINED                                488100
D CITIGROUP INC                  CALL             1729674AM      907    15000 SH  CALL SOLE                  15000
D ***ELAN CORP PLC-ADR           CALL             2841319AF      969    20000 SH  CALL SOLE                  20000
D HOME DEPOT INC                 PUT              4370769TK      499    10000 SH  PUT  SOLE                                    10000
D INTERNATIONAL BUSINESS         CALL             4592009AB      657     6000 SH  CALL SOLE                   6000
D MEDICAL MANAGER CORP NEW       CALL             58461U9II      818    24000 SH  CALL SOLE                  24000
D NEXTEL COMMUNICATIONS INC-CL A CALL             65332V9AK      612    10000 SH  CALL SOLE                  10000
D PHILIP MORRIS COMPANIES INC    CALL             7181542AF     1594    60000 SH  CALL SOLE                  60000
D QWEST COMMUNICATIONS           CALL             7491219AJ      497    10000 SH  CALL SOLE                  10000
D                                                                  0        0
S REPORT SUMMARY               1870 DATA RECORDS            39041453            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED


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