NEUBERGER BERMAN LLC
13F-HR, 2000-02-14
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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: December 31, 1999

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

Institutional Investment Manager Filing this Report:

Name : 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: C. CARL RANDOLPH
Title: SENIOR VICE PRESIDENT AND GENERAL COUNSEL
Phone: (212) 476-9850
Signature, Place, and Date of signing:
C. CARL RANDOLPH, New York, New York, December 31, 1999


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: 1922


Form 13F Information Table Value Total: 39,518,047


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    17420   971145 SH       SOLE                 950145             21000
D AAR CORP                       COMMON STOCK     000361105    28941  1613450 SH       DEFINED                               1613450
D ACTV INC                       COMMON STOCK     00088E104      507    11100 SH       SOLE                   1100             10000
D AFLAC INC                      COMMON STOCK     001055102      877    18583 SH       SOLE                   4497             14086
D AES CORP                       COMMON STOCK     00130H105    17092   228650 SH       SOLE                 180100             48550
D AK STEEL HOLDING CORP          COMMON STOCK     001547108    38542  2039874 SH       SOLE                2035450              4424
D AK STEEL HOLDING CORP          COMMON STOCK     001547108    32780  1736700 SH       DEFINED                               1736700
D AMFM INC                       COMMON STOCK     001693100   125148  1599335 SH       SOLE                 853174            746161
D AMFM INC                       COMMON STOCK     001693100   108405  1385362 SH       DEFINED                               1385362
D AMR CORP-DEL                   COMMON STOCK     001765106   251014  3746714 SH       SOLE                2314809           1431905
D AMR CORP-DEL                   COMMON STOCK     001765106   108533  1619900 SH       DEFINED                               1619900
D AT&T CORP                      COMMON STOCK     001957109   101968  2006760 SH       SOLE                 868765           1137995
D AT&T CORP                      COMMON STOCK     001957109    92535  1821100 SH       DEFINED                               1821100
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208   269665  4746573 SH       SOLE                2257103           2489470
D AT&T CORP LIBERTY MEDIA GROUP  COMMON STOCK     001957208   102120  1797500 SH       DEFINED                               1797500
D AXA FINL INC                   COMMON STOCK     002451102     2562    75349 SH       SOLE                  48928             26421
D ABBOTT LABORATORIES            COMMON STOCK     002824100    67241  1851640 SH       SOLE                 752602           1099038
D ABOUT.COM INC                  COMMON STOCK     003736105     2973    33125 SH       SOLE                  30725              2400
D ABOUT.COM INC                  COMMON STOCK     003736105     5564    62000 SH       DEFINED                                 62000
D ACNIELSEN CORP                 COMMON STOCK     004833109     1088    44174 SH       SOLE                  21956             22218
D ACTIVE SOFTWARE INC            COMMON STOCK     00504E100     1417    15400 SH       DEFINED                                 15400
D ACTUATE CORPORATION            COMMON STOCK     00508B102     3099    72269 SH       SOLE                   2825             69444
D ACTUATE CORPORATION            COMMON STOCK     00508B102     2165    50500 SH       DEFINED                                 50500
D ACUSON CORP                    COMMON STOCK     005113105     3623   288400 SH       SOLE                 288400
D ACUSON CORP                    COMMON STOCK     005113105     7902   629000 SH       DEFINED                                629000
D ACXIOM CORP                    COMMON STOCK     005125109    15034   626435 SH       SOLE                 304855            321580
D ADAC LABORATORIES NEW          COMMON STOCK     005313200     2396   222887 SH       SOLE                 217887              5000
D ADAC LABORATORIES NEW          COMMON STOCK     005313200     6842   636500 SH       DEFINED                                636500
D ADAPTEC INC                    COMMON STOCK     00651F108     7077   141900 SH       SOLE                 140000              1900
D ADAPTEC INC                    COMMON STOCK     00651F108    23037   461900 SH       DEFINED                                461900
D ADELPHIA COMMUNICATIONS CORP   COMMON STOCK     006848105     5947    90625 SH       SOLE                  69525             21100
D ADELPHIA COMMUNICATIONS CORP   COMMON STOCK     006848105    14365   218900 SH       DEFINED                                218900
D ADVANCED FIBRE COMMUNICATIONS  COMMON STOCK     00754A105     1524    34100 SH       SOLE                  34100
D AERIAL COMMUNICATIONS INC      COMMON STOCK     007655103     1449    23800 SH       SOLE                  23800
D ***AEGON NV-ORD AMERICAN REGD  COMMON STOCK     007924103     1042    10913 SH       SOLE                   5466              5447
D ***AEGON NV-ORD AMERICAN REGD  COMMON STOCK     007924103     1528    16000 SH       DEFINED                                 16000
D ADVANTA CORP-CL B NON-VTG      COMMON STOCK     007942204     6027   428600 SH       SOLE                  10000            418600
D AES TR III  6.75%              CONVERTIBLE PREF 00808N202    10254   166400 SH       SOLE                 156500              9900
D AETHER SYSTEMS INC             COMMON STOCK     00808V105     1296    18100 SH       SOLE                  15850              2250
D AETNA INC                      COMMON STOCK     008117103    26128   465928 SH       SOLE                 390368             75560
D AFFILIATED MANAGERS GROUP INC  COMMON STOCK     008252108      261     6450 SH       SOLE                   5450              1000
D AFFILIATED MANAGERS GROUP INC  COMMON STOCK     008252108     3348    82800 SH       DEFINED                                 82800
D AFFYMETRIX INC                 COMMON STOCK     00826T108    13829    81495 SH       SOLE                  49895             31600
D AGILENT TECHNOLOGIES INC       COMMON STOCK     00846U101     1937    25050 SH       SOLE                  18250              6800
D AIR EXPRESS INTERNATIONAL CORP COMMON STOCK     009104100      208     6450 SH       SOLE                   6450
D AIR PRODUCTS & CHEMICALS INC   COMMON STOCK     009158106     1825    54386 SH       SOLE                  29026             25360
D AIRBORNE FREIGHT CORP          COMMON STOCK     009266107      561    25500 SH       SOLE                  13000             12500
D AIRGATE PCS INC                COMMON STOCK     009367103     1372    26000 SH       DEFINED                                 26000
D AIRNET SYSTEMS INC             COMMON STOCK     009417106      357    50500 SH       SOLE                  50500
D ALASKA AIR GROUP INC-W/RTS     COMMON STOCK     011659109      327     9300 SH       SOLE                   9300
D ALBERTO CULVER CO-CL A         COMMON STOCK     013068200     1245    57250 SH       SOLE                  57250
D ALBERTO CULVER CO-CL A         COMMON STOCK     013068200    17422   801000 SH       DEFINED                                801000
D ALBERTSONS INC                 COMMON STOCK     013104104     3685   114255 SH       SOLE                  38940             75315
D ALCOA INC                      COMMON STOCK     013817101   144452  1740435 SH       SOLE                 950298            790137
D ALCOA INC                      COMMON STOCK     013817101    72874   878000 SH       DEFINED                                878000
D ALEXANDERS INC                 COMMON STOCK     014752109      276     3500 SH       SOLE                                     3500
D ALKERMES INC                   COMMON STOCK     01642T108     1358    27642 SH       SOLE                  26992               650
D ALLEGHANY CORP-DEL             COMMON STOCK     017175100     2518    13575 SH       SOLE                   1433             12142
D ALLEGHENY ENERGY INC           COMMON STOCK     017361106      258     9577 SH       SOLE                   4477              5100
D ALLIANCE CAP MGMT HLDG L P     COMMON STOCK     01855A101     2587    86410 SH       SOLE                  44060             42350
D ALLIANT TECHSYSTEMS INC-W/RTS  COMMON STOCK     018804104    23361   374903 SH       SOLE                 370278              4625
D ALLIANT TECHSYSTEMS INC-W/RTS  COMMON STOCK     018804104    36166   580400 SH       DEFINED                                580400
D ALLIED CAPITAL CORP NEW        COMMON STOCK     01903Q108      212    11580 SH       SOLE                    280             11300
D ***ALLIED IRISH BANKS PLC      COMMON STOCK     019228402      275    13005 SH       SOLE                  13005
D ***ALLIED IRISH BANKS PLC      COMMON STOCK     019228402      907    42920 SH       DEFINED                                 42920
D ALLIED WASTE INDUSTRIES INC    COMMON STOCK     019589308     2449   277950 SH       SOLE                 203350             74600
D ALLMERICA FINANCIAL CORP       COMMON STOCK     019754100     1516    27261 SH       SOLE                  13300             13961
D ALLSCRIPTS INC                 COMMON STOCK     019886100      240     5450 SH       SOLE                   4600               850
D ALLSCRIPTS INC                 COMMON STOCK     019886100     2235    50800 SH       DEFINED                                 50800
D ALLSTATE CORP                  COMMON STOCK     020002101    70302  2917255 SH       SOLE                2350807            566448
D ALLTEL CORP                    COMMON STOCK     020039103      709     8572 SH       SOLE                   4073              4499
D ALLTRISTA CORP                 COMMON STOCK     020040101     6582   297500 SH       SOLE                  49400            248100
D ALTERA CORP                    COMMON STOCK     021441100     5194   104800 SH       SOLE                 104800
D ALTERA CORP                    COMMON STOCK     021441100    19969   402900 SH       DEFINED                                402900
D ALTERNATIVE LIVING SVCS INC    CONVERTIBLE BOND 02145KAB3      548   850000 PRN      SOLE                 825000             25000
D ALZA CORP                      COMMON STOCK     022615108    22449   646805 SH       SOLE                 281435            365370
D ALZA CORP CV SUB DEB           CONVERTIBLE BOND 022615AD0      222   210000 PRN      SOLE                  45000            165000
D AMAZON.COM INC                 COMMON STOCK     023135106     3086    40540 SH       SOLE                  24100             16440
D AMAZON COM INC                 CONVERTIBLE BOND 023135AF3      659   580000 PRN      SOLE                 330000            250000
D AMBAC INC                      COMMON STOCK     023139108    34883   668410 SH       SOLE                 450550            217860
D AMBAC INC                      COMMON STOCK     023139108     3350    64200 SH       DEFINED                                 64200
D AMBASSADORS INTERNATIONAL INC  COMMON STOCK     023178106      219    20000 SH       SOLE                  20000
D AMERADA HESS CORP              COMMON STOCK     023551104    30814   542978 SH       SOLE                 207759            335219
D AMERADA HESS CORP              COMMON STOCK     023551104    65206  1149000 SH       DEFINED                               1149000
D AMEREN CORP                    COMMON STOCK     023608102      330    10078 SH       SOLE                   5419              4659
D AMERICA ONLINE INC-DEL         COMMON STOCK     02364J104   171606  2261689 SH       SOLE                1356148            905541
D AMERICA ONLINE INC-DEL         COMMON STOCK     02364J104      228     3000 SH       DEFINED                                  3000
D AMERICAN ELECTRIC POWER CO INC COMMON STOCK     025537101      694    21613 SH       SOLE                   8871             12742
D AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106      244     5425 SH       SOLE                   4575               850
D AMERICAN EAGLE OUTFITTERS INC  COMMON STOCK     02553E106     3420    76000 SH       DEFINED                                 76000
D AMERICAN EXPRESS COMPANY       COMMON STOCK     025816109   166427  1001067 SH       SOLE                 429767            571300
D AMERICAN GENERAL CORP          COMMON STOCK     026351106     3219    42430 SH       SOLE                   8370             34060
D AMERICAN HOME PRODUCTS CORP    COMMON STOCK     026609107   200629  5111402 SH       SOLE                2931397           2180005
D AMERICAN HOME PRODUCTS CORP    COMMON STOCK     026609107   178568  4549500 SH       DEFINED                               4549500
D AMER INTERNATIONAL GROUP INC   COMMON STOCK     026874107   324089  2997359 SH       SOLE                 949279           2048080
D AMER INTERNATIONAL GROUP INC   COMMON STOCK     026874107   127123  1175700 SH       DEFINED                               1175700
D AMERICAN INTERNATIONAL         COMMON STOCK     026909408       37    65237 SH       SOLE                                    65237
D AMERICAN MGMT SYSTEMS INC      COMMON STOCK     027352103      260     8300 SH       SOLE                   8300
D AMERICAN NATIONAL CAN GROUP    COMMON STOCK     027714104     3333   256400 SH       SOLE                 256400
D AMERICAN NATIONAL INSURANCE CO COMMON STOCK     028591105    24575   385497 SH       SOLE                  42740            342757
D AMERICAN STANDARD COMPANIES    COMMON STOCK     029712106     2571    56040 SH       SOLE                  20290             35750
D AMERICAN TOWER CORP            COMMON STOCK     029912201    20917   684400 SH       SOLE                 583700            100700
D AMERICAN TOWER CORP            COMMON STOCK     029912201      565    18500 SH       DEFINED                                 18500
D AMERON INTERNATIONAL CORP      COMMON STOCK     030710107    11532   291499 SH       SOLE                   9100            282399
D AMERUS LIFE HOLDINGS INC-CL A  COMMON STOCK     030732101     2906   126333 SH       SOLE                   2689            123644
D AMERIGAS PARTNERS LP           COMMON STOCK     030975106      339    22500 SH       SOLE                  22500
D AMGEN CORP                     COMMON STOCK     031162100    47204   785912 SH       SOLE                 285500            500412
D AMGEN CORP                     COMMON STOCK     031162100      294     4900 SH       DEFINED                                  4900
D AMPAL-AMERICAN ISRAEL CORP A   COMMON STOCK     032015109     3310   357800 SH       SOLE                                   357800
D AMPHENOL CORP NEW-CL A         COMMON STOCK     032095101      231     3467 SH       SOLE                    600              2867
D AMTEC INC                      COMMON STOCK     03232Q106       87    47850 SH       SOLE                  47850
D ANADARKO PETROLEUM CORP        COMMON STOCK     032511107    19365   567470 SH       SOLE                 389150            178320
D ANADARKO PETROLEUM CORP        COMMON STOCK     032511107     3542   103800 SH       DEFINED                                103800
D ANALOG DEVICES INC             COMMON STOCK     032654105    98241  1056353 SH       SOLE                 489495            566858
D ANALOG DEVICES INC             COMMON STOCK     032654105    24273   261000 SH       DEFINED                                261000
D ANALYSTS INTERNATIONAL CORP    COMMON STOCK     032681108     6011   480909 SH       SOLE                 480909
D ANALYSTS INTERNATIONAL CORP    COMMON STOCK     032681108     9984   798700 SH       DEFINED                                798700
D ANALYTICAL SURVEYS INC NEW     COMMON STOCK     032683302      393    34334 SH       SOLE                  29800              4534
D ANESTA CORP                    COMMON STOCK     034603100      320    18600 SH       SOLE                  15700              2900
D ANESTA CORP                    COMMON STOCK     034603100     2246   130700 SH       DEFINED                                130700
D ANHEUSER BUSCH COMPANIES INC   COMMON STOCK     035229103   146540  2068068 SH       SOLE                1600885            467183
D ANHEUSER BUSCH COMPANIES INC   COMMON STOCK     035229103    93201  1315000 SH       DEFINED                               1315000
D ANN TAYLOR STORES CORP         COMMON STOCK     036115103     2703    78500 SH       SOLE                  78500
D ANN TAYLOR STORES CORP         COMMON STOCK     036115103    10538   306000 SH       DEFINED                                306000
D ANTEC CORP                     COMMON STOCK     03664P105     2256    61800 SH       SOLE                  61800
D ANTEC CORP                     COMMON STOCK     03664P105     1858    50900 SH       DEFINED                                 50900
D AON CORP                       COMMON STOCK     037389103    59371  1484271 SH       SOLE                 645994            838277
D AON CORP                       COMMON STOCK     037389103    51032  1275800 SH       DEFINED                               1275800
D APACHE CORP                    COMMON STOCK     037411105    12181   329775 SH       SOLE                 326275              3500
D APACHE CORP                    COMMON STOCK     037411105      425    11500 SH       DEFINED                                 11500
D APEX MORTGAGE CAPITAL INC      COMMON STOCK     037564101      326    32000 SH       SOLE                  17000             15000
D APPLE COMPUTER INC             COMMON STOCK     037833100    88028   856195 SH       SOLE                 567810            288385
D APPLE COMPUTER INC             COMMON STOCK     037833100    96037   934100 SH       DEFINED                                934100
D APPLIED INDUSTRIAL             COMMON STOCK     03820C105      332    20000 SH       SOLE                                    20000
D APPLIED MATERIALS INC          COMMON STOCK     038222105   120376   953371 SH       SOLE                 306504            646867
D APTARGROUP INC                 COMMON STOCK     038336103    26179  1041934 SH       SOLE                 988734             53200
D APTARGROUP INC                 COMMON STOCK     038336103    39361  1566600 SH       DEFINED                               1566600
D ARCHER-DANIELS-MIDLAND CO      COMMON STOCK     039483102      125    10272 SH       SOLE                   6577              3695
D AREMISSOFT CORP DEL            COMMON STOCK     040026106     3250   100000 SH       SOLE                                   100000
D ARIAD PHARMACEUTICALS INC-DEL  COMMON STOCK     04033A100       70    25000 SH       SOLE                                    25000
D ARMSTRONG WORLD IND INC        COMMON STOCK     042476101    23366   700100 SH       SOLE                 234500            465600
D ARROW ELECTRONICS INC          COMMON STOCK     042735100     4129   162715 SH       SOLE                  81215             81500
D ART TECHNOLOGY GROUP INC       COMMON STOCK     04289L107     1858    14500 SH       DEFINED                                 14500
D ARTISAN COMPONETS INC          COMMON STOCK     042923102      362    17525 SH       SOLE                  14825              2700
D ARTISAN COMPONETS INC          COMMON STOCK     042923102     5123   248200 SH       DEFINED                                248200
D ARTHROCARE CORP                COMMON STOCK     043136100     2458    40300 SH       DEFINED                                 40300
D ASPECT COMMUNICATIONS INC      COMMON STOCK     04523Q102     1389    35500 SH       SOLE                  35500
D ASPECT COMMUNICATIONS INC      COMMON STOCK     04523Q102     2230    57000 SH       DEFINED                                 57000
D ASSOCIATED GROUP INC-CL A      COMMON STOCK     045651106     6408    70230 SH       SOLE                  62480              7750
D ASSOCIATED GROUP INC-CL B      COMMON STOCK     045651205      796     8650 SH       SOLE                   8000               650
D EXCITE@HOME SERIES A           COMMON STOCK     045919107      515    12022 SH       SOLE                   7794              4228
D ASSOCIATES FIRST CAPITAL CORP  COMMON STOCK     046008108    73346  2673192 SH       SOLE                1575234           1097958
D ASSOCIATES FIRST CAPITAL CORP  COMMON STOCK     046008108    76743  2797000 SH       DEFINED                               2797000
D ASTORIA FINANCIAL CORP         COMMON STOCK     046265104      232     7611 SH       SOLE                   3411              4200
D ***ASTRAZENECA PLC             COMMON STOCK     046353108      411     9838 SH       SOLE                   2606              7232
D ASYST TECHNOLOGIES INC         COMMON STOCK     04648X107     1639    25000 SH       DEFINED                                 25000
D ATLANTIC RICHFIELD CO          COMMON STOCK     048825103     7235    83646 SH       SOLE                  26751             56895
D ATMEL CORP                     COMMON STOCK     049513104      414    14000 SH       SOLE                   6000              8000
D ATMEL CORP                     COMMON STOCK     049513104    41979  1420000 SH       DEFINED                               1420000
D ATMOS ENERGY CORP              COMMON STOCK     049560105     2627   128545 SH       SOLE                 127545              1000
D ATMOS ENERGY CORP              COMMON STOCK     049560105     5028   246000 SH       DEFINED                                246000
D AURORA FOODS INC               COMMON STOCK     05164B106      464    49800 SH       SOLE                  47800              2000
D AUSPEX SYSTEMS INC             COMMON STOCK     052116100      105    10200 SH       SOLE                   5200              5000
D AUTOMATIC DATA PROCESSING INC  COMMON STOCK     053015103    28012   519937 SH       SOLE                 126815            393122
D AUTOMATIC DATA PROCESSING INC  CONVERTIBLE BOND 053015AC7      279   205000 PRN      SOLE                                   205000
D AUTONATION INC DEL             COMMON STOCK     05329W102     1913   206760 SH       SOLE                 198560              8200
D AUTOZONE INC                   COMMON STOCK     053332102     1439    44535 SH       SOLE                   9035             35500
D AVERY DENNISON CORP            COMMON STOCK     053611109    15178   208280 SH       SOLE                 134080             74200
D AVIALL INC NEW                 COMMON STOCK     05366B102     5345   652854 SH       SOLE                 619054             33800
D AVIALL INC NEW                 COMMON STOCK     05366B102     8230  1005200 SH       DEFINED                               1005200
D AVIRON                         COMMON STOCK     053762100      456    28854 SH       SOLE                                    28854
D AVIS RENT A CAR INC            COMMON STOCK     053790101    38153  1492550 SH       SOLE                 508100            984450
D AVNET INC                      COMMON STOCK     053807103     1306    21595 SH       SOLE                  10245             11350
D AVTEAM INC-CL A                COMMON STOCK     054527205     6493  1207928 SH       SOLE                 524600            683328
D AXYS PHARMACEUTICALS INC       COMMON STOCK     054635107       41    10000 SH       SOLE                                    10000
D AZURIX CORP                    COMMON STOCK     05501M104     1797   201100 SH       SOLE                   1100            200000
D ***BCE INC                     COMMON STOCK     05534B109    10020   111100 SH       SOLE                  97350             13750
D BISYS GROUP INC                COMMON STOCK     055472104    17112   262250 SH       SOLE                 217900             44350
D BJS WHOLESALE CLUB INC         COMMON STOCK     05548J106      736    20155 SH       SOLE                   8755             11400
D ***BP AMOCO P L C              COMMON STOCK     055622104    18139   305814 SH       SOLE                 102527            203287
D ***BP AMOCO P L C              COMMON STOCK     055622104     2412    40674 SH       DEFINED                                 40674
D BP PRUDHOE BAY ROYALTY TRUST   COMMON STOCK     055630107      297    29582 SH       SOLE                  29582
D BP PRUDHOE BAY ROYALTY TRUST   COMMON STOCK     055630107     1830   182356 SH       DEFINED                                182356
D BMC SOFTWARE INC               COMMON STOCK     055921100      491     6145 SH       SOLE                    480              5665
D BMC SOFTWARE INC               COMMON STOCK     055921100    31575   395000 SH       DEFINED                                395000
D BAIRNCO CORP                   COMMON STOCK     057097107     3044   507400 SH       SOLE                  19500            487900
D BAKER HUGHES INC               COMMON STOCK     057224107      615    29220 SH       SOLE                   5896             23324
D BALDOR ELECTRIC CO             COMMON STOCK     057741100     1624    89600 SH       SOLE                  89600
D ***BANCO SANTANDER CENTRAL     COMMON STOCK     05964H105      496    42400 SH       SOLE                  42400
D BANGOR HYDRO-ELECTRIC CO       COMMON STOCK     060077104     3110   189200 SH       SOLE                 184500              4700
D BANK OF AMER CORP              COMMON STOCK     060505104    27146   540948 SH       SOLE                 249862            291086
D BANK OF NEW YORK CO INC        COMMON STOCK     064057102    14567   364173 SH       SOLE                  68060            296113
D BANK OF NEW YORK CO INC        COMMON STOCK     064057102    89460  2236500 SH       DEFINED                               2236500
D BANK ONE CORP                  COMMON STOCK     06423A103    18117   559946 SH       SOLE                 174884            385062
D BANK ONE CORP                  COMMON STOCK     06423A103     3091    96600 SH       DEFINED                                 96600
D BANK UNITED CORP-CL A          COMMON STOCK     065412108     5181   190145 SH       SOLE                 181445              8700
D BANK UNITED CORP-CL A          COMMON STOCK     065412108     7962   292200 SH       DEFINED                                292200
D BANKUNITED FINANCIAL CORP-CL A COMMON STOCK     06652B103      633    79800 SH       SOLE                   6500             73300
D C R BARD INC                   COMMON STOCK     067383109    51637   974275 SH       SOLE                 447850            526425
D ***BARCLAYS PLC-ADR            COMMON STOCK     06738E204      460     4000 SH       SOLE                   1950              2050
D BARRA INC                      COMMON STOCK     068313105     3756   118300 SH       SOLE                 118300
D BAUSCH & LOMB INC              COMMON STOCK     071707103     1125    16445 SH       SOLE                    503             15942
D BAXTER INTERNATIONAL INC       COMMON STOCK     071813109    43899   698864 SH       SOLE                 610005             88859
D BEA SYSTEMS INC                COMMON STOCK     073325102     3830    54761 SH       SOLE                  46161              8600
D BEA SYSTEMS INC                COMMON STOCK     073325102     9994   142900 SH       DEFINED                                142900
D BEAR STEARNS COMPANIES INC     COMMON STOCK     073902108   192626  4505863 SH       SOLE                1555930           2949933
D BEAZER HOMES USA INC           COMMON STOCK     07556Q105    14291   742398 SH       SOLE                 105900            636498
D BECKMAN COULTER INC            COMMON STOCK     075811109    12821   252000 SH       SOLE                 105425            146575
D BECTON DICKINSON & CO          COMMON STOCK     075887109    42204  1566755 SH       SOLE                 827333            739422
D BECTON DICKINSON & CO          COMMON STOCK     075887109      539    20000 SH       DEFINED                                 20000
D BELL & HOWELL CO (NEW)         COMMON STOCK     077852101    21737   683275 SH       SOLE                 348715            334560
D BELL ATLANTIC CORP             COMMON STOCK     077853109    92916  1509288 SH       SOLE                 974031            535257
D BELL ATLANTIC CORP             COMMON STOCK     077853109   146907  2386300 SH       DEFINED                               2386300
D BELLSOUTH CORP                 COMMON STOCK     079860102    14423   308111 SH       SOLE                 111416            196695
D BELLWETHER EXPLORATION CO NEW  COMMON STOCK     079895207      135    28000 SH       SOLE                                    28000
D A H BELO CORP-SER A            COMMON STOCK     080555105    73912  3878134 SH       SOLE                2180611           1697523
D A H BELO CORP-SER A            COMMON STOCK     080555105      618    32400 SH       DEFINED                                 32400
D BEMIS CO INC                   COMMON STOCK     081437105      446    12800 SH       SOLE                   2800             10000
D BEN & JERRYS HOMEMADE INC-CL A COMMON STOCK     081465106     5666   227780 SH       SOLE                 128730             99050
D BENCHMARK ELECTRONICS INC      COMMON STOCK     08160H101     6619   288581 SH       SOLE                 288581
D BENCHMARK ELECTRONICS INC      COMMON STOCK     08160H101    11414   497600 SH       DEFINED                                497600
D BERGEN BRUNSWIG CORP CLASS A   COMMON STOCK     083739102     1915   230365 SH       SOLE                   1780            228585
D W R BERKLEY CORP               COMMON STOCK     084423102     8487   406542 SH       SOLE                 405042              1500
D W R BERKLEY CORP               COMMON STOCK     084423102    17717   848700 SH       DEFINED                                848700
D BERKSHIRE BANCORP INC DEL      COMMON STOCK     084597103      700    20000 SH       SOLE                   1000             19000
D BERKSHIRE HATHAWAY INC-DEL     COMMON STOCK     084670108    19916      355 SH       SOLE                    120               235
D BERKSHIRE HATHAWAY INC-DEL     COMMON STOCK     084670207    61335    33516 SH       SOLE                  11445             22071
D BEST BUY COMPANY INC           COMMON STOCK     086516101     5276   105000 SH       SOLE                 103200              1800
D BEST BUY COMPANY INC           COMMON STOCK     086516101    20944   416800 SH       DEFINED                                416800
D BESTFOODS                      COMMON STOCK     08658U101    14195   270054 SH       SOLE                 111520            158534
D BIO-TECHNOLOGY GENERAL CORP    COMMON STOCK     090578105     4888   320510 SH       SOLE                 320510
D ***BIOCHEM PHARMA INC          COMMON STOCK     09058T108      294    13500 SH       SOLE                  13500
D ***BIOCHEM PHARMA INC          COMMON STOCK     09058T108      935    43000 SH       DEFINED                                 43000
D BIOCRYST PHARMACEUTICALS INC   COMMON STOCK     09058V103     1965    66600 SH       DEFINED                                 66600
D BIOGEN INC                     COMMON STOCK     090597105   140892  1667079 SH       SOLE                 854969            812110
D BIOGEN INC                     COMMON STOCK     090597105    36855   436150 SH       DEFINED                                436150
D BIOMET INC                     COMMON STOCK     090613100     3194    79850 SH       SOLE                  32500             47350
D BIOPURE CORP                   COMMON STOCK     09065H105      181    10900 SH       SOLE                                    10900
D BIOTECH HOLDRS TR              COMMON STOCK     09067D201      201     1400 SH       SOLE                   1400
D BLACK & DECKER CORP            COMMON STOCK     091797100    24854   475670 SH       SOLE                 150600            325070
D BLACK BOX CORP-DEL             COMMON STOCK     091826107    17086   255020 SH       SOLE                 251520              3500
D BLACK BOX CORP-DEL             COMMON STOCK     091826107    26921   401800 SH       DEFINED                                401800
D BLACK HILLS CORP               COMMON STOCK     092113109     3235   145815 SH       SOLE                 145815
D BLACKROCK MUNICIPAL TARGET     COMMON STOCK     09247M105       98    10000 SH       SOLE                  10000
D E W BLANCH HOLDINGS INC        COMMON STOCK     093210102     3105    50700 SH       SOLE                  35900             14800
D BLOCK DRUG CO INC CLASS A      COMMON STOCK     093644102    14240   459340 SH       SOLE                 316635            142705
D BLOCK DRUG CO INC CLASS A      COMMON STOCK     093644102    14931   481638 SH       DEFINED                                481638
D H & R BLOCK INC                COMMON STOCK     093671105    48949  1118809 SH       SOLE                 441909            676900
D BLOCKBUSTER INC                COMMON STOCK     093679108      669    50000 SH       SOLE                  12000             38000
D BLYTH INDUSTRIES INC           COMMON STOCK     09643P108      467    19010 SH       SOLE                  17700              1310
D BOEING CO                      COMMON STOCK     097023105    16472   398960 SH       SOLE                 116877            282083
D BOLLE INC                      COMMON STOCK     097937106      386    76199 SH       SOLE                   4166             72033
D BORG WARNER AUTOMOTIVE INC     COMMON STOCK     099724106     6886   170160 SH       SOLE                 107010             63150
D BOSTON PRIVATE FINANCIAL HLDGS COMMON STOCK     101119105      425    50000 SH       SOLE                                    50000
D BOSTON PROPERTIES INC          COMMON STOCK     101121101    21897   703530 SH       SOLE                 674380             29150
D BOSTON SCIENTIFIC CORP         COMMON STOCK     101137107      443    20262 SH       SOLE                   3100             17162
D BOWATER INC                    COMMON STOCK     102183100    29724   547280 SH       SOLE                 399080            148200
D BOWATER INC                    COMMON STOCK     102183100      554    10200 SH       DEFINED                                 10200
D W H BRADY CO CL A NON VTG      COMMON STOCK     104674106    11787   347314 SH       SOLE                 347314
D W H BRADY CO CL A NON VTG      COMMON STOCK     104674106    17026   501700 SH       DEFINED                                501700
D BRIDGFORD FOOD CORP            COMMON STOCK     108763103      245    25300 SH       SOLE                                    25300
D BRIGGS & STRATTON CORP         COMMON STOCK     109043109     3136    58475 SH       SOLE                   9975             48500
D BRINKER INTERNATIONAL INC      COMMON STOCK     109641100     3374   139850 SH       SOLE                  86200             53650
D BRINKER INTERNATIONAL INC      COMMON STOCK     109641100    19663   815050 SH       DEFINED                                815050
D BRISTOL MYERS SQUIBB CO        COMMON STOCK     110122108    74470  1159997 SH       SOLE                 462046            697951
D BRISTOL MYERS SQUIBB CO        COMMON STOCK     110122108    60843   947900 SH       DEFINED                                947900
D ***BRITISH TELECOMMUNICATIONS  COMMON STOCK     111021408      214      900 SH       SOLE                    900
D BROADCOM CORP                  COMMON STOCK     111320107     2424     8900 SH       SOLE                   8400               500
D BROADCOM CORP                  COMMON STOCK     111320107    19039    69900 SH       DEFINED                                 69900
D BROADVISION INC                COMMON STOCK     111412102     5536    32550 SH       SOLE                  32550
D BROADVISION INC                COMMON STOCK     111412102    23945   140800 SH       DEFINED                                140800
D BROADWING INC                  COMMON STOCK     111620100     7022   190440 SH       SOLE                 113100             77340
D BROCADE COMMUNICATIONS SYS INC COMMON STOCK     111621108      638     3607 SH       SOLE                   1400              2207
D BROWN & BROWN INC              COMMON STOCK     115236101     3674    95900 SH       SOLE                  95900
D BROWN FORMAN CORP-CL B         COMMON STOCK     115637209      285     4979 SH       SOLE                    175              4804
D BRUNSWICK CORP                 COMMON STOCK     117043109     2105    94600 SH       SOLE                  30700             63900
D BUCKEYE PARTNERS L P           COMMON STOCK     118230101     1160    44600 SH       SOLE                  43600              1000
D BUCKEYE PARTNERS L P           COMMON STOCK     118230101     1040    40000 SH       DEFINED                                 40000
D BUDGET GROUP INC-CL A          COMMON STOCK     119003101     1312   144800 SH       SOLE                 103200             41600
D BURLINGTON INDUSTRIES INC NEW  COMMON STOCK     121693105      280    70000 SH       SOLE                  70000
D BURLINGTON NORTHERN SANTA FE   COMMON STOCK     12189T104     7752   319661 SH       SOLE                 148350            171311
D BURLINGTON NORTHERN SANTA FE   COMMON STOCK     12189T104    76240  3143900 SH       DEFINED                               3143900
D BURLINGTON RESOURCES INC       COMMON STOCK     122014103     5642   170653 SH       SOLE                  18288            152365
D BURNS INTL SVCS CORP           COMMON STOCK     122374101     1467   135660 SH       SOLE                  24500            111160
D BUSH BOAKE ALLEN INC           COMMON STOCK     123162109     2646   107723 SH       SOLE                 107723
D BUTLER MANUFACTURING CO        COMMON STOCK     123655102      223    10000 SH       SOLE                  10000
D CAIS INTERNET                  COMMON STOCK     12476Q102      614    17300 SH       SOLE                  14600              2700
D CAIS INTERNET                  COMMON STOCK     12476Q102     8389   236300 SH       DEFINED                                236300
D CCA INDUSTRIES INC             COMMON STOCK     124867102       14    12530 SH       SOLE                                    12530
D CB RICHARD ELLIS SERVICES      COMMON STOCK     12489L108     2024   163591 SH       SOLE                 111492             52099
D CBS CORP                       COMMON STOCK     12490K107   159312  2491679 SH       SOLE                1842936            648743
D CBS CORP                       COMMON STOCK     12490K107     8951   140000 SH       DEFINED                                140000
D C-COR.NET CORPORATION          COMMON STOCK     125010108     1908    24900 SH       DEFINED                                 24900
D CD RADIO INC                   CONVERTIBLE BOND 125127AJ9      310   200000 PRN      SOLE                                   200000
D CH ENERGY GROUP INC            COMMON STOCK     12541M102     4502   136422 SH       SOLE                 133053              3369
D CH ENERGY GROUP INC            COMMON STOCK     12541M102     4811   145800 SH       DEFINED                                145800
D CIGNA CORP                     COMMON STOCK     125509109     3933    48815 SH       SOLE                  30671             18144
D CIGNA CORP                     COMMON STOCK     125509109   125436  1557000 SH       DEFINED                               1557000
D CIT GROUP INC                  COMMON STOCK     125577106    38704  1832151 SH       SOLE                1645036            187115
D CKE RESTAURANTS INC            COMMON STOCK     12561E105     2418   411573 SH       SOLE                 394241             17332
D CLECO CORP HLDGS NEW           COMMON STOCK     12561W105     1456    45400 SH       SOLE                  45400
D CK WITCO CORP                  COMMON STOCK     12562C108     2653   198374 SH       SOLE                 107200             91174
D CMGI INC                       COMMON STOCK     125750109     5328    19245 SH       SOLE                  18170              1075
D CMGI INC                       COMMON STOCK     125750109    27300    98600 SH       DEFINED                                 98600
D CSS INDUSTRIES INC             COMMON STOCK     125906107     1830    85600 SH       SOLE                                    85600
D CNA FINANCIAL CORP             COMMON STOCK     126117100     2721    69870 SH       SOLE                  12612             57258
D CNA SURETY CORP                COMMON STOCK     12612L108     4281   329279 SH       SOLE                 174245            155034
D CNF TRANSPORTATION INC         COMMON STOCK     12612W104     4491   130175 SH       SOLE                  85675             44500
D CSX CORP                       COMMON STOCK     126408103      444    14161 SH       SOLE                   4347              9814
D CTS CORP-W/RTS                 COMMON STOCK     126501105    17079   226584 SH       SOLE                 147049             79535
D CVS CORP                       COMMON STOCK     126650100     5354   134262 SH       SOLE                  32052            102210
D ***CABLE & WIRELESS HKT        COMMON STOCK     126828102      299    10278 SH       SOLE                   5757              4521
D CABLEVISION SYSTEMS CORP-CL A  COMMON STOCK     12686C109     1676    22200 SH       SOLE                  10750             11450
D CABLETRON SYSTEMS INC          COMMON STOCK     126920107    10110   388830 SH       SOLE                 388300               530
D CABLETRON SYSTEMS INC          COMMON STOCK     126920107      380    14600 SH       DEFINED                                 14600
D CABOT CORP                     COMMON STOCK     127055101    61044  2996000 SH       DEFINED                               2996000
D CABOT OIL & GAS CORP-CL A      COMMON STOCK     127097103     4723   294031 SH       SOLE                 293481               550
D CABOT OIL & GAS CORP-CL A      COMMON STOCK     127097103    10879   677300 SH       DEFINED                                677300
D CACI INTERNATIONAL INC         COMMON STOCK     127190304     7925   350285 SH       SOLE                 350285
D CACI INTERNATIONAL INC         COMMON STOCK     127190304    11846   523600 SH       DEFINED                                523600
D CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108    32077  1336550 SH       SOLE                1098100            238450
D CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108    74508  3104500 SH       DEFINED                               3104500
D CAL DIVE INTERNATIONAL INC     COMMON STOCK     127914109     2948    88986 SH       SOLE                  88986
D CAL DIVE INTERNATIONAL INC     COMMON STOCK     127914109    11484   346700 SH       DEFINED                                346700
D CALGON CARBON CORP             COMMON STOCK     129603106     4692   798600 SH       SOLE                 519260            279340
D CALPINE CORP                   COMMON STOCK     131347106     6771   105800 SH       SOLE                 103500              2300
D CALPINE CORP                   COMMON STOCK     131347106    20589   321700 SH       DEFINED                                321700
D CAMDEN PROPERTY TRUST-SBI      COMMON STOCK     133131102      427    15400 SH       SOLE                   8800              6600
D CAMERON ASHLEY INC             COMMON STOCK     133290106     1275   127500 SH       SOLE                                   127500
D CAMPBELL SOUP CO               COMMON STOCK     134429109     2136    55217 SH       SOLE                  16068             39149
D ***CANADIAN PACIFIC LTD NEW    COMMON STOCK     135923100      472    21885 SH       SOLE                   9685             12200
D ***CANADIAN NATIONAL RAILROAD  COMMON STOCK     136375102    21806   822876 SH       SOLE                 363280            459596
D CAPITAL ONE FINANCIAL CORP     COMMON STOCK     14040H105    18321   380195 SH       SOLE                 320337             59858
D CAPITAL ONE FINANCIAL CORP     COMMON STOCK     14040H105   270240  5608100 SH       DEFINED                               5608100
D CARDINAL HEALTH INC            COMMON STOCK     14149Y108     1406    29373 SH       SOLE                   3072             26301
D CARDIODYNAMICS INTERNATIONAL   COMMON STOCK     141597104      110    20000 SH       SOLE                  20000
D CAREINSITE INC                 COMMON STOCK     14170M106     7068    87800 SH       SOLE                  87800
D CARNIVAL CORP-CL A             COMMON STOCK     143658102   100375  2099350 SH       SOLE                1685400            413950
D CARNIVAL CORP-CL A             COMMON STOCK     143658102    48821  1021100 SH       DEFINED                               1021100
D CARRIER ACCESS CORP            COMMON STOCK     144460102      202     3000 SH       SOLE                   3000
D CATALINA LIGHTING INC          COMMON STOCK     148865108      204    42400 SH       SOLE                                    42400
D CATALYTICA INC                 COMMON STOCK     148885106      149    11000 SH       SOLE                  10000              1000
D CATERPILLAR INC                COMMON STOCK     149123101      652    13845 SH       SOLE                   2955             10890
D ***CELESTICA INC               COMMON STOCK     15101Q108      866    15600 SH       SOLE                  11600              4000
D CENDANT CORP                   COMMON STOCK     151313103    81703  3078872 SH       SOLE                1411282           1667590
D CENDANT CORP                   COMMON STOCK     151313103   131686  4957600 SH       DEFINED                               4957600
D CENTERPOINT PROPERTIES CORP    COMMON STOCK     151895109    15343   421814 SH       SOLE                 396364             25450
D CENTEX CORP                    COMMON STOCK     152312104      548    22200 SH       SOLE                  20200              2000
D CENTIGRAM COMMUNICATIONS CORP  COMMON STOCK     152317103     2558   152700 SH       SOLE                  23600            129100
D CENTRAL NEWSPAPERS INC-CL A    COMMON STOCK     154647101      528    13400 SH       SOLE                   3200             10200
D *** CENTRAL PACIFIC MINERALS   COMMON STOCK     154762306     3912   619732 SH       SOLE                 610982              8750
D CERIDIAN CORP-W/RTS            COMMON STOCK     15677T106    31223  1448000 SH       SOLE                1102800            345200
D CERIDIAN CORP-W/RTS            COMMON STOCK     15677T106    54476  2526400 SH       DEFINED                               2526400
D CERNER CORP                    COMMON STOCK     156782104     5013   254650 SH       SOLE                 197450             57200
D CHAMPION ENTERPRISES INC       COMMON STOCK     158496109       94    11000 SH       SOLE                   3000              8000
D CHAMPION INTERNATIONAL CORP    COMMON STOCK     158525105     1152    18600 SH       SOLE                  18500               100
D CHAMPION INTERNATIONAL CORP    COMMON STOCK     158525105    50541   816000 SH       DEFINED                                816000
D CHARTER ONE FINANCIAL INC      COMMON STOCK     160903100      561    29355 SH       SOLE                  26850              2505
D ***CHARTERED SEMICONDUCTOR MFG COMMON STOCK     16133R106      730    10000 SH       DEFINED                                 10000
D CHASE MANHATTAN CORP NEW       COMMON STOCK     16161A108   167266  2153760 SH       SOLE                1690588            463172
D CHASE MANHATTAN CORP NEW       COMMON STOCK     16161A108   344793  4438200 SH       DEFINED                               4438200
D CHECKFREE HOLDINGS CORP        COMMON STOCK     162816102    10761   102975 SH       SOLE                 102175               800
D CHECKFREE HOLDINGS CORP        COMMON STOCK     162816102    40828   390700 SH       DEFINED                                390700
D CHEESECAKE FACTORY INC         COMMON STOCK     163072101     4068   116225 SH       SOLE                  88550             27675
D CHELSEA GCA REALTY INC         COMMON STOCK     163262108     4067   136702 SH       SOLE                  48027             88675
D CHEVRON CORP                   COMMON STOCK     166751107    71936   830795 SH       SOLE                 596861            233934
D CHEVRON CORP                   COMMON STOCK     166751107   125788  1452100 SH       DEFINED                               1452100
D CHICAGO TITLE CORP             COMMON STOCK     168228104     1408    30435 SH       SOLE                   3732             26703
D CHIEFTAIN INTL FUNDING CORP    CONVERTIBLE PREF 168672202      632    24800 SH       SOLE                   7400             17400
D CHILDRENS PLACE RETAIL STORES  COMMON STOCK     168905107     2255   137200 SH       DEFINED                                137200
D ***CHINA TELECOM (HONG KONG)   COMMON STOCK     169428109     1137     8839 SH       SOLE                   8839
D CHOICE HOTELS INTERNATIONAL    COMMON STOCK     169905106     3486   203550 SH       SOLE                 101450            102100
D CHIRON CORP                    COMMON STOCK     170040109      350     8264 SH       SOLE                    804              7460
D CHOICEPOINT INC                COMMON STOCK     170388102    19551   472530 SH       SOLE                 213920            258610
D CHRIS-CRAFT INDUSTRIES INC     COMMON STOCK     170520100     1559    21617 SH       SOLE                   3900             17717
D CHUBB CORP                     COMMON STOCK     171232101    14333   254529 SH       SOLE                 146793            107736
D CHURCH & DWIGHT CO INC         COMMON STOCK     171340102    13968   523383 SH       SOLE                 521383              2000
D CHURCH & DWIGHT CO INC         COMMON STOCK     171340102    22407   839600 SH       DEFINED                                839600
D CIBER INC                      COMMON STOCK     17163B102    12542   456069 SH       SOLE                 456069
D CIBER INC                      COMMON STOCK     17163B102    18604   676500 SH       DEFINED                                676500
D CINCINNATI FINANCIAL CORP      COMMON STOCK     172062101    29775   954713 SH       SOLE                 473798            480915
D CINERGY CORP                   COMMON STOCK     172474108    31978  1335905 SH       SOLE                1331674              4231
D CIRCLE INTERNATIONAL GROUP INC COMMON STOCK     172574105     3571   160504 SH       SOLE                 138804             21700
D CIRCLE INTERNATIONAL GROUP INC COMMON STOCK     172574105     4581   205900 SH       DEFINED                                205900
D CIRCUIT CITY STORES INC        COMMON STOCK     172737108    10326   229150 SH       SOLE                 210500             18650
D CIRCUIT CITY STORES INC        COMMON STOCK     172737108    17588   390300 SH       DEFINED                                390300
D CISCO SYSTEMS INC              COMMON STOCK     17275R102   209974  1960080 SH       SOLE                 912626           1047454
D CISCO SYSTEMS INC              COMMON STOCK     17275R102      375     3500 SH       DEFINED                                  3500
D CITADEL COMMUNICATIONS CORP    COMMON STOCK     172853202     2400    37000 SH       DEFINED                                 37000
D CINTAS CORP                    COMMON STOCK     172908105      212     4000 SH       SOLE                   1600              2400
D CITIGROUP INC                  COMMON STOCK     172967101  1144073 20545496 SH       SOLE                7079026          13466470
D CITIGROUP INC                  COMMON STOCK     172967101   284747  5113300 SH       DEFINED                               5113300
D CITIZENS UTILITIES CO SER B    COMMON STOCK     177342201     1445   101819 SH       SOLE                  31506             70313
D CITRIX SYSTEMS INC             COMMON STOCK     177376100   106159   863082 SH       SOLE                 422300            440782
D CITRIX SYSTEMS INC             COMMON STOCK     177376100    71475   581100 SH       DEFINED                                581100
D CITY INVESTING CO LIQUIDATING  COMMON STOCK     177900107       88    68325 SH       SOLE                  49525             18800
D CLAIRES STORES INC             COMMON STOCK     179584107    16759   749011 SH       SOLE                 619286            129725
D CLAIRES STORES INC             COMMON STOCK     179584107    14879   665000 SH       DEFINED                                665000
D CLARENT CORP                   COMMON STOCK     180461105     2169    27900 SH       SOLE                  27900
D CLARENT CORP                   COMMON STOCK     180461105     8405   108100 SH       DEFINED                                108100
D CLEAR CHANNEL COMMUNICATIONS   COMMON STOCK     184502102    21671   242808 SH       SOLE                 162996             79812
D CLEAR CHANNEL COMMUNICATIONS   COMMON STOCK     184502102     4462    50000 SH       DEFINED                                 50000
D CLEVELAND CLIFFS INC           COMMON STOCK     185896107      632    20300 SH       SOLE                   5000             15300
D CLOROX CO                      COMMON STOCK     189054109      395     7836 SH       SOLE                   2400              5436
D COACHMEN INDUSTRIES INC        COMMON STOCK     189873102     4308   284805 SH       SOLE                 280805              4000
D COACHMEN INDUSTRIES INC        COMMON STOCK     189873102      968    64000 SH       DEFINED                                 64000
D COASTAL CORP                   COMMON STOCK     190441105    49503  1396900 SH       SOLE                 968250            428650
D COASTAL CORP                   COMMON STOCK     190441105    16206   457300 SH       DEFINED                                457300
D COCA-COLA CO                   COMMON STOCK     191216100    49374   847622 SH       SOLE                 276353            571269
D COCA COLA ENTERPRISES INC      COMMON STOCK     191219104    35677  1772794 SH       SOLE                1763379              9415
D COCA COLA ENTERPRISES INC      COMMON STOCK     191219104    24150  1200000 SH       DEFINED                               1200000
D ***COCA-COLA FEMSA S A DE C V  COMMON STOCK     191241108      599    34130 SH       SOLE                  34130
D COLDWATER CREEK INC            COMMON STOCK     193068103      205    10000 SH       SOLE                  10000
D COLLATERAL THERAPEUTICS INC.   COMMON STOCK     193921103      939    49100 SH       SOLE                  41700              7400
D COLGATE PALMOLIVE CO           COMMON STOCK     194162103   167677  2579729 SH       SOLE                1323307           1256422
D ***COLT TELECOM GROUP PLC      COMMON STOCK     196877104      326     1600 SH       SOLE                   1100               500
D COLUMBIA/HCA HEALTHCARE CORP   COMMON STOCK     197677107    29694  1013572 SH       SOLE                 466527            547045
D COLUMBIA LABORATORIES INC      COMMON STOCK     197779101      741    98800 SH       SOLE                  60700             38100
D COMCAST CORP CLASS A           COMMON STOCK     200300101     5388   112550 SH       SOLE                  16100             96450
D COMCAST CORP CL A-SPL          COMMON STOCK     200300200   270627  5352336 SH       SOLE                2405204           2947132
D COMCAST CORP CL A-SPL          COMMON STOCK     200300200      243     4800 SH       DEFINED                                  4800
D COMDISCO INC                   COMMON STOCK     200336105    28839   774200 SH       SOLE                 764400              9800
D COMDISCO INC                   COMMON STOCK     200336105     1036    27800 SH       DEFINED                                 27800
D COMERICA INC                   COMMON STOCK     200340107      366     7830 SH       SOLE                   6630              1200
D COMMAND SECURITY CORP          COMMON STOCK     20050L100       31    42793 SH       SOLE                                    42793
D COMMERCE BANCORP INC-N.J.      COMMON STOCK     200519106      230     5680 SH       SOLE                                     5680
D COMMERCE BANCSHARES INC        COMMON STOCK     200525103      524    15455 SH       SOLE                   4057             11398
D COMMERCIAL FEDERAL CORP        COMMON STOCK     201647104     1257    70566 SH       SOLE                  25566             45000
D COMMONWEALTH INDUSTRIES INC    COMMON STOCK     203004106     1586   122000 SH       SOLE                  27000             95000
D COMMONWEALTH TELEPHONE         COMMON STOCK     203349105    14563   275417 SH       SOLE                 161870            113547
D COMMSCOPE INC                  COMMON STOCK     203372107     1659    41151 SH       SOLE                  40150              1001
D COMMUNITY FIRST BANKSHARES INC COMMON STOCK     203902101     4098   260202 SH       SOLE                 255202              5000
D COMMUNITY FIRST BANKSHARES INC COMMON STOCK     203902101     8554   543100 SH       DEFINED                                543100
D COMPAQ COMPUTER CORP           COMMON STOCK     204493100    77571  2865992 SH       SOLE                1642163           1223829
D COMPAQ COMPUTER CORP           COMMON STOCK     204493100    81837  3024000 SH       DEFINED                               3024000
D COMPLETE BUSINESS SOLUTIONS    COMMON STOCK     20452F107     1834    73012 SH       SOLE                  73012
D COMPUTER ASSOCIATES INTL INC   COMMON STOCK     204912109    21337   305084 SH       SOLE                 229763             75321
D COMPUTER ASSOCIATES INTL INC   COMMON STOCK     204912109   200336  2864500 SH       DEFINED                               2864500
D COMPUTER SCIENCES CORP         COMMON STOCK     205363104   144297  1524932 SH       SOLE                 901629            623303
D COMPUTER SCIENCES CORP         COMMON STOCK     205363104    41323   436700 SH       DEFINED                                436700
D COMPUWARE CORP                 COMMON STOCK     205638109    35746   959628 SH       SOLE                 943257             16371
D COMPUWARE CORP                 COMMON STOCK     205638109   108602  2915500 SH       DEFINED                               2915500
D COMVERSE TECHNOLOGY INC NEW    COMMON STOCK     205862402    17754   122650 SH       SOLE                 107950             14700
D COMVERSE TECHNOLOGY INC NEW    COMMON STOCK     205862402    35927   248200 SH       DEFINED                                248200
D CONAGRA INC                    COMMON STOCK     205887102     4589   202255 SH       SOLE                 102127            100128
D CONE MILLS CORP-N.C.           COMMON STOCK     206814105       45    10000 SH       SOLE                  10000
D CONEXANT SYSTEMS INC           COMMON STOCK     207142100    10158   153040 SH       SOLE                 117600             35440
D CONEXANT SYSTEMS INC           COMMON STOCK     207142100    26198   394700 SH       DEFINED                                394700
D CONGOLEUM CORP NEW-CL A        COMMON STOCK     207195108     1508   377000 SH       SOLE                  44100            332900
D CONMED CORP                    COMMON STOCK     207410101     3684   142377 SH       SOLE                 142377
D CONOCO INC                     COMMON STOCK     208251306      712    28770 SH       SOLE                   3770             25000
D CONOCO INC-CL B                COMMON STOCK     208251405     1384    55639 SH       SOLE                  18477             37162
D CONSECO INC                    COMMON STOCK     208464107    10363   581780 SH       SOLE                 444822            136958
D CONSECO INC                    COMMON STOCK     208464107     2902   162900 SH       DEFINED                                162900
D CONSOLIDATED EDISON INC        COMMON STOCK     209115104     1773    51401 SH       SOLE                  11323             40078
D CONSOLIDATED NATURAL GAS CO    COMMON STOCK     209615103      621     9564 SH       SOLE                    900              8664
D CONSOLIDATED STORES CORP       COMMON STOCK     210149100    15064   927043 SH       SOLE                 905000             22043
D CONSOLIDATED STORES CORP       COMMON STOCK     210149100    33854  2083300 SH       DEFINED                               2083300
D CONTINENTAL AIRLINES INC-CL B  COMMON STOCK     210795308    14359   324875 SH       SOLE                 316611              8264
D CONTINENTAL AIRLINES INC-CL B  COMMON STOCK     210795308    96254  2169100 SH       DEFINED                               2169100
D CONVERGYS CORP                 COMMON STOCK     212485106    34998  1138140 SH       SOLE                 757390            380750
D COOPER CAMERON CORP            COMMON STOCK     216640102    31380   641955 SH       SOLE                 355115            286840
D COOPER CAMERON CORP            COMMON STOCK     216640102     4086    83500 SH       DEFINED                                 83500
D COORS /ADOLPH/ CO CLASS B      COMMON STOCK     217016104     4646    88500 SH       SOLE                  65000             23500
D COPPER MTN NETWORKS INC        COMMON STOCK     217510106     2409    49423 SH       SOLE                  48600               823
D COPPER MTN NETWORKS INC        COMMON STOCK     217510106     8990   184400 SH       DEFINED                                184400
D CORDANT TECHNOLOGIES INC       COMMON STOCK     218412104    10830   328183 SH       SOLE                 318743              9440
D CORDANT TECHNOLOGIES INC       COMMON STOCK     218412104    17711   536700 SH       DEFINED                                536700
D CORINTHIAN COLLEGES INC        COMMON STOCK     218868107      368    15400 SH       SOLE                  13000              2400
D CORINTHIAN COLLEGES INC        COMMON STOCK     218868107     3791   158800 SH       DEFINED                                158800
D CORN PRODUCTS INTERNATIONAL    COMMON STOCK     219023108     3305   100910 SH       SOLE                  51020             49890
D CORNERSTONE PROPERTIES INC     COMMON STOCK     21922H103     6572   449400 SH       SOLE                 114000            335400
D CORNING INC                    COMMON STOCK     219350105    42104   330074 SH       SOLE                 116153            213921
D CORRECTIONAL PPTYS TRUST       COMMON STOCK     22025E104     3236   264200 SH       SOLE                  70300            193900
D COSTCO WHOLESALE CORP-NEW      COMMON STOCK     22160K105    12703   139214 SH       SOLE                  59195             80019
D COTTON STATES LIFE INSURANCE   COMMON STOCK     221774102      554    64258 SH       SOLE                                    64258
D COUNTRYWIDE CREDIT INDS INC    COMMON STOCK     222372104    60091  2373369 SH       SOLE                2303204             70165
D COUNTRYWIDE CREDIT INDS INC    COMMON STOCK     222372104   132664  5254000 SH       DEFINED                               5254000
D COVAD COMMUNICATIONS GROUP IN  COMMON STOCK     222814204     3533    63163 SH       SOLE                  62713               450
D COVAD COMMUNICATIONS GROUP IN  COMMON STOCK     222814204    13341   238500 SH       DEFINED                                238500
D COVANCE INC                    COMMON STOCK     222816100      599    55425 SH       SOLE                  43325             12100
D COX COMMUNICATIONS INC         COMMON STOCK     224044107     1539    29879 SH       SOLE                   6652             23227
D COX COMMUNICATIONS INC NEW     CONVERTIBLE PREF 224044305     1418    20850 SH       SOLE                   3200             17650
D COYOTE NETWORK SYSTEMS INC     COMMON STOCK     22406P108     1805   331938 SH       SOLE                   2350            329588
D CREDIT ACCEPTANCE CORP-MICH    COMMON STOCK     225310101     8108  2198850 SH       SOLE                 123950           2074900
D CRESCENT REAL ESTATE EQUITIES  COMMON STOCK     225756105    10657   579970 SH       SOLE                 486500             93470
D CRIIMI MAE INC                 COMMON STOCK     226603108       15    10448 SH       SOLE                  10349                99
D CRITICAL PATH INC              COMMON STOCK     22674V100      543     5750 SH       SOLE                   2850              2900
D CROSS TIMBERS OIL CO           COMMON STOCK     227573102     5735   632773 SH       SOLE                 627823              4950
D CROSS TIMBERS OIL CO           COMMON STOCK     227573102     1359   150000 SH       DEFINED                                150000
D CROWN CORK & SEAL CO INC       COMMON STOCK     228255105      281     9690 SH       SOLE                   9690
D CROWN PACIFIC PARTNERS LP      COMMON STOCK     228439105      499    27900 SH       SOLE                  27900
D CULLEN FROST BANKERS INC       COMMON STOCK     229899109     2409    93562 SH       SOLE                  79262             14300
D CULLEN FROST BANKERS INC       COMMON STOCK     229899109    17191   667600 SH       DEFINED                                667600
D CYBERGOLD INC                  COMMON STOCK     23246N105     3467   196000 SH       DEFINED                                196000
D CYPRESS SEMICONDUCTOR CORP     COMMON STOCK     232806109     3082    95200 SH       DEFINED                                 95200
D DII GROUP INC                  COMMON STOCK     232949107     4102    57800 SH       DEFINED                                 57800
D D R HORTON INC                 COMMON STOCK     23331A109    46994  3402249 SH       SOLE                 693850           2708399
D DST SYSTEMS INC-DEL            COMMON STOCK     233326107      237     3100 SH       SOLE                   2600               500
D DALLAS SEMICONDUCTOR CORP      COMMON STOCK     235204104    27237   422692 SH       SOLE                 412592             10100
D DALLAS SEMICONDUCTOR CORP      COMMON STOCK     235204104    41646   646300 SH       DEFINED                                646300
D DANAHER CORP                   COMMON STOCK     235851102      675    13985 SH       SOLE                   6187              7798
D DANAHER CORP                   COMMON STOCK     235851102     2355    48800 SH       DEFINED                                 48800
D ***DASSAULT SYSTEMES SA        COMMON STOCK     237545108      495     7860 SH       SOLE                   7860
D ***DASSAULT SYSTEMES SA        COMMON STOCK     237545108     1890    30000 SH       DEFINED                                 30000
D DATASCOPE CORP                 COMMON STOCK     238113104     9680   242007 SH       SOLE                 221557             20450
D DATASCOPE CORP                 COMMON STOCK     238113104     3600    90000 SH       DEFINED                                 90000
D DATASTREAM SYSTEMS INC         COMMON STOCK     238124101      387    15750 SH       SOLE                   6500              9250
D DAVOX CORP                     COMMON STOCK     239208101    10117   515525 SH       SOLE                 515525
D DAVOX CORP                     COMMON STOCK     239208101    16348   833000 SH       DEFINED                                833000
D DAYTON HUDSON CORP             COMMON STOCK     239753106    46574   634142 SH       SOLE                 293044            341098
D DAYTON HUDSON CORP             COMMON STOCK     239753106     3202    43600 SH       DEFINED                                 43600
D DEERE & CO                     COMMON STOCK     244199105     3751    86485 SH       SOLE                  49336             37149
D DEERE & CO                     COMMON STOCK     244199105     8432   194400 SH       DEFINED                                194400
D DELHAIZE AMERICA INC           COMMON STOCK     246688105      549    27006 SH       SOLE                   8315             18691
D DELHAIZE AMERICA INC           COMMON STOCK     246688204      721    34534 SH       SOLE                   1897             32637
D DELL COMPUTER CORP             COMMON STOCK     247025109    11922   233772 SH       SOLE                  78532            155240
D DELPHI AUTOMOTIVE SYS CORP     COMMON STOCK     247126105    40749  2587376 SH       SOLE                 509655           2077721
D DELPHI FINANCIAL GROUP INC     COMMON STOCK     247131105    14511   483700 SH       SOLE                  29528            454172
D DELTA AIR LINES INC            COMMON STOCK     247361108     9613   192630 SH       SOLE                  15370            177260
D DELUXE CORP                    COMMON STOCK     248019101     4342   158250 SH       SOLE                  50550            107700
D DENDRITE INTERNATIONAL INC     COMMON STOCK     248239105     1972    58200 SH       SOLE                  39350             18850
D DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107     1989    84200 SH       SOLE                  84200
D DENTSPLY INTERNATIONAL INC NEW COMMON STOCK     249030107    15812   669300 SH       DEFINED                                669300
D DEPARTMENT 56 INC              COMMON STOCK     249509100    13272   586600 SH       SOLE                  93800            492800
D ***DEUTSCHE TELEKOM AG         COMMON STOCK     251566105     1755    24715 SH       SOLE                  20865              3850
D DEVON ENERGY CORPORATION NEW   COMMON STOCK     25179M103      545    16592 SH       SOLE                  16180               412
D DEVON ENERGY CORP NEW          CONVERTIBLE BOND 25179MAB9     1689  1755000 PRN      SOLE                 290000           1465000
D DEVRY INC-DEL                  COMMON STOCK     251893103      259    13788 SH       SOLE                   6588              7200
D ***DIAGEO PLC-SPONSORED ADR    COMMON STOCK     25243Q205    38330  1197819 SH       SOLE                 977319            220500
D ***DIAGEO PLC-SPONSORED ADR    COMMON STOCK     25243Q205    17306   540800 SH       DEFINED                                540800
D DIAMOND OFFSHORE DRILLING INC  COMMON STOCK     25271C102     6072   198666 SH       SOLE                  91216            107450
D DIAMOND OFFSHORE DRILLING INC  COMMON STOCK     25271C102    26272   859600 SH       DEFINED                                859600
D DIAMONDS TRUST-UNIT SERIES 1   COMMON STOCK     252787106      242     2100 SH       SOLE                    100              2000
D DIEBOLD INC                    COMMON STOCK     253651103      348    14825 SH       SOLE                   6200              8625
D DIGEX INC DEL                  COMMON STOCK     253756100     7992   116250 SH       SOLE                 109050              7200
D DIGEX INC DEL                  COMMON STOCK     253756100    18886   274700 SH       DEFINED                                274700
D DIGITAL ISLAND INC DEL         COMMON STOCK     25385N101      271     2850 SH       SOLE                   1450              1400
D DIGITAL ISLAND INC DEL         COMMON STOCK     25385N101     1655    17400 SH       DEFINED                                 17400
D DIGITAL GENERATION SYSTEMS INC COMMON STOCK     253921100       71    10000 SH       SOLE                  10000
D DILLARDS INC-CL A              COMMON STOCK     254067101      210    10425 SH       SOLE                   3425              7000
D DIME BANCORP INC NEW           COMMON STOCK     25429Q102     2734   180778 SH       SOLE                 107848             72930
D DIONEX CORP                    COMMON STOCK     254546104    13586   329859 SH       SOLE                 323859              6000
D DIONEX CORP                    COMMON STOCK     254546104    11615   282000 SH       DEFINED                                282000
D WALT DISNEY CO HOLDING CO      COMMON STOCK     254687106   158743  5427127 SH       SOLE                2253422           3173705
D WALT DISNEY CO HOLDING CO      COMMON STOCK     254687106    61864  2115000 SH       DEFINED                               2115000
D DOLE FOOD CO INC               COMMON STOCK     256605106      335    20600 SH       SOLE                   2000             18600
D DOLLAR GENERAL CORP            COMMON STOCK     256669102     1513    66524 SH       SOLE                  59174              7350
D DOLLAR THRIFTY AUTOMOTIVE      COMMON STOCK     256743105     9166   382900 SH       SOLE                  31600            351300
D DONALDSON CO INC               COMMON STOCK     257651109    11337   471157 SH       SOLE                 471157
D DONALDSON CO INC               COMMON STOCK     257651109    14707   611200 SH       DEFINED                                611200
D DONALDSON LUFKIN & JENRETTE    COMMON STOCK     257661108     3062    63300 SH       SOLE                  63300
D DONALDSON LUFKIN & JENRETTE    COMMON STOCK     257661108    12123   250600 SH       DEFINED                                250600
D ***DONCASTERS PLC              COMMON STOCK     257692103     4424   491500 SH       SOLE                 238600            252900
D ***DONCASTERS PLC              COMMON STOCK     257692103     1041   115700 SH       DEFINED                                115700
D R R DONNELLEY & SONS CO        COMMON STOCK     257867101    18393   741291 SH       SOLE                 379965            361326
D ***DORAL FINANCIAL CORP        COMMON STOCK     25811P100      907    73701 SH       SOLE                  63931              9770
D DOUBLECLICK INC                COMMON STOCK     258609304    25502   100775 SH       SOLE                  63081             37694
D DOUBLECLICK INC                COMMON STOCK     258609304    21890    86500 SH       DEFINED                                 86500
D DOVER CORP                     COMMON STOCK     260003108    32877   724570 SH       SOLE                 182405            542165
D DOW CHEMICAL CO                COMMON STOCK     260543103    76856   575161 SH       SOLE                  90829            484332
D DOW CHEMICAL CO                COMMON STOCK     260543103    28222   211200 SH       DEFINED                                211200
D DOW JONES & CO INC             COMMON STOCK     260561105      245     3600 SH       SOLE                   1000              2600
D E I DU PONT DE NEMOURS & CO    COMMON STOCK     263534109    78146  1186804 SH       SOLE                 743055            443749
D E I DU PONT DE NEMOURS & CO    COMMON STOCK     263534109   129089  1959600 SH       DEFINED                               1959600
D DUCOMMUN INC                   COMMON STOCK     264147109     3832   352395 SH       SOLE                 335920             16475
D DUCOMMUN INC                   COMMON STOCK     264147109     2814   258750 SH       DEFINED                                258750
D DUFF & PHELPS CREDIT RATING CO COMMON STOCK     26432F109    16669   187420 SH       SOLE                 145260             42160
D DUKE ENERGY CORP               COMMON STOCK     264399106     6253   124743 SH       SOLE                  45046             79697
D DUKE REALTY INVESTMENTS INC    COMMON STOCK     264411505     3033   155520 SH       SOLE                  18600            136920
D DUN & BRADSTREET CORP DEL      COMMON STOCK     26483B106    78477  2660250 SH       SOLE                1362555           1297695
D DUN & BRADSTREET CORP DEL      COMMON STOCK     26483B106      445    15100 SH       DEFINED                                 15100
D DYCOM INDUSTRIES INC           COMMON STOCK     267475101      364     8250 SH       SOLE                    600              7650
D DYNEGY INC                     COMMON STOCK     26816L102    12365   508600 SH       SOLE                 499100              9500
D DYNEGY INC                     COMMON STOCK     26816L102      479    19700 SH       DEFINED                                 19700
D EEX CORPORATION - NEW          COMMON STOCK     26842V207       48    16308 SH       SOLE                  12727              3581
D EMC CORP-MASS                  COMMON STOCK     268648102    71736   656622 SH       SOLE                 288326            368296
D EMC CORP-MASS                  COMMON STOCK     268648102      273     2500 SH       DEFINED                                  2500
D EOG RES INC                    COMMON STOCK     26875P101    20668  1177455 SH       SOLE                 568005            609450
D ***ESAT TELECOM GROUP PLC      COMMON STOCK     26883Y102      324     3540 SH       SOLE                   3540
D ETEC SYSTEMS INC               COMMON STOCK     26922C103      314     7000 SH       SOLE                                     7000
D E-TEK DYNAMICS INC             COMMON STOCK     269240107     4806    35700 SH       SOLE                  35700
D E-TEK DYNAMICS INC             COMMON STOCK     269240107    18067   134200 SH       DEFINED                                134200
D E TRADE GROUP INC              COMMON STOCK     269246104     4888   187100 SH       SOLE                 183900              3200
D E TRADE GROUP INC              COMMON STOCK     269246104    12464   477100 SH       DEFINED                                477100
D EASTGROUP PROPERTIES INC       COMMON STOCK     277276101     1105    59725 SH       SOLE                  56600              3125
D EASTMAN KODAK CO               COMMON STOCK     277461109     3666    55331 SH       SOLE                   8065             47266
D EATON CORP                     COMMON STOCK     278058102     7298   100490 SH       SOLE                  94590              5900
D EATON CORP                     COMMON STOCK     278058102      247     3400 SH       DEFINED                                  3400
D EBAY INC                       COMMON STOCK     278642103      617     4930 SH       SOLE                   2125              2805
D ECHOSTAR COMMUNICATIONS CORP   COMMON STOCK     278762109    70105   719022 SH       SOLE                 424564            294458
D ECHOSTAR COMMUNICATIONS CORP   COMMON STOCK     278762109    19090   195800 SH       DEFINED                                195800
D ECLIPSYS CORP                  COMMON STOCK     278856109     6009   234500 SH       SOLE                 228500              6000
D ECOLAB INC                     COMMON STOCK     278865100     1463    37400 SH       SOLE                  32000              5400
D EDISON INTERNATIONAL           COMMON STOCK     281020107     2336    89213 SH       SOLE                  36400             52813
D EDUCATION MANAGEMENT CORP      COMMON STOCK     28139T101    15418  1101300 SH       SOLE                 494975            606325
D EFFICIENT NETWORKS INC         COMMON STOCK     282056100     5340    78525 SH       SOLE                  77475              1050
D EFFICIENT NETWORKS INC         COMMON STOCK     282056100    20162   296500 SH       DEFINED                                296500
D EGAMES INC                     COMMON STOCK     282253103       56    17555 SH       SOLE                                    17555
D EL PASO ENERGY CORP            COMMON STOCK     283905107      684    17614 SH       SOLE                  10466              7148
D ***ELAN CORP PLC-ADR           COMMON STOCK     284131208    44197  1498188 SH       SOLE                1119558            378630
D ELANTEC SEMICONDUCTOR INC      COMMON STOCK     284155108     1518    46000 SH       DEFINED                                 46000
D ELECTRO SCIENTIFIC INDS INC    COMMON STOCK     285229100      256     3500 SH       SOLE                                     3500
D ELECTRONIC DATA SYSTEMS CORP   COMMON STOCK     285661104    43659   652257 SH       SOLE                 558686             93571
D ELECTRONIC DATA SYSTEMS CORP   COMMON STOCK     285661104     5763    86100 SH       DEFINED                                 86100
D EMCOR GROUP INC                COMMON STOCK     29084Q100      867    47500 SH       SOLE                   6400             41100
D EMERSON ELECTRIC CO            COMMON STOCK     291011104    18278   318559 SH       SOLE                 157883            160676
D EMERSON ELECTRIC CO            COMMON STOCK     291011104    32279   562600 SH       DEFINED                                562600
D EMMIS COMMUNICATIONS CORP-CL A COMMON STOCK     291525103    11336    90950 SH       SOLE                  90550               400
D EMMIS COMMUNICATIONS CORP-CL A COMMON STOCK     291525103    31758   254800 SH       DEFINED                                254800
D EMMIS BROADCASTING CORP        CONVERTIBLE PREF 291525202     1590    20000 SH       SOLE                   1900             18100
D ENERGY EAST CORPORATION        COMMON STOCK     29266M109      366    17566 SH       SOLE                   6566             11000
D ENGELHARD CORP                 COMMON STOCK     292845104    14809   784875 SH       SOLE                 751100             33775
D ENRON CORP                     COMMON STOCK     293561106    12298   277146 SH       SOLE                 134212            142934
D ENRON CORP                     COMMON STOCK     293561106     2099    47300 SH       DEFINED                                 47300
D ENRON CORP                     CONVERTIBLE PREF 293561882      420    22400 SH       SOLE                   4200             18200
D ENTERCOM COMMUNICATIONS CORP   COMMON STOCK     293639100     6080    91776 SH       SOLE                  89976              1800
D ENTERCOM COMMUNICATIONS CORP   COMMON STOCK     293639100    18649   281500 SH       DEFINED                                281500
D ENTERTAINMENT PROPERTIES TRUST COMMON STOCK     29380T105      249    18850 SH       SOLE                   3750             15100
D ENTRUST TECHNOLOGIES INC       COMMON STOCK     293848107      354     5900 SH       SOLE                   3250              2650
D ENZON INC                      COMMON STOCK     293904108      219     5057 SH       SOLE                   5055                 2
D ENZON INC                      COMMON STOCK     293904108     2147    49500 SH       DEFINED                                 49500
D EPLUS INC                      COMMON STOCK     294268107     1080    30000 SH       SOLE                                    30000
D EQUANT N V                     COMMON STOCK     294409107     4939    44100 SH       SOLE                  18950             25150
D EQUIFAX INC                    COMMON STOCK     294429105     8873   376587 SH       SOLE                 121887            254700
D EQUITY INNS INC                COMMON STOCK     294703103       92    13600 SH       SOLE                   8500              5100
D EQUITY OFFICE PROPERTIES TRUST COMMON STOCK     294741103    11472   465878 SH       SOLE                  90900            374978
D EQUITY RESIDENTIAL PROPERTIES  COMMON STOCK     29476L107     9828   230231 SH       SOLE                  92220            138011
D ***L M ERICSSON TELEPHONE CO   COMMON STOCK     294821400     9674   147278 SH       SOLE                  84296             62982
D ***L M ERICSSON TELEPHONE CO   COMMON STOCK     294821400   126580  1927000 SH       DEFINED                               1927000
D ***L M ERICSSON TEL CO-ADD     FOREIGN COMMON S 294821509      775    40000 SH       SOLE                                    40000
D ESPEED INC                     COMMON STOCK     296643109     1650    46400 SH       DEFINED                                 46400
D EVEREST REINSURANCE HOLDINGS   COMMON STOCK     299808105     1446    64800 SH       SOLE                  32900             31900
D EXCEL LEGACY CORP              COMMON STOCK     300665106      346   104400 SH       SOLE                   6900             97500
D EXECUTONE INFORMATION SYSTEMS  COMMON STOCK     301607107      239    44000 SH       SOLE                   4000             40000
D EXXON MOBIL CORP               COMMON STOCK     30231G102   130058  1614358 SH       SOLE                 894092            720266
D EXXON MOBIL CORP               COMMON STOCK     30231G102   150556  1868809 SH       DEFINED                               1868809
D FBL FINANCIAL GROUP INC-CL A   COMMON STOCK     30239F106     8678   433901 SH       SOLE                 433901
D FBL FINANCIAL GROUP INC-CL A   COMMON STOCK     30239F106    13156   657800 SH       DEFINED                                657800
D FPL GROUP INC                  COMMON STOCK     302571104      571    13328 SH       SOLE                   6578              6750
D FVC COM INC                    COMMON STOCK     30266P100      341    29178 SH       SOLE                                    29178
D FACTORY 2-U INC                COMMON STOCK     303072102      272     9575 SH       SOLE                   8075              1500
D FACTORY 2-U INC                COMMON STOCK     303072102     3868   136300 SH       DEFINED                                136300
D FAIR ISAAC & CO INC            COMMON STOCK     303250104    15921   300389 SH       SOLE                 300389
D FAIR ISAAC & CO INC            COMMON STOCK     303250104    24295   458400 SH       DEFINED                                458400
D FAMILY DOLLAR STORES INC       COMMON STOCK     307000109      563    34500 SH       SOLE                  34500
D FDX CORP                       COMMON STOCK     31304N107     5918   144550 SH       SOLE                  27150            117400
D FEDDERS CORP                   COMMON STOCK     313135105     6196  1126500 SH       SOLE                 325900            800600
D FEDDERS CORP-CL A NON-VTG      COMMON STOCK     313135303     9054  1766700 SH       SOLE                 300600           1466100
D FREDDIE MAC-VOTING COMMON      COMMON STOCK     313400301    55741  1184399 SH       SOLE                 563405            620994
D FANNIE MAE                     COMMON STOCK     313586109   121609  1947693 SH       SOLE                1100873            846820
D FANNIE MAE                     COMMON STOCK     313586109     6668   106800 SH       DEFINED                                106800
D FEDERATED DEPARTMENT STORES    COMMON STOCK     31410H101   187297  3704274 SH       SOLE                2026739           1677535
D FEDERATED DEPARTMENT STORES    COMMON STOCK     31410H101    77694  1536600 SH       DEFINED                               1536600
D FIDELITY NATIONAL CORP-GA      COMMON STOCK     316320100      172    22768 SH       SOLE                  22768
D FIDELITY NATIONAL FINANCIAL    COMMON STOCK     316326107     2825   196520 SH       SOLE                 177428             19092
D FIFTH THIRD BANCORP            COMMON STOCK     316773100     2515    34278 SH       SOLE                  20125             14153
D FINANCIAL INSTITUTIONS INC     COMMON STOCK     317585404     1627   134224 SH       SOLE                 134224
D FINANCIAL SEC ASSURANCE HLDGS  COMMON STOCK     31769P100    35187   675050 SH       SOLE                 222000            453050
D FINISAR CORP                   COMMON STOCK     31787A101      360     4000 SH       SOLE                   2300              1700
D FINISAR CORP                   COMMON STOCK     31787A101      243     2700 SH       DEFINED                                  2700
D FINLAY ENTERPRISES INC         COMMON STOCK     317884203     7685   530000 SH       SOLE                 136400            393600
D FINOVA GROUP INC               COMMON STOCK     317928109    20487   577093 SH       SOLE                 557043             20050
D FINOVA GROUP INC               COMMON STOCK     317928109      746    21000 SH       DEFINED                                 21000
D FIRST AMERICAN FINANCIAL CORP  COMMON STOCK     318522307      627    50440 SH       SOLE                  50440
D FIRST DATA CORP                COMMON STOCK     319963104    71952  1459109 SH       SOLE                 408338           1050771
D FIRST INDIANA CORP             COMMON STOCK     32054R108     3704   170308 SH       SOLE                                   170308
D FIRST SIERRA FINANCIAL INC     COMMON STOCK     335944104     2478   144700 SH       DEFINED                                144700
D FIRST TENNESSEE NATIONAL CORP  COMMON STOCK     337162101      348    12200 SH       SOLE                   1200             11000
D FIRST UNION CORP               COMMON STOCK     337358105     1824    55388 SH       SOLE                  22856             32532
D FIRST UNION REAL ESTATE EQUITY COMMON STOCK     337400105       59    12320 SH       SOLE                  12320
D FIRST YEARS INC                COMMON STOCK     337610109     2184   262700 SH       SOLE                 262700
D FIRST YEARS INC                COMMON STOCK     337610109     3840   462000 SH       DEFINED                                462000
D FIRSTAR CORP WIS-NEW           COMMON STOCK     33763V109     1080    51111 SH       SOLE                   4403             46708
D FLEETBOSTON FINL CORP          COMMON STOCK     339030108    28642   822755 SH       SOLE                 631983            190772
D FLEETBOSTON FINL CORP          COMMON STOCK     339030108   135546  3893607 SH       DEFINED                               3893607
D FLEMING COMPANIES INC          COMMON STOCK     339130106     2498   243750 SH       SOLE                  42050            201700
D FLORIDA PROGRESS CORP          COMMON STOCK     341109106      239     5643 SH       SOLE                    750              4893
D FLOWERS INDUSTRIES INC         COMMON STOCK     343496105     6087   381900 SH       SOLE                 277900            104000
D FLUSHING FINANCIAL CORP        COMMON STOCK     343873105      244    16500 SH       SOLE                  16500
D FOILMARK INC                   COMMON STOCK     344185103      605   235966 SH       SOLE                                   235966
D FOODARAMA SUPERMARKETS INC     COMMON STOCK     344820105      505    25400 SH       SOLE                   6050             19350
D FORD MOTOR CO                  COMMON STOCK     345370100    12050   226040 SH       SOLE                  40777            185263
D FOREST CITY ENTERPRISES INC    COMMON STOCK     345550107      300    10700 SH       SOLE                   2100              8600
D FOREST LABORATORIES INC        COMMON STOCK     345838106      344     5600 SH       SOLE                   4400              1200
D ***FOREST OIL CORP NEW         COMMON STOCK     346091606      462    35000 SH       SOLE                  25000             10000
D FORT JAMES CORPORATION         COMMON STOCK     347471104    21411   782136 SH       SOLE                 511724            270412
D FORTUNE BRANDS INC             COMMON STOCK     349631101      511    15464 SH       SOLE                   4700             10764
D FOUNDATION HEALTH SYSTEMS INC  COMMON STOCK     350404109      259    26035 SH       SOLE                  11685             14350
D FOUNDATION HEALTH SYSTEMS INC  COMMON STOCK     350404109    22310  2245000 SH       DEFINED                               2245000
D FOX ENTERTAINMENT GROUP INC    COMMON STOCK     35138T107    25792  1034310 SH       SOLE                 487610            546700
D FOX ENTERTAINMENT GROUP INC    COMMON STOCK     35138T107     3167   127000 SH       DEFINED                                127000
D ***FRANCE TELECOM              COMMON STOCK     35177Q105      704     5272 SH       SOLE                   4972               300
D ***FRANCE TELECOM              COMMON STOCK     35177Q105     2063    15450 SH       DEFINED                                 15450
D FRANCHISE FINANCE CORP OF      COMMON STOCK     351807102     6786   283480 SH       SOLE                 123250            160230
D FRANKLIN COVEY CO              COMMON STOCK     353469109      514    70900 SH       SOLE                  10000             60900
D FRANKLIN ELECTRIC CO INC       COMMON STOCK     353514102    12444   177294 SH       SOLE                  27693            149601
D FRANKLIN RESOURCES INC         COMMON STOCK     354613101      341    10648 SH       SOLE                   1735              8913
D FREEMARKETS INC                COMMON STOCK     356602102     1604     4700 SH       SOLE                   4600               100
D FREEMARKETS INC                COMMON STOCK     356602102     6109    17900 SH       DEFINED                                 17900
D ***FRESENIUS MEDICAL CARE AG   COMMON STOCK     358029106      438    15453 SH       SOLE                  15342               111
D FRIEDE GOLDMAN HALTER          COMMON STOCK     358430106     1933   278673 SH       SOLE                 276973              1700
D FRIEDE GOLDMAN HALTER          COMMON STOCK     358430106     5193   748600 SH       DEFINED                                748600
D H B FULLER & CO                COMMON STOCK     359694106      909    16250 SH       SOLE                                    16250
D FURNITURE BRANDS INTERNATIONAL COMMON STOCK     360921100      205     9300 SH       SOLE                   4000              5300
D FURNITURE BRANDS INTERNATIONAL COMMON STOCK     360921100    44990  2045000 SH       DEFINED                               2045000
D GATX CORP                      COMMON STOCK     361448103     1927    57100 SH       SOLE                  33400             23700
D GPU INC                        COMMON STOCK     36225X100      618    20772 SH       SOLE                   1712             19060
D GTE CORP                       COMMON STOCK     362320103    47803   677450 SH       SOLE                 385607            291843
D GTE CORP                       COMMON STOCK     362320103    97870  1387000 SH       DEFINED                               1387000
D GABLES RESIDENTIAL TRUST-SBI   COMMON STOCK     362418105     9864   411001 SH       SOLE                 393451             17550
D GAINSCO INC                    COMMON STOCK     363127101       54    10000 SH       SOLE                  10000
D GALEY & LORD INC               COMMON STOCK     36352K103      130    67000 SH       SOLE                  67000
D GALILEO INTERNATIONAL INC      COMMON STOCK     363547100    25495   851600 SH       SOLE                 839100             12500
D GALLAGHER ARTHUR J & CO        COMMON STOCK     363576109     8341   128817 SH       SOLE                  71267             57550
D GANNETT CO INC                 COMMON STOCK     364730101    40283   493891 SH       SOLE                 198742            295149
D GAP INC                        COMMON STOCK     364760108    69415  1509016 SH       SOLE                 848630            660386
D GARDNER DENVER  INC            COMMON STOCK     365558105     7413   444211 SH       SOLE                 425652             18559
D GARDNER DENVER  INC            COMMON STOCK     365558105    11792   706620 SH       DEFINED                                706620
D GARTNER GROUP INC NEW-CL A     COMMON STOCK     366651107      262    17200 SH       SOLE                   2000             15200
D GARTNER GROUP INC NEW-CL A     COMMON STOCK     366651107    21609  1417000 SH       DEFINED                               1417000
D GATEWAY INC                    COMMON STOCK     367626108     8296   115120 SH       SOLE                  70270             44850
D GATEWAY INC                    COMMON STOCK     367626108    91094  1264100 SH       DEFINED                               1264100
D GENCORP INC                    COMMON STOCK     368682100     1704   172518 SH       SOLE                  39600            132918
D GENL AMERICAN INVESTORS CO INC COMMON STOCK     368802104      423    11388 SH       SOLE                    330             11058
D GENERAL DYNAMICS CORP          COMMON STOCK     369550108    64216  1217358 SH       SOLE                1072459            144899
D GENERAL DYNAMICS CORP          COMMON STOCK     369550108   121109  2295900 SH       DEFINED                               2295900
D GENERAL ELECTRIC CO            COMMON STOCK     369604103   388015  2507303 SH       SOLE                 835538           1671765
D GENERAL ELECTRIC CO            COMMON STOCK     369604103      402     2600 SH       DEFINED                                  2600
D GENERAL GROWTH PROPERTIES INC  COMMON STOCK     370021107      546    19500 SH       SOLE                   1800             17700
D GENERAL INSTRUMENT CORP-DEL    COMMON STOCK     370120107    36983   435098 SH       SOLE                 303998            131100
D GENERAL MILLS INC              COMMON STOCK     370334104     7432   207892 SH       SOLE                  63350            144542
D GENERAL MOTORS CORP            COMMON STOCK     370442105   528182  7265949 SH       SOLE                2861033           4404916
D GENERAL MOTORS CORP            COMMON STOCK     370442105   229096  3151800 SH       DEFINED                               3151800
D GENERAL MOTORS CORP-CL H NEW   COMMON STOCK     370442832   138244  1440040 SH       SOLE                1131403            308637
D GENERAL MOTORS CORP-CL H NEW   COMMON STOCK     370442832    94243   981700 SH       DEFINED                                981700
D GENICOM CORP                   COMMON STOCK     372282103       12    16720 SH       SOLE                                    16720
D GENLYTE GROUP INC              COMMON STOCK     372302109    20197   944905 SH       SOLE                  97800            847105
D GEON CO                        COMMON STOCK     37246W105     1056    32500 SH       SOLE                  32500
D GENZYME CORP-GENERAL DIVISION  COMMON STOCK     372917104    18367   408153 SH       SOLE                 390923             17230
D GENZYME CORP-GENERAL DIVISION  COMMON STOCK     372917104      644    14300 SH       DEFINED                                 14300
D GEORGIA PACIFIC CORP           COMMON STOCK     373298108     1622    31966 SH       SOLE                  19564             12402
D GEORGIA PACIFIC CORP           COMMON STOCK     373298108    16966   334300 SH       DEFINED                                334300
D GEORGIA PACIFIC CORP           COMMON STOCK     373298702      329    13366 SH       SOLE                   1330             12036
D GERALD STEVENS INC             COMMON STOCK     37369G101      193    23055 SH       SOLE                                    23055
D GETTHERE.COM INC               COMMON STOCK     374266104      616    15300 SH       SOLE                  15300
D GETTHERE.COM INC               COMMON STOCK     374266104      604    15000 SH       DEFINED                                 15000
D GILEAD SCIENCES INC            COMMON STOCK     375558103     6050   111770 SH       SOLE                 100752             11018
D GILEAD SCIENCES INC            COMMON STOCK     375558103    15512   286600 SH       DEFINED                                286600
D GILLETTE CO                    COMMON STOCK     375766102    79594  1932466 SH       SOLE                 793533           1138933
D ***GLAXO PLC-SPONSORED ADR     COMMON STOCK     37733W105     1818    32544 SH       SOLE                  20489             12055
D GLOBAL INDUSTRIAL TECHNOLOGIES COMMON STOCK     379335102      644    50000 SH       SOLE                                    50000
D GLOBAL INDUSTRIES LTD          COMMON STOCK     379336100     7054   817817 SH       SOLE                 807817             10000
D GLOBAL INDUSTRIES LTD          COMMON STOCK     379336100     8787  1018800 SH       DEFINED                               1018800
D GLOBAL MARINE INC NEW          COMMON STOCK     379352404      916    55125 SH       SOLE                   4525             50600
D GLOBAL TELESYSTEMS GROUP INC   COMMON STOCK     37936U104    19835   570800 SH       SOLE                 434700            136100
D GLOBAL TELESYSTEMS GROUP INC   COMMON STOCK     37936U104      667    19200 SH       DEFINED                                 19200
D GOLDEN STATE BANCORP INC       COMMON STOCK     381197102      897    52018 SH       SOLE                  18975             33043
D GOLDMAN SACHS GROUP INC        COMMON STOCK     38141G104    37757   400871 SH       SOLE                 116997            283874
D GOLDMAN SACHS GROUP INC        COMMON STOCK     38141G104      283     3000 SH       DEFINED                                  3000
D GOOD GUYS INC                  COMMON STOCK     382091106       97    10400 SH       SOLE                                    10400
D GOODYEAR TIRE & RUBBER CO      COMMON STOCK     382550101      320     8263 SH       SOLE                   6475              1788
D W R GRACE & CO-DEL NEW         COMMON STOCK     38388F108    15108  1069587 SH       SOLE                1069484               103
D W R GRACE & CO-DEL NEW         COMMON STOCK     38388F108      657    46500 SH       DEFINED                                 46500
D GRACO INC                      COMMON STOCK     384109104      221     6150 SH       SOLE                    600              5550
D W W GRAINGER INC               COMMON STOCK     384802104    72887  1524438 SH       SOLE                1215547            308891
D W W GRAINGER INC               COMMON STOCK     384802104      368     7700 SH       DEFINED                                  7700
D GRAY COMMUNICATIONS SYSTEMS    COMMON STOCK     389190109      385    21750 SH       SOLE                  10500             11250
D GREAT ATLANTIC&PAC TEA CO INC  COMMON STOCK     390064103     1399    50200 SH       SOLE                  27000             23200
D GREENPOINT FINANCIAL CORP      COMMON STOCK     395384100      787    33052 SH       SOLE                  12050             21002
D GREY ADVERTISING INC           COMMON STOCK     397838103      873     2183 SH       SOLE                    483              1700
D GRIFFON CORP                   COMMON STOCK     398433102      297    38000 SH       SOLE                  29000              9000
D ***CGI GROUP INC-CL A SUB-VTG  FOREIGN COMMON S 39945C109      292     6817 SH       SOLE                   6817
D GRUBB & ELLIS CO NEW           COMMON STOCK     400095204       94    20150 SH       SOLE                  12050              8100
D ***GRUPO TELEVISA SA DE CV-GDS COMMON STOCK     40049J206     1530    22414 SH       SOLE                  22300               114
D GTECH HOLDINGS CORP            COMMON STOCK     400518106    26349  1197700 SH       SOLE                 280700            917000
D GUIDANT CORP                   COMMON STOCK     401698105     5451   115988 SH       SOLE                  60209             55779
D ***GULF CANADA RESOURCES LTD   COMMON STOCK     40218L305    35952 10652510 SH       SOLE                2892900           7759610
D GULFMARK OFFSHORE INC          COMMON STOCK     402629109      668    45680 SH       SOLE                  45680
D H T E INC                      COMMON STOCK     403926108       84    14000 SH       SOLE                                    14000
D HMG WORLDWIDE INC              COMMON STOCK     404235103      350    50000 SH       SOLE                  50000
D HSB GROUP INC (HOLDING CO)     COMMON STOCK     40428N109     1150    34000 SH       SOLE                                    34000
D HS RESOURCES INC               COMMON STOCK     404297103    21381  1239450 SH       SOLE                 270700            968750
D HAEMONETICS CORP-MASS          COMMON STOCK     405024100    18322   769438 SH       SOLE                 764438              5000
D HAEMONETICS CORP-MASS          COMMON STOCK     405024100    28454  1194900 SH       DEFINED                               1194900
D HALL KINION & ASSOCIATES INC   COMMON STOCK     406069104     2612   121500 SH       DEFINED                                121500
D HALLIBURTON CO                 COMMON STOCK     406216101    38601   959124 SH       SOLE                 460365            498759
D HALLIBURTON CO                 COMMON STOCK     406216101    87713  2179200 SH       DEFINED                               2179200
D JOHN HANCOCK BANK & THRIFT     COMMON STOCK     409735107      912   108100 SH       SOLE                  23000             85100
D HANNAFORD BROS CO              COMMON STOCK     410550107      274     3950 SH       SOLE                                     3950
D HANOVER COMPRESSOR CO          COMMON STOCK     410768105     7425   196676 SH       SOLE                 194526              2150
D HANOVER COMPRESSOR CO          COMMON STOCK     410768105     2699    71500 SH       DEFINED                                 71500
D HARBINGER CORP                 COMMON STOCK     41145C103     8494   267000 SH       SOLE                  21000            246000
D HARCOURT GENERAL INC           COMMON STOCK     41163G101   157427  3909812 SH       SOLE                1854735           2055077
D HARCOURT GENERAL INC           COMMON STOCK     41163G101      419    10400 SH       DEFINED                                 10400
D HARBOR FLORIDA BANCSHARES INC  COMMON STOCK     411901101      272    21032 SH       SOLE                  21032
D HARLEY DAVIDSON INC            COMMON STOCK     412822108    11144   173955 SH       SOLE                 128000             45955
D HARLEY DAVIDSON INC            COMMON STOCK     412822108    18841   294100 SH       DEFINED                                294100
D HARRAHS ENTERTAINMENT INC      COMMON STOCK     413619107     1955    73892 SH       SOLE                  28902             44990
D HARRIS & HARRIS GROUP INC      COMMON STOCK     413833104      414    36000 SH       SOLE                                    36000
D HARTE-HANKS INC                COMMON STOCK     416196103      278    12800 SH       SOLE                  10800              2000
D HARTFORD FINANCIAL SERVICES    COMMON STOCK     416515104    15046   317595 SH       SOLE                 105352            212243
D HARTFORD FINANCIAL SERVICES    COMMON STOCK     416515104    78979  1667100 SH       DEFINED                               1667100
D HASBRO INC                     COMMON STOCK     418056107     1913   100992 SH       SOLE                  46193             54799
D HAVEN BANCORP INC              COMMON STOCK     419352109     3120   202124 SH       SOLE                 182124             20000
D HAWK CORP                      COMMON STOCK     420089104     3149   541700 SH       SOLE                  69800            471900
D HAYES LEMMERZ INTERNATIONAL    COMMON STOCK     420781106    10394   596100 SH       SOLE                 123100            473000
D HEALTHCARE SERVICES GROUP INC  COMMON STOCK     421906108      117    16650 SH       SOLE                                    16650
D HEALTH CARE PROPERTY INVS INC  COMMON STOCK     421915109      906    37940 SH       SOLE                  19550             18390
D HEIDRICK & STRUGGLES INTL INC  COMMON STOCK     422819102      317     7500 SH       SOLE                   2500              5000
D H J HEINZ CO                   COMMON STOCK     423074103    13463   338152 SH       SOLE                 167830            170322
D HELIX TECHNOLOGY CORP          COMMON STOCK     423319102     1120    25000 SH       DEFINED                                 25000
D ***HELLENIC TELECOMM.          COMMON STOCK     423325307      449    37600 SH       SOLE                  37600
D HELMERICH & PAYNE INC          COMMON STOCK     423452101      774    35600 SH       SOLE                  11900             23700
D HENRY JACK & ASSOCIATES INC    COMMON STOCK     426281101    12776   237977 SH       SOLE                 237977
D HENRY JACK & ASSOCIATES INC    COMMON STOCK     426281101    20256   377300 SH       DEFINED                                377300
D HERSHEY FOODS CORP             COMMON STOCK     427866108     8524   179688 SH       SOLE                  67776            111912
D HERTZ CORP                     COMMON STOCK     428040109    28148   561550 SH       SOLE                 155300            406250
D HEWLETT PACKARD CO             COMMON STOCK     428236103   305136  2685003 SH       SOLE                1737083            947920
D HEWLETT PACKARD CO             COMMON STOCK     428236103    79591   699700 SH       DEFINED                                699700
D HILB ROGAL & HAMILTON CO       COMMON STOCK     431294107     1531    54200 SH       SOLE                  34600             19600
D HILLENBRAND INDUSTRIES INC     COMMON STOCK     431573104     1243    39228 SH       SOLE                   6678             32550
D HILTON HOTELS CORP             COMMON STOCK     432848109     5944   621604 SH       SOLE                 280667            340937
D HOLLINGER INTERNATIONAL INC    COMMON STOCK     435569108    34929  2699823 SH       SOLE                 752904           1946919
D HOLLYWOOD PARK INC NEW         COMMON STOCK     436255103      461    20525 SH       SOLE                  20425               100
D HOME DEPOT INC                 COMMON STOCK     437076102   193091  2808201 SH       SOLE                 831442           1976759
D HOME DEPOT INC                 COMMON STOCK     437076102      258     3750 SH       DEFINED                                  3750
D HONEYWELL INTL INC             COMMON STOCK     438516106    39292   681114 SH       SOLE                 582445             98669
D HONEYWELL INTL INC             COMMON STOCK     438516106    90546  1569600 SH       DEFINED                               1569600
D HOOPER HOLMES INC              COMMON STOCK     439104100      744    28900 SH       SOLE                  28900
D HORACE MANN EDUCATORS CORP NEW COMMON STOCK     440327104     5371   273700 SH       SOLE                  54700            219000
D HORMEL FOODS CORP              COMMON STOCK     440452100     2050    50465 SH       SOLE                  11765             38700
D HOST MARRIOTT CORP-NEW REIT    COMMON STOCK     44107P104      572    57227 SH       SOLE                  42211             15016
D HOUGHTON MIFFLIN CO            COMMON STOCK     441560109    13537   320878 SH       SOLE                 163760            157118
D HOUGHTON MIFFLIN CO            COMMON STOCK     441560109    13892   329300 SH       DEFINED                                329300
D HOUSEHOLD INTERNATIONAL INC    COMMON STOCK     441815107    42207  1133083 SH       SOLE                 409799            723284
D HOUSEHOLD INTERNATIONAL INC    COMMON STOCK     441815107     3695    99200 SH       DEFINED                                 99200
D HOUSTON INDUSTRIES INC-7%      COMMON STOCK     442161204      572     4750 SH       SOLE                   1200              3550
D HUBBELL INC CLASS A            COMMON STOCK     443510102      268     9546 SH       SOLE                    200              9346
D HUBBELL INC CLASS B            COMMON STOCK     443510201    10967   402466 SH       SOLE                 190408            212058
D HUDSON CITY BANCORP INC        COMMON STOCK     443683107      633    47100 SH       SOLE                                    47100
D HUDSON UNITED BANCORP          COMMON STOCK     444165104     3142   122899 SH       SOLE                 122899
D HUDSON UNITED BANCORP          COMMON STOCK     444165104     4344   169950 SH       DEFINED                                169950
D HUFFY CORP-W/RTS               COMMON STOCK     444356109     3704   705500 SH       SOLE                 156500            549000
D HUGHES SUPPLY INC              COMMON STOCK     444482103     7273   337300 SH       SOLE                  73450            263850
D HUGOTON ROYALTY TRUST TEXAS    COMMON STOCK     444717102       81    10000 SH       SOLE                  10000
D HUNTINGTON BANCSHARES INC      COMMON STOCK     446150104      735    30768 SH       SOLE                   2200             28568
D HUSSMAN INTERNATIONAL INC      COMMON STOCK     448110106    10298   683712 SH       SOLE                 665362             18350
D HUSSMAN INTERNATIONAL INC      COMMON STOCK     448110106    12817   850900 SH       DEFINED                                850900
D ICN PHARMACEUTICALS INC NEW    COMMON STOCK     448924100     1748    69054 SH       SOLE                  53400             15654
D HYPERION SOLUTIONS CORP        COMMON STOCK     44914M104      345     7931 SH       SOLE                                     7931
D IBP INC                        COMMON STOCK     449223106    10289   571595 SH       SOLE                  83395            488200
D IHOP CORP NEW                  COMMON STOCK     449623107     5765   345467 SH       SOLE                 283417             62050
D IMCO RECYCLING INC             COMMON STOCK     449681105     1027    81850 SH       SOLE                  56650             25200
D IMS HEALTH INC                 COMMON STOCK     449934108    10798   397181 SH       SOLE                  96818            300363
D IRI INTERNATIONAL CORP         COMMON STOCK     45004F107     1400   350000 SH       SOLE                 340000             10000
D IRI INTERNATIONAL CORP         COMMON STOCK     45004F107     3752   938100 SH       DEFINED                                938100
D IDEX CORP                      COMMON STOCK     45167R104    12562   413554 SH       SOLE                 383179             30375
D IDEX CORP                      COMMON STOCK     45167R104    15759   518800 SH       DEFINED                                518800
D IKON OFFICE SOLUTIONS INC      COMMON STOCK     451713101      109    15940 SH       SOLE                  13940              2000
D ILLINOIS TOOL WORKS INC        COMMON STOCK     452308109     5893    87230 SH       SOLE                  23466             63764
D ILLINOIS TOOL WORKS INC        COMMON STOCK     452308109    23674   350400 SH       DEFINED                                350400
D ILLINOVA CORP                  COMMON STOCK     452317100    38657  1112425 SH       SOLE                1109525              2900
D IMAX CORPORATION               COMMON STOCK     45245E109      237     8650 SH       SOLE                   1950              6700
D IMCLONE SYSTEMS INC            COMMON STOCK     45245W109     3252    82073 SH       SOLE                   7000             75073
D IMMUNEX CORP NEW               COMMON STOCK     452528102    10266    93800 SH       SOLE                  71100             22700
D IMMUNEX CORP NEW               COMMON STOCK     452528102    22798   208200 SH       DEFINED                                208200
D IMMUNOGEN INC                  COMMON STOCK     45253H101      124    22500 SH       SOLE                  22500
D INAMED CORP                    COMMON STOCK     453235103     1259    28702 SH       SOLE                  10750             17952
D INAMED CORP                    COMMON STOCK     453235103     4173    95100 SH       DEFINED                                 95100
D INDEPENDENCE COMMUNITY BANK    COMMON STOCK     453414104      509    40744 SH       SOLE                    271             40473
D INDEPENDENT BANK CORP-MASS     COMMON STOCK     453836108     2950   235992 SH       SOLE                 235992
D INDIANA ENERGY INC-W/RTS       COMMON STOCK     454707100     1175    66199 SH       SOLE                  64866              1333
D INDYMAC MTG HLDGS INC          COMMON STOCK     456607100    16697  1309550 SH       SOLE                1209350            100200
D INDYMAC MTG HLDGS INC          COMMON STOCK     456607100     3073   241000 SH       DEFINED                                241000
D INFINITY BROADCASTING CORP NEW COMMON STOCK     45662S102    32612   901183 SH       SOLE                 228962            672221
D ***INFOSYS TECHNOLOGIES LTD    COMMON STOCK     456788108      812     2460 SH       SOLE                   2460
D INGERSOLL RAND CO              COMMON STOCK     456866102      899    16334 SH       SOLE                   2584             13750
D INSIGHT ENTERPRISES INC        COMMON STOCK     45765U103      273     6725 SH       SOLE                   5675              1050
D INSIGHT ENTERPRISES INC        COMMON STOCK     45765U103     4067   100100 SH       DEFINED                                100100
D ***INPRISE CORP                COMMON STOCK     45766C102     6042   546206 SH       SOLE                 522306             23900
D ***INPRISE CORP                COMMON STOCK     45766C102     9391   848900 SH       DEFINED                                848900
D INTEGRATED DEVICE TECHNOLOGY   COMMON STOCK     458118106      473    16300 SH       SOLE                  13800              2500
D INTEGRATED DEVICE TECHNOLOGY   COMMON STOCK     458118106     4324   149100 SH       DEFINED                                149100
D INTEL CORP                     COMMON STOCK     458140100   379119  4605667 SH       SOLE                1914234           2691433
D INTEL CORP                     COMMON STOCK     458140100     4782    58100 SH       DEFINED                                 58100
D INTELLICALL INC                COMMON STOCK     45815C103      867   770830 SH       SOLE                 570830            200000
D INTERGRAPH-W/RTS               COMMON STOCK     458683109      112    24000 SH       SOLE                                    24000
D INTERIM SERVICES INC           COMMON STOCK     45868P100    10583   427579 SH       SOLE                  60629            366950
D INTERMEDIA COMMUNICATIONS OF   COMMON STOCK     458801107     6878   177200 SH       SOLE                 174000              3200
D INTERMEDIA COMMUNICATIONS OF   COMMON STOCK     458801107    21436   552300 SH       DEFINED                                552300
D INTL ASSETS HOLDING CORP       COMMON STOCK     459028106       85    11000 SH       SOLE                  11000
D INTERNATIONAL BUSINESS         COMMON STOCK     459200101   884088  8195458 SH       SOLE                2850599           5344859
D INTERNATIONAL BUSINESS         COMMON STOCK     459200101   171047  1585600 SH       DEFINED                               1585600
D INTL FLAVORS & FRAGRANCES INC  COMMON STOCK     459506101    17820   473665 SH       SOLE                 234061            239604
D INTL FLAVORS & FRAGRANCES INC  COMMON STOCK     459506101     2822    75000 SH       DEFINED                                 75000
D INTERNATIONAL PAPER CO         COMMON STOCK     460146103     2949    52248 SH       SOLE                  39508             12740
D INTERNATIONAL PAPER CO         COMMON STOCK     460146103    62234  1102700 SH       DEFINED                               1102700
D INTERNATIONAL RECTIFIER CORP   COMMON STOCK     460254105    11206   431000 SH       DEFINED                                431000
D INTERNET CAPITAL GROUP INC     COMMON STOCK     46059C106      214     1260 SH       SOLE                    360               900
D ***INTERNET INIT. JAPAN INC    COMMON STOCK     46059T109      224     2300 SH       DEFINED                                  2300
D INTERPUBLIC GROUP OF COM INC   COMMON STOCK     460690100      895    15514 SH       SOLE                    150             15364
D INTERTAN INC                   COMMON STOCK     461120107     4964   190000 SH       SOLE                                   190000
D INTERWORLD CORP                COMMON STOCK     46114Q108      461     5400 SH       SOLE                                     5400
D INTERVU INC                    COMMON STOCK     46114R106     2625    25000 SH       DEFINED                                 25000
D INTIMATE BRANDS INC-CL A       COMMON STOCK     461156101    18327   424969 SH       SOLE                 242109            182860
D INTUIT INC                     COMMON STOCK     461202103    10501   175191 SH       SOLE                 171050              4141
D INTUIT INC                     COMMON STOCK     461202103    40976   683650 SH       DEFINED                                683650
D INVACARE CORP                  COMMON STOCK     461203101    29452  1468000 SH       SOLE                 282500           1185500
D INVESTMENT TECHNOLOGY GROUP    COMMON STOCK     46145F105     6032   209800 SH       SOLE                 209800
D INVESTMENT TECHNOLOGY GROUP    COMMON STOCK     46145F105     9456   328900 SH       DEFINED                                328900
D IRON MOUNTAIN INC-DEL          COMMON STOCK     46284P104      333     8469 SH       SOLE                   7219              1250
D IRON MOUNTAIN INC-DEL          COMMON STOCK     46284P104     1712    43550 SH       DEFINED                                 43550
D ISIS PHARMACEUTICALS INC       COMMON STOCK     464330109      125    20000 SH       SOLE                                    20000
D ***ISPAT INTERNATIONAL NV-CL A COMMON STOCK     464899103      826    51200 SH       SOLE                  51200
D IVAX CORPORATION               COMMON STOCK     465823102     2719   105601 SH       SOLE                   3000            102601
D IVEX PACKAGING CORP-DEL        COMMON STOCK     465855104     4214   421400 SH       SOLE                  61900            359500
D JDS UNIPHASE CORP              COMMON STOCK     46612J101     9292    57600 SH       SOLE                  48400              9200
D JDS UNIPHASE CORP              COMMON STOCK     46612J101    61605   381900 SH       DEFINED                                381900
D JLK DIRECT DISTRIBUTION INC    COMMON STOCK     46621C105      486    47100 SH       SOLE                   4000             43100
D JNI CORP                       COMMON STOCK     46622G105     1327    20100 SH       DEFINED                                 20100
D JSB FINANCIAL INC              COMMON STOCK     46624M100     1013    19530 SH       SOLE                  11080              8450
D JABIL CIRCUIT INC              COMMON STOCK     466313103     1646    22550 SH       SOLE                  13300              9250
D JACOBS ENGINEERING GROUP INC   COMMON STOCK     469814107      887    27300 SH       SOLE                  11000             16300
D JAPAN EQUITY FUND INC          COMMON STOCK     471057109       97    10000 SH       SOLE                                    10000
D ***JAZZTEL P L C               COMMON STOCK     47214R152      977    15000 SH       DEFINED                                 15000
D JEFFRIES GROUP INC NEW         COMMON STOCK     472319102     4860   220900 SH       SOLE                 220900
D JEFFERSON PILOT CORP           COMMON STOCK     475070108     1336    19568 SH       SOLE                  11000              8568
D JOHNS MANVILLE CORP NEW        COMMON STOCK     478129109    45867  3290872 SH       SOLE                 858661           2432211
D JOHNSON & JOHNSON              COMMON STOCK     478160104   238605  2558738 SH       SOLE                1136920           1421818
D JOHNSON & JOHNSON              COMMON STOCK     478160104    81855   877800 SH       DEFINED                                877800
D JONES APPAREL GROUP INC        COMMON STOCK     480074103    11370   419162 SH       SOLE                 180062            239100
D JONES APPAREL GROUP INC        COMMON STOCK     480074103    51131  1885000 SH       DEFINED                               1885000
D JONES INTERCABLE INC           COMMON STOCK     480206101      917    13200 SH       SOLE                   2000             11200
D JONES INTERCABLE INC CL A      COMMON STOCK     480206200    24315   350801 SH       SOLE                  21243            329558
D JORE CORP                      COMMON STOCK     480815109      376    48100 SH       SOLE                  11900             36200
D JOURNAL REGISTER CO            COMMON STOCK     481138105     2326   150675 SH       SOLE                  97509             53166
D JUNIPER NETWORKS               COMMON STOCK     48203R104      255      750 SH       SOLE                    600               150
D KLA-TENCOR CORP                COMMON STOCK     482480100    26362   236700 SH       SOLE                 123200            113500
D KLA-TENCOR CORP                COMMON STOCK     482480100     5257    47200 SH       DEFINED                                 47200
D KANSAS CITY LIFE INSURANCE CO  COMMON STOCK     484836101     3105    91996 SH       SOLE                                    91996
D KANSAS CITY SOUTHERN INDS INC  COMMON STOCK     485170104    18869   252850 SH       SOLE                 234150             18700
D KANSAS CITY SOUTHERN INDS INC  COMMON STOCK     485170104      515     6900 SH       DEFINED                                  6900
D KAYDON CORP                    COMMON STOCK     486587108    18910   705273 SH       SOLE                 665173             40100
D KAYDON CORP                    COMMON STOCK     486587108    28204  1051900 SH       DEFINED                               1051900
D KEANE INC                      COMMON STOCK     486665102     5413   168500 SH       DEFINED                                168500
D KELLOGG CO                     COMMON STOCK     487836108    18071   586483 SH       SOLE                 312771            273712
D KELLWOOD CO                    COMMON STOCK     488044108      253    13000 SH       SOLE                                    13000
D KENT ELECTRONICS CORP W/RTS    COMMON STOCK     490553104     6206   272800 SH       SOLE                 272800
D KENTUCKY ELECTRIC STEEL INC    COMMON STOCK     49127B100       32    13288 SH       SOLE                                    13288
D KERR MCGEE CORP                COMMON STOCK     492386107     1013    16336 SH       SOLE                   4188             12148
D KERR MCGEE CORP                CONVERTIBLE BOND 492386AL1      942  1010000 PRN      SOLE                 275000            735000
D KEY ENERGY GROUP INC           COMMON STOCK     492914106      206    39650 SH       SOLE                  27300             12350
D KEYCORP NEW                    COMMON STOCK     493267108      959    43341 SH       SOLE                   2598             40743
D KEYSPAN CORP                   COMMON STOCK     49337W100     3092   133328 SH       SOLE                  29942            103386
D KIMBERLY CLARK CORP            COMMON STOCK     494368103   160315  2451247 SH       SOLE                1839698            611549
D KIMBERLY CLARK CORP            COMMON STOCK     494368103    70941  1084100 SH       DEFINED                               1084100
D KIMCO REALTY CORP              COMMON STOCK     49446R109    12195   359999 SH       SOLE                 171467            188532
D KINDER MORGAN ENERGY PARTNERS  COMMON STOCK     494550106      262     6324 SH       SOLE                    700              5624
D KINDER MORGAN INC              COMMON STOCK     49455P101     6508   322400 SH       SOLE                 322400
D KINDER MORGAN INC              COMMON STOCK     49455P101      264    13100 SH       DEFINED                                 13100
D KNAPE & VOGT MANUFACTURING CO  COMMON STOCK     498782101      290    21000 SH       SOLE                                    21000
D KNIGHT-RIDDER INC              COMMON STOCK     499040103     1028    17266 SH       SOLE                   5300             11966
D KOPIN CORP                     COMMON STOCK     500600101      256     6100 SH       SOLE                   5200               900
D KOPIN CORP                     COMMON STOCK     500600101     1596    38000 SH       DEFINED                                 38000
D ***KOREA TELECOM               COMMON STOCK     50063P103      374     5000 SH       SOLE                   5000
D KROGER CO                      COMMON STOCK     501044101     1559    82596 SH       SOLE                  58088             24508
D KROGER CO                      COMMON STOCK     501044101    76600  4058300 SH       DEFINED                               4058300
D KRONOS INC                     COMMON STOCK     501052104     6372   106200 SH       DEFINED                                106200
D KUSHNER LOCKE CO NEW           COMMON STOCK     501337406      174    40000 SH       SOLE                                    40000
D ***KYOCERA CORP ADR            COMMON STOCK     501556203      367     1400 SH       SOLE                   1400
D LNR PROPERTY CORP              COMMON STOCK     501940100     2767   139236 SH       SOLE                  34375            104861
D LTC PROPERTIES INC             COMMON STOCK     502175102     1635   193770 SH       SOLE                  86825            106945
D LTC PROPERTIES INC             CORPORATE BONDS  502175AE2      492   650000 SH       SOLE                 500000            150000
D LTC PROPERTIES INC             CONVERTIBLE BOND 502175AF9      710   810000 PRN      SOLE                 175000            635000
D LADISH CO INC NEW              COMMON STOCK     505754200     3787   594100 SH       SOLE                 193000            401100
D LAKEHEAD PIPE LINE PARTNERS LP COMMON STOCK     511557100      209     6000 SH       SOLE                                     6000
D LAKES GAMING                   COMMON STOCK     51206P109      671    84515 SH       SOLE                  57651             26864
D LAMAR ADVERTISING CO-CL A      COMMON STOCK     512815101     1635    27000 SH       SOLE                  27000
D LAMAR ADVERTISING CO-CL A      COMMON STOCK     512815101     6408   105800 SH       DEFINED                                105800
D LANCASTER COLONY CORP          COMMON STOCK     513847103      643    19400 SH       SOLE                   5100             14300
D LANDS END INC                  COMMON STOCK     515086106      466    13400 SH       SOLE                                    13400
D LANGER BIOMECHANICS GROUP INC  COMMON STOCK     515707107      219   129826 SH       SOLE                                   129826
D LATTICE SEMICONDUCTOR CORP     COMMON STOCK     518415104     1755    37246 SH       SOLE                   6200             31046
D LATTICE SEMICONDUCTOR CORP     COMMON STOCK     518415104    21206   450000 SH       DEFINED                                450000
D LATTICE SEMICONDUCTOR CORP     CONVERTIBLE BOND 518415AA2      669   500000 PRN      SOLE                 500000
D ESTEE LAUDER COMPANIES INC     COMMON STOCK     518439104      331     6560 SH       SOLE                   1305              5255
D LAZARE KAPLAN INTL INC         COMMON STOCK     521078105     1480   182150 SH       SOLE                  73075            109075
D LEAR CORP                      COMMON STOCK     521865105    32961  1030026 SH       SOLE                 833101            196925
D LEAR CORP                      COMMON STOCK     521865105   116765  3648900 SH       DEFINED                               3648900
D LEGATO SYSTEMS INC             COMMON STOCK     524651106      630     9150 SH       SOLE                   2000              7150
D LEGGETT & PLATT INC            COMMON STOCK     524660107    20131   939498 SH       SOLE                 476400            463098
D LEGGETT & PLATT INC            COMMON STOCK     524660107     3113   145200 SH       DEFINED                                145200
D LEHMAN BROTHERS HOLDINGS INC   COMMON STOCK     524908100     5337    63020 SH       SOLE                  58828              4192
D LEHMAN BROTHERS HOLDINGS INC   COMMON STOCK     524908100    17073   201600 SH       DEFINED                                201600
D LENNAR CORP                    COMMON STOCK     526057104    17793  1094955 SH       SOLE                 392670            702285
D LEUCADIA NATIONAL CORP         COMMON STOCK     527288104     5263   227592 SH       SOLE                  74424            153168
D LEVEL 3 COMMUNICATIONS INC     COMMON STOCK     52729N100     2436    29750 SH       SOLE                  26800              2950
D LEVEL 3 COMMUNICATIONS INC     COMMON STOCK     52729N100    42297   516600 SH       DEFINED                                516600
D LEXINGTON CORPORATE PROPERTIES COMMON STOCK     529043101      106    11500 SH       SOLE                                    11500
D LEXMARK INTERNATIONAL GROUP    COMMON STOCK     529771107      620     6850 SH       SOLE                   3600              3250
D LIBBEY INC                     COMMON STOCK     529898108    11741   408385 SH       SOLE                 172809            235576
D LIBERTE INVESTORS INC          COMMON STOCK     530154103       52    15000 SH       SOLE                  15000
D LIBERTY CORP-SC                COMMON STOCK     530370105    28628   678585 SH       SOLE                 133022            545563
D LIBERTY FINANCIAL COMPANIES    COMMON STOCK     530512102     2679   116797 SH       SOLE                  53500             63297
D LIFETIME HOAN CORP             COMMON STOCK     531926103     1538   293000 SH       SOLE                  53000            240000
D LIFEMINDERS.COM INC            COMMON STOCK     53219H108     1721    29800 SH       DEFINED                                 29800
D LIFEPOINT HOSPITALS INC        COMMON STOCK     53219L109      185    15805 SH       SOLE                   9432              6373
D ELI LILLY & CO                 COMMON STOCK     532457108    97268  1462671 SH       SOLE                1037063            425608
D LIMITED INC                    COMMON STOCK     532716107    19426   448506 SH       SOLE                 271880            176626
D LIMITED INC                    COMMON STOCK     532716107    18789   433800 SH       DEFINED                                433800
D LINCOLN ELEC HOLDINGS INC      COMMON STOCK     533900106    55708  2700997 SH       SOLE                 648647           2052350
D LINCOLN ELEC HOLDINGS INC      COMMON STOCK     533900106     6080   294800 SH       DEFINED                                294800
D LINCOLN NATIONAL CORP-IND      COMMON STOCK     534187109      708    17696 SH       SOLE                   2500             15196
D LINEAR TECHNOLOGY CORP         COMMON STOCK     535678106      630     8800 SH       SOLE                   5950              2850
D LITTON INDUSTRIES INC          COMMON STOCK     538021106     2969    59537 SH       SOLE                  19065             40472
D LOCKHEED MARTIN CORP           COMMON STOCK     539830109      637    29133 SH       SOLE                   8569             20564
D LODGIAN INC                    COMMON STOCK     54021P106     3922   784500 SH       SOLE                 168100            616400
D LOEWS CORP                     COMMON STOCK     540424108    41423   682567 SH       SOLE                 151791            530776
D LOEWS CORP SUB NOTE            CONVERTIBLE BOND 540424AL2     1896  2355000 PRN      SOLE                 625000           1730000
D LOUIS DREYFUS NATURAL GAS CORP COMMON STOCK     546011107     1837   101355 SH       SOLE                  38000             63355
D LOWES CO INC                   COMMON STOCK     548661107    13641   228300 SH       SOLE                 130950             97350
D LOWES CO INC                   COMMON STOCK     548661107    80412  1345800 SH       DEFINED                               1345800
D LUCENT TECHNOLOGIES INC        COMMON STOCK     549463107   174004  2320047 SH       SOLE                 956334           1363713
D LUCENT TECHNOLOGIES INC        COMMON STOCK     549463107      300     4000 SH       DEFINED                                  4000
D LUMINANT WORLWIDE CORP         COMMON STOCK     550260103     2885    63400 SH       DEFINED                                 63400
D ***LUXOTTICA GROUP SPA         COMMON STOCK     55068R202     5812   330950 SH       SOLE                 266950             64000
D LYCOS INC                      COMMON STOCK     550818108     4241    53300 SH       SOLE                  51300              2000
D LYCOS INC                      COMMON STOCK     550818108    15173   190700 SH       DEFINED                                190700
D LYONDELL CHEMICAL CO           COMMON STOCK     552078107     2895   227020 SH       SOLE                 219120              7900
D M & T BANK CORP                COMMON STOCK     55261F104     1911     4614 SH       SOLE                   1631              2983
D MAF BANCORP INC                COMMON STOCK     55261R108      319    15225 SH       SOLE                   2175             13050
D MBIA INC                       COMMON STOCK     55262C100   119722  2266918 SH       SOLE                 743261           1523657
D MBNA CORP                      COMMON STOCK     55262L100    16760   615051 SH       SOLE                 292255            322796
D MBNA CORP                      COMMON STOCK     55262L100     2153    79000 SH       DEFINED                                 79000
D MCN CORP                       COMMON STOCK     55267J100      506    21300 SH       SOLE                                    21300
D ***MDC COMMUNICATION CORP-CL A COMMON STOCK     55267W309     1256   150000 SH       SOLE                 150000
D MCI WORLDCOM INC               COMMON STOCK     55268B106   334313  6296700 SH       SOLE                3697004           2599696
D MCI WORLDCOM INC               COMMON STOCK     55268B106   183511  3458400 SH       DEFINED                               3458400
D MDU RESOURCES GROUP INC        COMMON STOCK     552690109      802    40112 SH       SOLE                  39550               562
D MGIC INVESTMENT CORP-WIS       COMMON STOCK     552848103     5715    94950 SH       SOLE                  85650              9300
D MGIC INVESTMENT CORP-WIS       COMMON STOCK     552848103     5417    90000 SH       DEFINED                                 90000
D MGI PROPERTIES                 COMMON STOCK     552885105       68    12934 SH       SOLE                                    12934
D M I SCHOTTENSTEIN HOMES INC    COMMON STOCK     55305B101     1447    93000 SH       SOLE                                    93000
D MTI TECHNOLOGY CORP            COMMON STOCK     553903105      393    10650 SH       SOLE                  10650
D MACK-CALI REALTY CORP          COMMON STOCK     554489104     1603    61500 SH       SOLE                  23100             38400
D MACROCHEM CORP-DEL             COMMON STOCK     555903103       49    11645 SH       SOLE                    500             11145
D STEVEN MADDEN LTD              COMMON STOCK     556269108     2263   118700 SH       DEFINED                                118700
D MAGNA INTERNATIONAL INC        CORPORATE BONDS  559222AE4        9    10000 SH       SOLE                                    10000
D MAIL WELL INC                  COMMON STOCK     560321200     3851   285286 SH       SOLE                  35286            250000
D MALLINCKRODT INC  NEW          COMMON STOCK     561232109      618    19425 SH       SOLE                   3450             15975
D MANAGED HIGH INCOME PORTFOLIO  COMMON STOCK     56166C105       82    10081 SH       SOLE                  10081
D MANOR CARE INC NEW             COMMON STOCK     564055101      811    50690 SH       SOLE                                    50690
D MANPOWER INC-WISC              COMMON STOCK     56418H100      584    15534 SH       SOLE                                    15534
D MANUFACTURED HOME COMMUNITIES  COMMON STOCK     564682102     1530    62931 SH       SOLE                   6150             56781
D MARCUS CORP                    COMMON STOCK     566330106     9528   709085 SH       SOLE                  69225            639860
D MARITRANS INC                  COMMON STOCK     570363101      507    94300 SH       SOLE                  94300
D MARITRANS INC                  COMMON STOCK     570363101     1148   213600 SH       DEFINED                                213600
D MARK IV INDUSTRIES INC         COMMON STOCK     570387100    44950  2541323 SH       SOLE                 504917           2036406
D MARKETING SERVICES GROUP INC   COMMON STOCK     570907105     1549    92500 SH       DEFINED                                 92500
D MARSH & MCLENNAN COS INC       COMMON STOCK     571748102    58483   611183 SH       SOLE                 374065            237118
D MARSHALL & ILSLEY CORP         COMMON STOCK     571834100     5264    83800 SH       SOLE                  73500             10300
D MARRIOTT INTERNATIONAL INC NEW COMMON STOCK     571903202    18131   574458 SH       SOLE                 221210            353248
D MARRIOTT INTERNATIONAL INC NEW COMMON STOCK     571903202     3156   100000 SH       DEFINED                                100000
D MASCO CORP                     COMMON STOCK     574599106     7538   297050 SH       SOLE                 128600            168450
D MASTECH CORP                   COMMON STOCK     57632N105     8992   363300 SH       SOLE                 363300
D MASTECH CORP                   COMMON STOCK     57632N105     8662   350000 SH       DEFINED                                350000
D ***MATSUSHITA ELECTRIC         COMMON STOCK     576879209      239      856 SH       SOLE                    295               561
D MATTEL INC                     COMMON STOCK     577081102     6319   481443 SH       SOLE                 185886            295557
D MATTHEWS INTERNATIONAL CORP    COMMON STOCK     577128101     9638   350465 SH       SOLE                 345265              5200
D MATTHEWS INTERNATIONAL CORP    COMMON STOCK     577128101     9620   349800 SH       DEFINED                                349800
D MAXIM INTEGRATED PRODS INC     COMMON STOCK     57772K101     8734   185100 SH       SOLE                 184200               900
D MAXIM INTEGRATED PRODS INC     COMMON STOCK     57772K101    18644   395100 SH       DEFINED                                395100
D MAXYGEN INC                    COMMON STOCK     577776107      397     5589 SH       SOLE                   2975              2614
D MAY DEPARTMENT STORES CO       COMMON STOCK     577778103     4051   125625 SH       SOLE                  38382             87243
D MAVERICK TUBE CORP             COMMON STOCK     577914104     2740   111000 SH       DEFINED                                111000
D MAYTAG CORP                    COMMON STOCK     578592107    17462   363800 SH       SOLE                 363800
D MAYTAG CORP                    COMMON STOCK     578592107      653    13600 SH       DEFINED                                 13600
D MCDONALDS CORP                 COMMON STOCK     580135101   234112  5802662 SH       SOLE                3072326           2730336
D MCDONALDS CORP                 COMMON STOCK     580135101    57014  1414300 SH       DEFINED                               1414300
D MCGRAW HILL COMPANIES INC      COMMON STOCK     580645109     2993    48568 SH       SOLE                   7070             41498
D MCKESSON HBOC INC              COMMON STOCK     58155Q103     3525   156685 SH       SOLE                  73564             83121
D MEAD CORP                      COMMON STOCK     582834107    62664  1444839 SH       SOLE                1261897            182942
D MEAD CORP                      COMMON STOCK     582834107     2333    53700 SH       DEFINED                                 53700
D MEADE INSTRUMENTS CORP         COMMON STOCK     583062104     1553    54500 SH       DEFINED                                 54500
D MEDCO RESEARCH INC             COMMON STOCK     584059109      385    12800 SH       SOLE                   6900              5900
D MEDIAONE GROUP INC             COMMON STOCK     58440J104   191547  2493736 SH       SOLE                1743869            749867
D MEDIAONE GROUP INC             COMMON STOCK     58440J104      207     2700 SH       DEFINED                                  2700
D MEDICAL ACTION INDUSTRIES INC  COMMON STOCK     58449L100      215    61526 SH       SOLE                                    61526
D MEDICAL MANAGER CORP NEW       COMMON STOCK     58461U103    55045   653359 SH       SOLE                 518378            134981
D MEDICALOGIC INC                COMMON STOCK     584642102      294    14000 SH       SOLE                  14000
D MEDICALOGIC INC                COMMON STOCK     584642102      462    22000 SH       DEFINED                                 22000
D MEDIMMUNE INC                  COMMON STOCK     584699102    30043   181117 SH       SOLE                 127713             53404
D MEDIMMUNE INC                  COMMON STOCK     584699102    28472   171650 SH       DEFINED                                171650
D MEDTRONIC INC                  COMMON STOCK     585055106    28772   789636 SH       SOLE                 349278            440358
D MELLON FINL CORP               COMMON STOCK     58551A108     5939   174361 SH       SOLE                  75442             98919
D MENTOR CORP MINN               COMMON STOCK     587188103    16948   656592 SH       SOLE                 656592
D MENTOR CORP MINN               COMMON STOCK     587188103    22852   885300 SH       DEFINED                                885300
D MERCANTILE BANKSHARES CORP     COMMON STOCK     587405101      326    10200 SH       SOLE                   6600              3600
D MERCHANTS GROUP INC            COMMON STOCK     588539106      431    22100 SH       SOLE                                    22100
D MERCK & CO INC                 COMMON STOCK     589331107   249179  3708588 SH       SOLE                1437337           2271251
D MERCK & CO INC                 COMMON STOCK     589331107    68867  1025000 SH       DEFINED                               1025000
D MEREDITH CORP                  COMMON STOCK     589433101    11092   266078 SH       SOLE                 147284            118794
D MEREDITH CORP                  COMMON STOCK     589433101    15962   382900 SH       DEFINED                                382900
D MERRILL LYNCH & CO INC         COMMON STOCK     590188108    42730   512920 SH       SOLE                 152730            360190
D META GROUP INC                 COMMON STOCK     591002100     8084   425500 SH       SOLE                 425500
D META GROUP INC                 COMMON STOCK     591002100     2688   141500 SH       DEFINED                                141500
D METASOLV SOFTWARE INC          COMMON STOCK     591393103      891    10900 SH       SOLE                  10800               100
D METHODE ELECTRONICS INC CL A   COMMON STOCK     591520200    20168   627807 SH       SOLE                 624007              3800
D METHODE ELECTRONICS INC CL A   COMMON STOCK     591520200    31412   977800 SH       DEFINED                                977800
D METRIS COMPANIES INC           COMMON STOCK     591598107      353     9884 SH       SOLE                   6122              3762
D METROMEDIA FIBER NETWORK INC   COMMON STOCK     591689104    19409   404880 SH       SOLE                 345650             59230
D METROMEDIA FIBER NETWORK INC   COMMON STOCK     591689104    34903   728100 SH       DEFINED                                728100
D METROMEDIA INTERNATIONAL GROUP COMMON STOCK     591695101     1265   266300 SH       SOLE                 107000            159300
D METTLER-TOLEDO INTERNATIONAL   COMMON STOCK     592688105     2465    64556 SH       SOLE                  38456             26100
D MICROS SYSTEMS INC             COMMON STOCK     594901100      977    13200 SH       SOLE                  13200
D MICROSOFT CORP                 COMMON STOCK     594918104    83681   716754 SH       SOLE                 230185            486569
D MICROSOFT CORP                 COMMON STOCK     594918104      514     4400 SH       DEFINED                                  4400
D MICROCHIP TECHNOLOGY INC       COMMON STOCK     595017104    38872   568000 SH       DEFINED                                568000
D MICROLOG CORP                  COMMON STOCK     595079104       66    52707 SH       SOLE                                    52707
D MICROMUSE INC                  COMMON STOCK     595094103     4131    24300 SH       SOLE                  24300
D MICROMUSE INC                  COMMON STOCK     595094103    17595   103500 SH       DEFINED                                103500
D MICRON TECHNOLOGY INC          COMMON STOCK     595112103    23431   300200 SH       SOLE                 149450            150750
D MID-AMERICA APARTMENT          COMMON STOCK     59522J103      327    14450 SH       SOLE                   1550             12900
D MIDAMERICAN ENERGY HLDGS CO    COMMON STOCK     59562V107    25740   764072 SH       SOLE                 383442            380630
D MIDLAND CO                     COMMON STOCK     597486109     1075    51800 SH       SOLE                                    51800
D MILLENNIUM PHARMACEUTICALS INC COMMON STOCK     599902103      448     3670 SH       SOLE                    300              3370
D ***MILLENNIUM CHEMICALS INC    COMMON STOCK     599903101     1011    51200 SH       SOLE                  50500               700
D ***MILLENNIUM CHEMICALS INC    COMMON STOCK     599903101    49513  2507000 SH       DEFINED                               2507000
D MILLBROOK PRESS INC            COMMON STOCK     600179105       24    10500 SH       SOLE                  10500
D HERMAN MILLER INC              COMMON STOCK     600544100     5260   228700 SH       SOLE                                   228700
D MILLS CORP                     COMMON STOCK     601148109     1337    74800 SH       SOLE                  73050              1750
D MINERALS TECHNOLOGIES INC      COMMON STOCK     603158106     5171   129069 SH       SOLE                  69725             59344
D MINERALS TECHNOLOGIES INC      COMMON STOCK     603158106     1454    36300 SH       DEFINED                                 36300
D MINIMED INC                    COMMON STOCK     60365K108     6439    87900 SH       SOLE                  85750              2150
D MINIMED INC                    COMMON STOCK     60365K108    20913   285500 SH       DEFINED                                285500
D MINNESOTA MINING & MFG CO      COMMON STOCK     604059105    82351   841387 SH       SOLE                 499612            341775
D MIRAGE RESORTS INC             COMMON STOCK     60462E104    25919  1713800 SH       SOLE                1684600             29200
D MISSION WEST PPTYS INC MD      COMMON STOCK     605203108      775   100000 SH       SOLE                                   100000
D MITCHELL ENERGY & DEV CORP     COMMON STOCK     606592202    10592   480094 SH       SOLE                 138211            341883
D MITCHELL ENERGY &DEV CORP CL B COMMON STOCK     606592301    10946   507650 SH       SOLE                  77749            429901
D MOHAWK INDUSTRIES INC          COMMON STOCK     608190104      336    12750 SH       SOLE                                    12750
D MOLEX INC-CL A                 COMMON STOCK     608554200      473    10450 SH       SOLE                                    10450
D MONACO COACH CORP              COMMON STOCK     60886R103      650    25417 SH       SOLE                  25417
D MONSANTO CO                    COMMON STOCK     611662107   151029  4261842 SH       SOLE                3114477           1147365
D MONSANTO CO                    COMMON STOCK     611662107    69854  1971200 SH       DEFINED                               1971200
D MONSANTO CO - 6.25% PFD ADJ    CONVERTIBLE PREF 611662305     1002    30237 SH       SOLE                  22232              8005
D MONTANA POWER CO               COMMON STOCK     612085100     1410    39100 SH       SOLE                  37500              1600
D MONTANA POWER CO               COMMON STOCK     612085100    27822   771500 SH       DEFINED                                771500
D MOOG INC CL A                  COMMON STOCK     615394202     2612    96738 SH       SOLE                  96738
D MOOG INC CL A                  COMMON STOCK     615394202     8902   329700 SH       DEFINED                                329700
D J P MORGAN & CO INC            COMMON STOCK     616880100     8204    64787 SH       SOLE                  24015             40772
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     617446448   161660  1132468 SH       SOLE                 601146            531322
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     617446448   199536  1397800 SH       DEFINED                               1397800
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61744H105      102    15000 SH       SOLE                                    15000
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61744U106      444    37600 SH       SOLE                  18600             19000
D MORGAN STANLEY DEAN WITTER     COMMON STOCK     61745P734      149    12000 SH       SOLE                                    12000
D MOTOROLA INC                   COMMON STOCK     620076109   129550   881276 SH       SOLE                 462077            419199
D MOTOROLA INC                   COMMON STOCK     620076109    50772   344800 SH       DEFINED                                344800
D MUELLER INDUSTRIES INC         COMMON STOCK     624756102    24881   686376 SH       SOLE                 420900            265476
D MUTUAL RISK MANAGEMENT LTD     COMMON STOCK     628351108    20189  1200832 SH       SOLE                1042302            158530
D MUTUAL RISK MANAGEMENT LTD     COMMON STOCK     628351108    18827  1119800 SH       DEFINED                               1119800
D MYPOINTS.COM INC               COMMON STOCK     62855T102      735     9930 SH       SOLE                   8180              1750
D MYPOINTS.COM INC               COMMON STOCK     62855T102     5136    69400 SH       DEFINED                                 69400
D NCR CORP NEW                   COMMON STOCK     62886E108      257     6783 SH       SOLE                   3029              3754
D NN BALL & ROLLER INC           COMMON STOCK     629305103     2379   328077 SH       SOLE                 328077
D NTL INC                        COMMON STOCK     629407107   258723  2073931 SH       SOLE                 943725           1130206
D NTL INC                        COMMON STOCK     629407107    41985   336550 SH       DEFINED                                336550
D N U I CORP                     COMMON STOCK     629430109     6607   250505 SH       SOLE                 245905              4600
D N U I CORP                     COMMON STOCK     629430109     7923   300400 SH       DEFINED                                300400
D NABISCO HOLDINGS CORP-CL A     COMMON STOCK     629526104     2776    86776 SH       SOLE                  71396             15380
D NABISCO HOLDINGS CORP-CL A     COMMON STOCK     629526104    81446  2585600 SH       DEFINED                               2585600
D NABORS INDUSTRIES INC          COMMON STOCK     629568106     5577   180278 SH       SOLE                 131566             48712
D NABORS INDUSTRIES INC          COMMON STOCK     629568106    19803   640100 SH       DEFINED                                640100
D NASDAQ 100 SHARES              COMMON STOCK     631100104      224     1225 SH       SOLE                   1125               100
D NATIONAL CITY CORP             COMMON STOCK     635405103      616    26024 SH       SOLE                   3668             22356
D NATIONAL FUEL GAS CO           COMMON STOCK     636180101      729    15688 SH       SOLE                  15100               588
D NATIONAL FUEL GAS CO           COMMON STOCK     636180101     4557    98000 SH       DEFINED                                 98000
D NATIONAL HEALTH INVESTORS INC  COMMON STOCK     63633D104     1996   134196 SH       SOLE                  67879             66317
D NATIONAL HEALTH INVESTORS INC  CORPORATE BONDS  63633DAA2       53    40000 SH       SOLE                                    40000
D NATIONAL HEALTH INVESTORS INC  CONVERTIBLE BOND 63633DAB0     1100  1250000 PRN      SOLE                1100000            150000
D NATIONAL INFORMATION           COMMON STOCK     636491102     1734    54200 SH       SOLE                                    54200
D NATIONAL-OILWELL INC           COMMON STOCK     637071101    13007   829130 SH       SOLE                 813514             15616
D NATIONAL-OILWELL INC           COMMON STOCK     637071101    22727  1448712 SH       DEFINED                               1448712
D NATIONAL SEMICONDUCTOR CORP    COMMON STOCK     637640103    29947   699500 SH       SOLE                 456200            243300
D NATIONAL SEMICONDUCTOR CORP    COMMON STOCK     637640103      450    10500 SH       DEFINED                                 10500
D NATL WESTERN LIFE INS CO CL A  COMMON STOCK     638522102      618     9000 SH       SOLE                   1000              8000
D ***NATIONAL WESTMINSTER BANK   COMMON STOCK     638539403      439     3400 SH       SOLE                                     3400
D NATIONWIDE FINANCIAL SERVICES  COMMON STOCK     638612101      436    15600 SH       SOLE                   6450              9150
D NATIONWIDE FINANCIAL SERVICES  COMMON STOCK     638612101    17285   618700 SH       DEFINED                                618700
D NATIONWIDE HEALTH PROP INC     COMMON STOCK     638620104     4188   304608 SH       SOLE                 124133            180475
D NAVISTAR INTERNATIONAL CORP    COMMON STOCK     63934E108     9799   208483 SH       SOLE                 207983               500
D NAVISTAR INTERNATIONAL CORP    COMMON STOCK     63934E108      362     7700 SH       DEFINED                                  7700
D NAVISITE INC                   COMMON STOCK     63935M109     1350    13500 SH       SOLE                  12400              1100
D NEIMAN-MARCUS GROUP INC        COMMON STOCK     640204202    39869  1427075 SH       SOLE                 585773            841302
D NEIMAN-MARCUS GROUP INC        COMMON STOCK     640204301    22683   842076 SH       SOLE                 334988            507088
D NETEGRITY INC                  COMMON STOCK     64110P107      518     9105 SH       SOLE                   7625              1480
D NETEGRITY INC                  COMMON STOCK     64110P107     3485    61200 SH       DEFINED                                 61200
D NETOPIA INC                    COMMON STOCK     64114K104     1888    34756 SH       SOLE                   2600             32156
D NETOPIA INC                    COMMON STOCK     64114K104     3769    69400 SH       DEFINED                                 69400
D NETRO CORPORATION              COMMON STOCK     64114R109     2504    49100 SH       SOLE                  41000              8100
D NETIQ CORP                     COMMON STOCK     64115P102      536    10300 SH       SOLE                   9600               700
D NETWORK APPLIANCE INC          COMMON STOCK     64120L104     8157    98200 SH       SOLE                  97800               400
D NETWORK APPLIANCE INC          COMMON STOCK     64120L104    31115   374600 SH       DEFINED                                374600
D NETWORK PLUS CORP              COMMON STOCK     64122D506     2659   126600 SH       DEFINED                                126600
D NETZEE INC                     COMMON STOCK     64122W108     2555   153700 SH       DEFINED                                153700
D NEUBERGER BERMAN INC.          COMMON STOCK     641234109   107416  4318244 SH       SOLE                  46200           4272044
D NEW CENTURY ENERGIES INC       COMMON STOCK     64352U103      344    11323 SH       SOLE                   4711              6612
D NEW FRONTIER MEDIA INC         COMMON STOCK     644398109       42    10000 SH       SOLE                                    10000
D NEW PLAN EXCEL REALTY TRUST    COMMON STOCK     648053106     4448   281308 SH       SOLE                  89162            192146
D NEW YORK HEALTH CARE INC       COMMON STOCK     649487105       18    10000 SH       SOLE                                    10000
D NEW YORK TIMES CO-CL A         COMMON STOCK     650111107     9080   184828 SH       SOLE                  43960            140868
D NEWELL RUBBERMAID INC          COMMON STOCK     651229106     4745   163636 SH       SOLE                  38807            124829
D NEWFIELD EXPLORATION CO        COMMON STOCK     651290108     1011    37776 SH       SOLE                  31162              6614
D NEWPARK RESOURCES INC NEW      COMMON STOCK     651718504     7621  1244194 SH       SOLE                 681980            562214
D NEWPORT NEWS SHIPBUILDING INC  COMMON STOCK     652228107    22352   812791 SH       SOLE                 782591             30200
D NEWPORT NEWS SHIPBUILDING INC  COMMON STOCK     652228107    32508  1182100 SH       DEFINED                               1182100
D ***NEWS CORP LTD-ADR NEW       COMMON STOCK     652487703     3984   104146 SH       SOLE                   8801             95345
D NEXTEL COMMUNICATIONS INC-CL A COMMON STOCK     65332V103    82390   798930 SH       SOLE                 724674             74256
D NEXTEL COMMUNICATIONS INC-CL A COMMON STOCK     65332V103    42343   410600 SH       DEFINED                                410600
D NEXT LEVEL COMMUNICATIONS INC  COMMON STOCK     65333U104     1101    14700 SH       SOLE                  14700
D NEXT LEVEL COMMUNICATIONS INC  COMMON STOCK     65333U104     4380    58500 SH       DEFINED                                 58500
D NFRONT INC                     COMMON STOCK     65334N109     2098   104900 SH       DEFINED                                104900
D NIAGARA MOHAWK HOLDINGS INC    COMMON STOCK     653520106    10533   755700 SH       SOLE                 749600              6100
D NIAGARA MOHAWK HOLDINGS INC    COMMON STOCK     653520106      396    28400 SH       DEFINED                                 28400
D ***NICE SYSTEMS LTD            COMMON STOCK     653656108      584    11870 SH       SOLE                  11870
D NICOR INC                      COMMON STOCK     654086107      326    10034 SH       SOLE                   6300              3734
D NICOR INC                      COMMON STOCK     654086107     2935    90300 SH       DEFINED                                 90300
D NIKE INC-CL B                  COMMON STOCK     654106103    64849  1308435 SH       SOLE                1045588            262847
D 99 CENTS ONLY STORES           COMMON STOCK     65440K106    13625   356211 SH       SOLE                 356211
D 99 CENTS ONLY STORES           COMMON STOCK     65440K106    20692   540968 SH       DEFINED                                540968
D ***NIPPON TELEGRAPH &          COMMON STOCK     654624105     4188    48630 SH       SOLE                  35230             13400
D ***NIPPON TELEGRAPH &          COMMON STOCK     654624105    45732   531000 SH       DEFINED                                531000
D NOBLE AFFILIATES INC           COMMON STOCK     654894104     1849    86229 SH       SOLE                  49300             36929
D ***NOKIA CORP-SPONSORED ADR    COMMON STOCK     654902204   137397   719120 SH       SOLE                 203557            515563
D ***NOKIA CORP-SPONSORED ADR    COMMON STOCK     654902204     4624    24200 SH       DEFINED                                 24200
D NOBLE DRILLING CORP            COMMON STOCK     655042109    10881   332248 SH       SOLE                 330700              1548
D NOBLE DRILLING CORP            COMMON STOCK     655042109      367    11200 SH       DEFINED                                 11200
D NOLAND CO                      COMMON STOCK     655286102      315    17611 SH       SOLE                   3750             13861
D NORDSTROM INC                  COMMON STOCK     655664100     1381    52500 SH       SOLE                  18300             34200
D NORFOLK SOUTHERN CORP          COMMON STOCK     655844108     1283    62580 SH       SOLE                  11850             50730
D NORTEK INC-W/RTS               COMMON STOCK     656559101    22435   801250 SH       SOLE                  49300            751950
D NORTEL NETWORKS CORP           COMMON STOCK     656569100    19181   189910 SH       SOLE                  38260            151650
D NORTEL NETWORKS CORP           COMMON STOCK     656569100    10524   104200 SH       DEFINED                                104200
D NORTH EUROPEAN OIL ROYALTY     COMMON STOCK     659310106      320    21700 SH       SOLE                                    21700
D NORTH FORK BANCORPORATION INC  COMMON STOCK     659424105     3379   194488 SH       SOLE                  73273            121215
D NORTHEAST PENNSYLVANIA         COMMON STOCK     663905107      450    45000 SH       SOLE                  45000
D NORTHERN TRUST CORP            COMMON STOCK     665859104    36225   683495 SH       SOLE                 620395             63100
D NORTHPOINT COMMUNICATIONS      COMMON STOCK     666610100      206     8598 SH       SOLE                     50              8548
D NORTHWEST AIRLINES CORP        COMMON STOCK     667280101      231    10400 SH       SOLE                  10400
D NOVA CORP-GA                   COMMON STOCK     669784100      233     7383 SH       SOLE                   2063              5320
D NOVELL INC                     COMMON STOCK     670006105     9635   241250 SH       SOLE                 161090             80160
D NOVELL INC                     COMMON STOCK     670006105    59491  1489600 SH       DEFINED                               1489600
D NOVELLUS SYSTEMS INC           COMMON STOCK     670008101     1054     8600 SH       SOLE                   8000               600
D NUCOR CORP                     COMMON STOCK     670346105      221     4026 SH       SOLE                                     4026
D NUEVO ENERGY CO                COMMON STOCK     670509108     3756   200311 SH       SOLE                                   200311
D NUVEEN NY MUNICIPAL VALUE      COMMON STOCK     67062M105      130    16700 SH       SOLE                  14200              2500
D OHM CORP CONV SUB DEB-REG-     CORPORATE BONDS  670839AA7       84    96000 SH       SOLE                  96000
D OM GROUP INC                   COMMON STOCK     670872100      470    13650 SH       SOLE                   1800             11850
D OSI PHARMACEUTICALS INC        COMMON STOCK     671040103      117    14700 SH       SOLE                   1600             13100
D OCEAN ENERGY INC TEX (NEW)     COMMON STOCK     67481E106     3638   469360 SH       SOLE                 113616            355744
D OCEANEERING INTERNATIONAL INC  COMMON STOCK     675232102     9650   646044 SH       SOLE                 640544              5500
D OCEANEERING INTERNATIONAL INC  COMMON STOCK     675232102    11926   798400 SH       DEFINED                                798400
D OCEANFIRST FINANCIAL COR       COMMON STOCK     675234108     8187   472890 SH       SOLE                 472890
D OCEANFIRST FINANCIAL COR       COMMON STOCK     675234108     5246   303000 SH       DEFINED                                303000
D OFFICE DEPOT INC               COMMON STOCK     676220106    10675   970435 SH       SOLE                 206700            763735
D OFFSHORE LOGISTICS INC         COMMON STOCK     676255102     6556   699327 SH       SOLE                 699327
D OFFSHORE LOGISTICS INC         COMMON STOCK     676255102     7328   781600 SH       DEFINED                                781600
D OLD REPUBLIC INTL CORP         COMMON STOCK     680223104      628    46064 SH       SOLE                  18999             27065
D OMNICOM GROUP INC              COMMON STOCK     681919106    11406   114060 SH       SOLE                  35740             78320
D OMEGA HELATHCARE INVESTORS INC CONVERTIBLE BOND 681936AG5      428   500000 PRN      SOLE                 500000
D OMNOVA SOLUTIONS INC           COMMON STOCK     682129101     1460   188418 SH       SOLE                  15000            173418
D OMNIPOINT CORP                 COMMON STOCK     68212D102     2374    19682 SH       SOLE                   1100             18582
D ONEIDA LTD                     COMMON STOCK     682505102      218    10000 SH       SOLE                  10000
D ONEOK INC (NEW)                COMMON STOCK     682680103      429    17088 SH       SOLE                  17088
D OPTICAL COATING LABORATORY INC COMMON STOCK     683829105      222      750 SH       SOLE                    750
D ORACLE CORP                    COMMON STOCK     68389X105    57689   514795 SH       SOLE                 281117            233678
D ORACLE CORP                    COMMON STOCK     68389X105    69613   621200 SH       DEFINED                                621200
D ORBITAL SCIENCES CORP          COMMON STOCK     685564106    11677   629045 SH       SOLE                 351630            277415
D ORGANOGENESIS INC              COMMON STOCK     685906109      130    15018 SH       SOLE                   1737             13281
D OSICOM TECHNOLOGIES INC-NEW    COMMON STOCK     688271501     3067    67600 SH       DEFINED                                 67600
D OTTER TAIL POWER CO            COMMON STOCK     689648103     2840    75734 SH       SOLE                  75734
D OTTER TAIL POWER CO            COMMON STOCK     689648103     6566   175100 SH       DEFINED                                175100
D OWENS & MINOR INC HOLDING CO   COMMON STOCK     690732102     2525   282500 SH       SOLE                  54900            227600
D OWENS ILLINOIS INC NEW         COMMON STOCK     690768403    43202  1722378 SH       SOLE                1346425            375953
D OWENS ILLINOIS INC             CONVERTIBLE PREF 690768502      414    13250 SH       SOLE                   3850              9400
D OXFORD HEALTH PLANS INC        COMMON STOCK     691471106      225    17760 SH       SOLE                  15260              2500
D PC-TEL INC                     COMMON STOCK     69325Q105     3832    73000 SH       DEFINED                                 73000
D PECO ENERGY CO                 COMMON STOCK     693304107      403    11600 SH       SOLE                   6600              5000
D PG&E CORP                      COMMON STOCK     69331C108      395    16708 SH       SOLE                  10130              6578
D PE CORP                        COMMON STOCK     69332S102    82364   684587 SH       SOLE                 241300            443287
D PE CORP                        COMMON STOCK     69332S102    38380   319000 SH       DEFINED                                319000
D PE CORP                        COMMON STOCK     69332S201    13062    87666 SH       SOLE                  47200             40466
D PIMCO ADVISORS HOLDINGS LP     COMMON STOCK     69338P102     1077    28576 SH       SOLE                  25741              2835
D PMC-SIERRA INC                 COMMON STOCK     69344F106    12264    76500 SH       SOLE                  75500              1000
D PMC-SIERRA INC                 COMMON STOCK     69344F106    37080   231300 SH       DEFINED                                231300
D PNC BANK CORP                  COMMON STOCK     693475105     2319    52126 SH       SOLE                  29396             22730
D PPG INDUSTRIES INC             COMMON STOCK     693506107      384     6140 SH       SOLE                    300              5840
D PS GROUP HOLDINGS INC          COMMON STOCK     693622102     1404   124825 SH       SOLE                  76700             48125
D PACIFIC GULF PROPERTIES INC    COMMON STOCK     694396102      356    17600 SH       SOLE                   1700             15900
D PACIFICARE HEALTH SYSTEMS INC  COMMON STOCK     695112102    25934   489273 SH       SOLE                 211294            277979
D PALL CORP                      COMMON STOCK     696429307     8266   383369 SH       SOLE                 100640            282729
D ***PAN AMERICAN SILVER CORP    FOREIGN COMMON S 697900108       66    12512 SH       SOLE                                    12512
D PANAMSAT CORP NEW              COMMON STOCK     697933109     3954    66600 SH       SOLE                  55000             11600
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100    25387   938082 SH       SOLE                 914982             23100
D PARAMETRIC TECHNOLOGY CORP     COMMON STOCK     699173100    94979  3509600 SH       DEFINED                               3509600
D PARK PLACE ENTERTAINMENT CORP  COMMON STOCK     700690100     4999   399928 SH       SOLE                 382328             17600
D PARK PLACE ENTERTAINMENT CORP  COMMON STOCK     700690100    15469  1237500 SH       DEFINED                               1237500
D PARKER HANNIFIN CORP           COMMON STOCK     701094104      420     8179 SH       SOLE                                     8179
D PATTERSON DENTAL COMPANY       COMMON STOCK     703412106    13193   309505 SH       SOLE                 309505
D PATTERSON DENTAL COMPANY       COMMON STOCK     703412106    16622   389950 SH       DEFINED                                389950
D PATTERSON ENERGY INC           COMMON STOCK     703414102      402    30900 SH       SOLE                  24900              6000
D PAXAR CORP                     COMMON STOCK     704227107      482    57083 SH       SOLE                  24715             32368
D PAYCHEX INC                    COMMON STOCK     704326107     5008   125190 SH       SOLE                 115285              9905
D PAYLESS SHOESOURCE INC         COMMON STOCK     704379106      280     5956 SH       SOLE                   1553              4403
D PEERLESS SYSTEMS CORP          COMMON STOCK     705536100     1829   236000 SH       DEFINED                                236000
D PEGASUS COMMUNICATIONS CORP    COMMON STOCK     705904100     2043    20900 SH       DEFINED                                 20900
D PEGASUS SYSTEMS INC            COMMON STOCK     705906105     1230    20400 SH       DEFINED                                 20400
D PENN-AMERICA GROUP INC         COMMON STOCK     707247102      773    99800 SH       SOLE                  99800
D J C PENNEY CO INC              COMMON STOCK     708160106      311    11523 SH       SOLE                   5700              5823
D PENTAIR INC                    COMMON STOCK     709631105     2285    59360 SH       SOLE                  34850             24510
D PEOPLES BANK-BRIDGEPORT CONN   COMMON STOCK     710198102      306    14504 SH       SOLE                                    14504
D PEOPLES HERITAGE FINANCIAL     COMMON STOCK     711147108     8847   587341 SH       SOLE                 468941            118400
D PEOPLES HERITAGE FINANCIAL     COMMON STOCK     711147108    16995  1128300 SH       DEFINED                               1128300
D PEOPLESOFT INC                 COMMON STOCK     712713106      980    45960 SH       SOLE                  40200              5760
D PEPSICO INC                    COMMON STOCK     713448108    39928  1132699 SH       SOLE                 449379            683320
D PEREGRINE SYSTEMS INC          COMMON STOCK     71366Q101     9820   116650 SH       SOLE                 115700               950
D PEREGRINE SYSTEMS INC          COMMON STOCK     71366Q101    34677   411900 SH       DEFINED                                411900
D ***PERUSAHAAN PERSEROAN        COMMON STOCK     715684106      417    37918 SH       SOLE                  37918
D PHARMACIA & UPJOHN INC         COMMON STOCK     716941109      856    19026 SH       SOLE                   6149             12877
D PFIZER INC                     COMMON STOCK     717081103   210482  6488856 SH       SOLE                2058041           4430815
D PHELPS DODGE CORP              COMMON STOCK     717265102     2743    40716 SH       SOLE                  40500               216
D PHELPS DODGE CORP              COMMON STOCK     717265102    14688   218000 SH       DEFINED                                218000
D PHILADELPHIA SUBURBAN CORP-NEW COMMON STOCK     718009608      500    24190 SH       SOLE                  10690             13500
D PHILIP MORRIS COMPANIES INC    COMMON STOCK     718154107    25129  1092100 SH       SOLE                 471840            620260
D PHILIP MORRIS COMPANIES INC    COMMON STOCK     718154107    38100  1656500 SH       DEFINED                               1656500
D PHILLIPS PETROLEUM CO          COMMON STOCK     718507106      765    16282 SH       SOLE                   6600              9682
D PHONE.COM INC                  COMMON STOCK     71920Q100     2220    19150 SH       SOLE                  15400              3750
D PHONE.COM INC                  COMMON STOCK     71920Q100     4777    41200 SH       DEFINED                                 41200
D PHOTRONICS INC                 COMMON STOCK     719405102    30629  1070000 SH       DEFINED                               1070000
D PHYCOR INC                     COMMON STOCK     71940F100       25    13078 SH       SOLE                                    13078
D PIEDMONT NATURAL GAS CO INC    COMMON STOCK     720186105     1003    33300 SH       SOLE                  33300
D PILGRIM FD                     COMMON STOCK     72146W103      856   107035 SH       SOLE                  26885             80150
D PILOT NETWORK SERVICES INC     COMMON STOCK     721596104     1750    72900 SH       SOLE                  72900
D PINNACLE HOLDINGS INC          COMMON STOCK     72346N101      531    12525 SH       SOLE                  10575              1950
D PINNACLE HOLDINGS INC          COMMON STOCK     72346N101     3784    89300 SH       DEFINED                                 89300
D PITNEY BOWES INC               COMMON STOCK     724479100     1188    24600 SH       SOLE                  19500              5100
D PITTWAY CORP-DEL-CL A          COMMON STOCK     725790208      363     8100 SH       SOLE                                     8100
D PLANTRONICS INC NEW            COMMON STOCK     727493108    13962   195097 SH       SOLE                 131632             63465
D PLANTRONICS INC NEW            COMMON STOCK     727493108     2183    30500 SH       DEFINED                                 30500
D PLAYERS INTERNATIONAL INC      COMMON STOCK     727903106       82    10000 SH       SOLE                                    10000
D PLEXUS CORP                    COMMON STOCK     729132100      805    18300 SH       SOLE                  18300
D PLUM CREEK TIMBER CO INC       COMMON STOCK     729251108      330    13200 SH       SOLE                  12600               600
D POLO RALPH LAUREN CORP-CL A    COMMON STOCK     731572103     2142   125550 SH       SOLE                  93350             32200
D POLYCOM INC                    COMMON STOCK     73172K104     3229    50700 SH       SOLE                    500             50200
D POLYMER GROUP INC              COMMON STOCK     731745105      612    33550 SH       SOLE                   1800             31750
D POPE & TALBOT INC              COMMON STOCK     732827100      240    15000 SH       SOLE                  15000
D POPE RESOURCES-A DELAWARE LP   COMMON STOCK     732857107      263     9000 SH       SOLE                                     9000
D PORTAL SOFTWARE INC            COMMON STOCK     736126103     4700    45690 SH       SOLE                  25800             19890
D PORTAL SOFTWARE INC            COMMON STOCK     736126103    10637   103400 SH       DEFINED                                103400
D POST PROPERTIES INC            COMMON STOCK     737464107     1255    32800 SH       SOLE                  13400             19400
D PRAXAIR INC                    COMMON STOCK     74005P104    26643   531590 SH       SOLE                 490480             41110
D PRAXAIR INC                    COMMON STOCK     74005P104    89888  1786600 SH       DEFINED                               1786600
D ***PREMIER FARNELL PLC         COMMON STOCK     74050U107     7883   568150 SH       SOLE                  84300            483850
D PREMIER NATIONAL BANCORP INC   COMMON STOCK     74053F107      190    10309 SH       SOLE                   4303              6006
D PRESIDENTIAL LIFE CORP         COMMON STOCK     740884101      388    21106 SH       SOLE                  18550              2556
D PREVIEW TRAVEL INC             COMMON STOCK     74137R101      996    19100 SH       SOLE                  15000              4100
D PRIME RETAIL INC               COMMON STOCK     741570105       75    13250 SH       SOLE                  10650              2600
D PRIMEDIA INC                   COMMON STOCK     74157K101      924    56025 SH       SOLE                  28300             27725
D PRIMEX TECHNOLOGIES INC        COMMON STOCK     741597108    10528   507361 SH       SOLE                 494661             12700
D PRIMEX TECHNOLOGIES INC        COMMON STOCK     741597108    15598   751700 SH       DEFINED                                751700
D PRIMARK CORP                   COMMON STOCK     741903108    15643   562431 SH       SOLE                 246034            316397
D PRIME HOSPITALITY CORP         COMMON STOCK     741917108    22068  2504186 SH       SOLE                1087951           1416235
D PRIME HOSPITALITY CORP         COMMON STOCK     741917108     7323   831000 SH       DEFINED                                831000
D PRIDE INTERNATIONAL INC        COMMON STOCK     741932107     9473   647702 SH       SOLE                 647702
D PRIDE INTERNATIONAL INC        COMMON STOCK     741932107    11222   767300 SH       DEFINED                                767300
D PRISON REALTY TRUST INC        COMMON STOCK     74264N105     1687   333300 SH       SOLE                  96600            236700
D PRIORITY HEALTHCARE CORP-CL B  COMMON STOCK     74264T102     2136    73800 SH       DEFINED                                 73800
D PROCTER & GAMBLE CO            COMMON STOCK     742718109   188318  1718805 SH       SOLE                 865824            852981
D PROGRESSIVE CORP-OHIO-         COMMON STOCK     743315103     7924   108363 SH       SOLE                  42102             66261
D PROGRESSIVE CORP-OHIO-         COMMON STOCK     743315103    41846   572250 SH       DEFINED                                572250
D PROJECT SOFTWARE & DEVELOPMENT COMMON STOCK     74339P101     2292    41300 SH       SOLE                  11350             29950
D PROJECT SOFTWARE & DEVELOPMENT COMMON STOCK     74339P101     2181    39300 SH       DEFINED                                 39300
D PROVANT INC                    COMMON STOCK     743724106      235     9300 SH       SOLE                   7850              1450
D PROVANT INC                    COMMON STOCK     743724106      990    39200 SH       DEFINED                                 39200
D PROVIDENCE & WORCESTER         COMMON STOCK     743737108      120    15000 SH       SOLE                   5000             10000
D PROVIDENT AMERICAN CORP        COMMON STOCK     743832107     9592   272598 SH       SOLE                 259700             12898
D PROVIDIAN FINANCIAL CORP       COMMON STOCK     74406A102     8259    90700 SH       SOLE                  76185             14515
D PROVIDIAN FINANCIAL CORP       COMMON STOCK     74406A102   151665  1665500 SH       DEFINED                               1665500
D PSINET INC                     COMMON STOCK     74437C101    24174   391475 SH       SOLE                 271025            120450
D PSINET INC                     COMMON STOCK     74437C101    24712   400200 SH       DEFINED                                400200
D PSINET INC                     CONVERTIBLE PREF 74437C309      537     9200 SH       SOLE                   1250              7950
D PUBLIC SERVICE ENTERPRISE      COMMON STOCK     744573106     1377    39557 SH       SOLE                  10085             29472
D PULITZER INC                   COMMON STOCK     745769109     2044    50706 SH       SOLE                  50106               600
D PULTE CORP                     COMMON STOCK     745867101      225    10000 SH       SOLE                  10000
D PURCHASEPRO.COM INC            COMMON STOCK     746144104     2482    18050 SH       SOLE                  18050
D PURCHASEPRO.COM INC            COMMON STOCK     746144104     9508    69150 SH       DEFINED                                 69150
D PUTNAM PREMIER INCOME TRUST    COMMON STOCK     746853100      938   154800 SH       SOLE                  16000            138800
D ***QLT PHOTOTHERAPEUTICS INC   COMMON STOCK     746927102     4800    81700 SH       SOLE                  80000              1700
D ***QLT PHOTOTHERAPEUTICS INC   COMMON STOCK     746927102    17872   304200 SH       DEFINED                                304200
D QLOGIC CORP                    COMMON STOCK     747277101     2542    15900 SH       SOLE                  15900
D QLOGIC CORP                    COMMON STOCK     747277101      863     5400 SH       DEFINED                                  5400
D QUAKER OATS CO                 COMMON STOCK     747402105      276     4200 SH       SOLE                                     4200
D QUALCOMM INC                   COMMON STOCK     747525103    21985   124825 SH       SOLE                 103280             21545
D QUANTA SERVICES INC            COMMON STOCK     74762E102      421    14900 SH       SOLE                   1000             13900
D QUANTA SERVICES INC            COMMON STOCK     74762E102     2373    84000 SH       DEFINED                                 84000
D QUANTUM CORP DSSG COM          COMMON STOCK     747906204    38806  2565880 SH       SOLE                2053550            512330
D QUANTUM CORP DSSG COM          COMMON STOCK     747906204     2650   175200 SH       DEFINED                                175200
D QUANTUM CORP                   CONVERTIBLE BOND 747906AC9      562   740000 PRN      SOLE                 125000            615000
D QUEENS COUNTY BANCORP INC      COMMON STOCK     748242104     1037    38247 SH       SOLE                                    38247
D QUORUM HEALTH GROUP INC        COMMON STOCK     749084109      508    54500 SH       SOLE                  53500              1000
D QWEST COMMUNICATIONS           COMMON STOCK     749121109     7736   179896 SH       SOLE                  85700             94196
D R & B FALCON CORP              COMMON STOCK     74912E101      142    10700 SH       SOLE                   2000              8700
D RCN CORP                       COMMON STOCK     749361101    22583   465620 SH       SOLE                 310210            155410
D RFS HOTEL INVESTORS INC        COMMON STOCK     74955J108      209    20000 SH       SOLE                                    20000
D R H DONNELLEY CORP (NEW)       COMMON STOCK     74955W307    12023   636997 SH       SOLE                 313006            323991
D RLI CORP                       COMMON STOCK     749607107      504    14825 SH       SOLE                   9500              5325
D RPM INC-OHIO                   COMMON STOCK     749685103      365    35831 SH       SOLE                  26600              9231
D RMH TELESERVICES INC           COMMON STOCK     749938106      316    50000 SH       SOLE                                    50000
D RADIANT SYSTEMS INC            COMMON STOCK     75025N102     2271    56500 SH       DEFINED                                 56500
D RAMBUS INC                     COMMON STOCK     750917106      352     5224 SH       SOLE                    850              4374
D RALSTON-RALSTON PURINA GROUP   COMMON STOCK     751277302    72490  2600530 SH       SOLE                1752290            848240
D ***RANGER OIL LTD              COMMON STOCK     752805101      815   260800 SH       SOLE                  51100            209700
D RARE MEDIUM GROUP INC          COMMON STOCK     75382N109     2984    87450 SH       SOLE                  31550             55900
D RATIONAL SOFTWARE CORP NEW     COMMON STOCK     75409P202     7167   145895 SH       SOLE                 144895              1000
D RATIONAL SOFTWARE CORP NEW     COMMON STOCK     75409P202   168204  3424000 SH       DEFINED                               3424000
D RAVISENT TECHNOLOGIES INC      COMMON STOCK     754440105     1968    51200 SH       DEFINED                                 51200
D RAYMOND JAMES FINANCIAL INC    COMMON STOCK     754730109      586    31450 SH       SOLE                  31450
D RAYTHEON CO-CL A               COMMON STOCK     755111309     2986   113189 SH       SOLE                  83946             29243
D RAYTHEON CO-CL B               COMMON STOCK     755111408     2215    83405 SH       SOLE                  43465             39940
D READ RITE CORP                 CONVERTIBLE BOND 755246AA3      199   550000 PRN      SOLE                 550000
D READERS DIGEST ASSOCIATION INC COMMON STOCK     755267101     1911    65350 SH       SOLE                  54100             11250
D READERS DIGEST AUTOMATIC COM   COMMON STOCK     755271202     4721   174050 SH       SOLE                 133450             40600
D REALNETWORKS INC               COMMON STOCK     75605L104     2227    18508 SH       SOLE                   9400              9108
D RECKSON ASSOCS RLTY CORP       COMMON STOCK     75621K304      389    17097 SH       SOLE                   3715             13382
D RED HAT INC                    COMMON STOCK     756577102      232     1100 SH       SOLE                    900               200
D REDBACK NETWORK INC            COMMON STOCK     757209101     2052    11559 SH       SOLE                    400             11159
D REFAC                          COMMON STOCK     758653109       40    10000 SH       SOLE                                    10000
D REGIS CORP-MINN                COMMON STOCK     758932107      425    22500 SH       SOLE                  22500
D REGIONS FINANCIAL CORP         COMMON STOCK     758940100      707    28156 SH       SOLE                    800             27356
D RELIANCE GROUP HLDGS INC       COMMON STOCK     759464100     3583   540787 SH       SOLE                 158610            382177
D RELIANT ENERGY INC             COMMON STOCK     75952J108      424    18523 SH       SOLE                   7398             11125
D RELIASTAR FINANCIAL CORP       COMMON STOCK     75952U103   108914  2779311 SH       SOLE                 767353           2011958
D RELIASTAR FINANCIAL CORP       COMMON STOCK     75952U103     2986    76200 SH       DEFINED                                 76200
D ***REPSOL SA-SPONSORED ADR     COMMON STOCK     76026T205      565    24300 SH       SOLE                  17100              7200
D REPUBLIC NEW YORK CORP         COMMON STOCK     760719104      592     8220 SH       SOLE                   2100              6120
D REPUBLIC SERVICES INC          COMMON STOCK     760759100    16667  1169600 SH       SOLE                 800800            368800
D REPUBLIC SERVICES INC          COMMON STOCK     760759100    60950  4277200 SH       DEFINED                               4277200
D RESOURCE ASSET INVESTMENT      COMMON STOCK     761196104      299    27650 SH       SOLE                   5700             21950
D RESPIRONICS INC                COMMON STOCK     761230101     3257   408661 SH       SOLE                 408661
D ***REUTERS GROUP PLC           COMMON STOCK     76132M102      861    10652 SH       SOLE                   4426              6226
D REX STORES CORP                COMMON STOCK     761624105     2740    78300 SH       DEFINED                                 78300
D REYNOLDS & REYNOLDS COMPANY    COMMON STOCK     761695105    39498  1755448 SH       SOLE                 328200           1427248
D REYNOLDS METALS CO             COMMON STOCK     761763101    12385   161632 SH       SOLE                 154500              7132
D REYNOLDS METALS CO             COMMON STOCK     761763101      444     5800 SH       DEFINED                                  5800
D RITE AID CORP                  COMMON STOCK     767754104     1653   148916 SH       SOLE                  91650             57266
D RITE AID CORP                  CONVERTIBLE BOND 767754AL8      171   250000 PRN      SOLE                  90000            160000
D ROBBINS & MYERS INC            COMMON STOCK     770196103     5595   247300 SH       SOLE                 247300
D ROCKWELL INTERNATIONAL CORP    COMMON STOCK     773903109     2202    46003 SH       SOLE                  15418             30585
D *** ROGERS COMMUNICATIONS INC  COMMON STOCK     775109200      641    25900 SH       SOLE                                    25900
D ROHM & HAAS CO                 COMMON STOCK     775371107    31548   775373 SH       SOLE                 664814            110559
D ROLLINS TRUCK LEASING CORP     COMMON STOCK     775741101    61244  5130418 SH       SOLE                1422294           3708124
D ROPER INDUSTRIES INC NEW       COMMON STOCK     776696106    14803   391492 SH       SOLE                 303455             88037
D ROPER INDUSTRIES INC NEW       COMMON STOCK     776696106     8058   213100 SH       DEFINED                                213100
D ROWAN COMPANIES INC W/RTS      COMMON STOCK     779382100     3945   181894 SH       SOLE                 128764             53130
D THE ROWE COMPANIES             COMMON STOCK     779528108      368    43670 SH       SOLE                                    43670
D ROYAL APPLIANCE MFG CO         COMMON STOCK     780076105      554   113600 SH       SOLE                                   113600
D ***ROYAL DUTCH PETROLEUM CO    COMMON STOCK     780257804    39984   660217 SH       SOLE                 246897            413320
D ***ROYAL DUTCH PETROLEUM CO    COMMON STOCK     780257804    35247   582000 SH       DEFINED                                582000
D RUDDICK CORP                   COMMON STOCK     781258108    11315   730026 SH       SOLE                 711726             18300
D RUDDICK CORP                   COMMON STOCK     781258108    17310  1116800 SH       DEFINED                               1116800
D RYDER SYSTEM INC               COMMON STOCK     783549108      399    16310 SH       SOLE                  15510               800
D SBC COMMUNICATIONS INC         COMMON STOCK     78387G103    26625   546160 SH       SOLE                 202810            343350
D SBC COMMUNICATIONS INC         COMMON STOCK     78387G103    84747  1738400 SH       DEFINED                               1738400
D SCI SYSTEMS INC                COMMON STOCK     783890106    10734   130606 SH       SOLE                  87906             42700
D SCI SYSTEMS INC                COMMON STOCK     783890106    83322  1013800 SH       DEFINED                               1013800
D SFX ENTERTAINMENT INC-CL A     COMMON STOCK     784178105     6804   188015 SH       SOLE                 154695             33320
D SLM HOLDING CORP               COMMON STOCK     78442A109    92040  2177963 SH       SOLE                1853261            324702
D SLM HOLDING CORP               COMMON STOCK     78442A109    79193  1874400 SH       DEFINED                               1874400
D SM&A CORPORATION               COMMON STOCK     784432106      997   162700 SH       SOLE                 162700
D STANDARD & POORS DEPOSITARY    COMMON STOCK     78462F103     9047    61595 SH       SOLE                  60580              1015
D SOS STAFFING SERVICES INC      COMMON STOCK     78462X104     1872   427839 SH       SOLE                 410839             17000
D SOS STAFFING SERVICES INC      COMMON STOCK     78462X104     3454   789400 SH       DEFINED                                789400
D SPX CORP                       COMMON STOCK     784635104    17071   211244 SH       SOLE                 208729              2515
D SPX CORP                       COMMON STOCK     784635104      606     7500 SH       DEFINED                                  7500
D S1 CORP                        COMMON STOCK     78463B101     3469    44400 SH       SOLE                  44400
D S1 CORP                        COMMON STOCK     78463B101    13250   169600 SH       DEFINED                                169600
D SABRE HOLDINGS CORP CL A       COMMON STOCK     785905100    42583   830881 SH       SOLE                 471250            359631
D SAFECO CORP                    COMMON STOCK     786429100      214     8605 SH       SOLE                   1155              7450
D SAFEGUARD SCIENTIFICS INC      COMMON STOCK     786449108     9136    56050 SH       SOLE                  54600              1450
D SAFEGUARD SCIENTIFICS INC      COMMON STOCK     786449108    27351   167800 SH       DEFINED                                167800
D SAFETY-KLEEN CORP              COMMON STOCK     78648R203     6253   552725 SH       SOLE                 425075            127650
D SAFEWAY INC                    COMMON STOCK     786514208    17005   475675 SH       SOLE                 167450            308225
D SAFEWAY INC                    COMMON STOCK     786514208     1491    41700 SH       DEFINED                                 41700
D ST JOE CO                      COMMON STOCK     790148100      401    16500 SH       SOLE                  16500
D ST JUDE MEDICAL INC            COMMON STOCK     790849103      423    13773 SH       SOLE                   5950              7823
D ***ST LAURENT PAPERBOARD INC   FOREIGN COMMON S 790907109      262    20000 SH       SOLE                  20000
D ST PAUL COMPANIES INC          COMMON STOCK     792860108      563    16708 SH       SOLE                   6735              9973
D SAKS INC                       COMMON STOCK     79377W108      791    50820 SH       SOLE                                    50820
D SANMINA CORP                   COMMON STOCK     800907107    12474   124900 SH       SOLE                 124900
D SANMINA CORP                   COMMON STOCK     800907107    32919   329600 SH       DEFINED                                329600
D SANTA FE SNYDER CORP           COMMON STOCK     80218K105    10192  1274006 SH       SOLE                 172510           1101496
D ***SAP AG-SPONSORED ADR        COMMON STOCK     803054204    16543   317755 SH       SOLE                 115225            202530
D SARA LEE CORP                  COMMON STOCK     803111103    21459   972648 SH       SOLE                 448035            524613
D SARA LEE CORP                  COMMON STOCK     803111103     1465    66400 SH       DEFINED                                 66400
D SAWTEK INC                     COMMON STOCK     805468105     1950    29300 SH       DEFINED                                 29300
D SCHERING PLOUGH CORP           COMMON STOCK     806605101    33301   785864 SH       SOLE                 248076            537788
D ***SCHLUMBERGER LTD            COMMON STOCK     806857108    76258  1357157 SH       SOLE                 554143            803014
D ***SCHLUMBERGER LTD            COMMON STOCK     806857108    37239   663500 SH       DEFINED                                663500
D SCHULTZ SAV-O-STORES INC       COMMON STOCK     808196109     1379   108137 SH       SOLE                 108137
D CHARLES SCHWAB CORP NEW        COMMON STOCK     808513105     1026    26832 SH       SOLE                   1140             25692
D SCIENTIFIC ATLANTA INC         COMMON STOCK     808655104      392     7011 SH       SOLE                   5500              1511
D SCIQUEST.COM INC               COMMON STOCK     80908Q107      716     9000 SH       SOLE                   9000
D SCIQUEST.COM INC               COMMON STOCK     80908Q107      716     9000 SH       DEFINED                                  9000
D SCOTT TECHNOLOGIES INC         COMMON STOCK     810022301      596    31600 SH       SOLE                  11500             20100
D E W SCRIPPS CO NEW-CL A        COMMON STOCK     811054204     9537   212825 SH       SOLE                 184200             28625
D E W SCRIPPS CO NEW-CL A        COMMON STOCK     811054204      273     6100 SH       DEFINED                                  6100
D ***SEA CONTAINERS LTD-CL A     COMMON STOCK     811371707     1933    72615 SH       SOLE                  12150             60465
D SEAGATE TECHNOLOGY INC         COMMON STOCK     811804103     4934   105961 SH       SOLE                  41075             64886
D SEAGATE TECHNOLOGY INC         COMMON STOCK     811804103    68689  1475200 SH       DEFINED                               1475200
D JOSEPH E SEAGRAMS & SONS INC   ZERO COUPON BOND 811845AH9       15    20000 SH       SOLE                  20000
D ***SEAGRAM CO LTD              COMMON STOCK     811850106     2232    49886 SH       SOLE                  32170             17716
D SEALED AIR CORP NEW            COMMON STOCK     81211K100     5076    97973 SH       SOLE                  93814              4159
D SEALED AIR CORP NEW-$2 CONV    PREFERRED STOCK  81211K209      405     8013 SH       SOLE                   6926              1087
D SEALY MATTRESS CO              CORPORATE BONDS  812141AF6     1022     1440 SH       SOLE                   1440
D SEARS ROEBUCK & CO             COMMON STOCK     812387108      814    23531 SH       SOLE                  13750              9781
D SECURITY CAPITAL GROUP INC     COMMON STOCK     81413P204     8682   694600 SH       SOLE                 144500            550100
D SEDONA CORP PA                 COMMON STOCK     815677109       64    18500 SH       SOLE                  14500              4000
D SELECTIVE INSURANCE GROUP INC  COMMON STOCK     816300107     9430   548631 SH       SOLE                 243954            304677
D SENSAR CORP                    COMMON STOCK     817253107      476     8000 SH       SOLE                   1500              6500
D SEPRACOR INC                   COMMON STOCK     817315104    19042   191975 SH       SOLE                 129550             62425
D SEPRACOR INC                   COMMON STOCK     817315104    15523   156500 SH       DEFINED                                156500
D SERENA SOFTWARE INC            COMMON STOCK     817492101     2902    93800 SH       DEFINED                                 93800
D SHARED TECHNOLOGIES CELLULAR   COMMON STOCK     819487109      149    17500 SH       SOLE                                    17500
D SHAW INDUSTRIES INC            COMMON STOCK     820286102     6435   415150 SH       SOLE                 182500            232650
D ***SHAW COMMUNICATIONS INC     COMMON STOCK     82028K200    31485   950500 SH       SOLE                 299800            650700
D ***SHAW COMMUNICATIONS INC     COMMON STOCK     82028K200     1391    42000 SH       DEFINED                                 42000
D ***SHEFFIELD PHARMACEUTICALS   COMMON STOCK     82123D309      175    35000 SH       SOLE                  32500              2500
D ***SHELL TRANSPORT & TRADING   COMMON STOCK     822703609      307     6260 SH       SOLE                   2000              4260
D SHOPKO STORES INC              COMMON STOCK     824911101     7779   338200 SH       SOLE                 338200
D SHOPKO STORES INC              COMMON STOCK     824911101    10391   451800 SH       DEFINED                                451800
D SIEBEL SYSTEMS INC             COMMON STOCK     826170102     8526   101500 SH       SOLE                 101500
D SIEBEL SYSTEMS INC             COMMON STOCK     826170102    29669   353200 SH       DEFINED                                353200
D SILICON VALLEY BANCSHARES      COMMON STOCK     827064106      421     8500 SH       SOLE                                     8500
D SILKNET SOFTWARE INC           COMMON STOCK     827094103     1492     9000 SH       DEFINED                                  9000
D SIMON PROPERTY GROUP INC       COMMON STOCK     828806109     4347   189500 SH       SOLE                 170900             18600
D SIMPSON MANUFACTURING CO INC   COMMON STOCK     829073105    10991   251216 SH       SOLE                 234016             17200
D SIMPSON MANUFACTURING CO INC   COMMON STOCK     829073105    11970   273600 SH       DEFINED                                273600
D SINCLAIR BROADCAST GROUP INC   COMMON STOCK     829226109    77202  6326400 SH       SOLE                1549500           4776900
D SKY FINANCIAL GROUP INC        COMMON STOCK     83080P103      406    20190 SH       SOLE                  19690               500
D SKYLINE CORP                   COMMON STOCK     830830105     2499   106360 SH       SOLE                  19800             86560
D SMITH INTERNATIONAL INC-W/RTS  COMMON STOCK     832110100    22838   462296 SH       SOLE                 338325            123971
D SMITH INTERNATIONAL INC-W/RTS  COMMON STOCK     832110100    27000   543400 SH       DEFINED                                543400
D SMITHFIELD FOODS INC           COMMON STOCK     832248108     6936   289000 SH       SOLE                  66600            222400
D ***SMITHKLINE BEECHAM PLC      COMMON STOCK     832378301    29807   464824 SH       SOLE                 155780            309044
D SMURFIT-STONE CONTAINER CORP   COMMON STOCK     832727101    12910   526954 SH       SOLE                 524300              2654
D SMURFIT-STONE CONTAINER CORP   COMMON STOCK     832727101      473    19300 SH       DEFINED                                 19300
D SNYDER COMMUNICATIONS INC      COMMON STOCK     832914105      703    36500 SH       SOLE                  14000             22500
D SNYDER COMMUNICATIONS INC      COMMON STOCK     832914204     1555   126300 SH       DEFINED                                126300
D SNAP-ON INC                    COMMON STOCK     833034101      266    10000 SH       SOLE                  10000
D SOLA INERNATIONAL INC          COMMON STOCK     834092108      649    46800 SH       SOLE                    800             46000
D SOLECTRON CORP                 COMMON STOCK     834182107      492     5177 SH       SOLE                   1700              3477
D SOLUTIA INC                    COMMON STOCK     834376105    10421   675041 SH       SOLE                 424746            250295
D SOMERSET GROUP INC             COMMON STOCK     834706103      863    45419 SH       SOLE                                    45419
D ***SONERA CORP PLC             COMMON STOCK     835433202     3469    50100 SH       SOLE                  50000               100
D SONIC AUTOMOTIVE INC-CL A      COMMON STOCK     83545G102    16824  1725500 SH       SOLE                 417200           1308300
D SONICWALL INC                  COMMON STOCK     835470105     2270    56400 SH       DEFINED                                 56400
D ***SONY CORP-ADR NEW           COMMON STOCK     835699307     1044     3666 SH       SOLE                   3625                41
D SOTHEBYS HOLDINGS INC-CL A     COMMON STOCK     835898107      240     8000 SH       SOLE                   3200              4800
D SOUTHDOWN INC                  COMMON STOCK     841297104      426     8260 SH       SOLE                   3309              4951
D SOUTHERN CO                    COMMON STOCK     842587107      414    17636 SH       SOLE                  10104              7532
D SOUTHERN UNION CO NEW          COMMON STOCK     844030106     1307    68337 SH       SOLE                  39048             29289
D SOUTHTRUST CORP                COMMON STOCK     844730101      460    12153 SH       SOLE                   7350              4803
D SOUTHWEST AIRLINES CO          COMMON STOCK     844741108      217    13462 SH       SOLE                  10687              2775
D SOVEREIGN BANCORP INC          COMMON STOCK     845905108      186    25000 SH       SOLE                  25000
D SPECIALTY EQUIPMENT COMPANIES  COMMON STOCK     847497203     2374    99167 SH       SOLE                  67067             32100
D SPIEKER PROPERTIES INC         COMMON STOCK     848497103     4094   112350 SH       SOLE                  91350             21000
D SPRINT CORP                    COMMON STOCK     852061100     8410   124934 SH       SOLE                  85034             39900
D SPRINT CORP-EXCHANGABLE NOTES  COMMON STOCK     852061407     1103    14860 SH       SOLE                   5460              9400
D SPRINT CORPORATION             COMMON STOCK     852061506     1279    12482 SH       SOLE                   4457              8025
D STAAR SURGICAL CO NEW          COMMON STOCK     852312305      328    33600 SH       SOLE                  33600
D STAAR SURGICAL CO NEW          COMMON STOCK     852312305     4911   503700 SH       DEFINED                                503700
D STANCORP FINL GROUP INC        COMMON STOCK     852891100     3692   146600 SH       SOLE                  27200            119400
D STANDEX INTERNATIONAL CORP     COMMON STOCK     854231107     9583   457719 SH       SOLE                  98620            359099
D STANLEY WORKS                  COMMON STOCK     854616109     7599   252235 SH       SOLE                 104833            147402
D STAPLES INC                    COMMON STOCK     855030102      465    22418 SH       SOLE                   7837             14581
D STAPLES INC                    COMMON STOCK     855030102     6225   300000 SH       DEFINED                                300000
D STAR MULTI CARE SVCS INC       COMMON STOCK     855156204       18    14767 SH       SOLE                                    14767
D STARBUCKS CORP                 COMMON STOCK     855244109     2612   107700 SH       SOLE                  97200             10500
D STARBUCKS CORP                 COMMON STOCK     855244109     5282   217800 SH       DEFINED                                217800
D STARMEDIA NETWORK INC          COMMON STOCK     855546107     2392    59700 SH       SOLE                  59700
D STARMEDIA NETWORK INC          COMMON STOCK     855546107     9278   231600 SH       DEFINED                                231600
D STARWOOD FINANCIAL INC         COMMON STOCK     85569R104      418    24783 SH       SOLE                   4025             20758
D STARWOOD HOTELS & RESORTS      COMMON STOCK     85590A203    48584  2067406 SH       SOLE                 853817           1213589
D STARWOOD HOTELS & RESORTS      COMMON STOCK     85590A203     2775   118100 SH       DEFINED                                118100
D STATE STREET CORP              COMMON STOCK     857477103     2927    40057 SH       SOLE                  11880             28177
D STATEN ISLAND BANCORP INC      COMMON STOCK     857550107      951    52850 SH       SOLE                  51450              1400
D STERLING BANCSHARES INC        COMMON STOCK     858907108     6726   601194 SH       SOLE                 601194
D STERLING BANCSHARES INC        COMMON STOCK     858907108     8611   769675 SH       DEFINED                                769675
D STERLING COMMERCE INC          COMMON STOCK     859205106      799    23500 SH       SOLE                   4000             19500
D STERLING COMMERCE INC          COMMON STOCK     859205106   107916  3174000 SH       DEFINED                               3174000
D STERLING FINANCIAL CORP-WASH   COMMON STOCK     859319105      342    29700 SH       SOLE                  16000             13700
D STERLING SOFTWARE INC          COMMON STOCK     859547101     9179   291400 SH       SOLE                 229600             61800
D STEWART INFORMATION SERVICES   COMMON STOCK     860372101      300    22500 SH       SOLE                                    22500
D ***STMICROELECTRONICS N V      COMMON STOCK     861012102    11222    74100 SH       SOLE                  22350             51750
D STRATEGIC DIAGNOSTICS INC      COMMON STOCK     862700101      381    58128 SH       SOLE                  47050             11078
D STRATEGIC DIAGNOSTICS INC      COMMON STOCK     862700101     3919   597200 SH       DEFINED                                597200
D STRATUS PROPERTIES INC         COMMON STOCK     863167102      457   109084 SH       SOLE                    300            108784
D SUBURBAN PROPANE PARTNERS LP   COMMON STOCK     864482104      261    15000 SH       SOLE                                    15000
D SUIZA FOODS CORP               COMMON STOCK     865077101      761    19200 SH       SOLE                  10500              8700
D SUMMIT BANCORP                 COMMON STOCK     866005101      530    17297 SH       SOLE                   9500              7797
D SUN MICROSYSTEMS INC           COMMON STOCK     866810104   167461  2162531 SH       SOLE                1250400            912131
D SUN MICROSYSTEMS INC           COMMON STOCK     866810104    54462   703300 SH       DEFINED                                703300
D ***SUNCOR ENERGY INC           COMMON STOCK     867229106    23707   567843 SH       SOLE                 453981            113862
D SUNTRUST BANKS INC             COMMON STOCK     867914103      605     8792 SH       SOLE                                     8792
D SUNSOURCE INC                  COMMON STOCK     867948101      207    48700 SH       SOLE                  15400             33300
D SUPERIOR UNIFORM GROUP INC     COMMON STOCK     868358102     1744   193800 SH       SOLE                   3500            190300
D SWIFT ENERGY CO                COMMON STOCK     870738101     6091   529674 SH       SOLE                 529674
D SWIFT ENERGY CO                COMMON STOCK     870738101     9295   808290 SH       DEFINED                                808290
D SYBRON INTERNATIONAL CORP-WISC COMMON STOCK     87114F106    12133   491455 SH       SOLE                 130162            361293
D SYCAMORE NETWORKS INC          COMMON STOCK     871206108      234      760 SH       SOLE                    100               660
D SYMYX TECHNOLOGIES INC         COMMON STOCK     87155S108      336    11200 SH       SOLE                   8500              2700
D SYSCO CORP                     COMMON STOCK     871829107    17740   448402 SH       SOLE                 164417            283985
D SYSTEMS & COMPUTER TECHNOLOGY  COMMON STOCK     871873105      884    54400 SH       SOLE                                    54400
D TCF FINANCIAL CORP             COMMON STOCK     872275102     1016    40841 SH       SOLE                  25208             15633
D TEPPCO PARTNERS LP             COMMON STOCK     872384102    17238   892590 SH       SOLE                 858490             34100
D TJX COMPANIES INC NEW          COMMON STOCK     872540109     1310    64100 SH       SOLE                  18200             45900
D TSI INTERNATIONAL SOFTWARE LTD COMMON STOCK     872879101     2353    41550 SH       SOLE                  37800              3750
D ***TAIWAN SEMICONDUCTOR MFG CO COMMON STOCK     874039100      702    15610 SH       SOLE                  15610
D TANDY BRANDS ACCESSORIES INC   COMMON STOCK     875378101      315    22692 SH       SOLE                                    22692
D TANDY CORP                     COMMON STOCK     875382103    85771  1743755 SH       SOLE                1129950            613805
D TANDY CORP                     COMMON STOCK     875382103    19963   405850 SH       DEFINED                                405850
D TANGER FACTORY OUTLET CENTERS  COMMON STOCK     875465106      851    41000 SH       SOLE                  14000             27000
D TECH DATA CORP                 COMMON STOCK     878237106    26176   965000 SH       DEFINED                                965000
D TECH SYM CORP                  COMMON STOCK     878308105     6923   335650 SH       SOLE                  45750            289900
D ***TELECOMUNICACOES BRASILEI-  COMMON STOCK     879287100        0    10960 SH       SOLE                   9760              1200
D ***TELECOMINICAOES BRASILEIRAS COMMON STOCK     879287308     2493    19360 SH       SOLE                  18210              1150
D ***TELEFONICA  S A             COMMON STOCK     879382208     1760    22336 SH       SOLE                  21746               590
D ***TELEFONICA  S A             COMMON STOCK     879382208     2874    36462 SH       DEFINED                                 36462
D ***TELEFONOS DE MEXICO SA      COMMON STOCK     879403780     1487    13218 SH       SOLE                  11293              1925
D TELEPHONE & DATA SYSTEMS INC   COMMON STOCK     879433100    32422   257320 SH       SOLE                 150554            106766
D TELLABS INC                    COMMON STOCK     879664100     9146   142490 SH       SOLE                  85090             57400
D TEMPLE-INLAND INC              COMMON STOCK     879868107      737    11439 SH       SOLE                   3775              7664
D TEMPLETON DRAGON FUND INC      COMMON STOCK     88018T101     6850   698072 SH       SOLE                 395713            302359
D TEMPLETON VIETNAM & SOUTHEAST  COMMON STOCK     88022J107      454    48800 SH       SOLE                  22000             26800
D TENET HEALTHCARE CORP          COMMON STOCK     88033G100     3236   137716 SH       SOLE                  30221            107495
D TERADYNE INC                   COMMON STOCK     880770102    39112   594570 SH       SOLE                 299200            295370
D TERADYNE INC                   COMMON STOCK     880770102    72079  1092100 SH       DEFINED                               1092100
D ***TERRA NETWORKS S A          COMMON STOCK     88100W103      498     9100 SH       SOLE                   8500               600
D TEXACO INC                     COMMON STOCK     881694103    11624   214016 SH       SOLE                  97396            116620
D TEXACO INC                     COMMON STOCK     881694103   124376  2290000 SH       DEFINED                               2290000
D TEXAS INDUSTRIES INC           COMMON STOCK     882491103     1319    31000 SH       SOLE                   8000             23000
D TEXAS INSTRUMENTS INC          COMMON STOCK     882508104   222848  2306187 SH       SOLE                1300028           1006159
D TEXAS INSTRUMENTS INC          COMMON STOCK     882508104    99427  1029000 SH       DEFINED                               1029000
D TEXAS REGIONAL BANCSHARES INC  COMMON STOCK     882673106     7442   256620 SH       SOLE                 256620
D TEXAS REGIONAL BANCSHARES INC  COMMON STOCK     882673106     8710   300350 SH       DEFINED                                300350
D TEXAS UTILITIES CO             COMMON STOCK     882848104      787    22141 SH       SOLE                   1477             20664
D TEXTRON INC                    COMMON STOCK     883203101     6868    89555 SH       SOLE                  47655             41900
D THERMO ELECTRON CORP           COMMON STOCK     883556102      332    22159 SH       SOLE                  12377              9782
D THOMAS INDUSTRIES INC          COMMON STOCK     884425109    20046   980825 SH       SOLE                 119200            861625
D ***THOMSON MULTIMEDIA          COMMON STOCK     885118109      206     3864 SH       SOLE                   3864
D ***THOMSON MULTIMEDIA          COMMON STOCK     885118109     2075    38870 SH       DEFINED                                 38870
D THOR INDUSTRIES INC            COMMON STOCK     885160101     2520    82796 SH       SOLE                  82796
D THORNBURG MORTGAGE ASSET CORP  COMMON STOCK     885218107     2853   345795 SH       SOLE                 338795              7000
D 3COM CORP                      COMMON STOCK     885535104     3335    70960 SH       SOLE                   7200             63760
D TIDEWATER INC                  COMMON STOCK     886423102    12409   344700 SH       SOLE                  21200            323500
D TIFFANY & CO NEW               COMMON STOCK     886547108    40946   458782 SH       SOLE                 286932            171850
D TIFFANY & CO NEW               COMMON STOCK     886547108    13932   156100 SH       DEFINED                                156100
D TIMBERLAND COMPANY CL A        COMMON STOCK     887100105      317     6000 SH       SOLE                                     6000
D TIME WARNER (HOLDING CO)       COMMON STOCK     887315109   252028  3485255 SH       SOLE                2221939           1263316
D TIME WARNER TELECOM INC        COMMON STOCK     887319101     2647    53000 SH       DEFINED                                 53000
D TITAN EXPLORATION INC          COMMON STOCK     888289105      870   160000 SH       SOLE                 160000
D ***TOKIO MARINE & FIRE         COMMON STOCK     889090403      433     7329 SH       SOLE                    850              6479
D TOO INC                        COMMON STOCK     890333107     2275   131899 SH       SOLE                  87187             44712
D TORCHMARK CORP                 COMMON STOCK     891027104    10923   375860 SH       SOLE                 183874            191986
D TOSCO CORP NEW                 COMMON STOCK     891490302    59952  2206328 SH       SOLE                1837378            368950
D TOSCO CORP NEW                 COMMON STOCK     891490302    45996  1691800 SH       DEFINED                               1691800
D ***TOTAL FINA S.A.             COMMON STOCK     89151E109     2137    30852 SH       SOLE                  15745             15107
D ***TOTAL FINA S.A.             COMMON STOCK     89151E109    70981  1025000 SH       DEFINED                               1025000
D TOWN & COUNTRY TRUST           COMMON STOCK     892081100      188    10500 SH       SOLE                  10500
D TOYS R US                      COMMON STOCK     892335100      216    15104 SH       SOLE                   3302             11802
D TRANSACTION SYSTEMS ARCHITECTS COMMON STOCK     893416107    23656   844850 SH       SOLE                 752000             92850
D TRANSACTION SYSTEMS ARCHITECTS COMMON STOCK     893416107    16439   587100 SH       DEFINED                                587100
D TRANSMEDIA NETWORK INC NEW     COMMON STOCK     893767301       40    16200 SH       SOLE                   1800             14400
D TRAVELERS PROPERTY CASUALTY    COMMON STOCK     893939108    80373  2346650 SH       SOLE                 434950           1911700
D TRAVELERS PROPERTY CASUALTY    COMMON STOCK     893939108    46238  1350000 SH       DEFINED                               1350000
D TRIAD HOSPITAL INC             COMMON STOCK     89579K109      751    49634 SH       SOLE                  27374             22260
D TRIARC COMPANIES INC-CL A      COMMON STOCK     895927101    38486  2094450 SH       SOLE                 471850           1622600
D TRICON GLOBAL RESTAURANTS INC  COMMON STOCK     895953107    31258   809260 SH       SOLE                 422200            387060
D TRIBUNE CO NEW                 COMMON STOCK     896047107     1041    18908 SH       SOLE                   1312             17596
D TRIGON HEALTHCARE INC-CL A     COMMON STOCK     89618L100    14234   482515 SH       SOLE                 469415             13100
D TRIGON HEALTHCARE INC-CL A     COMMON STOCK     89618L100    24801   840700 SH       DEFINED                                840700
D TRINITY INDUSTRIES INC         COMMON STOCK     896522109     2434    85600 SH       SOLE                    600             85000
D TRUE NORTH COMMUNICATIONS INC  COMMON STOCK     897844106    49051  1097950 SH       SOLE                 540325            557625
D TRUE NORTH COMMUNICATIONS INC  COMMON STOCK     897844106     3034    67900 SH       DEFINED                                 67900
D TUBOSCOPE INC (FORMERLY        COMMON STOCK     898600101     7792   490836 SH       SOLE                 487836              3000
D TUBOSCOPE INC (FORMERLY        COMMON STOCK     898600101    10096   636000 SH       DEFINED                                636000
D ***TYCO INTERNATIONAL LTD      COMMON STOCK     902124106    94569  2425409 SH       SOLE                1272090           1153319
D ***TYCO INTERNATIONAL LTD      COMMON STOCK     902124106     3397    87100 SH       DEFINED                                 87100
D UAL CORP NEW                   COMMON STOCK     902549500     5419    69870 SH       SOLE                  25170             44700
D UCAR INTERNATIONAL INC         COMMON STOCK     90262K109    12665   711000 SH       SOLE                 711000
D UCAR INTERNATIONAL INC         COMMON STOCK     90262K109      463    26000 SH       DEFINED                                 26000
D USX-MARATHON GROUP             COMMON STOCK     902905827    16789   680051 SH       SOLE                 608901             71150
D USX-MARATHON GROUP             COMMON STOCK     902905827      523    21200 SH       DEFINED                                 21200
D UST INC                        COMMON STOCK     902911106     5066   201131 SH       SOLE                  91216            109915
D U S PLASTIC LUMBER CORP        COMMON STOCK     902948108      284    37000 SH       SOLE                  37000
D U S BANCORP-DEL                COMMON STOCK     902973106    37545  1576696 SH       SOLE                1465778            110918
D USA NETWORKS INC               COMMON STOCK     902984103     2406    43540 SH       SOLE                  18440             25100
D USG CORP NEW                   COMMON STOCK     903293405    47313  1003910 SH       SOLE                 509625            494285
D UTI ENERGY CORP                COMMON STOCK     903387108     3471   150500 SH       SOLE                 141800              8700
D UTI ENERGY CORP                COMMON STOCK     903387108    11720   508200 SH       DEFINED                                508200
D UNIFY CORP                     COMMON STOCK     904743101      821    30002 SH       SOLE                                    30002
D ***UNILEVER N V                FOREIGN COMMON S 904784709     4661    85630 SH       SOLE                  49604             36026
D UNICOM CORP                    COMMON STOCK     904911104    44136  1316608 SH       SOLE                1143132            173476
D UNICOM CORP                    COMMON STOCK     904911104    43292  1292300 SH       DEFINED                               1292300
D UNION CARBIDE CORP             COMMON STOCK     905581104      428     6405 SH       SOLE                   3705              2700
D UNION PACIFIC CORP             COMMON STOCK     907818108     3731    85398 SH       SOLE                  13443             71955
D UNION PACIFIC RESOURCES GROUP  COMMON STOCK     907834105    28560  2239970 SH       SOLE                 659952           1580018
D UNION PACIFIC RESOURCES GROUP  COMMON STOCK     907834105    62340  4889400 SH       DEFINED                               4889400
D UNIROYAL TECHNOLOGY CORP       COMMON STOCK     909163107     1436    56300 SH       SOLE                                    56300
D UNISYS CORP                    COMMON STOCK     909214108    24927   780868 SH       SOLE                 325833            455035
D UNISYS CORP                    COMMON STOCK     909214108     3478   108900 SH       DEFINED                                108900
D UNIT CORP                      COMMON STOCK     909218109     5027   653924 SH       SOLE                 621024             32900
D UNIT CORP                      COMMON STOCK     909218109     6876   894500 SH       DEFINED                                894500
D UNITED AUTO GROUP INC          COMMON STOCK     909440109     5489   614100 SH       SOLE                 245700            368400
D ***UNITED DOMINION INDUSTRIES  COMMON STOCK     909914103     5433   272500 SH       SOLE                  44500            228000
D UNITED HEALTHCARE CORP         COMMON STOCK     910581107    16631   313059 SH       SOLE                 167454            145605
D UNITED ILLUMINATING CO         COMMON STOCK     910637107     4274    83193 SH       SOLE                  80528              2665
D UNITED INDUSTRIAL CORP         COMMON STOCK     910671106     1437   156400 SH       SOLE                  51500            104900
D UNITED PARCEL SVC INC          COMMON STOCK     911312106     9522   138000 SH       SOLE                  80800             57200
D UNITED RENTALS INC             COMMON STOCK     911363109      200    11700 SH       SOLE                    500             11200
D USAIR GROUP INC                COMMON STOCK     911905107      439    13700 SH       SOLE                  11900              1800
D U S HOME CORP NEW              COMMON STOCK     911920106    16384   640950 SH       SOLE                 135800            505150
D U S INDUSTRIES INC NEW         COMMON STOCK     912080108     6542   467300 SH       SOLE                 122900            344400
D U S WEST INC NEW               COMMON STOCK     91273H101     3956    54945 SH       SOLE                  23208             31737
D U S TRUST CORP NEW             COMMON STOCK     91288L105     2053    25608 SH       SOLE                   5880             19728
D UNITED STATIONERS INC          COMMON STOCK     913004107    20220   707912 SH       SOLE                 705912              2000
D UNITED STATIONERS INC          COMMON STOCK     913004107    31830  1114400 SH       DEFINED                               1114400
D UNITED TECHNOLOGIES CORP       COMMON STOCK     913017109    61395   944539 SH       SOLE                 768592            175947
D UNITED TECHNOLOGIES CORP       COMMON STOCK     913017109    28860   444000 SH       DEFINED                                444000
D UNITEDGLOBALCOM                COMMON STOCK     913247508     2422    34300 SH       SOLE                  34300
D UNITRIN INC                    COMMON STOCK     913275103      275     7320 SH       SOLE                   2320              5000
D UNIVERSAL HEALTH SERV.INC CL B COMMON STOCK     913903100    16967   471300 SH       SOLE                 156600            314700
D UNIVERSAL HEALTH SERV.INC CL B COMMON STOCK     913903100    20758   576600 SH       DEFINED                                576600
D UNIVISION COMMUNICATIONS INC   COMMON STOCK     914906102    16434   160825 SH       SOLE                 122900             37925
D UNOCAL CORP                    COMMON STOCK     915289102    38592  1150471 SH       SOLE                1118048             32423
D UNUMPROVIDENT CORP             COMMON STOCK     91529Y106     4386   136782 SH       SOLE                  28612            108170
D USBANCORP INC-PA-W/RTS         COMMON STOCK     917292104     1660   141284 SH       SOLE                 141284
D USWEB CORP                     COMMON STOCK     917327108     6437   144850 SH       SOLE                 141800              3050
D USWEB CORP                     COMMON STOCK     917327108    24774   557500 SH       DEFINED                                557500
D VALASSIS COMMUNICATIONS INC    COMMON STOCK     918866104    33117   783806 SH       SOLE                 508320            275486
D VALASSIS COMMUNICATIONS INC    COMMON STOCK     918866104    21465   508050 SH       DEFINED                                508050
D VALLEY NATIONAL BANCORP        COMMON STOCK     919794107     9091   324695 SH       SOLE                 324695
D VALLEY NATIONAL BANCORP        COMMON STOCK     919794107      300    10700 SH       DEFINED                                 10700
D VARCO INTERNATIONAL INC        COMMON STOCK     922126107      691    67800 SH       SOLE                  66600              1200
D VARIAN INC                     COMMON STOCK     922206107     1702    75656 SH       SOLE                  58050             17606
D VARIAN SEMICONDUCTOR EQUIPMENT COMMON STOCK     922207105     1671    49150 SH       SOLE                  24550             24600
D VARIAN MEDICAL SYSTEMS INC     COMMON STOCK     92220P105    30239  1014292 SH       SOLE                 575670            438622
D VASOMEDICAL INC                COMMON STOCK     922321104      229   236000 SH       SOLE                 153000             83000
D VERIO INC                      COMMON STOCK     923433106     4150    89860 SH       SOLE                  51010             38850
D VERITAS SOFTWARE CORP          COMMON STOCK     923436109    25803   180281 SH       SOLE                 137780             42501
D VERITAS SOFTWARE CORP          COMMON STOCK     923436109    61673   430900 SH       DEFINED                                430900
D VERISIGN INC                   COMMON STOCK     92343E102      324     1700 SH       SOLE                   1700
D VERTICALNET INC-PA             COMMON STOCK     92532L107      992     6050 SH       SOLE                    750              5300
D VIACOM INC-CL B FORMLY NON VTG COMMON STOCK     925524308     2026    33529 SH       SOLE                  16125             17404
D VIATEL INC                     COMMON STOCK     925529208     4172    77800 SH       SOLE                  50100             27700
D VIASAT INC                     COMMON STOCK     92552V100     2766    55455 SH       SOLE                  18300             37155
D VISHAY INTERTECHNOLOGY INC     COMMON STOCK     928298108      498    15748 SH       SOLE                   2365             13383
D VISUAL NETWORKS INC            COMMON STOCK     928444108      573     7225 SH       SOLE                   6100              1125
D VISUAL NETWORKS INC            COMMON STOCK     928444108     4153    52400 SH       DEFINED                                 52400
D VITESSE SEMICONDUCTOR CORP     COMMON STOCK     928497106     6691   127600 SH       SOLE                 125800              1800
D VITESSE SEMICONDUCTOR CORP     COMMON STOCK     928497106    15432   294300 SH       DEFINED                                294300
D ***VODAFONE AIRTOUCH PLC       COMMON STOCK     92857T107    31119   628675 SH       SOLE                 284429            344246
D ***VODAFONE AIRTOUCH PLC       COMMON STOCK     92857T107     1361    27500 SH       DEFINED                                 27500
D VOICESTREAM WIRELESS CORP      COMMON STOCK     928615103    18827   132290 SH       SOLE                 105250             27040
D VOICESTREAM WIRELESS CORP      COMMON STOCK     928615103    26819   188450 SH       DEFINED                                188450
D VOLT INFORMATION SCIENCES INC  COMMON STOCK     928703107     2525   105775 SH       SOLE                                   105775
D VORNADO REALTY TRUST           COMMON STOCK     929042109    21583   663620 SH       SOLE                 326360            337260
D VULCAN MATERIALS CO            COMMON STOCK     929160109     2372    59385 SH       SOLE                   6900             52485
D WBK STRYPES TR-10% STRUCTURED  COMMON STOCK     929229102     1048    32700 SH       SOLE                  23750              8950
D WD 40 CO                       COMMON STOCK     929236107      212     9600 SH       SOLE                   8000              1600
D WEBS INDEX FUND INC-MALAYSIA   COMMON STOCK     92923H871      887   125650 SH       SOLE                 125650
D WEBS INDEX FUND INC-MALAYSIA   COMMON STOCK     92923H871     1524   215820 SH       DEFINED                                215820
D WHX CORP                       COMMON STOCK     929248102     2803   311400 SH       SOLE                  26000            285400
D ***WPP GROUP PLC-SPONSORED ADR COMMON STOCK     929309300      308     3708 SH       SOLE                   3708
D WACHOVIA CORP NEW              COMMON STOCK     929771103      499     7342 SH       SOLE                                     7342
D WACKENHUT CORP-CL B            COMMON STOCK     929794303     9145   886798 SH       SOLE                 170846            715952
D WACKENHUT CORRECTIONS CORP     COMMON STOCK     929798106    11795  1009200 SH       SOLE                 257700            751500
D WADDELL & REED FINANCIAL INC   COMMON STOCK     930059100      993    36622 SH       SOLE                  16018             20604
D WADDELL & REED FINANCIAL INC   COMMON STOCK     930059209     2116    84225 SH       SOLE                  44416             39809
D WAL-MART STORES INC            COMMON STOCK     931142103   214263  3099650 SH       SOLE                1767684           1331966
D WAL-MART STORES INC            COMMON STOCK     931142103     4700    68000 SH       DEFINED                                 68000
D WALGREEN CO                    COMMON STOCK     931422109    17150   586314 SH       SOLE                 295099            291215
D WALLACE COMPUTER SERVICES INC  COMMON STOCK     932270101    21638  1301520 SH       SOLE                1135420            166100
D WALLACE COMPUTER SERVICES INC  COMMON STOCK     932270101    27391  1647600 SH       DEFINED                               1647600
D WARNACO GROUP INC-CL A         COMMON STOCK     934390105      263    21400 SH       SOLE                    700             20700
D WARNER-LAMBERT CO              COMMON STOCK     934488107   153323  1870995 SH       SOLE                 874807            996188
D WARNER-LAMBERT CO              COMMON STOCK     934488107    55275   674600 SH       DEFINED                                674600
D ***WARP 10 TECHNOLOGIES INC    FOREIGN COMMON S 934900101      192    75000 SH       SOLE                  75000
D WASHINGTON MUTUAL INC          COMMON STOCK     939322103     4949   191267 SH       SOLE                  66521            124746
D WASHINGTON POST CO CLASS B     COMMON STOCK     939640108      302      544 SH       SOLE                                      544
D WASHINGTON REAL ESTATE         COMMON STOCK     939653101      512    34134 SH       SOLE                  14800             19334
D WASTE MANAGEMENT INC DEL       COMMON STOCK     94106L109     4465   259778 SH       SOLE                  46297            213481
D WATERS CORP                    COMMON STOCK     941848103     9028   170331 SH       SOLE                 167531              2800
D WATERS CORP                    COMMON STOCK     941848103    14686   277100 SH       DEFINED                                277100
D WTS WEBFINANCIAL CORP          WARRANT OR RIGHT 94767P118       94   215775 SH  F    SOLE                                   215775
D WEBSTER FINANCIAL CORP         COMMON STOCK     947890109    13920   590756 SH       SOLE                 589556              1200
D WEBSTER FINANCIAL CORP         COMMON STOCK     947890109    26234  1113400 SH       DEFINED                               1113400
D WEBVAN GROUP INC               COMMON STOCK     94845V103      338    20500 SH       SOLE                   7300             13200
D WEINGARTEN REALTY INVESTORS    COMMON STOCK     948741103      266     6825 SH       SOLE                   1650              5175
D WELLPOINT HEALTH NETWORKS INC  COMMON STOCK     94973H108    72752  1103332 SH       SOLE                 727177            376155
D WELLPOINT HEALTH NETWORKS INC  COMMON STOCK     94973H108   298875  4532696 SH       DEFINED                               4532696
D WELLS FARGO & CO-NEW           COMMON STOCK     949746101    68746  1699974 SH       SOLE                 724387            975587
D WELLS FARGO & CO-NEW           COMMON STOCK     949746101   156477  3869600 SH       DEFINED                               3869600
D WELLSFORD REAL PROPERTIES INC  COMMON STOCK     950240101      310    36428 SH       SOLE                   1628             34800
D WESLEY JESSEN VISIONCARE INC   COMMON STOCK     951018100     4642   122550 SH       SOLE                 113200              9350
D WESTERN WATER CO               COMMON STOCK     959881103      104    87394 SH       SOLE                                    87394
D WESTERN WIRELESS CORP-CL A     COMMON STOCK     95988E204    25031   375000 SH       SOLE                 192050            182950
D WESTFIELD AMERICA INC          COMMON STOCK     959910100      357    29000 SH       SOLE                                    29000
D WESTPOINT STEVENS INC          COMMON STOCK     961238102     1598    91300 SH       SOLE                  11700             79600
D WESTVACO CORP                  COMMON STOCK     961548104     3368   103236 SH       SOLE                 101736              1500
D WESTWOOD ONE INC               COMMON STOCK     961815107     5153    67800 SH       SOLE                  67800
D WESTWOOD ONE INC               COMMON STOCK     961815107    15094   198600 SH       DEFINED                                198600
D WEYERHAEUSER CO                COMMON STOCK     962166104     3537    49250 SH       SOLE                  42125              7125
D WEYERHAEUSER CO                COMMON STOCK     962166104    98886  1377000 SH       DEFINED                               1377000
D WHIRLPOOL CORP                 COMMON STOCK     963320106      684    10515 SH       SOLE                   2490              8025
D WHITMAN CORP                   COMMON STOCK     96647R107      141    10500 SH       SOLE                   3800              6700
D WHITNEY HOLDING CORP           COMMON STOCK     966612103     2455    66249 SH       SOLE                  13278             52971
D WHOLE FOODS MARKET INC         COMMON STOCK     966837106     9837   212110 SH       SOLE                 212110
D WHOLE FOODS MARKET INC         COMMON STOCK     966837106    14506   312800 SH       DEFINED                                312800
D JOHN WILEY & SONS INC CL A     COMMON STOCK     968223206     6262   373870 SH       SOLE                  99070            274800
D JOHN WILEY & SONS INC CL B     COMMON STOCK     968223305      702    42200 SH       SOLE                   6400             35800
D WILLAMETTE INDUSTRIES INC      COMMON STOCK     969133107     3362    72530 SH       SOLE                  25480             47050
D WILLBROS GROUP INC             COMMON STOCK     969199108      441    95400 SH       SOLE                  95400
D WILLIAMS COMMUNICATIONS GROUP  COMMON STOCK     969455104     3041   105100 SH       SOLE                  90350             14750
D WILLIAMS COMPANIES INC         COMMON STOCK     969457100    67024  2193021 SH       SOLE                2156099             36922
D WILLIAMS COMPANIES INC         COMMON STOCK     969457100    78949  2583200 SH       DEFINED                               2583200
D WILLIAMS SONOMA INC            COMMON STOCK     969904101     7933   172450 SH       SOLE                 169550              2900
D WILLIAMS SONOMA INC            COMMON STOCK     969904101    25194   547700 SH       DEFINED                                547700
D WILMINGTON TRUST CORP          COMMON STOCK     971807102     1154    23920 SH       SOLE                    250             23670
D WIND RIVER SYSTEMS INC         COMMON STOCK     973149107    11834   323101 SH       SOLE                 322901               200
D WIND RIVER SYSTEMS INC         COMMON STOCK     973149107    18378   501800 SH       DEFINED                                501800
D WINMILL & CO INC               COMMON STOCK     974259103       32    16354 SH       SOLE                                    16354
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107    23990   318800 SH       SOLE                 306500             12300
D WINSTAR COMMUNICATIONS INC     COMMON STOCK     975515107    23681   314700 SH       DEFINED                                314700
D WINTRUST FINANCIAL CORP        COMMON STOCK     97650W108      724    47500 SH       SOLE                                    47500
D WISCONSIN ST CLEAN WTR REV     MUNICIPAL BONDS  977092EU5     1504     1490 SH       SOLE                   1490
D WOODHEAD INDUSTRIES INC W/RTS  COMMON STOCK     979438108     4347   373951 SH       SOLE                 373951
D WOODHEAD INDUSTRIES INC W/RTS  COMMON STOCK     979438108     2369   203750 SH       DEFINED                                203750
D WORLD ACCESS INC               COMMON STOCK     98141A101     3473   180400 SH       SOLE                   7000            173400
D WORLDGATE COMMUNICATIONS INC   COMMON STOCK     98156L307     2174    45700 SH       DEFINED                                 45700
D WORLDCORP INC CONV SUB DEB     CONVERTIBLE BOND 981904AB1       39   455000 PRN      SOLE                  25000            430000
D WORLDTEX INC                   COMMON STOCK     981907108      338   216423 SH       SOLE                                   216423
D WM WRIGLEY JR CO               COMMON STOCK     982526105      322     3878 SH       SOLE                   3478               400
D WYNDHAM INTERNATIONAL INC      COMMON STOCK     983101106       63    21439 SH       SOLE                  16502              4937
D XILINX INC                     COMMON STOCK     983919101     7948   174800 SH       SOLE                 159100             15700
D XILINX INC                     COMMON STOCK     983919101    27536   605600 SH       DEFINED                                605600
D ***XEIKON NV-SPONSORED ADR     COMMON STOCK     984003103     2506   139200 SH       SOLE                 124150             15050
D XEROX CORP                     COMMON STOCK     984121103    67669  2982668 SH       SOLE                 574538           2408130
D XTRA CORP                      COMMON STOCK     984138107     5640   132320 SH       SOLE                  65800             66520
D YAHOO INC                      COMMON STOCK     984332106     2060     4761 SH       SOLE                   2506              2255
D YOUNG BROADCASTING INC-CL A    COMMON STOCK     987434107    76503  1500050 SH       SOLE                 382200           1117850
D ZALE CORP NEW                  COMMON STOCK     988858106     4211    87050 SH       SOLE                  46500             40550
D ZEBRA TECHNOLOGIES CORP-CL A   COMMON STOCK     989207105    21961   375398 SH       SOLE                 373648              1750
D ZEBRA TECHNOLOGIES CORP-CL A   COMMON STOCK     989207105    35293   603300 SH       DEFINED                                603300
D ZORAN CORP                     COMMON STOCK     98975F101      367     6575 SH       SOLE                   4875              1700
D ZORAN CORP                     COMMON STOCK     98975F101     3077    55200 SH       DEFINED                                 55200
D ***DAIMLERCHRYSLER A.G.        COMMON STOCK     D1668R123     3280    42053 SH       SOLE                  20931             21122
D ***ACE LTD-ORD                 COMMON STOCK     G0070K103    44639  2666141 SH       SOLE                2272859            393282
D ***ACE LTD-ORD                 COMMON STOCK     G0070K103    30426  1823300 SH       DEFINED                               1823300
D AMDOCS LIMITED                 COMMON STOCK     G02602103      816    23660 SH       SOLE                  18560              5100
D ***ANNUITY & LIFE RE HOLDINGS  COMMON STOCK     G03910109    13197   505154 SH       SOLE                 496404              8750
D ***ANNUITY & LIFE RE HOLDINGS  COMMON STOCK     G03910109    19677   753200 SH       DEFINED                                753200
D ***CORECOMM LIMITED            COMMON STOCK     G2422R109      477     8040 SH       SOLE                   7685               355
D ***DELPHI INTERNATIONAL LTD    COMMON STOCK     G2706W105      182    45548 SH       SOLE                    290             45258
D ***DSG INTERNATIONAL LTD-ORD   COMMON STOCK     G28471103       63    10752 SH       SOLE                  10000               752
D ***ESG RE LTD                  FOREIGN COMMON S G31215109       76    11000 SH       SOLE                   2400              8600
D ***FRESH DEL MONTE PRODUCE INC COMMON STOCK     G36738105      238    26500 SH       SOLE                                    26500
D ***GEMSTAR INTERNATIONAL GROUP FOREIGN COMMON S G3788V106    29109   408550 SH       SOLE                 288850            119700
D ***GEMSTAR INTERNATIONAL GROUP FOREIGN COMMON S G3788V106    36309   509600 SH       DEFINED                                509600
D GLOBAL CROSSING LTD            COMMON STOCK     G3921A100   120457  2409136 SH       SOLE                1577281            831855
D GLOBAL CROSSING LTD            COMMON STOCK     G3921A100    10392   207837 SH       DEFINED                                207837
D ***GLOBALSTAR                  FOREIGN COMMON S G3930H104     6219   141346 SH       SOLE                 106100             35246
D ***HELEN OF TROY LTD-BERMUDA   FOREIGN COMMON S G4388N106      312    43000 SH       SOLE                                    43000
D ***IPC HOLDINGS LTD            FOREIGN COMMON S G4933P101      510    34300 SH       SOLE                   3800             30500
D ***KNIGHTSBRIDGE TANKERS LTD   FOREIGN COMMON S G5299G106     4686   347134 SH       SOLE                 237000            110134
D ***LASALLE RE HOLDINGS LTD     COMMON STOCK     G5383Q101     1404    85100 SH       SOLE                  25000             60100
D ***LORAL SPACE &               COMMON STOCK     G56462107    42518  1748828 SH       SOLE                 792490            956338
D ***PARTNERRE LTD               COMMON STOCK     G6852T105    27778   856349 SH       SOLE                 616505            239844
D PXRE GROUP LTD BERMUDA         COMMON STOCK     G73018106     1958   150605 SH       SOLE                 150605
D ***RENAISSANCE RE HOLDINGS LTD COMMON STOCK     G7496G103     9124   223212 SH       SOLE                 165412             57800
D RSL COMMUNICATIONS LTD-CL A    COMMON STOCK     G7702U102     1358    79300 SH       SOLE                  13500             65800
D ***SANTA FE INTERNATIONAL CORP COMMON STOCK     G7805C108      479    18500 SH       SOLE                   3500             15000
D ***SCOTTISH ANNUNITY & LIFE    COMMON STOCK     G7885T104     3992   487582 SH       SOLE                 487582
D ***SCOTTISH ANNUNITY & LIFE    COMMON STOCK     G7885T104     7024   857900 SH       DEFINED                                857900
D ***XL CAPITAL LTD-CL A         COMMON STOCK     G98255105   136973  2640445 SH       SOLE                1996438            644007
D ***XL CAPITAL LTD-CL A         COMMON STOCK     G98255105    67421  1299690 SH       DEFINED                               1299690
D ***SBS BROADCASTING SA         FOREIGN COMMON S L8137F102    11375   233629 SH       SOLE                 130653            102976
D ***SBS BROADCASTING SA         FOREIGN COMMON S L8137F102      840    17250 SH       DEFINED                                 17250
D ***GILAT SATELLITE NETWORKS    FOREIGN COMMON S M51474100     1188    10000 SH       SOLE                   5000              5000
D ***ORBOTECH LTD-ORD            FOREIGN COMMON S M75253100      683     8810 SH       SOLE                   8810
D ***CHICAGO BRIDGE & IRON CO    COMMON STOCK     N19808109    16050  1167241 SH       SOLE                 160100           1007141
D ***CNH GLOBAL N.V.             COMMON STOCK     N20935107     2323   174500 SH       SOLE                 103200             71300
D ***QIAGEN NV                   FOREIGN COMMON S N72482107     2507    33200 SH       SOLE                  33200
D ***ROYAL CARIBBEAN CRUISES LTD COMMON STOCK     V7780T103     1987    40300 SH       SOLE                  35300              5000
D ***ROYAL CARIBBEAN CRUISES LTD COMMON STOCK     V7780T103     6776   137400 SH       DEFINED                                137400
D ***ASE TEST LTD-ORD            FOREIGN COMMON S Y02516105      635    26060 SH       SOLE                  26060
D ***FLEXTRONICS INTERNATIONAL   FOREIGN COMMON S Y2573F102     6686   145350 SH       SOLE                 143400              1950
D ***FLEXTRONICS INTERNATIONAL   FOREIGN COMMON S Y2573F102    17820   387400 SH       DEFINED                                387400
D ***KOREA THRUNET CO. LTD       COMMON STOCK     Y49975108      305     4500 SH       SOLE                   4500
D CISCO SYSTEMS INC              CALL             17275R8AI      643     6000 SH  CALL SOLE                                     6000
D CITIGROUP INC                  CALL             1729674AM      835    15000 SH  CALL SOLE                                    15000
D COYOTE NETWORK SYSTEMS INC     CALL             22406P9AU       54    10000 SH  CALL SOLE                  10000
D ***ELAN CORP PLC-ADR           CALL             2841312AF      738    25000 SH  CALL SOLE                  25000
D INTERNATIONAL BUSINESS         CALL             4592001AB      647     6000 SH  CALL SOLE                                     6000
D MEDICAL MANAGER CORP NEW       CALL             58461U9CR      674     8000 SH  CALL SOLE                   8000
D METROMEDIA FIBER NETWORK INC   CALL             5916899AF      240     5000 SH  CALL SOLE                   5000
D MICROSOFT CORP                 CALL             5949189AP      584     5000 SH  CALL SOLE                                     5000
D NEXTEL COMMUNICATIONS INC-CL A CALL             65332V2AB      516     5000 SH  CALL SOLE                                     5000
D PHILIP MORRIS COMPANIES INC    CALL             7181542AF     1380    60000 SH  CALL SOLE                  60000
D PROVIDENT AMERICAN CORP        CALL             7438329BF      352    10000 SH  CALL SOLE                  10000
D QWEST COMMUNICATIONS           CALL             7491212AJ      430    10000 SH  CALL SOLE                                    10000
D                                                                  0        0
S REPORT SUMMARY               1922 DATA RECORDS            39518047            0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED


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