NORTHERN TRUST CORP
13F-HR, 2000-11-13
STATE COMMERCIAL BANKS
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<PAGE>

               UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C.  20549

                                    Form 13F

                              Form 13F COVER PAGE

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

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

Institutional Investment Manager Filing this Report:

Name:                     Northern Trust Corporation
                          --------------------------
Address:                  50 South LaSalle Street, Chicago, IL 60657
                          ------------------------------------------

Form 13F File Number:     28-290
                          ------

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:       Perry R. Pero
            -------------
Title:      Vice Chairman
            -------------
Phone:      (312) 630-6000
            --------------

Signature, Place, and Date of Signing:

                         Chicago, IL              November 6, 2000
--------------           ----------------         ----------------
[Signature]              [City, State]            [Date]

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this report, and
all holdings are reported by other reporting manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for
this reporting manager are reported in this report and a portion are reported
by other reporting manager(s).)
<PAGE>

                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:        10
                                          --
Form 13F Information Table Entry Total:   17,299.
                                          -------
Form 13F Information Table Value Total:   $100,877,860.
                                          -------------
                                          (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

No.    Form 13F File #          Name
---    ---------------          -------------------------------------------
01                              Northern Trust Company
02     28-896                   Northern Trust Bank of Arizona N.A.
03                              Northern Trust Bank of California N.A.
04     28-55                    Northern Trust Bank of Florida N.A.
05                              Northern Trust Bank of Texas N.A.
06     28-2437                  Strategic Investment Management
07     28-6060                  Harrold J. McComas
08                              Northern Trust Investments, Inc.
                                (formerly Northern Trust Quantitative Advisors)
09                              Northern Trust Bank of Colorado
10                              Northern Trust Bank, FSB
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                                                                                                      PAGE      1

   DATE 09-29-00                                                     NAME OF REPORTING MANAGER - NORTHERN TRUST CORPORATION 28-290
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

DAIMLERCHRYSLER AG                COM   D1668R123       1,045      23,548  SH     DEFINED     01      16,021       4,660       2,867
DAIMLERCHRYSLER AG                COM   D1668R123         125       2,805  SH     DEFINED     02       2,805           0           0
DAIMLERCHRYSLER AG                COM   D1668R123          30         680  SH     OTHER       02         580         100           0
DAIMLERCHRYSLER AG                COM   D1668R123          42         948  SH     DEFINED     03         158         105         685
DAIMLERCHRYSLER AG                COM   D1668R123          28         623  SH     OTHER       03           0         623           0
DAIMLERCHRYSLER AG                COM   D1668R123       1,114      25,085  SH     DEFINED     04      23,527           0       1,558
DAIMLERCHRYSLER AG                COM   D1668R123         160       3,600  SH     OTHER       04       3,550           0          50
DAIMLERCHRYSLER AG                COM   D1668R123          11         249  SH     DEFINED  01,08         249           0           0
DAIMLERCHRYSLER AG                COM   D1668R123          81       1,829  SH     DEFINED     10         199       1,630           0

ACE LTD                           COM   G0070K103       5,208     132,677  SH     DEFINED     01     127,117           0       5,560
ACE LTD                           COM   G0070K103         393      10,000  SH     OTHER       01           0      10,000           0
ACE LTD                           COM   G0070K103           8         200  SH     DEFINED     02         200           0           0
ACE LTD                           COM   G0070K103          59       1,500  SH     DEFINED     04       1,500           0           0

AMDOCS LTD                        COM   G02602103       5,582      89,485  SH     DEFINED     01      78,960       6,225       4,300
AMDOCS LTD                        COM   G02602103          19         300  SH     OTHER       02         300           0           0
AMDOCS LTD                        COM   G02602103         181       2,900  SH     DEFINED     04       2,900           0           0
AMDOCS LTD                        COM   G02602103         162       2,600  SH     OTHER       04       2,600           0           0
AMDOCS LTD                        COM   G02602103         499       8,000  SH     DEFINED  01,08       8,000           0           0
AMDOCS LTD                        COM   G02602103         342       5,486  SH     DEFINED     10       5,386         100           0
AMDOCS LTD                        COM   G02602103          33         535  SH     OTHER       10          35         500           0

ANNUITY AND LIFE RE HLDGS         COM   G03910109         200       8,300  SH     DEFINED     01           0       8,300           0

APW LTD                           COM   G04397108         257       5,278  SH     DEFINED     01       1,992           0       3,286
APW LTD                           COM   G04397108           7         150  SH     OTHER       01           0         150           0
APW LTD                           COM   G04397108         327       6,700  SH     DEFINED     04           0           0       6,700
APW LTD                           COM   G04397108          10         200  SH     DEFINED     05           0           0         200
APW LTD                           COM   G04397108       2,598      53,293  SH     DEFINED  01,08      53,293           0           0

ELAN PLC                          COM   G29539148          46      47,276  SH     DEFINED     01      43,524         500       3,252
ELAN PLC                          COM   G29539148          69      71,086  SH     DEFINED  01,08      71,086           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      2
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

EVEREST RE GROUP LTD              COM   G3223R108      12,898     260,572  SH     DEFINED     01     241,572           0      19,000
EVEREST RE GROUP LTD              COM   G3223R108       7,498     151,472  SH     DEFINED  01,08     151,472           0           0
EVEREST RE GROUP LTD              COM   G3223R108          40         800  SH     DEFINED     10           0         800           0

FRESH DEL MONTE PRODUCE INC       COM   G36738105         386      58,827  SH     DEFINED  01,08      58,827           0           0

GLOBAL CROSSING LTD               COM   G3921A100      72,945   2,353,067  SH     DEFINED     01   2,074,781     223,319      54,967
GLOBAL CROSSING LTD               COM   G3921A100          50       1,600  SH     OTHER       01           0       1,000         600
GLOBAL CROSSING LTD               COM   G3921A100          63       2,025  SH     DEFINED     02         800       1,225           0
GLOBAL CROSSING LTD               COM   G3921A100          62       2,000  SH     OTHER       02           0       2,000           0
GLOBAL CROSSING LTD               COM   G3921A100         186       6,015  SH     DEFINED     03       3,232         457       2,326
GLOBAL CROSSING LTD               COM   G3921A100         127       4,100  SH     OTHER       03           0       4,100           0
GLOBAL CROSSING LTD               COM   G3921A100         596      19,221  SH     DEFINED     04      17,321           0       1,900
GLOBAL CROSSING LTD               COM   G3921A100         696      22,460  SH     OTHER       04      22,460           0           0
GLOBAL CROSSING LTD               COM   G3921A100      38,539   1,243,204  SH     DEFINED  01,08   1,243,204           0           0
GLOBAL CROSSING LTD               COM   G3921A100          41       1,330  SH     DEFINED     10       1,330           0           0

GLOBAL CROSSING LTD            CONV PFD G3921A134       2,234       9,000         DEFINED     01       9,000           0           0

HELEN OF TROY CORP LTD            COM   G4388N106         133      18,600  SH     DEFINED     01      18,600           0           0
HELEN OF TROY CORP LTD            COM   G4388N106           3         400  SH     OTHER       04         400           0           0
HELEN OF TROY CORP LTD            COM   G4388N106         552      77,521  SH     DEFINED  01,08      77,521           0           0

INTERWAVE COMMUNCTNS INTL LTD     COM   G4911N102         116      14,450  SH     OTHER       01           0           0      14,450

IPC HLDGS LTD                     COM   G4933P101         228      12,300  SH     DEFINED     01           0      12,300           0

LASALLE RE HLDGS LTD              COM   G5383Q101           8         400  SH     DEFINED     01         400           0           0
LASALLE RE HLDGS LTD              COM   G5383Q101           0      11,000  SH     DEFINED     04           0           0      11,000

LORAL SPACE & COMMUNICATIONS      COM   G56462107          21       3,500  SH     DEFINED     01       2,500       1,000           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107           9       1,500  SH     OTHER       01       1,500           0           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107           9       1,500  SH     DEFINED     02           0       1,000         500
LORAL SPACE & COMMUNICATIONS      COM   G56462107          34       5,500  SH     OTHER       03       5,500           0           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107          27       4,410  SH     DEFINED     04       4,410           0           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107          42       6,816  SH     OTHER       04       6,816           0           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107       1,475     240,800  SH     DEFINED  01,08     240,800           0           0
LORAL SPACE & COMMUNICATIONS      COM   G56462107          12       2,000  SH     DEFINED     10       2,000           0           0

MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105         812      10,524  SH     DEFINED     01       7,484           0       3,040
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105         199       2,586  SH     DEFINED  01,08       2,586           0           0

OPENTV CORP                       COM   G67543101         118       3,550  SH     DEFINED     01       2,216         903         431
OPENTV CORP                       COM   G67543101          19         578  SH     DEFINED     04         578           0           0
OPENTV CORP                       COM   G67543101         430      12,927  SH     DEFINED  01,08      12,927           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      3
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ORIENT-EXPRESS HOTELS LTD         COM   G67743107       5,534     287,500  SH     DEFINED     01     272,500           0      15,000

PXRE GROUP LTD                    COM   G73018106         579      36,750  SH     DEFINED     01      10,950      25,800           0
PXRE GROUP LTD                    COM   G73018106         305      19,394  SH     DEFINED  01,08      19,394           0           0

RENAISSANCE RE HLDGS LTD          COM   G7496G103         595       9,300  SH     DEFINED     01       8,200       1,100           0

SANTA FE INTL CORP                COM   G7805C108         854      18,960  SH     DEFINED     01      14,390           0       4,570
SANTA FE INTL CORP                COM   G7805C108         554      12,300  SH     OTHER       01           0         200      12,100
SANTA FE INTL CORP                COM   G7805C108       6,224     138,122  SH     DEFINED  01,08     138,122           0           0
SANTA FE INTL CORP                COM   G7805C108           3          57  SH     DEFINED     10          57           0           0

3D LABS INC LTD                   COM   G8846W103          30      11,600  SH     DEFINED     04           0           0      11,600

HILFIGER TOMMY CORP               COM   G8915Z102          35       3,625  SH     DEFINED     01       2,700         925           0
HILFIGER TOMMY CORP               COM   G8915Z102           2         200  SH     OTHER       04         200           0           0
HILFIGER TOMMY CORP               COM   G8915Z102         121      12,600  SH     DEFINED     05      11,850           0         750
HILFIGER TOMMY CORP               COM   G8915Z102          26       2,740  SH     OTHER       05       2,740           0           0

TRANSOCEAN SEDCO FOREX INC        COM   G90078109      83,471   1,423,820  SH     DEFINED     01     980,249     375,001      68,570
TRANSOCEAN SEDCO FOREX INC        COM   G90078109       6,181     105,434  SH     OTHER       01      47,629      34,215      23,590
TRANSOCEAN SEDCO FOREX INC        COM   G90078109         295       5,027  SH     DEFINED     02       3,114       1,382         531
TRANSOCEAN SEDCO FOREX INC        COM   G90078109         221       3,764  SH     OTHER       02       1,354       1,661         749
TRANSOCEAN SEDCO FOREX INC        COM   G90078109       2,104      35,883  SH     DEFINED     03      11,005      22,972       1,906
TRANSOCEAN SEDCO FOREX INC        COM   G90078109         665      11,346  SH     OTHER       03       5,481       5,306         559
TRANSOCEAN SEDCO FOREX INC        COM   G90078109      14,949     254,992  SH     DEFINED     04     244,624           0      10,368
TRANSOCEAN SEDCO FOREX INC        COM   G90078109       6,157     105,028  SH     OTHER       04     101,307           0       3,721
TRANSOCEAN SEDCO FOREX INC        COM   G90078109       3,345      57,061  SH     DEFINED     05      31,332      22,811       2,918
TRANSOCEAN SEDCO FOREX INC        COM   G90078109         183       3,126  SH     OTHER       05       1,593       1,146         387
TRANSOCEAN SEDCO FOREX INC        COM   G90078109      19,705     336,123  SH     DEFINED  01,08     336,123           0           0
TRANSOCEAN SEDCO FOREX INC        COM   G90078109          22         374  SH     DEFINED     09         374           0           0
TRANSOCEAN SEDCO FOREX INC        COM   G90078109           3          57  SH     OTHER       09          57           0           0
TRANSOCEAN SEDCO FOREX INC        COM   G90078109         154       2,634  SH     DEFINED     10       1,661         973           0
TRANSOCEAN SEDCO FOREX INC        COM   G90078109          42         719  SH     OTHER       10          62         638          19

TRITON ENERGY LTD                 COM   G90751101          39       1,000  SH     DEFINED     01       1,000           0           0
TRITON ENERGY LTD                 COM   G90751101           6         150  SH     OTHER       02         150           0           0
TRITON ENERGY LTD                 COM   G90751101         195       5,000  SH     DEFINED     04       5,000           0           0
TRITON ENERGY LTD                 COM   G90751101           8         200  SH     OTHER       04         200           0           0

WHITE MTNS INS GROUP LTD          COM   G9618E107          79         290  SH     DEFINED     02           0         290           0
WHITE MTNS INS GROUP LTD          COM   G9618E107          82         300  SH     OTHER       04         300           0           0
WHITE MTNS INS GROUP LTD          COM   G9618E107       4,272      15,654  SH     DEFINED  01,08      15,654           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      4
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

XOMA LTD                          COM   G9825R107           3         200  SH     DEFINED     04         200           0           0
XOMA LTD                          COM   G9825R107           1         100  SH     OTHER       04         100           0           0
XOMA LTD                          COM   G9825R107       1,261      87,347  SH     DEFINED  01,08      87,347           0           0

XL CAP LTD                        COM   G98255105         130       1,771  SH     DEFINED     01       1,200         571           0
XL CAP LTD                        COM   G98255105          30         411  SH     OTHER       03           0         411           0
XL CAP LTD                        COM   G98255105         191       2,604  SH     DEFINED     04       2,604           0           0
XL CAP LTD                        COM   G98255105          37         500  SH     OTHER       04         500           0           0
XL CAP LTD                        COM   G98255105          10         136  SH     DEFINED     10         136           0           0

STOLT OFFSHORE S A                COM   L8873E103         327      22,000  SH     DEFINED     01      22,000           0           0
STOLT OFFSHORE S A                COM   L8873E103         186      12,500  SH     OTHER       01           0           0      12,500

AUDIOCODES LTD                    COM   M15342104         502       5,900  SH     DEFINED     01           0       5,900           0

CHECK POINT SOFTWARE TECH LTD     COM   M22465104      55,065     349,620  SH     DEFINED     01     349,620           0           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104           3          20  SH     DEFINED     02           0          20           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104         299       1,900  SH     DEFINED     03           0       1,900           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104         236       1,500  SH     OTHER       03       1,500           0           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104          39         250  SH     DEFINED     04         250           0           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104          63         400  SH     OTHER       04         400           0           0
CHECK POINT SOFTWARE TECH LTD     COM   M22465104          43         272  SH     DEFINED     10         272           0           0

PRECISE SOFTWARE SOLUTIONS LTD    COM   M41450103          60       1,400  SH     DEFINED     01           0       1,400           0
PRECISE SOFTWARE SOLUTIONS LTD    COM   M41450103         768      17,800  SH     DEFINED  01,08      17,800           0           0

ARCADIS N V                       COM   N0605M105          80      11,400  SH     DEFINED     04           0           0      11,400

CORE LABORATORIES N V             COM   N22717107         447      18,200  SH     OTHER       01           0           0      18,200
CORE LABORATORIES N V             COM   N22717107           6         250  SH     OTHER       04         250           0           0

SAPIENS INTL CORP N V             COM   N7716A102          58      14,900  SH     DEFINED     04       1,000           0      13,900

STATIA TERMINALS GROUP N V        COM   N82345104          50       7,000  SH     DEFINED     04           0           0       7,000
STATIA TERMINALS GROUP N V        COM   N82345104           7       1,000  SH     OTHER       04       1,000           0           0
STATIA TERMINALS GROUP N V        COM   N82345104          86      12,100  SH     DEFINED  01,08           0      12,100           0

ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103          64       2,486  SH     DEFINED     04       2,486           0           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103          26       1,000  SH     OTHER       04       1,000           0           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103       3,495     135,769  SH     DEFINED  01,08     135,769           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      5
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

FLEXTRONICS INTL LTD              COM   Y2573F102      28,098     342,141  SH     DEFINED     01     222,254      82,395      37,492
FLEXTRONICS INTL LTD              COM   Y2573F102       3,044      37,061  SH     OTHER       01      30,148       1,475       5,438
FLEXTRONICS INTL LTD              COM   Y2573F102          38         468  SH     DEFINED     03         468           0           0
FLEXTRONICS INTL LTD              COM   Y2573F102         702       8,547  SH     DEFINED     04       1,547           0       7,000
FLEXTRONICS INTL LTD              COM   Y2573F102         130       1,586  SH     OTHER       04       1,586           0           0
FLEXTRONICS INTL LTD              COM   Y2573F102           6          75  SH     DEFINED     05          75           0           0
FLEXTRONICS INTL LTD              COM   Y2573F102       3,359      40,900  SH     DEFINED  01,08      40,900           0           0
FLEXTRONICS INTL LTD              COM   Y2573F102       1,260      15,346  SH     DEFINED     09      15,346           0           0
FLEXTRONICS INTL LTD              COM   Y2573F102          69         842  SH     DEFINED     10         842           0           0

OMI CORP NEW                      COM   Y6476W104         755      90,118  SH     DEFINED  01,08      90,118           0           0

TEEKAY SHIPPING MARSHALL ISLND    COM   Y8564W103       1,244      26,500  SH     DEFINED     01      19,600       6,800         100

AAR CORP                          COM   000361105         277      24,206  SH     DEFINED     01      18,822         500       4,884
AAR CORP                          COM   000361105           2         203  SH     OTHER       01           0           0         203
AAR CORP                          COM   000361105         584      51,046  SH     DEFINED  01,08      51,046           0           0

ABC-NACO INC                      COM   000752105           7       1,300  SH     DEFINED     01       1,300           0           0
ABC-NACO INC                      COM   000752105           5       1,000  SH     DEFINED     04       1,000           0           0
ABC-NACO INC                      COM   000752105         123      23,516  SH     DEFINED  01,08      23,516           0           0

ACTV INC                          COM   00088E104         266      19,374  SH     DEFINED     01      18,296           0       1,078
ACTV INC                          COM   00088E104         689      50,101  SH     DEFINED  01,08      50,101           0           0

A D C TELECOMMUNICATIONS          COM   000886101      43,862   1,631,110  SH     DEFINED     01   1,339,896     220,437      70,777
A D C TELECOMMUNICATIONS          COM   000886101       6,824     253,774  SH     OTHER       01     101,400     123,274      29,100
A D C TELECOMMUNICATIONS          COM   000886101         586      21,810  SH     DEFINED     02       9,810      12,000           0
A D C TELECOMMUNICATIONS          COM   000886101         966      35,910  SH     OTHER       02      31,110       4,800           0
A D C TELECOMMUNICATIONS          COM   000886101       2,443      90,834  SH     DEFINED     03      14,200      73,900       2,734
A D C TELECOMMUNICATIONS          COM   000886101         403      15,000  SH     OTHER       03       2,400       4,600       8,000
A D C TELECOMMUNICATIONS          COM   000886101       8,458     314,532  SH     DEFINED     04     271,432           0      43,100
A D C TELECOMMUNICATIONS          COM   000886101       2,949     109,680  SH     OTHER       04     105,280           0       4,400
A D C TELECOMMUNICATIONS          COM   000886101          81       3,000  SH     DEFINED     05       3,000           0           0
A D C TELECOMMUNICATIONS          COM   000886101      27,973   1,040,250  SH     DEFINED  01,08   1,040,250           0           0
A D C TELECOMMUNICATIONS          COM   000886101          16         600  SH     OTHER       09         600           0           0
A D C TELECOMMUNICATIONS          COM   000886101         161       6,000  SH     DEFINED     10       4,000       2,000           0
A D C TELECOMMUNICATIONS          COM   000886101         108       4,000  SH     OTHER       10       4,000           0           0

ADE CORP MASS                     COM   00089C107         325      15,878  SH     DEFINED     01      14,207           0       1,671
ADE CORP MASS                     COM   00089C107         394      19,235  SH     DEFINED  01,08      19,235           0           0

ACM GOVT INCOME FD INC         UNDEFIND 000912105           2      30,000         DEFINED     01           0      30,000           0
ACM GOVT INCOME FD INC         UNDEFIND 000912105          29       3,800         DEFINED     04       3,800           0           0
ACM GOVT INCOME FD INC         UNDEFIND 000912105          65       8,540         OTHER       04       8,540           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      6
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ACM GOVT SECS FD INC           UNDEFIND 000914101          10     144,600         DEFINED     01       2,000     142,600           0
ACM GOVT SECS FD INC           UNDEFIND 000914101           0       5,000         DEFINED     03           0       5,000           0
ACM GOVT SECS FD INC           UNDEFIND 000914101           0       5,371         OTHER       03       2,685           0       2,686
ACM GOVT SECS FD INC           UNDEFIND 000914101          22       3,033         DEFINED     04       3,033           0           0
ACM GOVT SECS FD INC           UNDEFIND 000914101           2         300         OTHER       04         300           0           0

ACM GOVT SPECTRUM FD INC          COM   000917104         866     142,800  SH     DEFINED     01           0     142,800           0
ACM GOVT SPECTRUM FD INC          COM   000917104          41       6,707  SH     DEFINED     04       6,707           0           0

ACM MANAGED INCOME FD INC         COM   000919100          96      17,851  SH     OTHER       04      17,851           0           0

ABM INDS INC                      COM   000957100         410      15,088  SH     DEFINED     01      10,896           0       4,192
ABM INDS INC                      COM   000957100         147       5,395  SH     OTHER       01       4,000       1,395           0
ABM INDS INC                      COM   000957100       1,139      41,904  SH     DEFINED  01,08      41,904           0           0

ACT MFG INC                       COM   000973107       9,061     171,773  SH     DEFINED     01     161,481           0      10,292
ACT MFG INC                       COM   000973107       1,058      20,050  SH     DEFINED  01,08      20,050           0           0

AEP INDS INC                      COM   001031103         381      11,234  SH     DEFINED  01,08      11,234           0           0

AFLAC INC                         COM   001055102      53,707     838,365  SH     DEFINED     01     673,389     131,111      33,865
AFLAC INC                         COM   001055102         743      11,600  SH     OTHER       01       3,500       7,900         200
AFLAC INC                         COM   001055102       1,493      23,300  SH     DEFINED     02      17,750       5,100         450
AFLAC INC                         COM   001055102         163       2,545  SH     OTHER       02         425       1,890         230
AFLAC INC                         COM   001055102       2,074      32,370  SH     DEFINED     03      11,350      18,170       2,850
AFLAC INC                         COM   001055102         392       6,125  SH     OTHER       03       1,400       3,075       1,650
AFLAC INC                         COM   001055102       1,835      28,641  SH     DEFINED     04      18,645           0       9,996
AFLAC INC                         COM   001055102       6,553     102,285  SH     OTHER       04     102,225           0          60
AFLAC INC                         COM   001055102         464       7,250  SH     DEFINED     05       5,150           0       2,100
AFLAC INC                         COM   001055102          51         800  SH     OTHER       05         300         500           0
AFLAC INC                         COM   001055102      27,562     430,243  SH     DEFINED  01,08     430,243           0           0
AFLAC INC                         COM   001055102       1,011      15,775  SH     DEFINED     09      15,775           0           0
AFLAC INC                         COM   001055102          40         625  SH     OTHER       09         400         225           0
AFLAC INC                         COM   001055102         359       5,600  SH     DEFINED     10       1,600       4,000           0
AFLAC INC                         COM   001055102          84       1,312  SH     OTHER       10           0       1,312           0

AGCO CORP                         COM   001084102       1,794     151,058  SH     DEFINED     01     101,789      37,200      12,069
AGCO CORP                         COM   001084102         103       8,700  SH     OTHER       01       8,700           0           0
AGCO CORP                         COM   001084102          64       5,368  SH     DEFINED     04       5,368           0           0
AGCO CORP                         COM   001084102       2,062     173,631  SH     DEFINED  01,08     173,631           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      7
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AGL RES INC                       COM   001204106       1,297      64,637  SH     DEFINED     01      51,974       1,600      11,063
AGL RES INC                       COM   001204106           6         300  SH     OTHER       01           0         300           0
AGL RES INC                       COM   001204106         217      10,800  SH     DEFINED     04      10,800           0           0
AGL RES INC                       COM   001204106         125       6,233  SH     OTHER       04       6,233           0           0
AGL RES INC                       COM   001204106       3,602     179,538  SH     DEFINED  01,08     157,878      21,660           0

AG SVCS AMER INC                  COM   001250109         102       5,800  SH     DEFINED     01       5,800           0           0
AG SVCS AMER INC                  COM   001250109         119       6,773  SH     DEFINED  01,08       6,773           0           0

AHL SVCS INC                      COM   001296102         188      21,846  SH     DEFINED  01,08      21,846           0           0

AES CORP                          COM   00130H105      64,214     937,433  SH     DEFINED     01     731,913     156,148      49,372
AES CORP                          COM   00130H105         340       4,960  SH     OTHER       01           0       4,560         400
AES CORP                          COM   00130H105         356       5,200  SH     DEFINED     03         200       5,000           0
AES CORP                          COM   00130H105         233       3,400  SH     OTHER       03           0       3,400           0
AES CORP                          COM   00130H105       1,199      17,505  SH     DEFINED     04      15,600           0       1,905
AES CORP                          COM   00130H105       1,082      15,790  SH     OTHER       04       3,050           0      12,740
AES CORP                          COM   00130H105         185       2,694  SH     DEFINED     05       2,694           0           0
AES CORP                          COM   00130H105      48,369     706,111  SH     DEFINED  01,08     684,507      21,604           0
AES CORP                          COM   00130H105          55         800  SH     OTHER       09         800           0           0
AES CORP                          COM   00130H105         179       2,616  SH     DEFINED     10       1,016       1,600           0

AHT CORP                          COM   00130R103           6      13,300  SH     DEFINED  01,08      13,300           0           0

AK STL HLDG CORP                  COM   001547108       1,035     110,377  SH     DEFINED     01      94,852           0      15,525
AK STL HLDG CORP                  COM   001547108         130      13,897  SH     DEFINED     04      13,897           0           0
AK STL HLDG CORP                  COM   001547108          15       1,557  SH     OTHER       04       1,557           0           0
AK STL HLDG CORP                  COM   001547108           0           1  SH     OTHER       05           0           1           0
AK STL HLDG CORP                  COM   001547108       2,935     313,116  SH     DEFINED  01,08     313,116           0           0

AMBI INC                          COM   00163N102          16      10,000  SH     DEFINED     04      10,000           0           0
AMBI INC                          COM   00163N102          45      28,801  SH     DEFINED  01,08      28,801           0           0

AMB PROPERTY CORP                 COM   00163T109         205       8,340  SH     DEFINED     01       6,498           0       1,842
AMB PROPERTY CORP                 COM   00163T109         185       7,513  SH     DEFINED  01,08       7,513           0           0
AMB PROPERTY CORP                 COM   00163T109          29       1,200  SH     DEFINED     10       1,200           0           0

AMC ENTMT INC                     COM   001669100          53      30,274  SH     DEFINED  01,08      30,274           0           0

AMLI RESIDENTIAL PPTYS TR         COM   001735109         213       8,877  SH     DEFINED     01       6,015           0       2,862
AMLI RESIDENTIAL PPTYS TR         COM   001735109          14         600  SH     OTHER       02           0         600           0
AMLI RESIDENTIAL PPTYS TR         COM   001735109          91       3,808  SH     DEFINED     04       3,808           0           0
AMLI RESIDENTIAL PPTYS TR         COM   001735109          87       3,619  SH     DEFINED  01,08       3,619           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      8
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMR CORP                          COM   001765106       8,982     274,783  SH     DEFINED     01     217,584      42,982      14,217
AMR CORP                          COM   001765106           6         175  SH     OTHER       01           0         175           0
AMR CORP                          COM   001765106           1          20  SH     OTHER       02           0          20           0
AMR CORP                          COM   001765106           3         100  SH     DEFINED     03         100           0           0
AMR CORP                          COM   001765106          69       2,120  SH     DEFINED     04       2,120           0           0
AMR CORP                          COM   001765106       8,589     262,774  SH     DEFINED  01,08     262,774           0           0

ANC RENTAL CORP                   COM   001813104          32       5,537  SH     DEFINED     01       4,133         125       1,279
ANC RENTAL CORP                   COM   001813104          10       1,695  SH     OTHER       01       1,695           0           0
ANC RENTAL CORP                   COM   001813104         225      39,081  SH     DEFINED     04      39,081           0           0
ANC RENTAL CORP                   COM   001813104           2         312  SH     OTHER       04         312           0           0
ANC RENTAL CORP                   COM   001813104         137      23,753  SH     DEFINED  01,08      23,753           0           0

APAC CUSTOMER SERVICES INC        COM   00185E106         164      30,926  SH     DEFINED     01      23,506       7,000         420
APAC CUSTOMER SERVICES INC        COM   00185E106         379      71,269  SH     DEFINED  01,08      71,269           0           0

APA OPTICS INC                    COM   001853100         142      11,487  SH     DEFINED  01,08      11,487           0           0

ARI NETWORK SVCS INC              COM   001930205          23      11,400  SH     DEFINED  01,08      11,400           0           0

AT&T CORP                         COM   001957109     227,304   7,738,011  SH     DEFINED     01   6,022,175   1,205,277     510,559
AT&T CORP                         COM   001957109      14,232     484,498  SH     OTHER       01     235,128     220,634      28,736
AT&T CORP                         COM   001957109       4,095     139,420  SH     DEFINED     02      88,445      38,977      11,998
AT&T CORP                         COM   001957109       2,970     101,101  SH     OTHER       02      65,553      28,736       6,812
AT&T CORP                         COM   001957109       5,978     203,498  SH     DEFINED     03      88,870      99,223      15,405
AT&T CORP                         COM   001957109       2,949     100,396  SH     OTHER       03      68,831      28,290       3,275
AT&T CORP                         COM   001957109      18,835     641,204  SH     DEFINED     04     606,974           0      34,230
AT&T CORP                         COM   001957109      18,345     624,522  SH     OTHER       04     590,699           0      33,823
AT&T CORP                         COM   001957109       2,136      72,698  SH     DEFINED     05      51,898      14,600       6,200
AT&T CORP                         COM   001957109         512      17,415  SH     OTHER       05       9,440       6,875       1,100
AT&T CORP                         COM   001957109     198,450   6,755,753  SH     DEFINED  01,08   5,847,331     754,902     153,520
AT&T CORP                         COM   001957109         119       4,065  SH     DEFINED     09       4,065           0           0
AT&T CORP                         COM   001957109          32       1,100  SH     OTHER       09           0       1,100           0
AT&T CORP                         COM   001957109       2,248      76,541  SH     DEFINED     10      34,993      41,548           0
AT&T CORP                         COM   001957109         566      19,279  SH     OTHER       10       3,748      15,131         400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE      9
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AT&T CORP                         COM   001957208       8,991     499,501  SH     DEFINED     01     294,108     104,564     100,829
AT&T CORP                         COM   001957208       2,024     112,428  SH     OTHER       01       4,248       5,620     102,560
AT&T CORP                         COM   001957208           7         416  SH     DEFINED     02           0         416           0
AT&T CORP                         COM   001957208         344      19,112  SH     OTHER       02           0      19,112           0
AT&T CORP                         COM   001957208          27       1,508  SH     DEFINED     03       1,508           0           0
AT&T CORP                         COM   001957208         144       8,000  SH     OTHER       03       3,000       5,000           0
AT&T CORP                         COM   001957208       2,383     132,386  SH     DEFINED     04      73,386           0      59,000
AT&T CORP                         COM   001957208         563      31,262  SH     OTHER       04      26,210           0       5,052
AT&T CORP                         COM   001957208       6,166     342,562  SH     DEFINED  01,08     342,562           0           0
AT&T CORP                         COM   001957208           9         520  SH     DEFINED     10         520           0           0

AT&T CORP                         COM   001957406       1,139      54,582  SH     DEFINED     01      27,718      17,100       9,764
AT&T CORP                         COM   001957406         228      10,932  SH     OTHER       01       1,000       9,932           0
AT&T CORP                         COM   001957406         122       5,860  SH     DEFINED     03           0       5,860           0
AT&T CORP                         COM   001957406           9         450  SH     OTHER       03         450           0           0
AT&T CORP                         COM   001957406         122       5,827  SH     DEFINED     04       5,227           0         600
AT&T CORP                         COM   001957406          96       4,600  SH     OTHER       04       4,300           0         300
AT&T CORP                         COM   001957406         762      36,500  SH     DEFINED  01,08      36,500           0           0
AT&T CORP                         COM   001957406          20         950  SH     DEFINED     10         950           0           0

A S V INC                         COM   001963107         156      12,100  SH     DEFINED  01,08      12,100           0           0

ATMI INC                          COM   00207R101         553      23,660  SH     DEFINED     01      23,170           0         490
ATMI INC                          COM   00207R101          16         700  SH     DEFINED     03         700           0           0
ATMI INC                          COM   00207R101          58       2,500  SH     DEFINED     04           0           0       2,500
ATMI INC                          COM   00207R101       1,091      46,675  SH     DEFINED  01,08      46,675           0           0

ASD SYSTEMS                       COM   00207W100          23      27,579  SH     DEFINED  01,08      27,579           0           0

ATS MED INC                       COM   002083103         525      34,853  SH     DEFINED     01      34,242           0         611
ATS MED INC                       COM   002083103          15       1,000  SH     DEFINED     04       1,000           0           0
ATS MED INC                       COM   002083103         574      38,099  SH     DEFINED  01,08      38,099           0           0

AVI BIOPHARMA INC                 COM   002346104         157      19,974  SH     DEFINED  01,08      19,974           0           0

AVT CORP                          COM   002420107         140      25,121  SH     DEFINED     01      24,389           0         732
AVT CORP                          COM   002420107         238      42,811  SH     DEFINED  01,08      42,811           0           0

AVX CORP NEW                      COM   002444107         110       4,213  SH     DEFINED     01       2,778           0       1,435
AVX CORP NEW                      COM   002444107           5         200  SH     DEFINED     04         200           0           0
AVX CORP NEW                      COM   002444107       3,505     134,499  SH     DEFINED  01,08     134,499           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     10
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AXA FINL INC                      COM   002451102       8,202     161,029  SH     DEFINED     01      84,693      62,104      14,232
AXA FINL INC                      COM   002451102         502       9,854  SH     OTHER       01       2,200       6,154       1,500
AXA FINL INC                      COM   002451102       3,518      69,068  SH     DEFINED     02      38,103      24,965       6,000
AXA FINL INC                      COM   002451102         880      17,279  SH     OTHER       02       5,329       9,450       2,500
AXA FINL INC                      COM   002451102       1,636      32,112  SH     DEFINED     03       8,114      20,048       3,950
AXA FINL INC                      COM   002451102         270       5,300  SH     OTHER       03       3,100       2,200           0
AXA FINL INC                      COM   002451102      20,126     395,122  SH     DEFINED     04     382,622           0      12,500
AXA FINL INC                      COM   002451102       5,250     103,062  SH     OTHER       04     101,697           0       1,365
AXA FINL INC                      COM   002451102       5,449     106,980  SH     DEFINED     05      64,385      38,270       4,325
AXA FINL INC                      COM   002451102         364       7,140  SH     OTHER       05       4,940       1,100       1,100
AXA FINL INC                      COM   002451102      17,541     344,364  SH     DEFINED  01,08     344,364           0           0
AXA FINL INC                      COM   002451102       1,166      22,885  SH     DEFINED     09      22,885           0           0
AXA FINL INC                      COM   002451102          61       1,190  SH     OTHER       09         700         490           0
AXA FINL INC                      COM   002451102          10         206  SH     OTHER       10           6         200           0

AXT INC                           COM   00246W103         759      18,150  SH     DEFINED     01      16,855           0       1,295
AXT INC                           COM   00246W103         125       3,000  SH     DEFINED     04       3,000           0           0
AXT INC                           COM   00246W103       1,020      24,387  SH     DEFINED  01,08      24,387           0           0

AZZ INC                           COM   002474104         321      17,127  SH     DEFINED  01,08      17,127           0           0

AASTROM BIOSCIENCES INC           COM   00253U107          12       4,365  SH     DEFINED  01,08       4,365           0           0
AASTROM BIOSCIENCES INC           COM   00253U107          19       6,901  SH     DEFINED     10       6,901           0           0

AARON RENTS INC                   COM   002535201         140      10,890  SH     DEFINED     01       7,077           0       3,813
AARON RENTS INC                   COM   002535201          72       5,600  SH     DEFINED     04           0           0       5,600
AARON RENTS INC                   COM   002535201         128       9,942  SH     DEFINED  01,08       9,942           0           0

AARON RENTS INC                   COM   002535300         363      25,668  SH     DEFINED  01,08      25,668           0           0

ABAXIS INC                        COM   002567105         122      21,190  SH     DEFINED  01,08      21,190           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     11
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ABBOTT LABS                       COM   002824100     271,034   5,698,548  SH     DEFINED     01   4,015,336   1,281,589     401,623
ABBOTT LABS                       COM   002824100     149,745   3,148,416  SH     OTHER       01   1,081,461   1,704,678     362,277
ABBOTT LABS                       COM   002824100      13,269     278,989  SH     DEFINED     02     189,410      73,289      16,290
ABBOTT LABS                       COM   002824100     207,242   4,357,311  SH     OTHER       02   4,304,785      42,466      10,060
ABBOTT LABS                       COM   002824100      16,566     348,296  SH     DEFINED     03     204,574     126,602      17,120
ABBOTT LABS                       COM   002824100      21,133     444,335  SH     OTHER       03     150,599     291,536       2,200
ABBOTT LABS                       COM   002824100      45,006     946,256  SH     DEFINED     04     870,977           0      75,279
ABBOTT LABS                       COM   002824100      72,145   1,516,857  SH     OTHER       04   1,389,948           0     126,909
ABBOTT LABS                       COM   002824100       3,045      64,024  SH     DEFINED     05      55,374       8,650           0
ABBOTT LABS                       COM   002824100       1,727      36,314  SH     OTHER       05      14,164      22,150           0
ABBOTT LABS                       COM   002824100     109,912   2,310,916  SH     DEFINED  01,08   2,310,666         250           0
ABBOTT LABS                       COM   002824100         629      13,218  SH     DEFINED     09      13,218           0           0
ABBOTT LABS                       COM   002824100         194       4,085  SH     OTHER       09           0       4,085           0
ABBOTT LABS                       COM   002824100      10,994     231,158  SH     DEFINED     10     111,750     118,708         700
ABBOTT LABS                       COM   002824100       3,619      76,090  SH     OTHER       10       6,100      69,990           0

ABERCROMBIE & FITCH CO            COM   002896207       2,906     152,430  SH     DEFINED     01     149,541           0       2,889
ABERCROMBIE & FITCH CO            COM   002896207           4         222  SH     DEFINED     03           0         222           0
ABERCROMBIE & FITCH CO            COM   002896207           8         400  SH     DEFINED     04         400           0           0
ABERCROMBIE & FITCH CO            COM   002896207           0           5  SH     OTHER       04           5           0           0
ABERCROMBIE & FITCH CO            COM   002896207       5,526     289,914  SH     DEFINED  01,08     289,914           0           0

ABGENIX INC                       COM   00339B107       2,515      31,116  SH     DEFINED     01      28,298           0       2,818
ABGENIX INC                       COM   00339B107       5,395      66,758  SH     DEFINED  01,08      66,758           0           0

ABINGTON BANCORP INC NEW          COM   00350P100         167      16,525  SH     DEFINED  01,08      16,525           0           0

ABIOMED INC                       COM   003654100         585       8,589  SH     DEFINED     01       7,458       1,000         131
ABIOMED INC                       COM   003654100       2,021      29,663  SH     DEFINED  01,08      29,663           0           0

ABLEST INC                        COM   00371W100          54      11,930  SH     DEFINED  01,08      11,930           0           0

ABOUT COM INC                     COM   003736105         475      14,664  SH     DEFINED     01      14,195           0         469
ABOUT COM INC                     COM   003736105         819      25,286  SH     DEFINED  01,08      25,286           0           0

ABRAMS INDS INC                   COM   003788106          44      12,140  SH     DEFINED  01,08      12,140           0           0

ACACIA RESH CORP                  COM   003881109         602      17,269  SH     DEFINED     01      16,011       1,000         258
ACACIA RESH CORP                  COM   003881109         704      20,189  SH     DEFINED  01,08      20,189           0           0

ACCELERATED NETWORKS INC          COM   00429P107           7         413  SH     DEFINED     01           0         413           0
ACCELERATED NETWORKS INC          COM   00429P107         756      44,800  SH     DEFINED  01,08      44,800           0           0

ACCEPTANCE INS COS INC            COM   004308102          19       2,800  SH     DEFINED     01       2,800           0           0
ACCEPTANCE INS COS INC            COM   004308102         172      25,922  SH     DEFINED  01,08      25,922           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     12
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ACCLAIM ENTMT INC                 COM   004325205           2       1,000  SH     DEFINED     01       1,000           0           0
ACCLAIM ENTMT INC                 COM   004325205         159      90,604  SH     DEFINED  01,08      90,604           0           0

ACCREDO HEALTH INC                COM   00437V104         583      11,932  SH     DEFINED     01      11,609           0         323
ACCREDO HEALTH INC                COM   00437V104       1,211      24,777  SH     DEFINED  01,08      24,777           0           0

ACCRUE SOFTWARE INC               COM   00437W102         571      47,850  SH     DEFINED     01      47,465           0         385
ACCRUE SOFTWARE INC               COM   00437W102          35       2,923  SH     DEFINED     03           0       2,923           0
ACCRUE SOFTWARE INC               COM   00437W102         496      41,534  SH     DEFINED  01,08      41,534           0           0

ACE CASH EXPRESS INC              COM   004403101         194      17,650  SH     DEFINED  01,08      17,650           0           0

ACE COMM CORP                     COM   004404109          80      11,947  SH     DEFINED  01,08      11,947           0           0

ACETO CORP                        COM   004446100          22       2,210  SH     DEFINED     01       2,210           0           0
ACETO CORP                        COM   004446100         203      20,819  SH     DEFINED  01,08      20,819           0           0

ACKERLEY GROUP INC                COM   004527107         161      16,057  SH     DEFINED     01      15,850           0         207
ACKERLEY GROUP INC                COM   004527107          19       1,900  SH     OTHER       01           0           0       1,900
ACKERLEY GROUP INC                COM   004527107         993      99,310  SH     DEFINED  01,08      99,310           0           0

ACLARA BIOSCIENCES INC            COM   00461P106         394      12,958  SH     DEFINED     01       9,544       3,200         214
ACLARA BIOSCIENCES INC            COM   00461P106       1,319      43,431  SH     DEFINED  01,08      43,431           0           0

ACME COMMUNICATION INC            COM   004631107          51       5,695  SH     DEFINED     01       4,016           0       1,679
ACME COMMUNICATION INC            COM   004631107         143      15,837  SH     DEFINED  01,08      15,837           0           0

ACME ELEC CORP                    COM   004644100         143      16,593  SH     DEFINED  01,08      16,593           0           0

ACME UTD CORP                     COM   004816104          51      14,577  SH     DEFINED  01,08      14,577           0           0

ACNIELSEN CORP                    COM   004833109       3,101     130,249  SH     DEFINED     01      84,120      41,694       4,435
ACNIELSEN CORP                    COM   004833109       1,119      46,993  SH     OTHER       01       6,225      23,070      17,698
ACNIELSEN CORP                    COM   004833109          10         399  SH     DEFINED     02         133         266           0
ACNIELSEN CORP                    COM   004833109          72       3,032  SH     OTHER       02         366       2,666           0
ACNIELSEN CORP                    COM   004833109           8         333  SH     DEFINED     03           0         333           0
ACNIELSEN CORP                    COM   004833109           2          75  SH     DEFINED     04          75           0           0
ACNIELSEN CORP                    COM   004833109          74       3,088  SH     OTHER       04       3,055           0          33
ACNIELSEN CORP                    COM   004833109       4,353     182,793  SH     DEFINED  01,08     182,793           0           0
ACNIELSEN CORP                    COM   004833109           3         116  SH     DEFINED     09           0         116           0
ACNIELSEN CORP                    COM   004833109           7         280  SH     DEFINED     10         280           0           0

ACTIVISION INC NEW                COM   004930202         191      12,754  SH     DEFINED     04      12,754           0           0
ACTIVISION INC NEW                COM   004930202         521      34,735  SH     DEFINED  01,08      34,735           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     13
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ACTION PERFORMANCE COS INC        COM   004933107          94      27,412  SH     DEFINED  01,08      27,412           0           0

ACTEL CORP                        COM   004934105         922      25,652  SH     DEFINED     01      22,566       1,300       1,786
ACTEL CORP                        COM   004934105       1,387      38,600  SH     DEFINED  01,08      38,600           0           0

ACRES GAMING INC                  COM   004936100          22      13,200  SH     DEFINED  01,08      13,200           0           0

ACTIVE VOICE CORP                 COM   004938106          16       1,400  SH     DEFINED     01       1,400           0           0
ACTIVE VOICE CORP                 COM   004938106         180      15,316  SH     DEFINED  01,08      15,316           0           0

ACTIONPOINT INC                   COM   00504A108           9       2,000  SH     OTHER       01           0       2,000           0
ACTIONPOINT INC                   COM   00504A108          55      11,922  SH     DEFINED  01,08      11,922           0           0

ACTIVE POWER INC                  COM   00504W100         124       2,000  SH     DEFINED     01           0       2,000           0
ACTIVE POWER INC                  COM   00504W100          31         500  SH     OTHER       04         500           0           0
ACTIVE POWER INC                  COM   00504W100       2,213      35,700  SH     DEFINED  01,08      35,700           0           0

ACTRADE FINL TECHNOLOGIES LTD     COM   00507P102         597      19,862  SH     DEFINED  01,08      19,862           0           0

ACTUATE CORP                      COM   00508B102       2,039      59,028  SH     DEFINED     01      57,018           0       2,010
ACTUATE CORP                      COM   00508B102       4,301     124,492  SH     DEFINED  01,08     124,492           0           0

ACTUANT CORP                      COM   00508X104         141      35,720  SH     DEFINED     01      32,684           0       3,036
ACTUANT CORP                      COM   00508X104          26       6,700  SH     DEFINED     04           0           0       6,700
ACTUANT CORP                      COM   00508X104           1         200  SH     DEFINED     05           0           0         200
ACTUANT CORP                      COM   00508X104         252      63,899  SH     DEFINED  01,08      63,899           0           0

ACUSON CORP                       COM   005113105       1,195      52,521  SH     DEFINED     01      48,449           0       4,072
ACUSON CORP                       COM   005113105       1,793      78,821  SH     DEFINED  01,08      78,821           0           0

ACXIOM CORP                       COM   005125109       8,013     252,380  SH     DEFINED     01     113,361     128,525      10,494
ACXIOM CORP                       COM   005125109         309       9,720  SH     OTHER       01         345       6,200       3,175
ACXIOM CORP                       COM   005125109          17         550  SH     DEFINED     03           0         550           0
ACXIOM CORP                       COM   005125109         435      13,700  SH     DEFINED     04           0           0      13,700
ACXIOM CORP                       COM   005125109       7,862     247,633  SH     DEFINED  01,08     247,633           0           0

ADAC LABS                         COM   005313200         496      23,812  SH     DEFINED     01      21,144       1,400       1,268
ADAC LABS                         COM   005313200         106       5,100  SH     DEFINED     04           0           0       5,100
ADAC LABS                         COM   005313200       1,241      59,639  SH     DEFINED  01,08      59,639           0           0

ADAM COM INC                      COM   00547M101          58      15,559  SH     DEFINED  01,08      15,559           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     14
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ADAMS EXPRESS CO                  COM   006212104       1,677      43,426  SH     DEFINED     01      10,807       2,067      30,552
ADAMS EXPRESS CO                  COM   006212104          58       1,509  SH     OTHER       01       1,509           0           0
ADAMS EXPRESS CO                  COM   006212104         110       2,854  SH     DEFINED     02       2,854           0           0
ADAMS EXPRESS CO                  COM   006212104         162       4,198  SH     OTHER       03           0       4,198           0
ADAMS EXPRESS CO                  COM   006212104         323       8,375  SH     DEFINED     04       8,375           0           0
ADAMS EXPRESS CO                  COM   006212104          80       2,067  SH     OTHER       04       2,067           0           0

ADAMS RES & ENERGY INC            COM   006351308         208      14,074  SH     DEFINED  01,08      14,074           0           0

ADAPTIVE BROADBAND CORP           COM   00650M104       1,095      56,168  SH     DEFINED     01      52,396         900       2,872
ADAPTIVE BROADBAND CORP           COM   00650M104          34       1,758  SH     OTHER       01           0       1,758           0
ADAPTIVE BROADBAND CORP           COM   00650M104       1,387      71,144  SH     DEFINED  01,08      71,144           0           0

ADAPTEC INC                       COM   00651F108       3,489     174,450  SH     DEFINED     01     142,675      25,436       6,339
ADAPTEC INC                       COM   00651F108           6         300  SH     DEFINED     03           0         300           0
ADAPTEC INC                       COM   00651F108          84       4,200  SH     DEFINED     04       4,200           0           0
ADAPTEC INC                       COM   00651F108           1          50  SH     DEFINED     05          50           0           0
ADAPTEC INC                       COM   00651F108       3,055     152,744  SH     DEFINED  01,08     152,744           0           0

ADELPHIA BUSINESS SOLUTIONS       COM   006847107         334      28,276  SH     DEFINED     01      27,788           0         488
ADELPHIA BUSINESS SOLUTIONS       COM   006847107           2         200  SH     DEFINED     04         200           0           0
ADELPHIA BUSINESS SOLUTIONS       COM   006847107         629      53,275  SH     DEFINED  01,08      53,275           0           0

ADELPHIA COMMUNICATIONS CORP      COM   006848105         231       8,393  SH     DEFINED     01       6,505           0       1,888
ADELPHIA COMMUNICATIONS CORP      COM   006848105          11         400  SH     OTHER       01           0           0         400
ADELPHIA COMMUNICATIONS CORP      COM   006848105         332      12,050  SH     DEFINED     04         100           0      11,950
ADELPHIA COMMUNICATIONS CORP      COM   006848105          22         800  SH     OTHER       04         800           0           0
ADELPHIA COMMUNICATIONS CORP      COM   006848105       2,518      91,357  SH     DEFINED  01,08      91,357           0           0

ADEPT TECHNOLOGY INC              COM   006854103         632      12,033  SH     DEFINED     01      11,882           0         151
ADEPT TECHNOLOGY INC              COM   006854103         800      15,222  SH     DEFINED  01,08      15,222           0           0

ADMINISTAFF INC                   COM   007094105         936      12,359  SH     DEFINED     01       9,096       2,300         963
ADMINISTAFF INC                   COM   007094105       1,023      13,510  SH     DEFINED  01,08      13,510           0           0

ADMIRALTY BANCORP INC             COM   007231103         257      29,356  SH     DEFINED     04      29,356           0           0
ADMIRALTY BANCORP INC             COM   007231103          22       2,500  SH     DEFINED  01,08       2,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     15
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ADOBE SYS INC                     COM   00724F101      28,016     180,460  SH     DEFINED     01     163,753       3,142      13,565
ADOBE SYS INC                     COM   00724F101          70         450  SH     OTHER       01         350           0         100
ADOBE SYS INC                     COM   00724F101       1,041       6,705  SH     DEFINED     02         205       6,500           0
ADOBE SYS INC                     COM   00724F101         114         735  SH     OTHER       02         135           0         600
ADOBE SYS INC                     COM   00724F101         652       4,200  SH     DEFINED     04       4,200           0           0
ADOBE SYS INC                     COM   00724F101         190       1,225  SH     OTHER       04       1,225           0           0
ADOBE SYS INC                     COM   00724F101      27,339     176,097  SH     DEFINED  01,08     176,097           0           0
ADOBE SYS INC                     COM   00724F101         621       4,000  SH     DEFINED     10           0       4,000           0

ADTRAN INC                        COM   00738A106       1,058      24,861  SH     DEFINED     01      22,555         700       1,606
ADTRAN INC                        COM   00738A106          64       1,500  SH     OTHER       04       1,500           0           0
ADTRAN INC                        COM   00738A106       4,431     104,149  SH     DEFINED  01,08     104,149           0           0

ADVANCE PARADIGM INC              COM   007491103         871      20,645  SH     DEFINED     01      19,407           0       1,238
ADVANCE PARADIGM INC              COM   007491103       1,619      38,365  SH     DEFINED  01,08      38,365           0           0

ADVANCED AERODYNAMICS&STRUCTUR    WT    00750B115          10      30,800         DEFINED     04      30,800           0           0

ADVANCED DIGITAL INFORMATION      COM   007525108         899      59,184  SH     DEFINED     01      44,589      11,050       3,545
ADVANCED DIGITAL INFORMATION      COM   007525108         176      11,600  SH     DEFINED     04           0           0      11,600
ADVANCED DIGITAL INFORMATION      COM   007525108       1,034      68,063  SH     DEFINED  01,08      68,063           0           0

ADVANCED LTG TECHNOLOGIES         COM   00753C102         436      35,250  SH     DEFINED     01      34,553           0         697
ADVANCED LTG TECHNOLOGIES         COM   00753C102         382      30,896  SH     DEFINED  01,08      30,896           0           0

ADVANCED MAGNETICS INC            COM   00753P103          73      19,565  SH     DEFINED  01,08      19,565           0           0

ADVANCED MARKETING SVCS INC       COM   00753T105         369      20,963  SH     DEFINED     01      20,768           0         195
ADVANCED MARKETING SVCS INC       COM   00753T105         808      45,851  SH     DEFINED  01,08      45,851           0           0

ADVANCED FIBRE COMMUNICATIONS     COM   00754A105         289       7,619  SH     DEFINED     01       4,123           0       3,496
ADVANCED FIBRE COMMUNICATIONS     COM   00754A105         114       3,000  SH     OTHER       01           0           0       3,000
ADVANCED FIBRE COMMUNICATIONS     COM   00754A105           8         200  SH     DEFINED     02         200           0           0
ADVANCED FIBRE COMMUNICATIONS     COM   00754A105          15         400  SH     DEFINED     03           0         400           0
ADVANCED FIBRE COMMUNICATIONS     COM   00754A105       2,600      68,659  SH     DEFINED  01,08      68,659           0           0

ADVANCED PHOTONIX INC             COM   00754E107          56      26,150  SH     DEFINED  01,08      26,150           0           0

ADVANCED POLYMER SYS INC          COM   00754G102          76      35,741  SH     DEFINED  01,08      35,741           0           0

ADVANCED RADIO TELECOM CORP       COM   00754U101         399      46,902  SH     DEFINED     01      46,448           0         454
ADVANCED RADIO TELECOM CORP       COM   00754U101           9       1,000  SH     OTHER       01           0           0       1,000
ADVANCED RADIO TELECOM CORP       COM   00754U101         232      27,304  SH     DEFINED  01,08      27,304           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     16
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ADVANCED TISSUE SCIENCES INC      COM   00755F103         476      64,067  SH     DEFINED     01      60,294         500       3,273
ADVANCED TISSUE SCIENCES INC      COM   00755F103          15       2,000  SH     DEFINED     03           0       2,000           0
ADVANCED TISSUE SCIENCES INC      COM   00755F103           6         800  SH     OTHER       04         800           0           0
ADVANCED TISSUE SCIENCES INC      COM   00755F103         567      76,286  SH     DEFINED  01,08      76,286           0           0

ADVEST GROUP INC                  COM   007566102         193       6,100  SH     DEFINED     01       6,100           0           0
ADVEST GROUP INC                  COM   007566102       1,045      32,973  SH     DEFINED  01,08      32,973           0           0

ADVANTAGE LEARNING SYSTEMS        COM   00757K100         328       9,366  SH     DEFINED     01       9,200           0         166
ADVANTAGE LEARNING SYSTEMS        COM   00757K100         151       4,300  SH     DEFINED     04         200           0       4,100
ADVANTAGE LEARNING SYSTEMS        COM   00757K100       1,602      45,699  SH     DEFINED  01,08      45,699           0           0

ADVANCED NEUROMODULATION SYS      COM   00757T101         161       8,242  SH     DEFINED     01       5,542       2,700           0
ADVANCED NEUROMODULATION SYS      COM   00757T101         446      22,880  SH     DEFINED  01,08      22,880           0           0

ADVO INC                          COM   007585102       1,117      33,852  SH     DEFINED     01      20,685      10,100       3,067
ADVO INC                          COM   007585102          66       2,000  SH     DEFINED     04       2,000           0           0
ADVO INC                          COM   007585102       3,417     103,532  SH     DEFINED  01,08     103,532           0           0

AEROFLEX INC                      COM   007768104       1,494      30,733  SH     DEFINED     01      26,953       1,600       2,180
AEROFLEX INC                      COM   007768104          24         500  SH     DEFINED     04         500           0           0
AEROFLEX INC                      COM   007768104       2,097      43,132  SH     DEFINED  01,08      43,132           0           0

ADVANCED MICRO DEVICES INC        COM   007903107      27,417   1,160,528  SH     DEFINED     01   1,043,618      82,452      34,458
ADVANCED MICRO DEVICES INC        COM   007903107           5         200  SH     OTHER       01           0           0         200
ADVANCED MICRO DEVICES INC        COM   007903107          24       1,000  SH     DEFINED     02           0       1,000           0
ADVANCED MICRO DEVICES INC        COM   007903107           5         200  SH     OTHER       02           0         200           0
ADVANCED MICRO DEVICES INC        COM   007903107           5         200  SH     DEFINED     03         200           0           0
ADVANCED MICRO DEVICES INC        COM   007903107           5         200  SH     OTHER       03           0         200           0
ADVANCED MICRO DEVICES INC        COM   007903107         287      12,150  SH     DEFINED     04      11,700           0         450
ADVANCED MICRO DEVICES INC        COM   007903107         154       6,500  SH     OTHER       04       6,500           0           0
ADVANCED MICRO DEVICES INC        COM   007903107      11,203     474,192  SH     DEFINED  01,08     474,192           0           0
ADVANCED MICRO DEVICES INC        COM   007903107          12         500  SH     DEFINED     10         500           0           0

AEGON N V                         COM   007924103       4,382     118,029  SH     DEFINED     01      71,051      45,688       1,290
AEGON N V                         COM   007924103       1,938      52,210  SH     OTHER       01      36,867      13,543       1,800
AEGON N V                         COM   007924103         140       3,776  SH     DEFINED     02       3,472         304           0
AEGON N V                         COM   007924103         134       3,620  SH     OTHER       02       3,620           0           0
AEGON N V                         COM   007924103         788      21,213  SH     DEFINED     03      17,905       1,900       1,408
AEGON N V                         COM   007924103         501      13,485  SH     OTHER       03       8,738       3,011       1,736
AEGON N V                         COM   007924103       1,048      28,223  SH     DEFINED     04      26,473           0       1,750
AEGON N V                         COM   007924103       1,539      41,447  SH     OTHER       04      41,447           0           0
AEGON N V                         COM   007924103          75       2,033  SH     DEFINED     05       2,033           0           0
AEGON N V                         COM   007924103         149       4,000  SH     OTHER       05           0           0       4,000
AEGON N V                         COM   007924103         269       7,244  SH     DEFINED     10       3,596       3,648           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     17
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ADVANTA CORP                      COM   007942105         141      12,562  SH     DEFINED     01       8,871           0       3,691
ADVANTA CORP                      COM   007942105         585      51,996  SH     DEFINED  01,08      51,996           0           0

ADVANTA CORP                      COM   007942204           0           1  SH     DEFINED     01           1           0           0
ADVANTA CORP                      COM   007942204          50       6,200  SH     DEFINED     04           0           0       6,200
ADVANTA CORP                      COM   007942204         196      24,027  SH     DEFINED  01,08      24,027           0           0

ADVANCED ENERGY INDS              COM   007973100         559      16,944  SH     DEFINED     01      11,543           0       5,401
ADVANCED ENERGY INDS              COM   007973100       2,409      73,015  SH     DEFINED  01,08      73,015           0           0

ADVENT SOFTWARE INC               COM   007974108      12,461     178,326  SH     DEFINED     01     167,061           0      11,265
ADVENT SOFTWARE INC               COM   007974108          78       1,115  SH     OTHER       01           0       1,115           0
ADVENT SOFTWARE INC               COM   007974108       2,677      38,318  SH     DEFINED  01,08      38,318           0           0

AEROSONIC CORP DEL                COM   008015307         100      10,869  SH     DEFINED  01,08      10,869           0           0

AEROVOX INC                       COM   00808M105           2         680  SH     OTHER       01         680           0           0
AEROVOX INC                       COM   00808M105           0          20  SH     OTHER       04          20           0           0
AEROVOX INC                       COM   00808M105          34      12,240  SH     DEFINED  01,08      12,240           0           0

AETHER SYS INC                    COM   00808V105         637       6,041  SH     DEFINED     01       1,144       4,500         397
AETHER SYS INC                    COM   00808V105       3,447      32,671  SH     DEFINED  01,08      32,671           0           0

AETNA INC                         COM   008117103      14,813     255,119  SH     DEFINED     01     206,491      37,852      10,776
AETNA INC                         COM   008117103       1,078      18,563  SH     OTHER       01      18,113           0         450
AETNA INC                         COM   008117103          32         550  SH     OTHER       02         350         200           0
AETNA INC                         COM   008117103          75       1,300  SH     DEFINED     03         550         200         550
AETNA INC                         COM   008117103          15         250  SH     OTHER       03         250           0           0
AETNA INC                         COM   008117103       1,711      29,470  SH     DEFINED     04      29,470           0           0
AETNA INC                         COM   008117103          60       1,036  SH     OTHER       04       1,036           0           0
AETNA INC                         COM   008117103      12,719     219,063  SH     DEFINED  01,08     219,063           0           0
AETNA INC                         COM   008117103          48         831  SH     DEFINED     10         831           0           0

AETRIUM INC                       COM   00817R103         115      20,686  SH     DEFINED  01,08      20,686           0           0

AFFILIATED COMPUTER SERVICES      COM   008190100       1,579      31,653  SH     DEFINED     01      29,873         700       1,080
AFFILIATED COMPUTER SERVICES      COM   008190100          55       1,100  SH     OTHER       01           0       1,100           0
AFFILIATED COMPUTER SERVICES      COM   008190100         200       4,000  SH     DEFINED     04       1,500           0       2,500
AFFILIATED COMPUTER SERVICES      COM   008190100       6,723     134,792  SH     DEFINED  01,08     134,792           0           0

AFFILIATED MANAGERS GROUP         COM   008252108       1,018      17,887  SH     DEFINED     01      15,243           0       2,644
AFFILIATED MANAGERS GROUP         COM   008252108       1,743      30,615  SH     DEFINED  01,08      30,615           0           0

AFFINITY TECHNOLOGY GROUP INC     COM   00826M103          27      35,900  SH     DEFINED  01,08      35,900           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     18
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AFFYMETRIX INC                    COM   00826T108         386       7,735  SH     DEFINED     01       3,918       1,000       2,817
AFFYMETRIX INC                    COM   00826T108          60       1,200  SH     OTHER       01       1,200           0           0
AFFYMETRIX INC                    COM   00826T108          35         700  SH     OTHER       04           0           0         700
AFFYMETRIX INC                    COM   00826T108       2,267      45,461  SH     DEFINED  01,08      45,461           0           0
AFFYMETRIX INC                    COM   00826T108           7         136  SH     DEFINED     10         136           0           0

AGENCY COM LTD                    COM   008447104          68       4,580  SH     DEFINED     01       3,884           0         696
AGENCY COM LTD                    COM   008447104           4         235  SH     DEFINED     04         235           0           0
AGENCY COM LTD                    COM   008447104         726      48,630  SH     DEFINED  01,08      48,630           0           0

AGILENT TECHNOLOGIES INC          COM   00846U101      42,937     877,398  SH     DEFINED     01     754,728      64,868      57,802
AGILENT TECHNOLOGIES INC          COM   00846U101       7,237     147,893  SH     OTHER       01      57,097      83,950       6,846
AGILENT TECHNOLOGIES INC          COM   00846U101       2,130      43,535  SH     DEFINED     02      26,329      15,315       1,891
AGILENT TECHNOLOGIES INC          COM   00846U101       1,372      28,044  SH     OTHER       02      19,062       7,728       1,254
AGILENT TECHNOLOGIES INC          COM   00846U101       2,874      58,721  SH     DEFINED     03      30,677      24,928       3,116
AGILENT TECHNOLOGIES INC          COM   00846U101       1,308      26,719  SH     OTHER       03      18,756       7,849         114
AGILENT TECHNOLOGIES INC          COM   00846U101       8,529     174,282  SH     DEFINED     04     156,701           0      17,581
AGILENT TECHNOLOGIES INC          COM   00846U101       7,304     149,260  SH     OTHER       04     137,025           0      12,235
AGILENT TECHNOLOGIES INC          COM   00846U101       2,015      41,171  SH     DEFINED     05      26,328      13,010       1,833
AGILENT TECHNOLOGIES INC          COM   00846U101         503      10,269  SH     OTHER       05       4,891       4,616         762
AGILENT TECHNOLOGIES INC          COM   00846U101      32,758     669,387  SH     DEFINED  01,08     669,387           0           0
AGILENT TECHNOLOGIES INC          COM   00846U101          79       1,623  SH     DEFINED     09       1,623           0           0
AGILENT TECHNOLOGIES INC          COM   00846U101          27         561  SH     OTHER       09         322         239           0
AGILENT TECHNOLOGIES INC          COM   00846U101       1,472      30,080  SH     DEFINED     10       7,086      22,880         114
AGILENT TECHNOLOGIES INC          COM   00846U101         222       4,545  SH     OTHER       10       1,713       2,832           0

AGILE SOFTWARE CORP DEL           COM   00846X105       5,713      63,526  SH     DEFINED     01      55,019       4,000       4,507
AGILE SOFTWARE CORP DEL           COM   00846X105         491       5,464  SH     OTHER       01           0           0       5,464
AGILE SOFTWARE CORP DEL           COM   00846X105          54         600  SH     DEFINED     02           0         600           0
AGILE SOFTWARE CORP DEL           COM   00846X105           9         100  SH     DEFINED     03           0           0         100
AGILE SOFTWARE CORP DEL           COM   00846X105           9         100  SH     OTHER       04         100           0           0
AGILE SOFTWARE CORP DEL           COM   00846X105       6,340      70,494  SH     DEFINED  01,08      70,494           0           0
AGILE SOFTWARE CORP DEL           COM   00846X105          18         200  SH     DEFINED     10         200           0           0

AGRIBRANDS INTL INC               COM   00849R105         293       6,724  SH     DEFINED     01       4,019         924       1,781
AGRIBRANDS INTL INC               COM   00849R105           4          90  SH     OTHER       01           0          90           0
AGRIBRANDS INTL INC               COM   00849R105           3          79  SH     DEFINED     04          79           0           0
AGRIBRANDS INTL INC               COM   00849R105           4          92  SH     OTHER       04          12           0          80
AGRIBRANDS INTL INC               COM   00849R105         763      17,482  SH     DEFINED  01,08      17,482           0           0

AGRIUM INC                        COM   008916108         421      41,100  SH     DEFINED     01           0      41,100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     19
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AIR PRODS & CHEMS INC             COM   009158106      26,134     725,947  SH     DEFINED     01     544,732     120,435      60,780
AIR PRODS & CHEMS INC             COM   009158106       6,489     180,239  SH     OTHER       01     104,803      61,836      13,600
AIR PRODS & CHEMS INC             COM   009158106       1,762      48,942  SH     DEFINED     02      31,392      11,750       5,800
AIR PRODS & CHEMS INC             COM   009158106         979      27,200  SH     OTHER       02      18,800       8,000         400
AIR PRODS & CHEMS INC             COM   009158106         904      25,100  SH     DEFINED     03      10,200      14,300         600
AIR PRODS & CHEMS INC             COM   009158106         809      22,470  SH     OTHER       03       5,512      11,458       5,500
AIR PRODS & CHEMS INC             COM   009158106       1,387      38,514  SH     DEFINED     04      38,514           0           0
AIR PRODS & CHEMS INC             COM   009158106         898      24,950  SH     OTHER       04      24,150           0         800
AIR PRODS & CHEMS INC             COM   009158106          24         675  SH     DEFINED     05         675           0           0
AIR PRODS & CHEMS INC             COM   009158106          72       2,000  SH     OTHER       05       2,000           0           0
AIR PRODS & CHEMS INC             COM   009158106      13,373     371,482  SH     DEFINED  01,08     371,482           0           0
AIR PRODS & CHEMS INC             COM   009158106          36       1,000  SH     OTHER       09       1,000           0           0
AIR PRODS & CHEMS INC             COM   009158106       1,357      37,700  SH     DEFINED     10         800      36,900           0
AIR PRODS & CHEMS INC             COM   009158106         142       3,937  SH     OTHER       10       2,200       1,737           0

AIRBORNE FGHT CORP                COM   009266107         659      64,739  SH     DEFINED     01      46,960       8,800       8,979
AIRBORNE FGHT CORP                COM   009266107          46       4,500  SH     OTHER       01       4,500           0           0
AIRBORNE FGHT CORP                COM   009266107          27       2,675  SH     DEFINED     04         975           0       1,700
AIRBORNE FGHT CORP                COM   009266107          10       1,000  SH     OTHER       04       1,000           0           0
AIRBORNE FGHT CORP                COM   009266107       1,457     143,071  SH     DEFINED  01,08     143,071           0           0

AIRGAS INC                        COM   009363102         456      66,928  SH     DEFINED     01      58,163           0       8,765
AIRGAS INC                        COM   009363102           1         100  SH     OTHER       04         100           0           0
AIRGAS INC                        COM   009363102       1,297     190,378  SH     DEFINED  01,08     190,378           0           0

AIRGATE PCS INC                   COM   009367103         411       9,162  SH     DEFINED     01       8,732           0         430
AIRGATE PCS INC                   COM   009367103         939      20,927  SH     DEFINED  01,08      20,927           0           0

AIRNET COMMUNICATIONS CORP        COM   00941P106         121       5,420  SH     DEFINED     01       5,093           0         327
AIRNET COMMUNICATIONS CORP        COM   00941P106         708      31,721  SH     DEFINED  01,08      31,721           0           0

AIRNET SYS INC                    COM   009417106          16       3,400  SH     DEFINED  01,08       3,400           0           0
AIRNET SYS INC                    COM   009417106         245      53,700  SH     DEFINED     10           0      53,700           0

AIRTRAN HLDGS INC                 COM   00949P108         269      60,583  SH     DEFINED     01      54,065           0       6,518
AIRTRAN HLDGS INC                 COM   00949P108          89      20,100  SH     DEFINED     04      20,100           0           0
AIRTRAN HLDGS INC                 COM   00949P108         476     107,313  SH     DEFINED  01,08     107,313           0           0

AKAMAI TECHNOLOGIES INC           COM   00971T101         179       3,400  SH     DEFINED     01       2,009           0       1,391
AKAMAI TECHNOLOGIES INC           COM   00971T101           7         130  SH     OTHER       01           0           0         130
AKAMAI TECHNOLOGIES INC           COM   00971T101           8         150  SH     DEFINED     03           0           0         150
AKAMAI TECHNOLOGIES INC           COM   00971T101           5         100  SH     OTHER       03           0         100           0
AKAMAI TECHNOLOGIES INC           COM   00971T101          20         386  SH     DEFINED     04         386           0           0
AKAMAI TECHNOLOGIES INC           COM   00971T101          44         838  SH     OTHER       04         838           0           0
AKAMAI TECHNOLOGIES INC           COM   00971T101       1,154      21,983  SH     DEFINED  01,08      21,983           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     20
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AKORN INC                         COM   009728106          19       1,700  SH     OTHER       01       1,700           0           0
AKORN INC                         COM   009728106         371      33,526  SH     DEFINED  01,08      33,526           0           0

AKSYS LTD                         COM   010196103          65       4,753  SH     DEFINED     01       1,900           0       2,853
AKSYS LTD                         COM   010196103         127       9,200  SH     DEFINED  01,08       9,200           0           0

AKZO NOBEL NV                     COM   010199305         657      15,600  SH     OTHER       01       7,600           0       8,000
AKZO NOBEL NV                     COM   010199305          43       1,020  SH     OTHER       02           0       1,020           0
AKZO NOBEL NV                     COM   010199305         101       2,400  SH     DEFINED     03           0       2,400           0
AKZO NOBEL NV                     COM   010199305          80       1,900  SH     DEFINED     04       1,900           0           0

ALABAMA NATL BANCORP DELA         COM   010317105         107       4,931  SH     DEFINED     01       3,281           0       1,650
ALABAMA NATL BANCORP DELA         COM   010317105         352      16,260  SH     DEFINED  01,08      16,260           0           0

ALAMO GROUP INC                   COM   011311107         162      12,780  SH     DEFINED  01,08      12,780           0           0

ALAMOSA PCS HOLDINGS              COM   011593100         154       9,513  SH     DEFINED     01       8,959           0         554
ALAMOSA PCS HOLDINGS              COM   011593100       1,402      86,643  SH     DEFINED  01,08      86,643           0           0

ALARIS MED INC                    COM   011637105          96      76,414  SH     DEFINED  01,08      76,414           0           0

ALASKA AIR GROUP INC              COM   011659109       1,528      63,677  SH     DEFINED     01      59,034           0       4,643
ALASKA AIR GROUP INC              COM   011659109          24       1,000  SH     OTHER       02           0       1,000           0
ALASKA AIR GROUP INC              COM   011659109       1,839      76,620  SH     DEFINED  01,08      76,620           0           0

ALASKA COMMUNICATIONS SYS GRP     COM   01167P101          37       5,802  SH     DEFINED     01       4,020           0       1,782
ALASKA COMMUNICATIONS SYS GRP     COM   01167P101         294      46,110  SH     DEFINED  01,08      46,110           0           0

ALBANY INTL CORP                  COM   012348108         324      26,961  SH     DEFINED     01      23,927           0       3,034
ALBANY INTL CORP                  COM   012348108       1,028      85,626  SH     DEFINED  01,08      85,626           0           0

ALBANY MOLECULAR RESH INC         COM   012423109       1,071      19,062  SH     DEFINED     01      16,762       1,800         500
ALBANY MOLECULAR RESH INC         COM   012423109       2,476      44,074  SH     DEFINED  01,08      44,074           0           0

ALBEMARLE CORP                    COM   012653101         837      41,446  SH     DEFINED     01      35,917           0       5,529
ALBEMARLE CORP                    COM   012653101       2,581     127,863  SH     DEFINED  01,08     127,863           0           0
ALBEMARLE CORP                    COM   012653101          30       1,500  SH     DEFINED     10       1,500           0           0

ALBERTO CULVER CO                 COM   013068101       3,454     119,887  SH     DEFINED     01      91,708      18,019      10,160
ALBERTO CULVER CO                 COM   013068101           3         100  SH     DEFINED     03           0           0         100
ALBERTO CULVER CO                 COM   013068101         219       7,600  SH     OTHER       04       7,600           0           0
ALBERTO CULVER CO                 COM   013068101       2,578      89,475  SH     DEFINED  01,08      89,475           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     21
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALBERTSONS INC                    COM   013104104      19,351     921,455  SH     DEFINED     01     767,308     121,222      32,925
ALBERTSONS INC                    COM   013104104         578      27,529  SH     OTHER       01      11,407      15,422         700
ALBERTSONS INC                    COM   013104104         440      20,960  SH     DEFINED     02       8,085      10,175       2,700
ALBERTSONS INC                    COM   013104104         394      18,753  SH     OTHER       02       6,600       9,853       2,300
ALBERTSONS INC                    COM   013104104         279      13,302  SH     DEFINED     03      10,135       2,167       1,000
ALBERTSONS INC                    COM   013104104         507      24,155  SH     OTHER       03       5,395      18,760           0
ALBERTSONS INC                    COM   013104104         105       5,019  SH     DEFINED     04       5,019           0           0
ALBERTSONS INC                    COM   013104104         175       8,350  SH     OTHER       04       8,350           0           0
ALBERTSONS INC                    COM   013104104       1,042      49,618  SH     DEFINED     05      30,508      14,220       4,890
ALBERTSONS INC                    COM   013104104         126       6,015  SH     OTHER       05       3,315       1,300       1,400
ALBERTSONS INC                    COM   013104104      13,378     637,045  SH     DEFINED  01,08     637,045           0           0
ALBERTSONS INC                    COM   013104104         700      33,354  SH     DEFINED     10      33,354           0           0
ALBERTSONS INC                    COM   013104104          13         600  SH     OTHER       10         200         400           0

ALCAN ALUMINIUM LTD NEW           COM   013716105      10,576     365,495  SH     DEFINED     01     297,944      56,178      11,373
ALCAN ALUMINIUM LTD NEW           COM   013716105          32       1,100  SH     OTHER       01       1,000           0         100
ALCAN ALUMINIUM LTD NEW           COM   013716105          34       1,167  SH     DEFINED     02         500         667           0
ALCAN ALUMINIUM LTD NEW           COM   013716105           6         200  SH     DEFINED     03           0         200           0
ALCAN ALUMINIUM LTD NEW           COM   013716105          47       1,625  SH     DEFINED     04       1,625           0           0
ALCAN ALUMINIUM LTD NEW           COM   013716105          73       2,531  SH     OTHER       04       2,531           0           0
ALCAN ALUMINIUM LTD NEW           COM   013716105       8,946     309,171  SH     DEFINED  01,08     309,171           0           0
ALCAN ALUMINIUM LTD NEW           COM   013716105          59       2,050  SH     DEFINED     10       1,300         750           0

ALCOA INC                         COM   013817101      65,169   2,574,642  SH     DEFINED     01   2,012,371     454,767     107,504
ALCOA INC                         COM   013817101       5,252     207,501  SH     OTHER       01     140,843      37,658      29,000
ALCOA INC                         COM   013817101       1,338      52,858  SH     DEFINED     02      22,688      22,670       7,500
ALCOA INC                         COM   013817101         663      26,175  SH     OTHER       02       9,300      15,925         950
ALCOA INC                         COM   013817101       5,761     227,600  SH     DEFINED     03      91,154     127,876       8,570
ALCOA INC                         COM   013817101         933      36,846  SH     OTHER       03      27,321       2,725       6,800
ALCOA INC                         COM   013817101      26,308   1,039,351  SH     DEFINED     04   1,001,356           0      37,995
ALCOA INC                         COM   013817101       9,890     390,720  SH     OTHER       04     382,651           0       8,069
ALCOA INC                         COM   013817101       2,321      91,700  SH     DEFINED     05      55,650      33,450       2,600
ALCOA INC                         COM   013817101         156       6,180  SH     OTHER       05       6,180           0           0
ALCOA INC                         COM   013817101      42,206   1,667,422  SH     DEFINED  01,08   1,358,950     213,062      95,410
ALCOA INC                         COM   013817101          10         400  SH     DEFINED     09         400           0           0
ALCOA INC                         COM   013817101          80       3,150  SH     OTHER       09           0       3,150           0
ALCOA INC                         COM   013817101         306      12,084  SH     DEFINED     10       4,800       7,284           0
ALCOA INC                         COM   013817101          18         700  SH     OTHER       10         300         400           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     22
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALCATEL                           COM   013904305      10,735     170,741  SH     DEFINED     01     168,128       2,613           0
ALCATEL                           COM   013904305         133       2,112  SH     OTHER       01         162       1,950           0
ALCATEL                           COM   013904305          45         715  SH     DEFINED     02         715           0           0
ALCATEL                           COM   013904305         120       1,911  SH     DEFINED     03         971         940           0
ALCATEL                           COM   013904305          57         900  SH     OTHER       03         900           0           0
ALCATEL                           COM   013904305         167       2,660  SH     DEFINED     04       2,660           0           0
ALCATEL                           COM   013904305          75       1,192  SH     OTHER       04       1,192           0           0
ALCATEL                           COM   013904305           3          40  SH     OTHER       05          40           0           0
ALCATEL                           COM   013904305          11         169  SH     DEFINED     10         169           0           0

ALEXANDER & BALDWIN INC           COM   014482103       1,218      46,845  SH     DEFINED     01      38,899           0       7,946
ALEXANDER & BALDWIN INC           COM   014482103       5,928     228,003  SH     OTHER       04     228,003           0           0
ALEXANDER & BALDWIN INC           COM   014482103       3,066     117,930  SH     DEFINED  01,08     117,930           0           0

ALEXANDERS INC                    COM   014752109         286       3,502  SH     DEFINED     01       3,342           0         160
ALEXANDERS INC                    COM   014752109         925      11,310  SH     DEFINED  01,08      11,310           0           0

ALEXANDRIA REAL ESTATE EQ INC     COM   015271109         404      11,778  SH     DEFINED     01       5,688       3,900       2,190
ALEXANDRIA REAL ESTATE EQ INC     COM   015271109          34       1,000  SH     OTHER       03       1,000           0           0
ALEXANDRIA REAL ESTATE EQ INC     COM   015271109          14         400  SH     DEFINED     04         400           0           0
ALEXANDRIA REAL ESTATE EQ INC     COM   015271109         103       2,989  SH     DEFINED  01,08       2,989           0           0

ALEXION PHARMACEUTICALS INC       COM   015351109       1,482      13,000  SH     DEFINED     01      12,773           0         227
ALEXION PHARMACEUTICALS INC       COM   015351109         380       3,333  SH     DEFINED     04       3,333           0           0
ALEXION PHARMACEUTICALS INC       COM   015351109       2,920      25,610  SH     DEFINED  01,08      25,610           0           0

ALFA CORP                         COM   015385107         393      22,551  SH     DEFINED     01      15,848           0       6,703
ALFA CORP                         COM   015385107       2,092     119,950  SH     DEFINED  01,08     119,950           0           0

ALICO INC                         COM   016230104         498      30,400  SH     DEFINED     04      30,400           0           0
ALICO INC                         COM   016230104         288      17,579  SH     DEFINED  01,08      17,579           0           0

ALKERMES INC                      COM   01642T108         213       5,503  SH     DEFINED     01       3,095           0       2,408
ALKERMES INC                      COM   01642T108          85       2,200  SH     DEFINED     02           0       2,200           0
ALKERMES INC                      COM   01642T108           3          90  SH     DEFINED     03          90           0           0
ALKERMES INC                      COM   01642T108           8         200  SH     DEFINED     04         200           0           0
ALKERMES INC                      COM   01642T108       3,019      78,162  SH     DEFINED  01,08      78,162           0           0

ALLAIRE CORP                      COM   016714107         196      23,095  SH     DEFINED     01      22,689           0         406
ALLAIRE CORP                      COM   016714107         286      33,614  SH     DEFINED  01,08      33,614           0           0

ALLCITY INS CO                    COM   016752107          42       5,100  SH     DEFINED     01       5,100           0           0
ALLCITY INS CO                    COM   016752107          58       7,062  SH     DEFINED  01,08       7,062           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     23
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALLEGHANY CORP DEL                COM   017175100         556       2,836  SH     DEFINED     01       1,941           0         895
ALLEGHANY CORP DEL                COM   017175100       2,259      11,524  SH     DEFINED  01,08      11,524           0           0

ALLEGHENY ENERGY INC              COM   017361106       6,078     159,159  SH     DEFINED     01     150,890         600       7,669
ALLEGHENY ENERGY INC              COM   017361106          84       2,200  SH     OTHER       01       2,000           0         200
ALLEGHENY ENERGY INC              COM   017361106         361       9,452  SH     OTHER       02         800       8,652           0
ALLEGHENY ENERGY INC              COM   017361106         111       2,912  SH     DEFINED     03       1,400           0       1,512
ALLEGHENY ENERGY INC              COM   017361106         504      13,200  SH     OTHER       03      12,400           0         800
ALLEGHENY ENERGY INC              COM   017361106         225       5,900  SH     DEFINED     04       5,900           0           0
ALLEGHENY ENERGY INC              COM   017361106         527      13,800  SH     OTHER       04      13,800           0           0
ALLEGHENY ENERGY INC              COM   017361106      11,703     306,460  SH     DEFINED  01,08     306,460           0           0

ALLEGHENY TECHNOLOGIES INC        COM   01741R102       2,602     143,567  SH     DEFINED     01     116,399      21,234       5,934
ALLEGHENY TECHNOLOGIES INC        COM   01741R102           2          96  SH     OTHER       01           0           0          96
ALLEGHENY TECHNOLOGIES INC        COM   01741R102          99       5,453  SH     DEFINED     04       3,528           0       1,925
ALLEGHENY TECHNOLOGIES INC        COM   01741R102       2,522     139,148  SH     DEFINED  01,08     139,148           0           0

ALLEGIANCE TELECOM INC            COM   01747T102       6,841     183,657  SH     DEFINED     01     180,339           0       3,318
ALLEGIANCE TELECOM INC            COM   01747T102          56       1,500  SH     DEFINED     04       1,500           0           0
ALLEGIANCE TELECOM INC            COM   01747T102       3,363      90,280  SH     DEFINED  01,08      90,280           0           0

ALLEN ORGAN CO                    COM   017753104         333       5,024  SH     DEFINED  01,08       5,024           0           0

ALLEN TELECOM INC                 COM   018091108         602      35,545  SH     DEFINED     01      28,744           0       6,801
ALLEN TELECOM INC                 COM   018091108       1,269      74,911  SH     DEFINED  01,08      74,911           0           0

ALLERGAN INC                      COM   018490102      22,746     269,387  SH     DEFINED     01     244,740       5,846      18,801
ALLERGAN INC                      COM   018490102         903      10,700  SH     OTHER       01      10,500           0         200
ALLERGAN INC                      COM   018490102         110       1,300  SH     OTHER       02           0       1,300           0
ALLERGAN INC                      COM   018490102          34         400  SH     DEFINED     03           0         400           0
ALLERGAN INC                      COM   018490102         431       5,104  SH     OTHER       03       1,204       3,900           0
ALLERGAN INC                      COM   018490102         529       6,266  SH     DEFINED     04       6,266           0           0
ALLERGAN INC                      COM   018490102         342       4,046  SH     OTHER       04       4,046           0           0
ALLERGAN INC                      COM   018490102         253       3,000  SH     OTHER       05           0       3,000           0
ALLERGAN INC                      COM   018490102      15,918     188,523  SH     DEFINED  01,08     188,523           0           0
ALLERGAN INC                      COM   018490102          14         162  SH     DEFINED     10         162           0           0

ALLIANCE BANCORP                  COM   01852J105         247      13,723  SH     DEFINED     01      13,723           0           0
ALLIANCE BANCORP                  COM   01852J105         227      12,587  SH     DEFINED  01,08      12,587           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     24
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALLETE                            COM   018522102       2,075      93,789  SH     DEFINED     01      74,999       3,364      15,426
ALLETE                            COM   018522102         281      12,681  SH     OTHER       01       4,224       8,457           0
ALLETE                            COM   018522102          14         612  SH     OTHER       02           0         612           0
ALLETE                            COM   018522102          89       4,000  SH     DEFINED     04       4,000           0           0
ALLETE                            COM   018522102           9         400  SH     OTHER       04         400           0           0
ALLETE                            COM   018522102       4,781     216,089  SH     DEFINED  01,08     216,089           0           0
ALLETE                            COM   018522102          27       1,200  SH     DEFINED     10       1,200           0           0

ALLIANCE CAP MGMT HLDG L P        COM   01855A101       1,404      28,000  SH     DEFINED     01      20,000       8,000           0
ALLIANCE CAP MGMT HLDG L P        COM   01855A101          20         400  SH     OTHER       01           0         400           0
ALLIANCE CAP MGMT HLDG L P        COM   01855A101         341       6,800  SH     OTHER       02       6,800           0           0
ALLIANCE CAP MGMT HLDG L P        COM   01855A101          40         800  SH     OTHER       03           0         800           0
ALLIANCE CAP MGMT HLDG L P        COM   01855A101         138       2,750  SH     DEFINED     04       1,950           0         800
ALLIANCE CAP MGMT HLDG L P        COM   01855A101         358       7,150  SH     OTHER       04       7,150           0           0
ALLIANCE CAP MGMT HLDG L P        COM   01855A101       1,784      35,600  SH     DEFINED  01,08      35,600           0           0

ALLIANCE GAMING CORP              COM   01859P609          62      16,054  SH     DEFINED  01,08      16,054           0           0

ALLIANCE SEMICONDUCTOR CORP       COM   01877H100         609      30,634  SH     DEFINED     01      25,965       2,100       2,569
ALLIANCE SEMICONDUCTOR CORP       COM   01877H100       1,570      78,976  SH     DEFINED  01,08      78,976           0           0

ALLIANCE PHARMACEUTICAL CORP      COM   018773101       1,017      66,663  SH     DEFINED     01      63,618           0       3,045
ALLIANCE PHARMACEUTICAL CORP      COM   018773101           7         450  SH     DEFINED     04         450           0           0
ALLIANCE PHARMACEUTICAL CORP      COM   018773101           6         400  SH     OTHER       04         400           0           0
ALLIANCE PHARMACEUTICAL CORP      COM   018773101       1,234      80,892  SH     DEFINED  01,08      80,892           0           0

ALLIANT CORP                      COM   018802108       1,688      57,474  SH     DEFINED     01      53,619         470       3,385
ALLIANT CORP                      COM   018802108          73       2,496  SH     OTHER       01         146       2,350           0
ALLIANT CORP                      COM   018802108          39       1,326  SH     DEFINED     02         684         642           0
ALLIANT CORP                      COM   018802108          44       1,486  SH     OTHER       02       1,042         444           0
ALLIANT CORP                      COM   018802108           6         200  SH     DEFINED     03         200           0           0
ALLIANT CORP                      COM   018802108          44       1,482  SH     OTHER       03           0       1,482           0
ALLIANT CORP                      COM   018802108         334      11,378  SH     DEFINED     04      11,378           0           0
ALLIANT CORP                      COM   018802108         174       5,931  SH     OTHER       04       5,931           0           0
ALLIANT CORP                      COM   018802108       6,413     218,322  SH     DEFINED  01,08     218,322           0           0
ALLIANT CORP                      COM   018802108          12         400  SH     DEFINED     09           0         400           0
ALLIANT CORP                      COM   018802108          24         800  SH     DEFINED     10         800           0           0

ALLIANT TECHSYSTEMS INC           COM   018804104       9,493     115,595  SH     DEFINED     01     105,990       1,000       8,605
ALLIANT TECHSYSTEMS INC           COM   018804104           8         100  SH     OTHER       01         100           0           0
ALLIANT TECHSYSTEMS INC           COM   018804104           1          15  SH     DEFINED     04          15           0           0
ALLIANT TECHSYSTEMS INC           COM   018804104       1,218      14,837  SH     DEFINED  01,08      14,837           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     25
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALLIED CAP CORP NEW               COM   01903Q108       2,698     130,041  SH     DEFINED     01     100,598       5,700      23,743
ALLIED CAP CORP NEW               COM   01903Q108          27       1,300  SH     OTHER       01           0           0       1,300
ALLIED CAP CORP NEW               COM   01903Q108          14         665  SH     DEFINED     02         665           0           0
ALLIED CAP CORP NEW               COM   01903Q108          17         800  SH     OTHER       02         800           0           0
ALLIED CAP CORP NEW               COM   01903Q108          62       3,000  SH     DEFINED     04       3,000           0           0
ALLIED CAP CORP NEW               COM   01903Q108          66       3,200  SH     OTHER       04       3,200           0           0
ALLIED CAP CORP NEW               COM   01903Q108       2,341     112,806  SH     DEFINED  01,08     112,806           0           0

ALLIED HLDGS INC                  COM   019223106          57      10,300  SH     DEFINED  01,08      10,300           0           0

ALLIED IRISH BKS P L C            COM   019228402          95       4,360  SH     DEFINED     02       4,360           0           0
ALLIED IRISH BKS P L C            COM   019228402          86       3,917  SH     DEFINED     04       3,017           0         900
ALLIED IRISH BKS P L C            COM   019228402         399      18,261  SH     OTHER       04      18,261           0           0
ALLIED IRISH BKS P L C            COM   019228402           3         150  SH     DEFINED     10         150           0           0

ALLIED PRODS CORP DEL             COM   019411107           0         229  SH     DEFINED     01           0         229           0
ALLIED PRODS CORP DEL             COM   019411107          18      35,784  SH     DEFINED  01,08      35,784           0           0

ALLIED RESH CORP                  COM   019483106         125      13,438  SH     DEFINED  01,08      13,438           0           0

ALLIED RISER COMMUNICATIONS CP    COM   019496108         315      47,561  SH     DEFINED     01      21,230      14,300      12,031
ALLIED RISER COMMUNICATIONS CP    COM   019496108          34       5,135  SH     OTHER       01           0           0       5,135
ALLIED RISER COMMUNICATIONS CP    COM   019496108           2         250  SH     DEFINED     03           0         250           0
ALLIED RISER COMMUNICATIONS CP    COM   019496108         607      91,631  SH     DEFINED  01,08      91,631           0           0

ALLIED WASTE INDS INC             COM   019589308       3,103     337,710  SH     DEFINED     01     278,377      49,261      10,072
ALLIED WASTE INDS INC             COM   019589308           9       1,000  SH     OTHER       02           0       1,000           0
ALLIED WASTE INDS INC             COM   019589308          49       5,332  SH     DEFINED     05           0           0       5,332
ALLIED WASTE INDS INC             COM   019589308       2,697     293,577  SH     DEFINED  01,08     293,577           0           0
ALLIED WASTE INDS INC             COM   019589308           5         500  SH     DEFINED     10         500           0           0

ALLMERICA FINL CORP               COM   019754100       2,455      38,394  SH     DEFINED     01      34,541           0       3,853
ALLMERICA FINL CORP               COM   019754100          46         717  SH     OTHER       01           0         717           0
ALLMERICA FINL CORP               COM   019754100          23         363  SH     DEFINED     02         363           0           0
ALLMERICA FINL CORP               COM   019754100          18         282  SH     DEFINED     03         141           0         141
ALLMERICA FINL CORP               COM   019754100           7         108  SH     OTHER       03         108           0           0
ALLMERICA FINL CORP               COM   019754100         135       2,112  SH     DEFINED     04       2,112           0           0
ALLMERICA FINL CORP               COM   019754100         415       6,497  SH     OTHER       04       6,497           0           0
ALLMERICA FINL CORP               COM   019754100       9,373     146,600  SH     DEFINED  01,08     146,600           0           0

ALLOS THERAPEUTICS INC            COM   019777101          27       2,999  SH     DEFINED     01       2,264           0         735
ALLOS THERAPEUTICS INC            COM   019777101         517      57,036  SH     DEFINED  01,08      57,036           0           0

ALLOU HEALTH & BEAUTY CARE INC    COM   019782101         113      20,750  SH     DEFINED  01,08      20,750           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     26
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALLOY ONLINE INC                  COM   019855105         912     107,332  SH     DEFINED  01,08     107,332           0           0

ALLSCRIPTS INC                    COM   019886100         280      19,815  SH     DEFINED     01      19,291         200         324
ALLSCRIPTS INC                    COM   019886100           1          70  SH     DEFINED     04          70           0           0
ALLSCRIPTS INC                    COM   019886100         564      39,963  SH     DEFINED  01,08      39,963           0           0

ALLSTATE CORP                     COM   020002101      52,114   1,499,682  SH     DEFINED     01   1,153,681     268,434      77,567
ALLSTATE CORP                     COM   020002101       3,365      96,826  SH     OTHER       01      53,841      30,755      12,230
ALLSTATE CORP                     COM   020002101          13         384  SH     DEFINED     02           0         384           0
ALLSTATE CORP                     COM   020002101         158       4,552  SH     OTHER       02       1,952       2,600           0
ALLSTATE CORP                     COM   020002101         296       8,516  SH     DEFINED     03       3,410       4,906         200
ALLSTATE CORP                     COM   020002101         471      13,552  SH     OTHER       03      11,382       2,050         120
ALLSTATE CORP                     COM   020002101       2,782      80,066  SH     DEFINED     04      79,266           0         800
ALLSTATE CORP                     COM   020002101       2,320      66,767  SH     OTHER       04      66,487           0         280
ALLSTATE CORP                     COM   020002101          39       1,134  SH     DEFINED     05       1,134           0           0
ALLSTATE CORP                     COM   020002101      78,411   2,256,419  SH     DEFINED  01,08   1,137,805     914,069     204,545
ALLSTATE CORP                     COM   020002101          37       1,056  SH     DEFINED     09           0       1,056           0
ALLSTATE CORP                     COM   020002101          31         905  SH     DEFINED     10         605         300           0
ALLSTATE CORP                     COM   020002101          73       2,100  SH     OTHER       10       2,100           0           0

ALLTEL CORP                       COM   020039103      29,899     572,925  SH     DEFINED     01     459,206      87,851      25,868
ALLTEL CORP                       COM   020039103       2,407      46,121  SH     OTHER       01      18,275      13,296      14,550
ALLTEL CORP                       COM   020039103          96       1,848  SH     DEFINED     02       1,426         422           0
ALLTEL CORP                       COM   020039103         271       5,195  SH     OTHER       02       4,600         595           0
ALLTEL CORP                       COM   020039103         238       4,558  SH     DEFINED     03         100       4,458           0
ALLTEL CORP                       COM   020039103         283       5,417  SH     OTHER       03       5,317         100           0
ALLTEL CORP                       COM   020039103       2,043      39,157  SH     DEFINED     04      18,440           0      20,717
ALLTEL CORP                       COM   020039103         869      16,645  SH     OTHER       04       8,432           0       8,213
ALLTEL CORP                       COM   020039103          12         222  SH     DEFINED     05         222           0           0
ALLTEL CORP                       COM   020039103         157       3,000  SH     OTHER       05       3,000           0           0
ALLTEL CORP                       COM   020039103      53,398   1,023,211  SH     DEFINED  01,08     469,876     451,350     101,985
ALLTEL CORP                       COM   020039103          18         352  SH     DEFINED     10           0           0         352

ALLTRISTA CORP                    COM   020040101          19         900  SH     DEFINED     01         900           0           0
ALLTRISTA CORP                    COM   020040101          10         500  SH     DEFINED     04         500           0           0
ALLTRISTA CORP                    COM   020040101         203       9,795  SH     DEFINED  01,08       9,795           0           0

ALPHA INDS INC                    COM   020753109         230       6,739  SH     DEFINED     01       1,832       1,800       3,107
ALPHA INDS INC                    COM   020753109           7         200  SH     OTHER       04         200           0           0
ALPHA INDS INC                    COM   020753109       3,047      89,450  SH     DEFINED  01,08      89,450           0           0

ALPHARMA INC                      COM   020813101      10,306     168,600  SH     DEFINED     01     153,115       1,300      14,185
ALPHARMA INC                      COM   020813101       4,329      70,822  SH     DEFINED  01,08      70,822           0           0

ALPINE GROUP INC                  COM   020825105         105      24,033  SH     DEFINED  01,08      24,033           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     27
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ALPNET INC                        COM   021089107          70      40,081  SH     DEFINED  01,08      40,081           0           0

ALTEON INC                        COM   02144G107          95      31,800  SH     DEFINED  01,08      31,800           0           0

ALTERA CORP                       COM   021441100     103,570   2,168,998  SH     DEFINED     01   1,863,156     240,360      65,482
ALTERA CORP                       COM   021441100       2,620      54,860  SH     OTHER       01      40,200      11,560       3,100
ALTERA CORP                       COM   021441100       1,714      35,900  SH     DEFINED     02      17,300      15,500       3,100
ALTERA CORP                       COM   021441100         372       7,800  SH     OTHER       02       2,300       5,100         400
ALTERA CORP                       COM   021441100       8,795     184,187  SH     DEFINED     03      79,836      94,410       9,941
ALTERA CORP                       COM   021441100       1,625      34,030  SH     OTHER       03      12,060      21,420         550
ALTERA CORP                       COM   021441100      23,372     489,472  SH     DEFINED     04     474,947           0      14,525
ALTERA CORP                       COM   021441100       5,028     105,294  SH     OTHER       04     102,074           0       3,220
ALTERA CORP                       COM   021441100       3,701      77,500  SH     DEFINED     05      36,720      36,250       4,530
ALTERA CORP                       COM   021441100          64       1,345  SH     OTHER       05          70         275       1,000
ALTERA CORP                       COM   021441100      30,951     648,180  SH     DEFINED  01,08     617,608      30,572           0
ALTERA CORP                       COM   021441100         173       3,625  SH     DEFINED     10       1,775       1,850           0
ALTERA CORP                       COM   021441100          25         525  SH     OTHER       10           0         525           0

ALTEON WEBSYSTEMS INC             COM   02145A109         738       6,807  SH     DEFINED     01       1,444       4,500         863
ALTEON WEBSYSTEMS INC             COM   02145A109       3,633      33,520  SH     DEFINED  01,08      33,520           0           0

ALTERNATIVE RESOURCES CORP        COM   02145R102           0         500  SH     OTHER       04           0           0         500
ALTERNATIVE RESOURCES CORP        COM   02145R102          16      25,400  SH     DEFINED  01,08      25,400           0           0

ALTERRA HEALTHCARE CORP           COM   02146C104           0         100  SH     DEFINED     01           0         100           0
ALTERRA HEALTHCARE CORP           COM   02146C104          59      27,953  SH     DEFINED  01,08      27,953           0           0

ALZA CORP DEL                     COM   022615108      21,414     247,555  SH     DEFINED     01     233,836       1,935      11,784
ALZA CORP DEL                     COM   022615108           9         100  SH     OTHER       01           0           0         100
ALZA CORP DEL                     COM   022615108         112       1,300  SH     DEFINED     03           0       1,300           0
ALZA CORP DEL                     COM   022615108         226       2,618  SH     OTHER       03       2,618           0           0
ALZA CORP DEL                     COM   022615108         260       3,003  SH     DEFINED     04       2,043           0         960
ALZA CORP DEL                     COM   022615108         173       2,000  SH     OTHER       04           0           0       2,000
ALZA CORP DEL                     COM   022615108      14,156     163,651  SH     DEFINED  01,08     163,651           0           0
ALZA CORP DEL                     COM   022615108         307       3,550  SH     OTHER       09           0       3,550           0
ALZA CORP DEL                     COM   022615108          36         415  SH     DEFINED     10         415           0           0

AMAZON COM INC                    COM   023135106      12,280     319,474  SH     DEFINED     01     311,068       2,100       6,306
AMAZON COM INC                    COM   023135106         258       6,720  SH     OTHER       01         120       1,200       5,400
AMAZON COM INC                    COM   023135106          23         600  SH     DEFINED     02           0         600           0
AMAZON COM INC                    COM   023135106           0          11  SH     OTHER       02          11           0           0
AMAZON COM INC                    COM   023135106          71       1,852  SH     DEFINED     04       1,802           0          50
AMAZON COM INC                    COM   023135106         156       4,050  SH     OTHER       04       3,250           0         800
AMAZON COM INC                    COM   023135106      10,791     280,757  SH     DEFINED  01,08     280,757           0           0
AMAZON COM INC                    COM   023135106           9         225  SH     DEFINED     10         225           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     28
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMBAC FINL GROUP INC              COM   023139108       4,019      54,866  SH     DEFINED     01      44,571       6,800       3,495
AMBAC FINL GROUP INC              COM   023139108          12         165  SH     DEFINED     04         165           0           0
AMBAC FINL GROUP INC              COM   023139108      14,139     193,023  SH     DEFINED  01,08     193,023           0           0
AMBAC FINL GROUP INC              COM   023139108          15         200  SH     DEFINED     10         200           0           0

AMCAST INDL CORP                  COM   023395106          72       7,600  SH     DEFINED     01       7,500           0         100
AMCAST INDL CORP                  COM   023395106         211      22,356  SH     DEFINED  01,08      22,356           0           0

AMCOL INTL CORP                   COM   02341W103         101      20,780  SH     DEFINED     01      16,955           0       3,825
AMCOL INTL CORP                   COM   02341W103         227      46,535  SH     DEFINED  01,08      46,535           0           0

AMERADA HESS CORP                 COM   023551104      10,850     162,096  SH     DEFINED     01     129,698      23,100       9,298
AMERADA HESS CORP                 COM   023551104           4          60  SH     DEFINED     03          60           0           0
AMERADA HESS CORP                 COM   023551104           7         100  SH     DEFINED     04         100           0           0
AMERADA HESS CORP                 COM   023551104         100       1,500  SH     OTHER       04       1,500           0           0
AMERADA HESS CORP                 COM   023551104       9,244     138,096  SH     DEFINED  01,08     138,096           0           0
AMERADA HESS CORP                 COM   023551104          40         600  SH     DEFINED     10         400         200           0

AMERCO                            COM   023586100         698      35,666  SH     DEFINED     01      34,211           0       1,455
AMERCO                            COM   023586100         687      35,104  SH     DEFINED  01,08      35,104           0           0

AMEREN CORP                       COM   023608102      10,468     249,981  SH     DEFINED     01     204,389      35,162      10,430
AMEREN CORP                       COM   023608102          79       1,876  SH     OTHER       01         754       1,122           0
AMEREN CORP                       COM   023608102          89       2,127  SH     DEFINED     02       1,353         774           0
AMEREN CORP                       COM   023608102         113       2,691  SH     OTHER       02       1,905         786           0
AMEREN CORP                       COM   023608102         167       3,992  SH     DEFINED     03           0       3,992           0
AMEREN CORP                       COM   023608102          46       1,100  SH     OTHER       03           0       1,100           0
AMEREN CORP                       COM   023608102         190       4,536  SH     DEFINED     04       4,536           0           0
AMEREN CORP                       COM   023608102         346       8,257  SH     OTHER       04       6,445           0       1,812
AMEREN CORP                       COM   023608102       8,781     209,692  SH     DEFINED  01,08     209,692           0           0
AMEREN CORP                       COM   023608102          21         500  SH     DEFINED     09         500           0           0
AMEREN CORP                       COM   023608102          63       1,505  SH     DEFINED     10         971         534           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     29
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICA ONLINE INC DEL            COM   02364J104     277,575   5,164,178  SH     DEFINED     01   4,627,679     273,673     262,826
AMERICA ONLINE INC DEL            COM   02364J104       7,967     148,230  SH     OTHER       01      31,669      44,695      71,866
AMERICA ONLINE INC DEL            COM   02364J104       5,723     106,477  SH     DEFINED     02      49,015      45,962      11,500
AMERICA ONLINE INC DEL            COM   02364J104       1,547      28,780  SH     OTHER       02      12,055      13,425       3,300
AMERICA ONLINE INC DEL            COM   02364J104      14,235     264,843  SH     DEFINED     03     117,912     130,393      16,538
AMERICA ONLINE INC DEL            COM   02364J104       2,940      54,693  SH     OTHER       03      25,338      28,280       1,075
AMERICA ONLINE INC DEL            COM   02364J104      68,865   1,281,201  SH     DEFINED     04   1,213,278           0      67,923
AMERICA ONLINE INC DEL            COM   02364J104      33,114     616,067  SH     OTHER       04     567,842           0      48,225
AMERICA ONLINE INC DEL            COM   02364J104       9,347     173,905  SH     DEFINED     05     115,485      43,920      14,500
AMERICA ONLINE INC DEL            COM   02364J104         725      13,491  SH     OTHER       05       8,865       3,626       1,000
AMERICA ONLINE INC DEL            COM   02364J104     183,574   3,415,328  SH     DEFINED  01,08   3,397,421      17,907           0
AMERICA ONLINE INC DEL            COM   02364J104          34         625  SH     DEFINED     09         625           0           0
AMERICA ONLINE INC DEL            COM   02364J104       4,271      79,468  SH     DEFINED     10      67,842      11,626           0
AMERICA ONLINE INC DEL            COM   02364J104         309       5,740  SH     OTHER       10       1,180       4,560           0

AMERICA FIRST TAX EX IVS L P      COM   02364V107         295      54,250  SH     DEFINED     04      54,250           0           0
AMERICA FIRST TAX EX IVS L P      COM   02364V107           5       1,000  SH     OTHER       04       1,000           0           0

AMERICA WEST HLDG CORP            COM   023657208         336      27,597  SH     DEFINED     01      13,765       8,000       5,832
AMERICA WEST HLDG CORP            COM   023657208          21       1,700  SH     DEFINED     04       1,700           0           0
AMERICA WEST HLDG CORP            COM   023657208         857      70,281  SH     DEFINED  01,08      70,281           0           0

AMCORE FINL INC                   COM   023912108         346      17,652  SH     DEFINED     01      12,966           0       4,686
AMCORE FINL INC                   COM   023912108         414      21,106  SH     DEFINED     04      21,106           0           0
AMCORE FINL INC                   COM   023912108         960      48,932  SH     DEFINED  01,08      48,932           0           0

AMERICAN AXLE & MFG HLDGS INC     COM   024061103          63       5,861  SH     DEFINED     01       4,427           0       1,434
AMERICAN AXLE & MFG HLDGS INC     COM   024061103         198      18,451  SH     DEFINED  01,08      18,451           0           0

AMERICAN BK CONN WATERBURY        COM   024327108          87       4,600  SH     DEFINED     01       4,600           0           0
AMERICAN BK CONN WATERBURY        COM   024327108         128       6,800  SH     DEFINED  01,08       6,800           0           0

AMERICAN BILTRITE INC             COM   024591109           6         400  SH     DEFINED     01         400           0           0
AMERICAN BILTRITE INC             COM   024591109         196      12,572  SH     DEFINED  01,08      12,572           0           0

AMERICAN BIOGENETIC SCIENCES I    COM   024611105          36      23,300  SH     DEFINED  01,08      23,300           0           0

AMERICAN CLASSIC VOYAGES CO       COM   024928103         184      12,594  SH     DEFINED     01      12,127           0         467
AMERICAN CLASSIC VOYAGES CO       COM   024928103         437      29,893  SH     DEFINED  01,08      29,893           0           0

AMERICAN CAPITAL STRATEGIES       COM   024937104         308      13,021  SH     DEFINED     01       9,471           0       3,550
AMERICAN CAPITAL STRATEGIES       COM   024937104          95       4,000  SH     DEFINED     04       4,000           0           0
AMERICAN CAPITAL STRATEGIES       COM   024937104       1,868      78,863  SH     DEFINED  01,08      78,863           0           0

AMERICAN CLAIMS EVALUATION INC    COM   025144106          36      16,600  SH     DEFINED  01,08      16,600           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     30
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICAN EAGLE OUTFITTERS NEW     COM   02553E106       1,527      48,482  SH     DEFINED     01      48,082           0         400
AMERICAN EAGLE OUTFITTERS NEW     COM   02553E106       4,059     128,872  SH     DEFINED  01,08     128,872           0           0

AMERICAN ECOLOGY CORP             COM   025533100          51      19,820  SH     DEFINED  01,08      19,820           0           0

AMERICAN ELEC PWR INC             COM   025537101      23,350     596,793  SH     DEFINED     01     483,372      88,411      25,010
AMERICAN ELEC PWR INC             COM   025537101       1,227      31,362  SH     OTHER       01      24,043       6,019       1,300
AMERICAN ELEC PWR INC             COM   025537101         131       3,353  SH     DEFINED     02       3,203         150           0
AMERICAN ELEC PWR INC             COM   025537101         112       2,867  SH     OTHER       02       1,000         720       1,147
AMERICAN ELEC PWR INC             COM   025537101         188       4,800  SH     DEFINED     03       2,960         625       1,215
AMERICAN ELEC PWR INC             COM   025537101         179       4,585  SH     OTHER       03       3,005       1,580           0
AMERICAN ELEC PWR INC             COM   025537101       1,115      28,496  SH     DEFINED     04      28,496           0           0
AMERICAN ELEC PWR INC             COM   025537101       1,063      27,166  SH     OTHER       04      26,392           0         774
AMERICAN ELEC PWR INC             COM   025537101          66       1,692  SH     DEFINED     05       1,692           0           0
AMERICAN ELEC PWR INC             COM   025537101      19,165     489,851  SH     DEFINED  01,08     489,851           0           0
AMERICAN ELEC PWR INC             COM   025537101          23         600  SH     DEFINED     09         600           0           0
AMERICAN ELEC PWR INC             COM   025537101           9         225  SH     DEFINED     10           0         225           0
AMERICAN ELEC PWR INC             COM   025537101          28         720  SH     OTHER       10           0         720           0

AMERICAN EXPRESS CO               COM   025816109     299,686   4,933,106  SH     DEFINED     01   3,774,201     900,946     257,959
AMERICAN EXPRESS CO               COM   025816109      37,469     616,774  SH     OTHER       01     279,872     311,156      25,746
AMERICAN EXPRESS CO               COM   025816109       6,947     114,356  SH     DEFINED     02      72,804      36,957       4,595
AMERICAN EXPRESS CO               COM   025816109       4,021      66,194  SH     OTHER       02      44,794       9,400      12,000
AMERICAN EXPRESS CO               COM   025816109      21,769     358,338  SH     DEFINED     03     148,912     195,598      13,828
AMERICAN EXPRESS CO               COM   025816109       6,607     108,752  SH     OTHER       03      53,705      24,622      30,425
AMERICAN EXPRESS CO               COM   025816109      24,017     395,334  SH     DEFINED     04     347,509           0      47,825
AMERICAN EXPRESS CO               COM   025816109      19,262     317,065  SH     OTHER       04     275,657           0      41,408
AMERICAN EXPRESS CO               COM   025816109       5,441      89,567  SH     DEFINED     05      74,569       6,500       8,498
AMERICAN EXPRESS CO               COM   025816109         553       9,100  SH     OTHER       05       8,300         800           0
AMERICAN EXPRESS CO               COM   025816109     126,345   2,079,749  SH     DEFINED  01,08   2,079,449         300           0
AMERICAN EXPRESS CO               COM   025816109          27         450  SH     DEFINED     09         450           0           0
AMERICAN EXPRESS CO               COM   025816109       3,111      51,216  SH     DEFINED     10      38,991      11,850         375
AMERICAN EXPRESS CO               COM   025816109       1,646      27,087  SH     OTHER       10       9,300      17,787           0

AMERICAN FINL GROUP INC OHIO      COM   025932104         857      36,945  SH     DEFINED     01      35,409           0       1,536
AMERICAN FINL GROUP INC OHIO      COM   025932104           5         200  SH     OTHER       04           0           0         200
AMERICAN FINL GROUP INC OHIO      COM   025932104       3,692     159,238  SH     DEFINED  01,08     159,238           0           0

AMERICAN FINL HLDGS INC           COM   026075101         295      16,742  SH     DEFINED     01      11,724           0       5,018
AMERICAN FINL HLDGS INC           COM   026075101         128       7,249  SH     DEFINED  01,08       7,249           0           0

AMERICAN FREIGHTWAYS CORP         COM   02629V108         639      40,260  SH     DEFINED     01      32,470       2,500       5,290
AMERICAN FREIGHTWAYS CORP         COM   02629V108       1,078      67,882  SH     DEFINED  01,08      67,882           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     31
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICAN GENERAL CORP             COM   026351106      45,021     577,190  SH     DEFINED     01     474,793      75,839      26,558
AMERICAN GENERAL CORP             COM   026351106       1,168      14,971  SH     OTHER       01      14,321         450         200
AMERICAN GENERAL CORP             COM   026351106         570       7,302  SH     OTHER       02         600       6,702           0
AMERICAN GENERAL CORP             COM   026351106         150       1,925  SH     DEFINED     03         100       1,425         400
AMERICAN GENERAL CORP             COM   026351106          68         873  SH     OTHER       03         873           0           0
AMERICAN GENERAL CORP             COM   026351106       1,190      15,250  SH     DEFINED     04      14,974           0         276
AMERICAN GENERAL CORP             COM   026351106         860      11,030  SH     OTHER       04       7,986           0       3,044
AMERICAN GENERAL CORP             COM   026351106       1,602      20,541  SH     DEFINED     05      20,541           0           0
AMERICAN GENERAL CORP             COM   026351106         430       5,514  SH     OTHER       05       1,000       4,514           0
AMERICAN GENERAL CORP             COM   026351106      30,131     386,289  SH     DEFINED  01,08     386,289           0           0
AMERICAN GENERAL CORP             COM   026351106         148       1,900  SH     DEFINED     09       1,900           0           0
AMERICAN GENERAL CORP             COM   026351106         216       2,770  SH     OTHER       09           0       2,770           0
AMERICAN GENERAL CORP             COM   026351106         154       1,973  SH     DEFINED     10       1,973           0           0
AMERICAN GENERAL CORP             COM   026351106         172       2,200  SH     OTHER       10       1,900         300           0

AMERICAN GREETINGS CORP           COM   026375105       2,632     150,427  SH     DEFINED     01     114,347      23,123      12,957
AMERICAN GREETINGS CORP           COM   026375105          51       2,900  SH     OTHER       01       2,800         100           0
AMERICAN GREETINGS CORP           COM   026375105          15         850  SH     DEFINED     04         850           0           0
AMERICAN GREETINGS CORP           COM   026375105          47       2,700  SH     OTHER       04       2,700           0           0
AMERICAN GREETINGS CORP           COM   026375105       2,642     150,980  SH     DEFINED  01,08     150,980           0           0
AMERICAN GREETINGS CORP           COM   026375105         181      10,368  SH     DEFINED     10      10,368           0           0

AMERICAN HEALTHWAYS INC           COM   02649V104          98      12,100  SH     DEFINED     01      12,100           0           0
AMERICAN HEALTHWAYS INC           COM   02649V104          81      10,089  SH     DEFINED  01,08      10,089           0           0

AMERICAN HOME MTG HLDGS INC       COM   02660M108          58      10,972  SH     DEFINED  01,08      10,972           0           0

AMERICAN HOME PRODS CORP          COM   026609107     181,842   3,214,913  SH     DEFINED     01   2,764,194     247,216     203,503
AMERICAN HOME PRODS CORP          COM   026609107      49,305     871,698  SH     OTHER       01     476,390     387,208       8,100
AMERICAN HOME PRODS CORP          COM   026609107      10,088     178,361  SH     DEFINED     02      97,752      64,709      15,900
AMERICAN HOME PRODS CORP          COM   026609107       7,238     127,961  SH     OTHER       02      89,015      27,257      11,689
AMERICAN HOME PRODS CORP          COM   026609107      11,680     206,500  SH     DEFINED     03     113,542      87,429       5,529
AMERICAN HOME PRODS CORP          COM   026609107      14,054     248,464  SH     OTHER       03     209,466      34,523       4,475
AMERICAN HOME PRODS CORP          COM   026609107      26,793     473,690  SH     DEFINED     04     447,575           0      26,115
AMERICAN HOME PRODS CORP          COM   026609107      38,394     678,798  SH     OTHER       04     637,888           0      40,910
AMERICAN HOME PRODS CORP          COM   026609107       1,886      33,348  SH     DEFINED     05      27,098       5,600         650
AMERICAN HOME PRODS CORP          COM   026609107       1,688      29,841  SH     OTHER       05      15,141      14,700           0
AMERICAN HOME PRODS CORP          COM   026609107     142,395   2,517,506  SH     DEFINED  01,08   1,922,922     492,076     102,508
AMERICAN HOME PRODS CORP          COM   026609107          72       1,275  SH     DEFINED     09       1,275           0           0
AMERICAN HOME PRODS CORP          COM   026609107          79       1,392  SH     OTHER       09       1,392           0           0
AMERICAN HOME PRODS CORP          COM   026609107       2,942      52,008  SH     DEFINED     10      33,651      18,357           0
AMERICAN HOME PRODS CORP          COM   026609107       5,031      88,943  SH     OTHER       10      42,361      46,582           0

AMERICAN HOMESTAR CORP            COM   026651109          21      16,825  SH     DEFINED  01,08      16,825           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     32
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICAN INDL PPTYS REIT          COM   026791202         150      10,502  SH     DEFINED     01       7,184           0       3,318
AMERICAN INDL PPTYS REIT          COM   026791202           2         151  SH     DEFINED     04         151           0           0
AMERICAN INDL PPTYS REIT          COM   026791202          65       4,543  SH     DEFINED  01,08       4,543           0           0

AMERICAN INTL GROUP INC           COM   026874107     853,151   8,916,055  SH     DEFINED     01   6,220,690   2,260,216     435,149
AMERICAN INTL GROUP INC           COM   026874107      98,642   1,030,882  SH     OTHER       01     481,350     484,253      65,279
AMERICAN INTL GROUP INC           COM   026874107      32,114     335,618  SH     DEFINED     02     160,136     156,874      18,608
AMERICAN INTL GROUP INC           COM   026874107       9,920     103,671  SH     OTHER       02      58,108      37,155       8,408
AMERICAN INTL GROUP INC           COM   026874107      75,814     792,310  SH     DEFINED     03     408,158     349,679      34,473
AMERICAN INTL GROUP INC           COM   026874107      18,017     188,286  SH     OTHER       03     119,304      61,392       7,590
AMERICAN INTL GROUP INC           COM   026874107     305,847   3,196,330  SH     DEFINED     04   3,044,933           0     151,397
AMERICAN INTL GROUP INC           COM   026874107     154,923   1,619,063  SH     OTHER       04   1,551,534           0      67,530
AMERICAN INTL GROUP INC           COM   026874107      28,976     302,823  SH     DEFINED     05     202,237      81,275      19,311
AMERICAN INTL GROUP INC           COM   026874107       5,578      58,293  SH     OTHER       05      21,817      21,715      14,761
AMERICAN INTL GROUP INC           COM   026874107     339,772   3,550,865  SH     DEFINED  01,08   3,549,857       1,008           0
AMERICAN INTL GROUP INC           COM   026874107       1,233      12,884  SH     DEFINED     09      12,884           0           0
AMERICAN INTL GROUP INC           COM   026874107          20         210  SH     OTHER       09         210           0           0
AMERICAN INTL GROUP INC           COM   026874107      21,391     223,553  SH     DEFINED     10      99,375     123,728         450
AMERICAN INTL GROUP INC           COM   026874107       2,683      28,044  SH     OTHER       10       7,056      20,501         487

AMERICAN INTL PETROLEUM CORP      COM   026909408           1       1,250  SH     DEFINED     01       1,250           0           0
AMERICAN INTL PETROLEUM CORP      COM   026909408           3       5,000  SH     DEFINED     04       5,000           0           0
AMERICAN INTL PETROLEUM CORP      COM   026909408           6      10,612  SH     DEFINED  01,08      10,612           0           0

AMERICAN ITALIAN PASTA CO         COM   027070101         259      13,517  SH     DEFINED     01      11,073           0       2,444
AMERICAN ITALIAN PASTA CO         COM   027070101         480      25,025  SH     DEFINED  01,08      25,025           0           0

AMERICAN MGMT SYS INC             COM   027352103          62       3,600  SH     DEFINED     01       2,354           0       1,246
AMERICAN MGMT SYS INC             COM   027352103          29       1,687  SH     DEFINED     02       1,687           0           0
AMERICAN MGMT SYS INC             COM   027352103          12         700  SH     DEFINED     04         700           0           0
AMERICAN MGMT SYS INC             COM   027352103       1,898     110,405  SH     DEFINED  01,08     110,405           0           0

AMERICAN MED SEC GROUP INC        COM   02744P101          20       3,100  SH     DEFINED     01       3,100           0           0
AMERICAN MED SEC GROUP INC        COM   02744P101           1         158  SH     OTHER       04         158           0           0
AMERICAN MED SEC GROUP INC        COM   02744P101         157      24,339  SH     DEFINED  01,08      24,339           0           0

AMERICAN MUN TERM TR INC       UNDEFIND 027652106           0       2,750         DEFINED     01       2,750           0           0
AMERICAN MUN TERM TR INC       UNDEFIND 027652106         151      14,548         OTHER       04      14,548           0           0

AMERICAN MUN TERM TR INC II       COM   027653104         109      10,455  SH     OTHER       04      10,455           0           0

AMERICAN MED ALERT CORP           COM   027904101          22      10,000  SH     OTHER       04      10,000           0           0
AMERICAN MED ALERT CORP           COM   027904101          31      14,346  SH     DEFINED  01,08      14,346           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     33
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICAN NATL INS CO              COM   028591105         377       5,906  SH     DEFINED     01       4,122           0       1,784
AMERICAN NATL INS CO              COM   028591105          21         325  SH     DEFINED     04         325           0           0
AMERICAN NATL INS CO              COM   028591105       2,505      39,223  SH     DEFINED  01,08      39,223           0           0

AMERICAN PAC CORP                 COM   028740108           7       1,200  SH     DEFINED     01       1,200           0           0
AMERICAN PAC CORP                 COM   028740108          59       9,462  SH     DEFINED  01,08       9,462           0           0

AMERICAN PHYSICIANS SVC GROUP     COM   028882108          69      19,000  SH     DEFINED  01,08      19,000           0           0

AMERICAN RETIREMENT CORP          COM   028913101         509     101,693  SH     DEFINED  01,08     101,693           0           0

AMERICAN PWR CONVERSION CORP      COM   029066107       6,049     315,249  SH     DEFINED     01     269,857      30,200      15,192
AMERICAN PWR CONVERSION CORP      COM   029066107          40       2,100  SH     OTHER       01           0       2,100           0
AMERICAN PWR CONVERSION CORP      COM   029066107         260      13,550  SH     DEFINED     02       7,950       1,200       4,400
AMERICAN PWR CONVERSION CORP      COM   029066107         224      11,700  SH     OTHER       02       3,200       8,000         500
AMERICAN PWR CONVERSION CORP      COM   029066107          35       1,850  SH     DEFINED     03           0         850       1,000
AMERICAN PWR CONVERSION CORP      COM   029066107          42       2,200  SH     DEFINED     04       2,200           0           0
AMERICAN PWR CONVERSION CORP      COM   029066107         175       9,100  SH     OTHER       04       9,100           0           0
AMERICAN PWR CONVERSION CORP      COM   029066107       5,428     282,914  SH     DEFINED  01,08     282,914           0           0
AMERICAN PWR CONVERSION CORP      COM   029066107         456      23,748  SH     DEFINED     09      23,748           0           0
AMERICAN PWR CONVERSION CORP      COM   029066107         169       8,800  SH     DEFINED     10           0       8,800           0

AMERICAN QUANTUM CYCLES INC       COM   02914P204          10      15,000  SH     DEFINED  01,08           0      15,000           0

AMERICAN REAL ESTATE PARTNR LP    COM   029169109           4         400  SH     OTHER       01         400           0           0
AMERICAN REAL ESTATE PARTNR LP    COM   029169109           3         357  SH     OTHER       03           0         357           0
AMERICAN REAL ESTATE PARTNR LP    COM   029169109         203      22,347  SH     DEFINED  01,08      22,347           0           0

AMERICAN SCIENCE & ENGR INC       COM   029429107          14       2,000  SH     OTHER       01           0       2,000           0
AMERICAN SCIENCE & ENGR INC       COM   029429107         119      17,086  SH     DEFINED  01,08      17,086           0           0

AMERICAN SHARED HOSPITAL SVCS     COM   029595105          26      11,088  SH     DEFINED  01,08      11,088           0           0

AMERICAN SKIING CO                COM   029654308           3       1,500  SH     DEFINED     01       1,500           0           0
AMERICAN SKIING CO                COM   029654308          22      10,200  SH     DEFINED  01,08      10,200           0           0

AMERICAN SOFTWARE INC             COM   029683109          38      11,200  SH     DEFINED     04           0           0      11,200
AMERICAN SOFTWARE INC             COM   029683109         201      58,938  SH     DEFINED  01,08      58,938           0           0

AMERICAN STD COS INC DEL          COM   029712106       2,255      50,737  SH     DEFINED     01      47,119           0       3,618
AMERICAN STD COS INC DEL          COM   029712106           7         150  SH     DEFINED     03           0         150           0
AMERICAN STD COS INC DEL          COM   029712106          29         650  SH     DEFINED     04         650           0           0
AMERICAN STD COS INC DEL          COM   029712106           4         100  SH     OTHER       04         100           0           0
AMERICAN STD COS INC DEL          COM   029712106       8,577     193,019  SH     DEFINED  01,08     193,019           0           0
AMERICAN STD COS INC DEL          COM   029712106          11         250  SH     DEFINED     10         250           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     34
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICAN STS WTR CO               COM   029899101         670      22,155  SH     DEFINED     01      19,894           0       2,261
AMERICAN STS WTR CO               COM   029899101           9         300  SH     OTHER       02           0           0         300
AMERICAN STS WTR CO               COM   029899101          15         500  SH     OTHER       03           0         500           0
AMERICAN STS WTR CO               COM   029899101          30       1,000  SH     DEFINED     04       1,000           0           0
AMERICAN STS WTR CO               COM   029899101         651      21,526  SH     DEFINED  01,08      21,526           0           0

AMERICAN TOWER CORP               COM   029912201       2,901      76,970  SH     DEFINED     01      49,785      23,325       3,860
AMERICAN TOWER CORP               COM   029912201         372       9,875  SH     OTHER       01       1,600       7,075       1,200
AMERICAN TOWER CORP               COM   029912201           8         200  SH     DEFINED     02         200           0           0
AMERICAN TOWER CORP               COM   029912201           4         100  SH     OTHER       02         100           0           0
AMERICAN TOWER CORP               COM   029912201       4,531     120,232  SH     DEFINED     03      51,350      61,442       7,440
AMERICAN TOWER CORP               COM   029912201         667      17,688  SH     OTHER       03       6,213      11,300         175
AMERICAN TOWER CORP               COM   029912201      17,601     467,025  SH     DEFINED     04     442,410           0      24,615
AMERICAN TOWER CORP               COM   029912201      10,912     289,530  SH     OTHER       04     267,430           0      22,100
AMERICAN TOWER CORP               COM   029912201       5,223     138,599  SH     DEFINED  01,08     138,599           0           0
AMERICAN TOWER CORP               COM   029912201         483      12,827  SH     DEFINED     10      12,527         300           0
AMERICAN TOWER CORP               COM   029912201          17         450  SH     OTHER       10         200         250           0

AMERICAN SUPERCONDUCTOR CORP      COM   030111108       1,015      20,657  SH     DEFINED     01      20,014           0         643
AMERICAN SUPERCONDUCTOR CORP      COM   030111108          98       2,000  SH     OTHER       01           0       2,000           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108          44         900  SH     OTHER       04         900           0           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108       1,580      32,144  SH     DEFINED  01,08      32,144           0           0

AMERICAN TECHNICNAL CERAMICS      COM   030137103          47       3,021  SH     DEFINED     01       2,966           0          55
AMERICAN TECHNICNAL CERAMICS      COM   030137103         399      25,595  SH     DEFINED  01,08      25,595           0           0

AMERICAN TECHNOLOGY CORP          COM   030145205          85      15,369  SH     DEFINED  01,08      15,369           0           0

AMERICAN TELESOURCE INTL INC      COM   03018P108         123      53,005  SH     DEFINED     01      49,946           0       3,059
AMERICAN TELESOURCE INTL INC      COM   03018P108          66      28,361  SH     DEFINED  01,08      28,361           0           0

AMERICAN WTR WKS INC              COM   030411102       3,861     140,095  SH     DEFINED     01      66,955         586      72,554
AMERICAN WTR WKS INC              COM   030411102          28       1,000  SH     OTHER       01           0       1,000           0
AMERICAN WTR WKS INC              COM   030411102         141       5,100  SH     DEFINED     02       5,100           0           0
AMERICAN WTR WKS INC              COM   030411102          85       3,100  SH     OTHER       02       1,600       1,500           0
AMERICAN WTR WKS INC              COM   030411102          77       2,800  SH     DEFINED     03           0         800       2,000
AMERICAN WTR WKS INC              COM   030411102          12         450  SH     OTHER       03           0         450           0
AMERICAN WTR WKS INC              COM   030411102          72       2,600  SH     DEFINED     04       2,600           0           0
AMERICAN WTR WKS INC              COM   030411102       1,344      48,764  SH     OTHER       04      48,764           0           0
AMERICAN WTR WKS INC              COM   030411102       7,482     271,460  SH     DEFINED  01,08     271,460           0           0
AMERICAN WTR WKS INC              COM   030411102       1,122      40,725  SH     DEFINED     10      17,525      23,200           0
AMERICAN WTR WKS INC              COM   030411102          30       1,100  SH     OTHER       10         600         100         400

AMERICAN WOODMARK CORP            COM   030506109         452      22,878  SH     DEFINED  01,08      22,878           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     35
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMERICREDIT CORP                  COM   03060R101       2,509      87,098  SH     DEFINED     01      76,239       4,700       6,159
AMERICREDIT CORP                  COM   03060R101       1,017      35,300  SH     DEFINED     04       2,600           0      32,700
AMERICREDIT CORP                  COM   03060R101       8,178     283,830  SH     DEFINED  01,08     283,830           0           0

AMERISTAR CASINOS INC             COM   03070Q101          33       7,100  SH     DEFINED     01       7,100           0           0
AMERISTAR CASINOS INC             COM   03070Q101          45       9,500  SH     DEFINED  01,08       9,500           0           0

AMERIPATH INC                     COM   03071D109         191      13,154  SH     DEFINED     01       9,599           0       3,555
AMERIPATH INC                     COM   03071D109          29       2,000  SH     OTHER       04       2,000           0           0
AMERIPATH INC                     COM   03071D109         508      35,002  SH     DEFINED  01,08      35,002           0           0

AMERISOURCE HEALTH CORP           COM   03071P102       7,902     168,125  SH     DEFINED     01     159,907           0       8,218
AMERISOURCE HEALTH CORP           COM   03071P102       4,623      98,369  SH     DEFINED  01,08      98,369           0           0

AMERON INTL INC                   COM   030710107          51       1,400  SH     DEFINED     01       1,400           0           0
AMERON INTL INC                   COM   030710107         461      12,545  SH     DEFINED  01,08      12,545           0           0

AMERITRADE HLDG CORP              COM   03072H109          98       5,526  SH     DEFINED     01       3,530           0       1,996
AMERITRADE HLDG CORP              COM   03072H109          21       1,200  SH     OTHER       01       1,200           0           0
AMERITRADE HLDG CORP              COM   03072H109          16         900  SH     DEFINED     04         900           0           0
AMERITRADE HLDG CORP              COM   03072H109       2,415     136,055  SH     DEFINED  01,08     136,055           0           0

AMES DEPT STORES INC              COM   030789507          97      16,763  SH     DEFINED     01      11,636           0       5,127
AMES DEPT STORES INC              COM   030789507         316      54,591  SH     DEFINED  01,08      54,591           0           0

AMETEK INC NEW                    COM   031100100       1,159      54,690  SH     DEFINED     01      50,592       2,724       1,374
AMETEK INC NEW                    COM   031100100          42       2,000  SH     OTHER       01           0       2,000           0
AMETEK INC NEW                    COM   031100100       1,970      92,995  SH     DEFINED  01,08      92,995           0           0

AMF BOWLING INC                   COM   03113V109           4      26,768  SH     DEFINED  01,08      26,768           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     36
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMGEN INC                         COM   031162100     224,021   3,208,183  SH     DEFINED     01   2,422,444     616,545     169,194
AMGEN INC                         COM   031162100      23,984     343,477  SH     OTHER       01     147,354     153,833      42,290
AMGEN INC                         COM   031162100       3,958      56,685  SH     DEFINED     02      24,555      26,830       5,300
AMGEN INC                         COM   031162100         719      10,300  SH     OTHER       02       4,920       4,230       1,150
AMGEN INC                         COM   031162100      25,039     358,581  SH     DEFINED     03     133,368     207,764      17,449
AMGEN INC                         COM   031162100       5,446      77,990  SH     OTHER       03      51,365      25,875         750
AMGEN INC                         COM   031162100     138,658   1,985,701  SH     DEFINED     04   1,902,086           0      83,615
AMGEN INC                         COM   031162100      54,518     780,743  SH     OTHER       04     735,608           0      45,135
AMGEN INC                         COM   031162100       5,560      79,627  SH     DEFINED     05      48,477      24,300       6,850
AMGEN INC                         COM   031162100         653       9,350  SH     OTHER       05       4,650       4,700           0
AMGEN INC                         COM   031162100     106,116   1,519,672  SH     DEFINED  01,08   1,519,672           0           0
AMGEN INC                         COM   031162100         658       9,430  SH     DEFINED     09       9,430           0           0
AMGEN INC                         COM   031162100          56         800  SH     OTHER       09         600         200           0
AMGEN INC                         COM   031162100       5,322      76,210  SH     DEFINED     10      35,260      40,800         150
AMGEN INC                         COM   031162100         408       5,850  SH     OTHER       10       1,600       4,250           0

AMISTAR CORP                      COM   031535107          45      15,272  SH     DEFINED  01,08      15,272           0           0

AMKOR TECHNOLOGY INC              COM   031652100         279      10,670  SH     DEFINED     01       6,257           0       4,413
AMKOR TECHNOLOGY INC              COM   031652100         436      16,700  SH     DEFINED     04         200           0      16,500
AMKOR TECHNOLOGY INC              COM   031652100       3,318     126,993  SH     DEFINED  01,08     126,993           0           0

AMRESCO INC                       COM   031909203          34      12,904  SH     DEFINED  01,08      12,904           0           0

AMRESCO CAP TR                    COM   031919103          43       4,000  SH     DEFINED     04           0           0       4,000
AMRESCO CAP TR                    COM   031919103         134      12,429  SH     DEFINED  01,08      12,429           0           0

AMPAL AMERN ISRAEL CORP           COM   032015109         203      15,500  SH     DEFINED     01      14,321           0       1,179
AMPAL AMERN ISRAEL CORP           COM   032015109         690      52,564  SH     DEFINED  01,08      52,564           0           0

AMPCO-PITTSBURGH CORP             COM   032037103         163      15,900  SH     DEFINED     01      15,900           0           0
AMPCO-PITTSBURGH CORP             COM   032037103         302      29,418  SH     DEFINED  01,08      29,418           0           0

AMPEX CORP DEL                    COM   032092108          62      61,916  SH     DEFINED  01,08      61,916           0           0

AMPHENOL CORP NEW                 COM   032095101         956      16,793  SH     DEFINED     01      10,537           0       6,256
AMPHENOL CORP NEW                 COM   032095101          28         500  SH     OTHER       02           0         500           0
AMPHENOL CORP NEW                 COM   032095101       3,454      60,667  SH     DEFINED  01,08      60,667           0           0

AMPLICON INC                      COM   032101107         204      14,100  SH     DEFINED     01      14,100           0           0
AMPLICON INC                      COM   032101107         555      38,301  SH     DEFINED  01,08      38,301           0           0

AMREP CORP NEW                    COM   032159105         130      23,989  SH     DEFINED  01,08      23,989           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     37
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AMSOUTH BANCORPORATION            COM   032165102       8,296     663,649  SH     DEFINED     01     537,811      95,562      30,276
AMSOUTH BANCORPORATION            COM   032165102       1,246      99,692  SH     DEFINED     04      98,477           0       1,215
AMSOUTH BANCORPORATION            COM   032165102          65       5,212  SH     OTHER       04       5,212           0           0
AMSOUTH BANCORPORATION            COM   032165102       7,144     571,529  SH     DEFINED  01,08     571,529           0           0

AMSURG CORP                       COM   03232P108         161      11,523  SH     DEFINED  01,08      11,523           0           0

AMTECH SYS INC                    COM   032332504         900      60,000  SH     DEFINED     04      60,000           0           0

AMTRAN INC                        COM   03234G106         141      12,900  SH     DEFINED     01      12,900           0           0
AMTRAN INC                        COM   03234G106         174      15,914  SH     DEFINED  01,08      15,914           0           0

AMYLIN PHARMACEUTICALS INC        COM   032346108         965      89,810  SH     DEFINED     01      87,623           0       2,187
AMYLIN PHARMACEUTICALS INC        COM   032346108          11       1,000  SH     DEFINED     03           0           0       1,000
AMYLIN PHARMACEUTICALS INC        COM   032346108          16       1,500  SH     OTHER       04         500           0       1,000
AMYLIN PHARMACEUTICALS INC        COM   032346108       1,043      97,040  SH     DEFINED  01,08      97,040           0           0

ANACOMP INC DEL                   COM   032371106           8      18,728  SH     DEFINED  01,08      18,728           0           0

ANADARKO PETE CORP                COM   032511107      38,935     585,839  SH     DEFINED     01     483,778      80,570      21,491
ANADARKO PETE CORP                COM   032511107       1,444      21,728  SH     OTHER       01      11,823       9,760         145
ANADARKO PETE CORP                COM   032511107         708      10,653  SH     DEFINED     02       9,890         763           0
ANADARKO PETE CORP                COM   032511107         391       5,890  SH     OTHER       02       1,000       4,890           0
ANADARKO PETE CORP                COM   032511107         266       4,002  SH     DEFINED     03       1,448       1,354       1,200
ANADARKO PETE CORP                COM   032511107         526       7,916  SH     OTHER       03       6,632         708         576
ANADARKO PETE CORP                COM   032511107         403       6,067  SH     DEFINED     04       5,867           0         200
ANADARKO PETE CORP                COM   032511107       1,366      20,553  SH     OTHER       04      17,980           0       2,573
ANADARKO PETE CORP                COM   032511107          92       1,385  SH     DEFINED     05       1,385           0           0
ANADARKO PETE CORP                COM   032511107      24,727     372,061  SH     DEFINED  01,08     372,061           0           0
ANADARKO PETE CORP                COM   032511107         304       4,573  SH     DEFINED     10       1,000       3,573           0
ANADARKO PETE CORP                COM   032511107         133       2,000  SH     OTHER       10           0       2,000           0

ANADIGICS INC                     COM   032515108         685      30,978  SH     DEFINED     01      29,994           0         984
ANADIGICS INC                     COM   032515108         942      42,590  SH     DEFINED  01,08      42,590           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     38
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ANALOG DEVICES INC                COM   032654105     135,151   1,636,965  SH     DEFINED     01   1,413,008     157,508      66,449
ANALOG DEVICES INC                COM   032654105       2,097      25,405  SH     OTHER       01      16,880       7,475       1,050
ANALOG DEVICES INC                COM   032654105         458       5,550  SH     DEFINED     02       5,050          50         450
ANALOG DEVICES INC                COM   032654105         706       8,550  SH     OTHER       02         200       8,350           0
ANALOG DEVICES INC                COM   032654105       5,888      71,318  SH     DEFINED     03      23,389      40,599       7,330
ANALOG DEVICES INC                COM   032654105         471       5,700  SH     OTHER       03       2,600       2,800         300
ANALOG DEVICES INC                COM   032654105      10,018     121,345  SH     DEFINED     04     108,220           0      13,125
ANALOG DEVICES INC                COM   032654105       1,601      19,396  SH     OTHER       04      19,246           0         150
ANALOG DEVICES INC                COM   032654105       1,035      12,542  SH     DEFINED     05       8,392       4,000         150
ANALOG DEVICES INC                COM   032654105          76         925  SH     OTHER       05           0         375         550
ANALOG DEVICES INC                COM   032654105      49,275     596,826  SH     DEFINED  01,08     596,826           0           0
ANALOG DEVICES INC                COM   032654105          23         280  SH     DEFINED     09         280           0           0
ANALOG DEVICES INC                COM   032654105       2,078      25,175  SH     DEFINED     10      17,475       7,700           0
ANALOG DEVICES INC                COM   032654105          45         550  SH     OTHER       10         250         300           0

ANALOGIC CORP                     COM   032657207         332       8,647  SH     DEFINED     01       7,035           0       1,612
ANALOGIC CORP                     COM   032657207       2,003      52,120  SH     DEFINED  01,08      52,120           0           0

ANALYSTS INTL CORP                COM   032681108          94      13,030  SH     DEFINED     01       9,798           0       3,232
ANALYSTS INTL CORP                COM   032681108         584      80,960  SH     DEFINED  01,08      80,960           0           0

ANAREN MICROWAVE INC              COM   032744104       1,523      11,232  SH     DEFINED     01      10,936           0         296
ANAREN MICROWAVE INC              COM   032744104       2,923      21,555  SH     DEFINED  01,08      21,555           0           0

ANCHOR BANCORP WIS INC            COM   032839102         407      25,961  SH     DEFINED     01      21,937           0       4,024
ANCHOR BANCORP WIS INC            COM   032839102         834      53,179  SH     DEFINED  01,08      53,179           0           0
ANCHOR BANCORP WIS INC            COM   032839102          24       1,510  SH     DEFINED     10       1,510           0           0

ANCHOR GAMING                     COM   033037102         452       5,678  SH     DEFINED     01       3,852           0       1,826
ANCHOR GAMING                     COM   033037102      23,869     300,000  SH     OTHER       04     300,000           0           0
ANCHOR GAMING                     COM   033037102       1,871      23,517  SH     DEFINED  01,08      23,517           0           0

ANDOVER BANCORP INC DEL           COM   034258103         278       9,103  SH     DEFINED     01       7,988           0       1,115
ANDOVER BANCORP INC DEL           COM   034258103         438      14,358  SH     DEFINED  01,08      14,358           0           0

ANDREA ELECTRONICS CORP           COM   034393108         171      22,376  SH     DEFINED  01,08      22,376           0           0

ANDREW CORP                       COM   034425108       4,488     171,380  SH     DEFINED     01     136,999      27,027       7,354
ANDREW CORP                       COM   034425108          77       2,950  SH     OTHER       03       2,950           0           0
ANDREW CORP                       COM   034425108         221       8,440  SH     OTHER       04       8,440           0           0
ANDREW CORP                       COM   034425108       3,215     122,752  SH     DEFINED  01,08     122,752           0           0
ANDREW CORP                       COM   034425108          58       2,200  SH     DEFINED     10       2,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     39
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ANDRX CORP DEL                    COM   034553107         693       7,424  SH     DEFINED     01       4,252       2,200         972
ANDRX CORP DEL                    COM   034553107           9         100  SH     OTHER       04         100           0           0
ANDRX CORP DEL                    COM   034553107       5,401      57,839  SH     DEFINED  01,08      57,839           0           0
ANDRX CORP DEL                    COM   034553107          29         311  SH     DEFINED     10         311           0           0

ANESTA CORP                       COM   034603100         213       9,281  SH     DEFINED     01       7,656           0       1,625
ANESTA CORP                       COM   034603100       2,331     101,339  SH     DEFINED  01,08     101,339           0           0

ANGELICA CORP                     COM   034663104          63       6,500  SH     DEFINED     01       6,500           0           0
ANGELICA CORP                     COM   034663104          10       1,000  SH     DEFINED     04       1,000           0           0
ANGELICA CORP                     COM   034663104         271      27,995  SH     DEFINED  01,08      27,995           0           0

ANGLOGOLD LTD                     COM   035128206         104       5,659  SH     DEFINED     01       5,659           0           0
ANGLOGOLD LTD                     COM   035128206          70       3,800  SH     OTHER       01           0       3,800           0
ANGLOGOLD LTD                     COM   035128206          15         800  SH     OTHER       02           0         800           0
ANGLOGOLD LTD                     COM   035128206          10         534  SH     DEFINED     03           0         322         212
ANGLOGOLD LTD                     COM   035128206          34       1,837  SH     OTHER       03       1,837           0           0

ANHEUSER BUSCH COS INC            COM   035229103      82,683   1,954,118  SH     DEFINED     01   1,705,834     122,786     125,498
ANHEUSER BUSCH COS INC            COM   035229103       4,420     104,466  SH     OTHER       01      54,886      47,900       1,680
ANHEUSER BUSCH COS INC            COM   035229103         809      19,116  SH     DEFINED     02       4,868       6,276       7,972
ANHEUSER BUSCH COS INC            COM   035229103         958      22,650  SH     OTHER       02       4,250      16,000       2,400
ANHEUSER BUSCH COS INC            COM   035229103       4,717     111,474  SH     DEFINED     03      52,358      55,384       3,732
ANHEUSER BUSCH COS INC            COM   035229103       2,570      60,736  SH     OTHER       03      31,516      29,220           0
ANHEUSER BUSCH COS INC            COM   035229103       7,346     173,609  SH     DEFINED     04     164,749           0       8,860
ANHEUSER BUSCH COS INC            COM   035229103       9,360     221,207  SH     OTHER       04     220,107           0       1,100
ANHEUSER BUSCH COS INC            COM   035229103       1,729      40,856  SH     DEFINED     05      25,376      14,180       1,300
ANHEUSER BUSCH COS INC            COM   035229103         788      18,620  SH     OTHER       05       2,620      16,000           0
ANHEUSER BUSCH COS INC            COM   035229103      52,353   1,237,310  SH     DEFINED  01,08   1,237,310           0           0
ANHEUSER BUSCH COS INC            COM   035229103          34         800  SH     DEFINED     09         800           0           0
ANHEUSER BUSCH COS INC            COM   035229103       3,488      82,436  SH     DEFINED     10      37,276      45,160           0
ANHEUSER BUSCH COS INC            COM   035229103         740      17,496  SH     OTHER       10       3,300      14,196           0

ANICOM INC                        COM   035250109          10       2,500  SH     DEFINED     01       1,000           0       1,500
ANICOM INC                        COM   035250109           8       2,000  SH     DEFINED     04       2,000           0           0
ANICOM INC                        COM   035250109         131      34,186  SH     DEFINED  01,08      34,186           0           0

ANIKA THERAPEUTICS INC            COM   035255108           6       4,000  SH     DEFINED     04       4,000           0           0
ANIKA THERAPEUTICS INC            COM   035255108          22      14,500  SH     DEFINED  01,08      14,500           0           0

ANIXTER INTL INC                  COM   035290105       1,817      62,396  SH     DEFINED     01      55,002       1,600       5,794
ANIXTER INTL INC                  COM   035290105          12         420  SH     DEFINED     02         420           0           0
ANIXTER INTL INC                  COM   035290105          29       1,000  SH     DEFINED     04       1,000           0           0
ANIXTER INTL INC                  COM   035290105           4         150  SH     DEFINED     05           0           0         150
ANIXTER INTL INC                  COM   035290105       3,314     113,800  SH     DEFINED  01,08     113,800           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     40
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ANNALY MTG MGMT INC               COM   035710409          26       2,800  SH     DEFINED     04           0           0       2,800
ANNALY MTG MGMT INC               COM   035710409         263      28,806  SH     DEFINED  01,08      28,806           0           0

ANNTAYLOR STORES CORP             COM   036115103         727      18,904  SH     DEFINED     01      13,358           0       5,546
ANNTAYLOR STORES CORP             COM   036115103       2,037      52,987  SH     DEFINED  01,08      52,987           0           0

ANSOFT CORP                       COM   036384105         207      15,594  SH     DEFINED  01,08      15,594           0           0

ANSYS INC                         COM   03662Q105          86       7,200  SH     DEFINED     04           0           0       7,200
ANSYS INC                         COM   03662Q105          15       1,250  SH     OTHER       04           0           0       1,250
ANSYS INC                         COM   03662Q105         279      23,215  SH     DEFINED  01,08      23,215           0           0

ANTEC CORP                        COM   03664P105         679      23,022  SH     DEFINED     01      22,188           0         834
ANTEC CORP                        COM   03664P105          18         600  SH     OTHER       04         600           0           0
ANTEC CORP                        COM   03664P105       2,994     101,476  SH     DEFINED  01,08     101,476           0           0

ANTHONY & SYLVAN POOLS CORP       COM   036762102          86      11,238  SH     DEFINED  01,08      11,238           0           0

ANSWERTHINK INC                   COM   036916104         553      34,013  SH     DEFINED     01      33,418           0         595
ANSWERTHINK INC                   COM   036916104       2,417     148,733  SH     DEFINED     04     138,933           0       9,800
ANSWERTHINK INC                   COM   036916104         859      52,866  SH     DEFINED  01,08      52,866           0           0

ANTHRACITE CAP INC                COM   037023108          81      10,000  SH     DEFINED     04      10,000           0           0
ANTHRACITE CAP INC                COM   037023108          52       6,401  SH     DEFINED  01,08       6,401           0           0

ANTIGENICS INC DEL                COM   037032109          32       2,147  SH     DEFINED     01       1,480           0         667
ANTIGENICS INC DEL                COM   037032109           5         325  SH     DEFINED     04         325           0           0
ANTIGENICS INC DEL                COM   037032109         327      22,158  SH     DEFINED  01,08      22,158           0           0

AON CORP                          COM   037389103      24,179     616,019  SH     DEFINED     01     449,004     141,845      25,170
AON CORP                          COM   037389103       4,388     111,784  SH     OTHER       01      41,042      69,167       1,575
AON CORP                          COM   037389103         286       7,285  SH     DEFINED     02       4,855       2,430           0
AON CORP                          COM   037389103          95       2,431  SH     OTHER       02       1,912         519           0
AON CORP                          COM   037389103         303       7,730  SH     DEFINED     03       3,512       4,218           0
AON CORP                          COM   037389103         157       4,000  SH     OTHER       03       4,000           0           0
AON CORP                          COM   037389103       5,381     137,083  SH     DEFINED     04     137,083           0           0
AON CORP                          COM   037389103       3,981     101,420  SH     OTHER       04      98,045           0       3,375
AON CORP                          COM   037389103         157       4,000  SH     DEFINED     05       4,000           0           0
AON CORP                          COM   037389103      15,276     389,205  SH     DEFINED  01,08     389,205           0           0
AON CORP                          COM   037389103          24         600  SH     DEFINED     10         600           0           0
AON CORP                          COM   037389103         383       9,750  SH     OTHER       10       9,750           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     41
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

APACHE CORP                       COM   037411105      44,901     759,422  SH     DEFINED     01     440,092     294,139      25,191
APACHE CORP                       COM   037411105       2,698      45,625  SH     OTHER       01      16,355      28,925         345
APACHE CORP                       COM   037411105         228       3,850  SH     DEFINED     02       2,700       1,150           0
APACHE CORP                       COM   037411105          30         500  SH     OTHER       02           0         500           0
APACHE CORP                       COM   037411105       1,568      26,525  SH     DEFINED     03       9,235      16,140       1,150
APACHE CORP                       COM   037411105         210       3,550  SH     OTHER       03       1,350       2,200           0
APACHE CORP                       COM   037411105      22,202     375,503  SH     DEFINED     04     339,628           0      35,875
APACHE CORP                       COM   037411105       7,569     128,025  SH     OTHER       04     123,425           0       4,600
APACHE CORP                       COM   037411105         162       2,745  SH     DEFINED     05       2,445         300           0
APACHE CORP                       COM   037411105      12,120     204,989  SH     DEFINED  01,08     204,989           0           0
APACHE CORP                       COM   037411105         256       4,332  SH     DEFINED     09       4,332           0           0
APACHE CORP                       COM   037411105          24         400  SH     DEFINED     10         400           0           0

APACHE CORP                    CONV PFD 037411600       1,037      20,200         DEFINED     01      20,000         200           0
APACHE CORP                    CONV PFD 037411600          15         300         OTHER       03         300           0           0

APACHE MED SYS INC                COM   03746E102          12      15,569  SH     DEFINED  01,08      15,569           0           0

APARTMENT INVT & MGMT CO          COM   03748R101         966      20,964  SH     DEFINED     01      17,953       1,106       1,905
APARTMENT INVT & MGMT CO          COM   03748R101          60       1,305  SH     DEFINED     02       1,305           0           0
APARTMENT INVT & MGMT CO          COM   03748R101       1,317      28,600  SH     DEFINED     04      27,600           0       1,000
APARTMENT INVT & MGMT CO          COM   03748R101         363       7,882  SH     DEFINED  01,08       7,882           0           0

APERIAN INC                       COM   037531100         146      22,851  SH     DEFINED     01      22,453           0         398
APERIAN INC                       COM   037531100          23       3,557  SH     DEFINED  01,08       3,557           0           0

APHTON CORP                       COM   03759P101         415      14,438  SH     DEFINED     01      14,194           0         244
APHTON CORP                       COM   03759P101         572      19,912  SH     DEFINED  01,08      19,912           0           0

APOGEE ENTERPRISES INC            COM   037598109           1         200  SH     DEFINED     01           0           0         200
APOGEE ENTERPRISES INC            COM   037598109         592     104,137  SH     DEFINED  01,08     104,137           0           0

APOLLO GROUP INC                  COM   037604105       2,368      59,385  SH     DEFINED     01      47,256       7,430       4,699
APOLLO GROUP INC                  COM   037604105          42       1,050  SH     OTHER       01         150         900           0
APOLLO GROUP INC                  COM   037604105          80       2,000  SH     DEFINED     03       2,000           0           0
APOLLO GROUP INC                  COM   037604105          68       1,700  SH     DEFINED     04       1,700           0           0
APOLLO GROUP INC                  COM   037604105          44       1,100  SH     OTHER       04       1,000           0         100
APOLLO GROUP INC                  COM   037604105       8,180     205,147  SH     DEFINED  01,08     205,147           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     42
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

APPLE COMPUTER INC                COM   037833100      15,227     591,353  SH     DEFINED     01     462,863      93,008      35,482
APPLE COMPUTER INC                COM   037833100          85       3,296  SH     OTHER       01         400       1,912         984
APPLE COMPUTER INC                COM   037833100         153       5,926  SH     DEFINED     02       5,400          30         496
APPLE COMPUTER INC                COM   037833100          15         600  SH     OTHER       02         600           0           0
APPLE COMPUTER INC                COM   037833100          15         600  SH     DEFINED     03         200         200         200
APPLE COMPUTER INC                COM   037833100          31       1,200  SH     OTHER       03           0       1,200           0
APPLE COMPUTER INC                COM   037833100         274      10,650  SH     DEFINED     04      10,050           0         600
APPLE COMPUTER INC                COM   037833100         300      11,638  SH     OTHER       04      10,638           0       1,000
APPLE COMPUTER INC                COM   037833100          10         400  SH     DEFINED     05         400           0           0
APPLE COMPUTER INC                COM   037833100      13,629     529,269  SH     DEFINED  01,08     529,269           0           0
APPLE COMPUTER INC                COM   037833100          14         546  SH     DEFINED     10         346         200           0

APPLEBEES INTL INC                COM   037899101         608      26,444  SH     DEFINED     01      20,941       2,700       2,803
APPLEBEES INTL INC                COM   037899101           1          60  SH     OTHER       04           0           0          60
APPLEBEES INTL INC                COM   037899101         976      42,415  SH     DEFINED  01,08      42,415           0           0

APPLIED INNOVATION INC            COM   037916103           6         400  SH     OTHER       01         400           0           0
APPLIED INNOVATION INC            COM   037916103         328      21,190  SH     DEFINED  01,08      21,190           0           0

APRIA HEALTHCARE GROUP INC        COM   037933108       1,347      96,661  SH     DEFINED     01      94,717           0       1,944
APRIA HEALTHCARE GROUP INC        COM   037933108          28       2,000  SH     DEFINED     03           0       2,000           0
APRIA HEALTHCARE GROUP INC        COM   037933108       2,077     149,063  SH     DEFINED  01,08     149,063           0           0

APPLIED MICROSYSTEMS CORP         COM   037935103         160      16,010  SH     DEFINED  01,08      16,010           0           0

APPLIED GRAPHICS TECHNOLOGIES     COM   037937109          27       7,200  SH     DEFINED     04           0           0       7,200
APPLIED GRAPHICS TECHNOLOGIES     COM   037937109         323      87,535  SH     DEFINED  01,08      87,535           0           0

APPLIED ANALYTICAL INDS INC       COM   037939105         166      21,445  SH     DEFINED  01,08      21,445           0           0

APPLICA INC                       COM   03815A106         196      31,760  SH     DEFINED     01      27,749           0       4,011
APPLICA INC                       COM   03815A106         314      50,742  SH     DEFINED     04      48,742           0       2,000
APPLICA INC                       COM   03815A106          19       3,000  SH     OTHER       04       3,000           0           0
APPLICA INC                       COM   03815A106         369      59,719  SH     DEFINED  01,08      59,719           0           0

APPLIED DIGITAL SOLUTIONS         COM   038188108           2         400  SH     DEFINED     04         400           0           0
APPLIED DIGITAL SOLUTIONS         COM   038188108           8       2,200  SH     OTHER       04       2,200           0           0
APPLIED DIGITAL SOLUTIONS         COM   038188108         190      50,277  SH     DEFINED  01,08      50,277           0           0

APPLIED EXTRUSION TECHNOLOGIES    COM   038196101          49      15,242  SH     DEFINED  01,08      15,242           0           0

APPLIED INDL TECHNOLOGIES INC     COM   03820C105         506      29,238  SH     DEFINED     01      24,174           0       5,064
APPLIED INDL TECHNOLOGIES INC     COM   03820C105         211      12,200  SH     DEFINED     04           0           0      12,200
APPLIED INDL TECHNOLOGIES INC     COM   03820C105       1,762     101,781  SH     DEFINED  01,08     101,781           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     43
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

APPLIED MICRO CIRCUITS CORP       COM   03822W109      97,854     472,581  SH     DEFINED     01     455,292       3,200      14,089
APPLIED MICRO CIRCUITS CORP       COM   03822W109       1,532       7,400  SH     OTHER       01       2,000           0       5,400
APPLIED MICRO CIRCUITS CORP       COM   03822W109         124         600  SH     DEFINED     03         100         500           0
APPLIED MICRO CIRCUITS CORP       COM   03822W109      21,331     103,019  SH     DEFINED  01,08     103,019           0           0
APPLIED MICRO CIRCUITS CORP       COM   03822W109          22         108  SH     DEFINED     10         108           0           0

APPLIED MATLS INC                 COM   038222105     181,485   3,059,835  SH     DEFINED     01   2,578,524     353,402     127,909
APPLIED MATLS INC                 COM   038222105      11,547     194,680  SH     OTHER       01      77,820     103,361      13,499
APPLIED MATLS INC                 COM   038222105       6,601     111,294  SH     DEFINED     02      24,375      81,709       5,210
APPLIED MATLS INC                 COM   038222105         928      15,645  SH     OTHER       02       5,550       6,075       4,020
APPLIED MATLS INC                 COM   038222105       7,974     134,449  SH     DEFINED     03      60,295      64,064      10,090
APPLIED MATLS INC                 COM   038222105       3,163      53,335  SH     OTHER       03      19,635      32,100       1,600
APPLIED MATLS INC                 COM   038222105      28,222     475,816  SH     DEFINED     04     457,771           0      18,045
APPLIED MATLS INC                 COM   038222105       7,144     120,445  SH     OTHER       04     114,075           0       6,370
APPLIED MATLS INC                 COM   038222105         254       4,275  SH     DEFINED     05       2,400       1,075         800
APPLIED MATLS INC                 COM   038222105         214       3,600  SH     OTHER       05           0       3,600           0
APPLIED MATLS INC                 COM   038222105      77,345   1,304,032  SH     DEFINED  01,08   1,304,032           0           0
APPLIED MATLS INC                 COM   038222105          77       1,300  SH     OTHER       09       1,300           0           0
APPLIED MATLS INC                 COM   038222105         654      11,020  SH     DEFINED     10       7,100       3,920           0
APPLIED MATLS INC                 COM   038222105          89       1,500  SH     OTHER       10         300       1,200           0

APPLIED MOLECULAR EVOLUTION IN    COM   03823E108         249       6,200  SH     DEFINED  01,08       6,200           0           0

APPLIED SCIENCE & TECHNOLOGY      COM   038236105         254      17,249  SH     DEFINED     01      17,045           0         204
APPLIED SCIENCE & TECHNOLOGY      COM   038236105         256      17,350  SH     DEFINED  01,08      17,350           0           0

APPLIED SIGNAL TECHNOLOGY INC     COM   038237103          85      11,992  SH     DEFINED  01,08      11,992           0           0

APPLIEDTHEORY CORP                COM   03828R104          42       6,867  SH     DEFINED     01       6,646           0         221
APPLIEDTHEORY CORP                COM   03828R104         124      20,273  SH     DEFINED  01,08      20,273           0           0

APPLIX INC                        COM   038316105           2         700  SH     DEFINED     01         700           0           0
APPLIX INC                        COM   038316105          55      17,936  SH     DEFINED  01,08      17,936           0           0

APTARGROUP INC                    COM   038336103         735      30,710  SH     DEFINED     01      21,183       1,788       7,739
APTARGROUP INC                    COM   038336103          41       1,700  SH     OTHER       01           0       1,700           0
APTARGROUP INC                    COM   038336103          82       3,408  SH     OTHER       04       3,408           0           0
APTARGROUP INC                    COM   038336103       1,607      67,122  SH     DEFINED  01,08      67,122           0           0

AQUILA BIOPHARM INC               COM   03839F107           4         900  SH     DEFINED     02         900           0           0
AQUILA BIOPHARM INC               COM   03839F107          44      10,439  SH     DEFINED  01,08      10,439           0           0

ARABIAN AMERN DEV CO              COM   038465100          35      59,200  SH     DEFINED  01,08      59,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     44
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ARADIGM CORP                      COM   038505103         495      21,588  SH     DEFINED     01      18,176       3,100         312
ARADIGM CORP                      COM   038505103          28       1,200  SH     OTHER       01           0       1,200           0
ARADIGM CORP                      COM   038505103         618      26,933  SH     DEFINED  01,08      26,933           0           0

ARCH CAP GROUP LTD                COM   03937L105         190      12,090  SH     DEFINED     01       9,768           0       2,322
ARCH CAP GROUP LTD                COM   03937L105         142       9,000  SH     OTHER       01       9,000           0           0
ARCH CAP GROUP LTD                COM   03937L105         315      20,001  SH     DEFINED  01,08      20,001           0           0

ARCH CHEMICALS INC                COM   03937R102         456      24,970  SH     DEFINED     01      19,232       2,400       3,338
ARCH CHEMICALS INC                COM   03937R102           1          50  SH     OTHER       02          50           0           0
ARCH CHEMICALS INC                COM   03937R102         267      14,628  SH     OTHER       04      14,628           0           0
ARCH CHEMICALS INC                COM   03937R102         526      28,817  SH     DEFINED  01,08      28,817           0           0

ARCH COAL INC                     COM   039380100         388      38,785  SH     DEFINED     01      34,610         178       3,997
ARCH COAL INC                     COM   039380100          24       2,386  SH     OTHER       01         369       1,993          24
ARCH COAL INC                     COM   039380100           1          59  SH     OTHER       02          59           0           0
ARCH COAL INC                     COM   039380100           3         256  SH     DEFINED     04         256           0           0
ARCH COAL INC                     COM   039380100          16       1,647  SH     OTHER       04       1,647           0           0
ARCH COAL INC                     COM   039380100         540      53,956  SH     DEFINED  01,08      53,956           0           0

ARCHER DANIELS MIDLAND CO         COM   039483102      10,846   1,257,502  SH     DEFINED     01   1,049,898     181,213      26,391
ARCHER DANIELS MIDLAND CO         COM   039483102         689      79,832  SH     OTHER       01      70,267       9,565           0
ARCHER DANIELS MIDLAND CO         COM   039483102          47       5,392  SH     DEFINED     02         510       4,882           0
ARCHER DANIELS MIDLAND CO         COM   039483102         211      24,441  SH     OTHER       02       1,200       2,241      21,000
ARCHER DANIELS MIDLAND CO         COM   039483102         309      35,807  SH     DEFINED     03       1,443      32,922       1,442
ARCHER DANIELS MIDLAND CO         COM   039483102          72       8,400  SH     OTHER       03           0       8,400           0
ARCHER DANIELS MIDLAND CO         COM   039483102       1,778     206,171  SH     DEFINED     04     206,170           0           1
ARCHER DANIELS MIDLAND CO         COM   039483102       1,364     158,128  SH     OTHER       04      16,658           0     141,470
ARCHER DANIELS MIDLAND CO         COM   039483102       8,837   1,024,599  SH     DEFINED  01,08   1,024,599           0           0

ARCHSTONE CMNTYS TR               COM   039581103         469      19,075  SH     DEFINED     01       9,353       5,000       4,722
ARCHSTONE CMNTYS TR               COM   039581103       3,374     137,354  SH     OTHER       01      32,334       2,273     102,747
ARCHSTONE CMNTYS TR               COM   039581103       1,169      47,600  SH     DEFINED     04      47,600           0           0
ARCHSTONE CMNTYS TR               COM   039581103         228       9,279  SH     DEFINED  01,08       9,279           0           0

ARCTIC CAT INC                    COM   039670104         324      25,694  SH     DEFINED     01      20,868           0       4,826
ARCTIC CAT INC                    COM   039670104         756      59,883  SH     DEFINED  01,08      59,883           0           0

ARDEN GROUP INC                   COM   039762109         541      11,101  SH     DEFINED  01,08      11,101           0           0

ARDEN RLTY INC                    COM   039793104         948      35,352  SH     DEFINED     01      24,286           0      11,066
ARDEN RLTY INC                    COM   039793104          27       1,000  SH     DEFINED     03           0           0       1,000
ARDEN RLTY INC                    COM   039793104          80       3,000  SH     OTHER       03       3,000           0           0
ARDEN RLTY INC                    COM   039793104         409      15,268  SH     DEFINED  01,08      15,268           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     45
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

AREA BANCSHARES CORP NEW          COM   039872106         283      12,757  SH     DEFINED     01      11,088           0       1,669
AREA BANCSHARES CORP NEW          COM   039872106         536      24,161  SH     DEFINED  01,08      24,161           0           0

AREMISSOFT CORP DEL               COM   040026106         378      10,089  SH     DEFINED     01       9,913           0         176
AREMISSOFT CORP DEL               COM   040026106         381      10,169  SH     DEFINED  01,08      10,169           0           0

ARENA PHARMACEUTICALS INC         COM   040047102         589      13,700  SH     DEFINED  01,08      13,700           0           0

ARGONAUT GROUP INC                COM   040157109         382      21,857  SH     DEFINED     01      18,543           0       3,314
ARGONAUT GROUP INC                COM   040157109          35       2,000  SH     OTHER       04       2,000           0           0
ARGONAUT GROUP INC                COM   040157109       1,048      59,861  SH     DEFINED  01,08      59,861           0           0

ARGOSY GAMING CO                  COM   040228108         383      21,107  SH     DEFINED     01      20,441           0         666
ARGOSY GAMING CO                  COM   040228108         855      47,147  SH     DEFINED  01,08      47,147           0           0

ARGUSS COMMUNICATIONS INC         COM   040282105         148       7,252  SH     DEFINED     01       5,271           0       1,981
ARGUSS COMMUNICATIONS INC         COM   040282105         244      11,950  SH     DEFINED  01,08      11,950           0           0

ARIAD PHARMACEUTICALS INC         COM   04033A100         308      24,515  SH     DEFINED     01      24,100           0         415
ARIAD PHARMACEUTICALS INC         COM   04033A100         100       8,000  SH     DEFINED     04           0           0       8,000
ARIAD PHARMACEUTICALS INC         COM   04033A100          15       1,200  SH     OTHER       04         700           0         500
ARIAD PHARMACEUTICALS INC         COM   04033A100         301      23,925  SH     DEFINED  01,08      23,925           0           0

ARIBA INC                         COM   04033V104      83,434     582,373  SH     DEFINED     01     565,781       9,400       7,192
ARIBA INC                         COM   04033V104         173       1,208  SH     OTHER       01           0       1,208           0
ARIBA INC                         COM   04033V104          79         550  SH     DEFINED     02         400           0         150
ARIBA INC                         COM   04033V104          29         200  SH     OTHER       02           0         200           0
ARIBA INC                         COM   04033V104         301       2,100  SH     DEFINED     03       1,100       1,000           0
ARIBA INC                         COM   04033V104           6          44  SH     OTHER       03          44           0           0
ARIBA INC                         COM   04033V104       1,008       7,035  SH     DEFINED     04       7,035           0           0
ARIBA INC                         COM   04033V104         213       1,490  SH     OTHER       04       1,490           0           0
ARIBA INC                         COM   04033V104      27,033     188,692  SH     DEFINED  01,08     188,692           0           0
ARIBA INC                         COM   04033V104          35         241  SH     DEFINED     10         241           0           0

ARIS CORP                         COM   04040A101          44      16,693  SH     DEFINED  01,08      16,693           0           0

ARK RESTAURANTS CORP              COM   040712101         113      12,300  SH     DEFINED  01,08      12,300           0           0

ARKANSAS BEST CORP DEL            COM   040790107         403      26,234  SH     DEFINED     01      19,354       3,200       3,680
ARKANSAS BEST CORP DEL            COM   040790107         583      37,917  SH     DEFINED  01,08      37,917           0           0

ARMOR HOLDINGS INC                COM   042260109         220      14,673  SH     DEFINED     01      13,365           0       1,308
ARMOR HOLDINGS INC                COM   042260109         881      58,700  SH     DEFINED     04           0           0      58,700
ARMOR HOLDINGS INC                COM   042260109          75       5,000  SH     OTHER       04           0           0       5,000
ARMOR HOLDINGS INC                COM   042260109         759      50,620  SH     DEFINED  01,08      50,620           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     46
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ARMSTRONG HLDGS INC               COM   042384107         901      75,520  SH     DEFINED     01      55,228      13,215       7,077
ARMSTRONG HLDGS INC               COM   042384107           0           4  SH     DEFINED     04           4           0           0
ARMSTRONG HLDGS INC               COM   042384107           7         600  SH     OTHER       04           0           0         600
ARMSTRONG HLDGS INC               COM   042384107         791      66,245  SH     DEFINED  01,08      66,245           0           0

ARNOLD INDS INC                   COM   042595108       2,798     165,804  SH     DEFINED     01     161,939         100       3,765
ARNOLD INDS INC                   COM   042595108         610      36,130  SH     OTHER       01      36,130           0           0
ARNOLD INDS INC                   COM   042595108       1,185      70,218  SH     DEFINED  01,08      70,218           0           0

ARONEX PHARMACEUTICALS INC        COM   042666206           2         348  SH     OTHER       04           0           0         348
ARONEX PHARMACEUTICALS INC        COM   042666206         145      30,854  SH     DEFINED  01,08      30,854           0           0
ARONEX PHARMACEUTICALS INC        COM   042666206           7       1,400  SH     DEFINED     10       1,400           0           0

ARQULE INC                        COM   04269E107          73       4,297  SH     DEFINED     01           0           0       4,297
ARQULE INC                        COM   04269E107         587      34,385  SH     OTHER       01           0           0      34,385
ARQULE INC                        COM   04269E107         301      17,660  SH     DEFINED  01,08      17,660           0           0

ARROW ELECTRS INC                 COM   042735100       2,337      68,620  SH     DEFINED     01      62,995         800       4,825
ARROW ELECTRS INC                 COM   042735100           3         100  SH     DEFINED     02           0         100           0
ARROW ELECTRS INC                 COM   042735100           7         200  SH     DEFINED     03           0         200           0
ARROW ELECTRS INC                 COM   042735100          43       1,275  SH     DEFINED     04       1,275           0           0
ARROW ELECTRS INC                 COM   042735100       9,235     271,119  SH     DEFINED  01,08     271,119           0           0

ARROW FINL CORP                   COM   042744102         172      10,341  SH     DEFINED  01,08      10,341           0           0

ARROW INTL INC                    COM   042764100         285       7,822  SH     DEFINED     01       5,276         570       1,976
ARROW INTL INC                    COM   042764100       1,497      41,155  SH     DEFINED  01,08      41,155           0           0

ART TECHNOLOGY GROUP INC          COM   04289L107         392       4,136  SH     DEFINED     01       2,641           0       1,495
ART TECHNOLOGY GROUP INC          COM   04289L107       5,226      55,151  SH     DEFINED  01,08      55,151           0           0
ART TECHNOLOGY GROUP INC          COM   04289L107          23         242  SH     DEFINED     10         242           0           0

ARTISAN COMPONENTS INC            COM   042923102         262      20,352  SH     DEFINED  01,08      20,352           0           0

ARTESYN TECHNOLOGIES INC          COM   043127109       1,021      35,049  SH     DEFINED     01      32,077           0       2,972
ARTESYN TECHNOLOGIES INC          COM   043127109          29       1,000  SH     OTHER       02           0       1,000           0
ARTESYN TECHNOLOGIES INC          COM   043127109       1,693      58,123  SH     DEFINED  01,08      58,123           0           0

ARTHROCARE CORP                   COM   043136100         412      21,174  SH     DEFINED     01      19,824       1,000         350
ARTHROCARE CORP                   COM   043136100           8         400  SH     DEFINED     04         400           0           0
ARTHROCARE CORP                   COM   043136100         676      34,778  SH     DEFINED  01,08      34,778           0           0

ARTISOFT INC                      COM   04314L106         221      29,356  SH     DEFINED  01,08      29,356           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     47
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ARVINMERITOR INC                  COM   043353101       1,370      93,308  SH     DEFINED     01      80,262         506      12,540
ARVINMERITOR INC                  COM   043353101          57       3,858  SH     OTHER       01           0       3,546         312
ARVINMERITOR INC                  COM   043353101          12         797  SH     DEFINED     03           0         797           0
ARVINMERITOR INC                  COM   043353101           4         300  SH     OTHER       03         300           0           0
ARVINMERITOR INC                  COM   043353101           1          88  SH     DEFINED     04          88           0           0
ARVINMERITOR INC                  COM   043353101           3         172  SH     OTHER       04         172           0           0
ARVINMERITOR INC                  COM   043353101       3,049     207,577  SH     DEFINED  01,08     207,577           0           0
ARVINMERITOR INC                  COM   043353101           6         399  SH     DEFINED     10           0           0         399

ASHFORD COM INC                   COM   044093102          70      20,823  SH     DEFINED  01,08      20,823           0           0

ASHLAND INC                       COM   044204105       3,520     104,505  SH     DEFINED     01      78,624      20,535       5,346
ASHLAND INC                       COM   044204105         334       9,900  SH     OTHER       01       1,500       8,400           0
ASHLAND INC                       COM   044204105           7         200  SH     DEFINED     02         200           0           0
ASHLAND INC                       COM   044204105          59       1,740  SH     OTHER       02         840         900           0
ASHLAND INC                       COM   044204105         227       6,745  SH     DEFINED     04       6,745           0           0
ASHLAND INC                       COM   044204105         241       7,146  SH     OTHER       04       7,146           0           0
ASHLAND INC                       COM   044204105       3,649     108,333  SH     DEFINED  01,08     108,333           0           0

ASHTON TECHNOLOGY GROUP INC       COM   045084100          73      26,614  SH     DEFINED  01,08      26,614           0           0

ASHWORTH INC                      COM   04516H101           6         700  SH     DEFINED     01           0           0         700
ASHWORTH INC                      COM   04516H101         180      22,900  SH     DEFINED  01,08      22,900           0           0

ASK JEEVES INC                    COM   045174109         405      21,113  SH     DEFINED     01      20,744           0         369
ASK JEEVES INC                    COM   045174109          27       1,414  SH     OTHER       01           0           0       1,414
ASK JEEVES INC                    COM   045174109          96       5,000  SH     DEFINED     04       5,000           0           0
ASK JEEVES INC                    COM   045174109           4         200  SH     OTHER       04         200           0           0
ASK JEEVES INC                    COM   045174109         800      41,690  SH     DEFINED  01,08      41,690           0           0

ASIAINFO HLDGS INC                COM   04518A104           6         300  SH     DEFINED     01         209           0          91
ASIAINFO HLDGS INC                COM   04518A104           1          50  SH     DEFINED     04           0           0          50
ASIAINFO HLDGS INC                COM   04518A104         343      18,100  SH     DEFINED  01,08      18,100           0           0

ASPECT COMMUNICATIONS CORP        COM   04523Q102         240      11,622  SH     DEFINED     01       4,605       2,000       5,017
ASPECT COMMUNICATIONS CORP        COM   04523Q102       2,992     145,069  SH     DEFINED  01,08     145,069           0           0

ASPECT MED SYS INC                COM   045235108         175      14,136  SH     DEFINED     01      14,008           0         128
ASPECT MED SYS INC                COM   045235108          12       1,000  SH     DEFINED     04       1,000           0           0
ASPECT MED SYS INC                COM   045235108         289      23,380  SH     DEFINED  01,08      23,380           0           0

ASPEN TECHNOLOGY INC              COM   045327103       8,471     187,730  SH     DEFINED     01     180,363       1,300       6,067
ASPEN TECHNOLOGY INC              COM   045327103       1,869      41,418  SH     DEFINED  01,08      41,418           0           0

ASPEON INC                        COM   045354107          20      11,806  SH     DEFINED  01,08      11,806           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     48
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ASSOCIATED BANC CORP              COM   045487105       1,413      53,843  SH     DEFINED     01      49,176       1,833       2,834
ASSOCIATED BANC CORP              COM   045487105         769      29,285  SH     OTHER       01      22,275       7,010           0
ASSOCIATED BANC CORP              COM   045487105          34       1,314  SH     OTHER       02           0           0       1,314
ASSOCIATED BANC CORP              COM   045487105          72       2,745  SH     DEFINED     04       2,745           0           0
ASSOCIATED BANC CORP              COM   045487105       1,316      50,150  SH     OTHER       04      50,150           0           0
ASSOCIATED BANC CORP              COM   045487105       5,649     215,181  SH     DEFINED  01,08     215,181           0           0

AT HOME CORP                      COM   045919107         338      23,921  SH     DEFINED     01      16,401       2,405       5,115
AT HOME CORP                      COM   045919107         918      64,977  SH     OTHER       01         175       4,935      59,867
AT HOME CORP                      COM   045919107           4         250  SH     DEFINED     02         100         150           0
AT HOME CORP                      COM   045919107           3         200  SH     OTHER       02         200           0           0
AT HOME CORP                      COM   045919107           3         200  SH     OTHER       03           0         200           0
AT HOME CORP                      COM   045919107          25       1,804  SH     DEFINED     04       1,804           0           0
AT HOME CORP                      COM   045919107          96       6,766  SH     OTHER       04       6,066           0         700
AT HOME CORP                      COM   045919107       4,529     320,604  SH     DEFINED  01,08     320,604           0           0
AT HOME CORP                      COM   045919107           1          44  SH     DEFINED     10          44           0           0

ASSOCIATES FIRST CAP CORP         COM   046008108      57,926   1,524,359  SH     DEFINED     01   1,144,581     292,900      86,878
ASSOCIATES FIRST CAP CORP         COM   046008108       3,780      99,470  SH     OTHER       01      63,047      27,018       9,405
ASSOCIATES FIRST CAP CORP         COM   046008108         291       7,648  SH     DEFINED     02       2,653       4,995           0
ASSOCIATES FIRST CAP CORP         COM   046008108       1,177      30,972  SH     OTHER       02      23,404       7,468         100
ASSOCIATES FIRST CAP CORP         COM   046008108       1,865      49,088  SH     DEFINED     03      33,216      15,205         667
ASSOCIATES FIRST CAP CORP         COM   046008108       1,116      29,365  SH     OTHER       03      15,680      11,985       1,700
ASSOCIATES FIRST CAP CORP         COM   046008108       1,494      39,316  SH     DEFINED     04      35,841           0       3,475
ASSOCIATES FIRST CAP CORP         COM   046008108       1,301      34,247  SH     OTHER       04      33,627           0         620
ASSOCIATES FIRST CAP CORP         COM   046008108       2,246      59,095  SH     DEFINED     05      29,245      23,700       6,150
ASSOCIATES FIRST CAP CORP         COM   046008108         110       2,900  SH     OTHER       05         800       2,100           0
ASSOCIATES FIRST CAP CORP         COM   046008108      43,311   1,139,770  SH     DEFINED  01,08   1,139,770           0           0
ASSOCIATES FIRST CAP CORP         COM   046008108          10         250  SH     OTHER       09           0         250           0
ASSOCIATES FIRST CAP CORP         COM   046008108         205       5,403  SH     DEFINED     10       3,026       2,377           0
ASSOCIATES FIRST CAP CORP         COM   046008108         350       9,203  SH     OTHER       10       5,008       4,195           0

ASTEA INTL INC                    COM   04622E109          21      20,600  SH     DEFINED  01,08      20,600           0           0

ASTEC INDS INC                    COM   046224101         378      34,607  SH     DEFINED     01      33,869           0         738
ASTEC INDS INC                    COM   046224101         460      42,040  SH     DEFINED  01,08      42,040           0           0

ASTORIA FINL CORP                 COM   046265104       2,202      57,003  SH     DEFINED     01      46,676       1,900       8,427
ASTORIA FINL CORP                 COM   046265104          77       2,000  SH     OTHER       01       2,000           0           0
ASTORIA FINL CORP                 COM   046265104           2          60  SH     DEFINED     03          60           0           0
ASTORIA FINL CORP                 COM   046265104       6,134     158,813  SH     DEFINED  01,08     158,813           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     49
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>        <C>         <C>          <C>

ASTRAZENECA PLC                   COM   046353108          74       1,400  SH     DEFINED     01       1,047         353           0
ASTRAZENECA PLC                   COM   046353108         524       9,964  SH     OTHER       01           0       3,864       6,100
ASTRAZENECA PLC                   COM   046353108          19         353  SH     OTHER       02           0         353           0
ASTRAZENECA PLC                   COM   046353108          62       1,175  SH     DEFINED     03       1,100          75           0
ASTRAZENECA PLC                   COM   046353108         448       8,521  SH     OTHER       03       8,428          93           0
ASTRAZENECA PLC                   COM   046353108         352       6,701  SH     DEFINED     04       5,188           0       1,513
ASTRAZENECA PLC                   COM   046353108         519       9,868  SH     OTHER       04       9,868           0           0
ASTRAZENECA PLC                   COM   046353108          14         259  SH     DEFINED     10          48         211           0

ASTRONICS CORP                    COM   046433108         175      16,366  SH     DEFINED  01,08      16,366           0           0

ASTROPOWER INC                    COM   04644A101          99       2,500  SH     OTHER       04       2,500           0           0
ASTROPOWER INC                    COM   04644A101         642      16,214  SH     DEFINED  01,08      16,214           0           0

ASYST TECHNOLOGY CORP             COM   04648X107         783      38,684  SH     DEFINED     01      32,347           0       6,337
ASYST TECHNOLOGY CORP             COM   04648X107          61       3,000  SH     OTHER       01       3,000           0           0
ASYST TECHNOLOGY CORP             COM   04648X107           8         400  SH     DEFINED     04         400           0           0
ASYST TECHNOLOGY CORP             COM   04648X107         818      40,400  SH     DEFINED  01,08      40,400           0           0

AT TRACK COMMUNICATIONS INC       COM   04648Y105          33      29,659  SH     DEFINED  01,08      29,659           0           0

AT & T LATIN AMER CORP            COM   04649A106         208      24,663  SH     DEFINED     01      24,000         200         463
AT & T LATIN AMER CORP            COM   04649A106           8       1,000  SH     DEFINED     04       1,000           0           0
AT & T LATIN AMER CORP            COM   04649A106         349      41,371  SH     DEFINED  01,08      41,371           0           0

ATALANTA SOSNOFF CAP CORP         COM   046499109          24       2,400  SH     DEFINED     01       2,400           0           0
ATALANTA SOSNOFF CAP CORP         COM   046499109         289      29,249  SH     DEFINED  01,08      29,249           0           0

ATCHISON CASTING CORP             COM   046613105          33       8,300  SH     DEFINED     04           0           0       8,300
ATCHISON CASTING CORP             COM   046613105          34       8,575  SH     DEFINED  01,08       8,575           0           0

ATHEY PRODS CORP                  COM   047465109          12      10,205  SH     DEFINED  01,08      10,205           0           0

ATLANTIC AMERN CORP               COM   048209100           6       2,800  SH     DEFINED     01       2,800           0           0
ATLANTIC AMERN CORP               COM   048209100         101      50,275  SH     DEFINED  01,08      50,275           0           0

ATLANTIC COAST AIRLINES HLDGS     COM   048396105         524      16,289  SH     DEFINED     01      14,922           0       1,367
ATLANTIC COAST AIRLINES HLDGS     COM   048396105          13         400  SH     DEFINED     04         400           0           0
ATLANTIC COAST AIRLINES HLDGS     COM   048396105       1,664      51,691  SH     DEFINED  01,08      51,691           0           0

ATLANTIC DATA SERVICES            COM   048523104          65      16,142  SH     DEFINED  01,08      16,142           0           0

ATLANTIC RLTY TR                  COM   048798102         102      11,906  SH     OTHER       04      11,906           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>


   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     50
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

ATLANTIC TELE NETWORK INC         COM   049079205          73       6,680  SH     DEFINED     01       6,680           0           0
ATLANTIC TELE NETWORK INC         COM   049079205          87       7,897  SH     DEFINED  01,08       7,897           0           0

ATLANTIS PLASTICS INC             COM   049156102       1,098     228,257  SH     DEFINED     04     228,257           0           0
ATLANTIS PLASTICS INC             COM   049156102          22       4,500  SH     DEFINED  01,08       4,500           0           0

ATLAS AIR INC                     COM   049164106       1,553      36,761  SH     DEFINED     01      35,972           0         789
ATLAS AIR INC                     COM   049164106          21         500  SH     DEFINED     02           0         500           0
ATLAS AIR INC                     COM   049164106         158       3,750  SH     DEFINED     03         750           0       3,000
ATLAS AIR INC                     COM   049164106       4,459     105,539  SH     DEFINED  01,08     105,539           0           0

ATMEL CORP                        COM   049513104       4,490     295,625  SH     DEFINED     01     274,428       1,200      19,997
ATMEL CORP                        COM   049513104          33       2,200  SH     OTHER       01         200       2,000           0
ATMEL CORP                        COM   049513104           3         200  SH     DEFINED     02           0         200           0
ATMEL CORP                        COM   049513104          30       2,000  SH     DEFINED     03           0       2,000           0
ATMEL CORP                        COM   049513104         121       8,000  SH     DEFINED     04       8,000           0           0
ATMEL CORP                        COM   049513104          49       3,254  SH     OTHER       04       3,254           0           0
ATMEL CORP                        COM   049513104      18,987   1,250,185  SH     DEFINED  01,08   1,250,185           0           0
ATMEL CORP                        COM   049513104           6         400  SH     OTHER       09           0         400           0

ATMOS ENERGY CORP                 COM   049560105         785      38,073  SH     DEFINED     01      30,656           0       7,417
ATMOS ENERGY CORP                 COM   049560105          10         500  SH     OTHER       02           0         500           0
ATMOS ENERGY CORP                 COM   049560105          19         900  SH     DEFINED     04         900           0           0
ATMOS ENERGY CORP                 COM   049560105           8         404  SH     OTHER       04         404           0           0
ATMOS ENERGY CORP                 COM   049560105       1,419      68,805  SH     DEFINED  01,08      68,805           0           0

ATRIX LABS INC                    COM   04962L101          37       2,500  SH     OTHER       01           0       2,500           0
ATRIX LABS INC                    COM   04962L101           3         209  SH     DEFINED     04         209           0           0
ATRIX LABS INC                    COM   04962L101          29       2,000  SH     OTHER       04           0           0       2,000
ATRIX LABS INC                    COM   04962L101         308      21,046  SH     DEFINED  01,08      21,046           0           0

ATPLAN INC                        COM   04962Q100         110      12,542  SH     DEFINED  01,08      12,542           0           0

ATWOOD OCEANICS INC               COM   050095108         752      18,050  SH     DEFINED     01      16,991           0       1,059
ATWOOD OCEANICS INC               COM   050095108       1,626      39,012  SH     DEFINED  01,08      39,012           0           0

AUDIBLE INC                       COM   05069A104          32      27,287  SH     DEFINED  01,08      27,287           0           0

AUDIO VISUAL SVCS CORP            COM   050727106           0           2  SH     DEFINED     04           2           0           0
AUDIO VISUAL SVCS CORP            COM   050727106           8      16,743  SH     DEFINED  01,08      16,743           0           0

AUDIOVOX CORP                     COM   050757103         137       9,122  SH     DEFINED     01       6,340           0       2,782
AUDIOVOX CORP                     COM   050757103           8         500  SH     OTHER       04         500           0           0
AUDIOVOX CORP                     COM   050757103         549      36,441  SH     DEFINED  01,08      36,441           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     51
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

AURORA FOODS INC                  COM   05164B106          47      14,092  SH     DEFINED     01       7,078       4,000       3,014
AURORA FOODS INC                  COM   05164B106         309      93,265  SH     DEFINED  01,08      93,265           0           0

AURORA BIOSCIENCES CORP           COM   051920106       2,902      42,679  SH     DEFINED     01      36,326       6,000         353
AURORA BIOSCIENCES CORP           COM   051920106       1,809      26,598  SH     DEFINED  01,08      26,598           0           0

AUSPEX SYS INC                    COM   052116100         158      12,800  SH     DEFINED     01      12,700           0         100
AUSPEX SYS INC                    COM   052116100         657      53,055  SH     DEFINED  01,08      53,055           0           0

AUTOBYTEL COM INC                 COM   05275N106         118      26,260  SH     DEFINED  01,08      26,260           0           0

AUTODESK INC                      COM   052769106       2,017      79,500  SH     DEFINED     01      61,935      14,521       3,044
AUTODESK INC                      COM   052769106          51       2,000  SH     DEFINED     03           0       2,000           0
AUTODESK INC                      COM   052769106          20         800  SH     OTHER       03         600         200           0
AUTODESK INC                      COM   052769106       2,210      87,084  SH     DEFINED  01,08      87,084           0           0

AUTOIMMUNE INC                    COM   052776101          12       5,000  SH     DEFINED     04       5,000           0           0
AUTOIMMUNE INC                    COM   052776101          56      22,574  SH     DEFINED  01,08      22,574           0           0

AUTOLIV INC                       COM   052800109       1,194      61,230  SH     DEFINED     01      59,089         306       1,835
AUTOLIV INC                       COM   052800109          49       2,521  SH     OTHER       01       1,976         545           0
AUTOLIV INC                       COM   052800109          36       1,854  SH     OTHER       02           0       1,600         254
AUTOLIV INC                       COM   052800109         137       7,000  SH     DEFINED     03       7,000           0           0
AUTOLIV INC                       COM   052800109          34       1,738  SH     OTHER       03       1,738           0           0
AUTOLIV INC                       COM   052800109         146       7,486  SH     DEFINED     04       7,486           0           0
AUTOLIV INC                       COM   052800109         164       8,389  SH     OTHER       04       8,389           0           0
AUTOLIV INC                       COM   052800109           3         152  SH     OTHER       05         152           0           0
AUTOLIV INC                       COM   052800109         197      10,100  SH     DEFINED  01,08      10,100           0           0
AUTOLIV INC                       COM   052800109           5         255  SH     DEFINED     10         255           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     52
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>           <C>           <C>         <C>        <C>           <C>

AUTOMATIC DATA PROCESSING INC     COM   053015103     198,114   2,962,453  SH     DEFINED     01   2,072,944     701,802     187,707
AUTOMATIC DATA PROCESSING INC     COM   053015103      57,289     856,657  SH     OTHER       01     350,114     440,843      65,700
AUTOMATIC DATA PROCESSING INC     COM   053015103       4,758      71,144  SH     DEFINED     02      44,010      16,168      10,966
AUTOMATIC DATA PROCESSING INC     COM   053015103       3,616      54,070  SH     OTHER       02      35,700      16,070       2,300
AUTOMATIC DATA PROCESSING INC     COM   053015103       6,674      99,798  SH     DEFINED     03      51,168      42,650       5,980
AUTOMATIC DATA PROCESSING INC     COM   053015103       3,377      50,503  SH     OTHER       03      27,550      18,203       4,750
AUTOMATIC DATA PROCESSING INC     COM   053015103      46,935     701,838  SH     DEFINED     04     660,656           0      41,182
AUTOMATIC DATA PROCESSING INC     COM   053015103      38,716     578,930  SH     OTHER       04     544,570           0      34,360
AUTOMATIC DATA PROCESSING INC     COM   053015103       1,462      21,855  SH     DEFINED     05      12,605       9,250           0
AUTOMATIC DATA PROCESSING INC     COM   053015103         221       3,300  SH     OTHER       05       2,500         800           0
AUTOMATIC DATA PROCESSING INC     COM   053015103         682      10,200  SH     OTHER    04,07           0           0      10,200
AUTOMATIC DATA PROCESSING INC     COM   053015103      69,655   1,041,570  SH     DEFINED  01,08   1,037,670       3,900           0
AUTOMATIC DATA PROCESSING INC     COM   053015103         140       2,100  SH     DEFINED     09       2,100           0           0
AUTOMATIC DATA PROCESSING INC     COM   053015103         132       1,980  SH     OTHER       09           0       1,980           0
AUTOMATIC DATA PROCESSING INC     COM   053015103      14,124     211,193  SH     DEFINED     10      67,763     142,630         800
AUTOMATIC DATA PROCESSING INC     COM   053015103       2,143      32,048  SH     OTHER       10      12,100      19,548         400

AUTONATION INC                    COM   05329W102         227      37,881  SH     DEFINED     01      27,679           0      10,202
AUTONATION INC                    COM   05329W102           3         571  SH     OTHER       01         571           0           0
AUTONATION INC                    COM   05329W102       1,892     315,411  SH     DEFINED     04     315,411           0           0
AUTONATION INC                    COM   05329W102         495      82,500  SH     OTHER       04      82,500           0           0
AUTONATION INC                    COM   05329W102       1,838     306,285  SH     DEFINED  01,08     306,285           0           0
AUTONATION INC                    COM   05329W102           2         300  SH     DEFINED     10         300           0           0

AUTOTOTE CORP                     COM   053323101           7       1,876  SH     DEFINED     01       1,876           0           0
AUTOTOTE CORP                     COM   053323101         213      54,098  SH     DEFINED  01,08      54,098           0           0

AUTOWEB COM INC                   COM   053331104          31      22,987  SH     DEFINED  01,08      22,987           0           0

AUTOZONE INC                      COM   053332102       5,061     223,094  SH     DEFINED     01     182,135      34,751       6,208
AUTOZONE INC                      COM   053332102          45       2,000  SH     OTHER       01       2,000           0           0
AUTOZONE INC                      COM   053332102          45       2,000  SH     OTHER       02           0       2,000           0
AUTOZONE INC                      COM   053332102          28       1,250  SH     DEFINED     03           0       1,250           0
AUTOZONE INC                      COM   053332102          91       4,000  SH     OTHER       03           0       2,400       1,600
AUTOZONE INC                      COM   053332102       7,033     310,000  SH     DEFINED     04     310,000           0           0
AUTOZONE INC                      COM   053332102         178       7,860  SH     DEFINED     05       7,860           0           0
AUTOZONE INC                      COM   053332102       4,401     194,008  SH     DEFINED  01,08     194,008           0           0

AVADO BRANDS INC                  COM   05336P108          16      21,200  SH     DEFINED     04           0           0      21,200
AVADO BRANDS INC                  COM   05336P108          45      60,635  SH     DEFINED  01,08      60,635           0           0

AVANIR PHARMACEUTICALS            COM   05348P104         243      29,736  SH     DEFINED  01,08      29,736           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     53
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

AVANEX CORP                       COM   05348W109       1,780      16,527  SH     DEFINED     01      14,575           0       1,952
AVANEX CORP                       COM   05348W109          22         200  SH     OTHER       02           0         200           0
AVANEX CORP                       COM   05348W109          22         200  SH     DEFINED     03           0         200           0
AVANEX CORP                       COM   05348W109          46         425  SH     DEFINED     04         425           0           0
AVANEX CORP                       COM   05348W109       1,268      11,774  SH     DEFINED  01,08      11,774           0           0

AVALONBAY CMNTYS INC              COM   053484101         664      13,922  SH     DEFINED     01       9,535       2,500       1,887
AVALONBAY CMNTYS INC              COM   053484101       1,335      28,000  SH     DEFINED     04      28,000           0           0
AVALONBAY CMNTYS INC              COM   053484101          95       2,000  SH     OTHER       04           0           0       2,000
AVALONBAY CMNTYS INC              COM   053484101         367       7,690  SH     DEFINED  01,08       7,690           0           0

AVANT CORP                        COM   053487104       1,488      81,523  SH     DEFINED     01      69,501       8,200       3,822
AVANT CORP                        COM   053487104       1,331      72,943  SH     DEFINED  01,08      72,943           0           0

AVANT IMMUNOTHERAPEUTICS INC      COM   053491106         545      50,371  SH     DEFINED     01      49,568           0         803
AVANT IMMUNOTHERAPEUTICS INC      COM   053491106          16       1,500  SH     DEFINED     02           0       1,500           0
AVANT IMMUNOTHERAPEUTICS INC      COM   053491106         618      57,160  SH     DEFINED  01,08      57,160           0           0

AVATAR HLDGS INC                  COM   053494100         231      12,000  SH     DEFINED     01      12,000           0           0
AVATAR HLDGS INC                  COM   053494100           6         290  SH     DEFINED     04         290           0           0
AVATAR HLDGS INC                  COM   053494100         384      19,956  SH     DEFINED  01,08      19,956           0           0

AVENTIS                           COM   053561106         596       7,914  SH     DEFINED     01       1,875           0       6,039
AVENTIS                           COM   053561106       1,107      14,703  SH     OTHER       01      12,003           0       2,700
AVENTIS                           COM   053561106         195       2,595  SH     DEFINED     03         187       2,408           0
AVENTIS                           COM   053561106         146       1,937  SH     DEFINED     04       1,937           0           0
AVENTIS                           COM   053561106          55         725  SH     OTHER       04         725           0           0
AVENTIS                           COM   053561106           3          36  SH     DEFINED     10          36           0           0

AVENUE A INC                      COM   053566105          26       5,298  SH     DEFINED     01       5,208           0          90
AVENUE A INC                      COM   053566105           0          17  SH     OTHER       01          17           0           0
AVENUE A INC                      COM   053566105           1         250  SH     DEFINED     04           0           0         250
AVENUE A INC                      COM   053566105          39       7,705  SH     DEFINED  01,08       7,705           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     54
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

AVERY DENNISON CORP               COM   053611109       9,452     203,811  SH     DEFINED     01     163,890         239      39,682
AVERY DENNISON CORP               COM   053611109         503      10,844  SH     OTHER       01           0      10,744         100
AVERY DENNISON CORP               COM   053611109          23         500  SH     DEFINED     02         500           0           0
AVERY DENNISON CORP               COM   053611109          57       1,228  SH     OTHER       02         336         892           0
AVERY DENNISON CORP               COM   053611109       4,878     105,191  SH     DEFINED     03      44,734      54,183       6,274
AVERY DENNISON CORP               COM   053611109       1,392      30,020  SH     OTHER       03      12,540      14,955       2,525
AVERY DENNISON CORP               COM   053611109       4,031      86,932  SH     DEFINED     04      86,432           0         500
AVERY DENNISON CORP               COM   053611109       1,813      39,094  SH     OTHER       04      38,594           0         500
AVERY DENNISON CORP               COM   053611109          59       1,278  SH     DEFINED     05       1,278           0           0
AVERY DENNISON CORP               COM   053611109       8,287     178,686  SH     DEFINED  01,08     164,291      14,395           0
AVERY DENNISON CORP               COM   053611109         525      11,325  SH     DEFINED     10       5,425       5,900           0
AVERY DENNISON CORP               COM   053611109         139       3,000  SH     OTHER       10         400       2,600           0

AVIALL INC NEW                    COM   05366B102           3         404  SH     OTHER       01           0         404           0
AVIALL INC NEW                    COM   05366B102         181      28,144  SH     DEFINED  01,08      28,144           0           0

AVICI SYS INC                     COM   05367L109      18,361     193,022  SH     DEFINED     01     191,384           0       1,638
AVICI SYS INC                     COM   05367L109           5          50  SH     DEFINED     04          50           0           0
AVICI SYS INC                     COM   05367L109       3,307      34,761  SH     DEFINED  01,08      34,761           0           0

AVID TECHNOLOGY INC               COM   05367P100         216      15,413  SH     DEFINED     01       9,599       1,700       4,114
AVID TECHNOLOGY INC               COM   05367P100          14       1,000  SH     OTHER       04       1,000           0           0
AVID TECHNOLOGY INC               COM   05367P100         710      50,745  SH     DEFINED  01,08      50,745           0           0

AVIATION SALES CO                 COM   053672101          24       4,500  SH     DEFINED     01       4,500           0           0
AVIATION SALES CO                 COM   053672101         112      21,353  SH     DEFINED  01,08      21,353           0           0

AVIGEN INC                        COM   053690103         587      14,771  SH     DEFINED     01      14,512           0         259
AVIGEN INC                        COM   053690103         842      21,176  SH     DEFINED  01,08      21,176           0           0

AVIRON                            COM   053762100       1,060      18,179  SH     DEFINED     01      17,501           0         678
AVIRON                            COM   053762100          29         500  SH     DEFINED     02           0         500           0
AVIRON                            COM   053762100          47         800  SH     OTHER       04         800           0           0
AVIRON                            COM   053762100       4,169      71,491  SH     DEFINED  01,08      71,491           0           0

AVISTA CORP                       COM   05379B107       1,591      70,706  SH     DEFINED     01      49,082         579      21,045
AVISTA CORP                       COM   05379B107          62       2,748  SH     OTHER       01       2,748           0           0
AVISTA CORP                       COM   05379B107          29       1,303  SH     DEFINED     03       1,303           0           0
AVISTA CORP                       COM   05379B107          29       1,285  SH     OTHER       03         756         529           0
AVISTA CORP                       COM   05379B107           2          75  SH     DEFINED     04          75           0           0
AVISTA CORP                       COM   05379B107       2,203      97,919  SH     DEFINED  01,08      97,919           0           0

AVIS GROUP HLDGS INC              COM   053790101       1,143      38,569  SH     DEFINED     01       9,916      25,000       3,653
AVIS GROUP HLDGS INC              COM   053790101         927      31,280  SH     DEFINED  01,08      31,280           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     55
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

AVNET INC                         COM   053807103         973      34,283  SH     DEFINED     01      31,347         425       2,511
AVNET INC                         COM   053807103         478      16,838  SH     OTHER       01         338           0      16,500
AVNET INC                         COM   053807103          30       1,065  SH     DEFINED     02           0          50       1,015
AVNET INC                         COM   053807103          10         366  SH     DEFINED     04         366           0           0
AVNET INC                         COM   053807103       3,586     126,376  SH     DEFINED  01,08     126,376           0           0
AVNET INC                         COM   053807103          52       1,840  SH     OTHER       09           0       1,840           0

AVOCENT CORP                      COM   053893103       3,924      71,180  SH     DEFINED     01      66,717       1,050       3,413
AVOCENT CORP                      COM   053893103          28         500  SH     OTHER       01           0         500           0
AVOCENT CORP                      COM   053893103          21         390  SH     DEFINED     03           0           0         390
AVOCENT CORP                      COM   053893103         211       3,824  SH     DEFINED     04           0           0       3,824
AVOCENT CORP                      COM   053893103       6,862     124,488  SH     DEFINED  01,08     124,488           0           0

AVON PRODS INC                    COM   054303102      19,279     471,660  SH     DEFINED     01     421,227      21,962      28,471
AVON PRODS INC                    COM   054303102       2,002      48,985  SH     OTHER       01      29,805      13,200       5,980
AVON PRODS INC                    COM   054303102         429      10,505  SH     DEFINED     02       9,305       1,200           0
AVON PRODS INC                    COM   054303102         433      10,585  SH     OTHER       02       4,885       1,780       3,920
AVON PRODS INC                    COM   054303102       2,027      49,584  SH     DEFINED     03      34,403      13,881       1,300
AVON PRODS INC                    COM   054303102       1,055      25,808  SH     OTHER       03      19,758       5,050       1,000
AVON PRODS INC                    COM   054303102         644      15,747  SH     DEFINED     04      15,747           0           0
AVON PRODS INC                    COM   054303102       1,282      31,368  SH     OTHER       04      31,368           0           0
AVON PRODS INC                    COM   054303102          82       2,000  SH     DEFINED     05       2,000           0           0
AVON PRODS INC                    COM   054303102      51,923   1,270,289  SH     DEFINED  01,08     384,216     722,709     163,364
AVON PRODS INC                    COM   054303102         119       2,915  SH     DEFINED     10       2,915           0           0

AWARE INC MASS                    COM   05453N100         830      21,559  SH     DEFINED     01      20,360           0       1,199
AWARE INC MASS                    COM   05453N100          21         540  SH     OTHER       01           0         540           0
AWARE INC MASS                    COM   05453N100           4         100  SH     DEFINED     03           0           0         100
AWARE INC MASS                    COM   05453N100          15         400  SH     OTHER       04         400           0           0
AWARE INC MASS                    COM   05453N100       1,285      33,369  SH     DEFINED  01,08      33,369           0           0

AXA                               COM   054536107         188       2,905  SH     DEFINED     01         330       2,575           0
AXA                               COM   054536107          72       1,120  SH     OTHER       01           0       1,120           0
AXA                               COM   054536107          46         715  SH     DEFINED     03         665          50           0
AXA                               COM   054536107          71       1,095  SH     DEFINED     04       1,095           0           0
AXA                               COM   054536107           2          28  SH     DEFINED     10          28           0           0

AXCELIS TECHNOLOGIES INC          COM   054540109           1         100  SH     OTHER       04         100           0           0
AXCELIS TECHNOLOGIES INC          COM   054540109       1,090      91,800  SH     DEFINED  01,08      91,800           0           0

AXENT TECHNOLOGIES INC            COM   05459C108         646      29,938  SH     DEFINED     01      28,922           0       1,016
AXENT TECHNOLOGIES INC            COM   05459C108         267      12,400  SH     DEFINED     04       4,000           0       8,400
AXENT TECHNOLOGIES INC            COM   05459C108          11         500  SH     OTHER       04         500           0           0
AXENT TECHNOLOGIES INC            COM   05459C108         934      43,318  SH     DEFINED  01,08      43,318           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     56
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

AXSYS TECHNOLOGIES INC            COM   054615109         152       4,200  SH     DEFINED     01       4,200           0           0
AXSYS TECHNOLOGIES INC            COM   054615109         195       5,400  SH     DEFINED  01,08       5,400           0           0

AXYS PHARMACEUTICALS INC          COM   054635107         112      16,400  SH     DEFINED     01      16,400           0           0
AXYS PHARMACEUTICALS INC          COM   054635107          36       5,330  SH     OTHER       01           0           0       5,330
AXYS PHARMACEUTICALS INC          COM   054635107          68      10,000  SH     OTHER       04           0           0      10,000
AXYS PHARMACEUTICALS INC          COM   054635107         325      47,666  SH     DEFINED  01,08      47,666           0           0

AZTEC TECHNOLOGY PARTNERS INC     COM   05480L101          53      51,889  SH     DEFINED  01,08      51,889           0           0

AZTAR CORP                        COM   054802103         758      49,304  SH     DEFINED     01      38,516       2,500       8,288
AZTAR CORP                        COM   054802103       1,450      94,324  SH     DEFINED  01,08      94,324           0           0

BB&T CORP                         COM   054937107      21,101     700,441  SH     DEFINED     01     568,191     105,609      26,641
BB&T CORP                         COM   054937107          23         774  SH     OTHER       01         674           0         100
BB&T CORP                         COM   054937107          45       1,498  SH     DEFINED     02       1,498           0           0
BB&T CORP                         COM   054937107          30       1,000  SH     DEFINED     03       1,000           0           0
BB&T CORP                         COM   054937107         440      14,614  SH     DEFINED     04      14,614           0           0
BB&T CORP                         COM   054937107       1,592      52,844  SH     OTHER       04      52,844           0           0
BB&T CORP                         COM   054937107      18,820     624,735  SH     DEFINED  01,08     624,735           0           0
BB&T CORP                         COM   054937107       1,131      37,554  SH     DEFINED     09      37,554           0           0

AZURIX CORP                       COM   05501M104         515     144,530  SH     DEFINED     01     139,080           0       5,450
AZURIX CORP                       COM   05501M104           5       1,500  SH     DEFINED     02           0           0       1,500
AZURIX CORP                       COM   05501M104           4       1,000  SH     OTHER       05       1,000           0           0
AZURIX CORP                       COM   05501M104         444     124,655  SH     DEFINED  01,08     124,655           0           0

BAE SYS CDA INC                   COM   055231104         395      26,200  SH     DEFINED     01      26,200           0           0

BCT INTL INC                      COM   055355101          24      15,000  SH     DEFINED     04      15,000           0           0
BCT INTL INC                      COM   055355101           6       3,500  SH     DEFINED  01,08       3,500           0           0

BEI TECHNOLOGIES INC              COM   05538P104         417       9,977  SH     DEFINED  01,08       9,977           0           0

BF ENTERPRISES INC                COM   055387104           0          50  SH     OTHER       04          50           0           0
BF ENTERPRISES INC                COM   055387104         101      13,422  SH     DEFINED  01,08      13,422           0           0

BHA GROUP HLDGS INC               COM   055446108         206      14,486  SH     DEFINED  01,08      14,486           0           0

BHC COMMUNICATIONS INC            COM   055448104          78         497  SH     DEFINED     01         397           0         100
BHC COMMUNICATIONS INC            COM   055448104          37         238  SH     OTHER       01           0         238           0
BHC COMMUNICATIONS INC            COM   055448104          20         126  SH     DEFINED     02         126           0           0
BHC COMMUNICATIONS INC            COM   055448104          31         200  SH     DEFINED     04         200           0           0
BHC COMMUNICATIONS INC            COM   055448104          14          91  SH     OTHER       04          91           0           0
BHC COMMUNICATIONS INC            COM   055448104       4,297      27,304  SH     DEFINED  01,08      27,304           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     57
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

B I INCORPORATED                  COM   055467203           8       1,000  SH     DEFINED     04       1,000           0           0
B I INCORPORATED                  COM   055467203         109      13,300  SH     DEFINED  01,08      13,300           0           0

BISYS GROUP INC                   COM   055472104         409       5,292  SH     DEFINED     01       1,697       1,300       2,295
BISYS GROUP INC                   COM   055472104          65         836  SH     OTHER       01           0         236         600
BISYS GROUP INC                   COM   055472104          31         400  SH     DEFINED     03           0         400           0
BISYS GROUP INC                   COM   055472104       4,142      53,581  SH     DEFINED  01,08      53,581           0           0

BJS WHOLESALE CLUB INC            COM   05548J106       1,713      50,203  SH     DEFINED     01      46,495           0       3,708
BJS WHOLESALE CLUB INC            COM   05548J106          44       1,300  SH     OTHER       01           0       1,300           0
BJS WHOLESALE CLUB INC            COM   05548J106           5         150  SH     DEFINED     04         150           0           0
BJS WHOLESALE CLUB INC            COM   05548J106       6,906     202,369  SH     DEFINED  01,08     202,369           0           0

BJ SVCS CO                        COM   055482103      19,978     326,840  SH     DEFINED     01     304,334      15,125       7,381
BJ SVCS CO                        COM   055482103         874      14,300  SH     OTHER       01           0           0      14,300
BJ SVCS CO                        COM   055482103           6          96  SH     DEFINED     04          96           0           0
BJ SVCS CO                        COM   055482103      14,055     229,942  SH     DEFINED  01,08     229,942           0           0
BJ SVCS CO                        COM   055482103          34         550  SH     DEFINED     10         550           0           0

BMC INDS INC MINN                 COM   055607105          10       1,500  SH     DEFINED     01           0           0       1,500
BMC INDS INC MINN                 COM   055607105          17       2,500  SH     OTHER       04       2,500           0           0
BMC INDS INC MINN                 COM   055607105         503      73,152  SH     DEFINED  01,08      73,152           0           0

BOK FINL CORP                     COM   05561Q201         113       6,127  SH     DEFINED     01       4,126           0       2,001
BOK FINL CORP                     COM   05561Q201       1,330      71,889  SH     DEFINED  01,08      71,889           0           0

BP AMOCO P L C                    COM   055622104     182,744   3,447,991  SH     DEFINED     01   2,105,012   1,069,363     273,616
BP AMOCO P L C                    COM   055622104      80,246   1,514,081  SH     OTHER       01     698,537     749,386      66,158
BP AMOCO P L C                    COM   055622104      11,935     225,183  SH     DEFINED     02     140,259      72,014      12,910
BP AMOCO P L C                    COM   055622104      11,475     216,516  SH     OTHER       02      99,996     102,101      14,419
BP AMOCO P L C                    COM   055622104      38,269     722,065  SH     DEFINED     03     353,748     331,407      36,910
BP AMOCO P L C                    COM   055622104      16,021     302,289  SH     OTHER       03     202,777      68,163      31,349
BP AMOCO P L C                    COM   055622104      87,735   1,655,369  SH     DEFINED     04   1,547,369           0     108,000
BP AMOCO P L C                    COM   055622104      73,296   1,382,951  SH     OTHER       04   1,283,782           0      99,169
BP AMOCO P L C                    COM   055622104       3,787      71,447  SH     DEFINED     05      56,691      13,516       1,240
BP AMOCO P L C                    COM   055622104       1,264      23,842  SH     OTHER       05      10,884      12,958           0
BP AMOCO P L C                    COM   055622104       8,529     160,932  SH     DEFINED  01,08       7,410     153,522           0
BP AMOCO P L C                    COM   055622104       1,415      26,692  SH     DEFINED     09      26,692           0           0
BP AMOCO P L C                    COM   055622104         231       4,355  SH     OTHER       09         800       3,555           0
BP AMOCO P L C                    COM   055622104       7,551     142,472  SH     DEFINED     10      87,744      54,320         408
BP AMOCO P L C                    COM   055622104         985      18,579  SH     OTHER       10       8,302      10,277           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     58
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BRE PROPERTIES INC                COM   05564E106         867      27,096  SH     DEFINED     01      18,393           0       8,703
BRE PROPERTIES INC                COM   05564E106          10         300  SH     OTHER       01           0         300           0
BRE PROPERTIES INC                COM   05564E106          51       1,600  SH     OTHER       02           0       1,600           0
BRE PROPERTIES INC                COM   05564E106         346      10,822  SH     DEFINED     03      10,822           0           0
BRE PROPERTIES INC                COM   05564E106          38       1,184  SH     OTHER       03       1,184           0           0
BRE PROPERTIES INC                COM   05564E106          48       1,500  SH     DEFINED     04         600           0         900
BRE PROPERTIES INC                COM   05564E106         367      11,479  SH     DEFINED  01,08      11,479           0           0

BSB BANCORP                       COM   055652101         125       5,566  SH     DEFINED     01       3,700           0       1,866
BSB BANCORP                       COM   055652101          53       2,362  SH     OTHER       01       2,362           0           0
BSB BANCORP                       COM   055652101         769      34,359  SH     DEFINED  01,08      34,359           0           0

BTG INC                           COM   05576J101         121      14,268  SH     DEFINED  01,08      14,268           0           0

BT FINL CORP                      COM   055763106         180       9,727  SH     DEFINED     01       6,893           0       2,834
BT FINL CORP                      COM   055763106         490      26,513  SH     DEFINED  01,08      26,513           0           0

BMC SOFTWARE INC                  COM   055921100       7,955     415,970  SH     DEFINED     01     343,011      61,782      11,177
BMC SOFTWARE INC                  COM   055921100         365      19,100  SH     OTHER       01      18,800         300           0
BMC SOFTWARE INC                  COM   055921100          44       2,300  SH     DEFINED     02       2,300           0           0
BMC SOFTWARE INC                  COM   055921100           3         175  SH     OTHER       02         175           0           0
BMC SOFTWARE INC                  COM   055921100          44       2,296  SH     DEFINED     03         800         696         800
BMC SOFTWARE INC                  COM   055921100         218      11,405  SH     DEFINED     04       9,905           0       1,500
BMC SOFTWARE INC                  COM   055921100          65       3,400  SH     OTHER       04       3,400           0           0
BMC SOFTWARE INC                  COM   055921100         308      16,105  SH     DEFINED     05      11,705       3,875         525
BMC SOFTWARE INC                  COM   055921100         228      11,910  SH     OTHER       05       7,160       4,750           0
BMC SOFTWARE INC                  COM   055921100       7,151     373,909  SH     DEFINED  01,08     373,909           0           0
BMC SOFTWARE INC                  COM   055921100           3         162  SH     DEFINED     10         162           0           0

BTU INTL INC                      COM   056032105         154      10,428  SH     DEFINED  01,08      10,428           0           0

BACOU USA INC                     COM   056439102          72       2,788  SH     DEFINED     01       1,903           0         885
BACOU USA INC                     COM   056439102         130       5,000  SH     DEFINED     04           0           0       5,000
BACOU USA INC                     COM   056439102         639      24,651  SH     DEFINED  01,08      24,651           0           0

BADGER METER INC                  COM   056525108         740      26,771  SH     DEFINED  01,08      26,771           0           0

BAIRNCO CORP                      COM   057097107         244      32,855  SH     DEFINED  01,08      32,855           0           0

BAKER MICHAEL CORP                COM   057149106           6         800  SH     DEFINED     01         800           0           0
BAKER MICHAEL CORP                COM   057149106         140      18,000  SH     DEFINED  01,08      18,000           0           0

BAKER HUGHES INC               CONV DEB 057224AH0         213     275,000  PRN    DEFINED     04           0           0     275,000
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     59
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BAKER HUGHES INC                  COM   057224107      36,638     986,874  SH     DEFINED     01     674,857     259,292      52,725
BAKER HUGHES INC                  COM   057224107         682      18,362  SH     OTHER       01       6,417      11,075         870
BAKER HUGHES INC                  COM   057224107         242       6,513  SH     DEFINED     02       5,013       1,500           0
BAKER HUGHES INC                  COM   057224107          37       1,000  SH     DEFINED     03         200         800           0
BAKER HUGHES INC                  COM   057224107         423      11,400  SH     OTHER       03       2,800       6,600       2,000
BAKER HUGHES INC                  COM   057224107         244       6,575  SH     DEFINED     04       5,075           0       1,500
BAKER HUGHES INC                  COM   057224107         145       3,900  SH     OTHER       04       3,900           0           0
BAKER HUGHES INC                  COM   057224107          19         500  SH     DEFINED     05         500           0           0
BAKER HUGHES INC                  COM   057224107          13         363  SH     OTHER       05           0         363           0
BAKER HUGHES INC                  COM   057224107      26,045     701,546  SH     DEFINED  01,08     548,511     153,035           0
BAKER HUGHES INC                  COM   057224107         145       3,900  SH     DEFINED     09       3,900           0           0
BAKER HUGHES INC                  COM   057224107         158       4,250  SH     DEFINED     10       1,010       3,240           0

BAKER J INC                       COM   057232100          35       7,798  SH     DEFINED     01       7,198           0         600
BAKER J INC                       COM   057232100          16       3,500  SH     OTHER       01           0       3,500           0
BAKER J INC                       COM   057232100         171      37,989  SH     DEFINED  01,08      37,989           0           0

BALANCED CARE CORP                COM   057630105          30      28,200  SH     DEFINED     04           0           0      28,200
BALANCED CARE CORP                COM   057630105           6       5,783  SH     DEFINED  01,08       5,783           0           0

BALDOR ELEC CO                    COM   057741100         325      16,025  SH     DEFINED     01       9,763           0       6,262
BALDOR ELEC CO                    COM   057741100          12         600  SH     OTHER       01           0         600           0
BALDOR ELEC CO                    COM   057741100       1,936      95,295  SH     DEFINED  01,08      95,295           0           0

BALDWIN & LYONS INC               COM   057755209         162       8,365  SH     DEFINED     01       6,354           0       2,011
BALDWIN & LYONS INC               COM   057755209         919      47,427  SH     DEFINED  01,08      47,427           0           0

BALDWIN PIANO & ORGAN CO          COM   058246109          58      11,900  SH     DEFINED  01,08      11,900           0           0

BALDWIN TECHNOLOGY INC            COM   058264102          14       8,000  SH     DEFINED     04       8,000           0           0
BALDWIN TECHNOLOGY INC            COM   058264102         101      55,853  SH     DEFINED  01,08      55,853           0           0

BALL CORP                         COM   058498106       2,094      66,096  SH     DEFINED     01      51,578       7,811       6,707
BALL CORP                         COM   058498106       1,511      47,679  SH     DEFINED  01,08      47,679           0           0
BALL CORP                         COM   058498106         113       3,580  SH     OTHER       09           0       3,580           0

BALLANTYNE OMAHA INC              COM   058516105          17      15,034  SH     DEFINED  01,08      15,034           0           0

BALLARD PWR SYS INC               COM   05858H104          27         250  SH     DEFINED     01         150         100           0
BALLARD PWR SYS INC               COM   05858H104         279       2,550  SH     DEFINED     04       2,550           0           0
BALLARD PWR SYS INC               COM   05858H104          27         250  SH     OTHER       04         250           0           0
BALLARD PWR SYS INC               COM   05858H104           2          16  SH     DEFINED     10          16           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     60
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BALLY TOTAL FITNESS HLDG CORP     COM   05873K108         624      24,944  SH     DEFINED     01      24,516           0         428
BALLY TOTAL FITNESS HLDG CORP     COM   05873K108          13         500  SH     OTHER       01         500           0           0
BALLY TOTAL FITNESS HLDG CORP     COM   05873K108          13         500  SH     DEFINED     04         500           0           0
BALLY TOTAL FITNESS HLDG CORP     COM   05873K108         777      31,079  SH     DEFINED  01,08      31,079           0           0

BANCFIRST CORP                    COM   05945F103         219       6,861  SH     DEFINED     01       6,188           0         673
BANCFIRST CORP                    COM   05945F103         140       4,385  SH     DEFINED  01,08       4,385           0           0

BANCFIRST CORP ZANESVILLE OHIO    COM   059450106         266      17,185  SH     DEFINED  01,08      17,185           0           0

BANCO SANTANDER CENT HISPANO      COM   05964H105          13       1,224  SH     DEFINED     01       1,224           0           0
BANCO SANTANDER CENT HISPANO      COM   05964H105       1,493     136,476  SH     OTHER       01      49,572           0      86,904
BANCO SANTANDER CENT HISPANO      COM   05964H105          54       4,896  SH     OTHER       02       4,896           0           0
BANCO SANTANDER CENT HISPANO      COM   05964H105          13       1,200  SH     DEFINED     03       1,200           0           0
BANCO SANTANDER CENT HISPANO      COM   05964H105         187      17,090  SH     DEFINED     04      17,090           0           0
BANCO SANTANDER CENT HISPANO      COM   05964H105           2         202  SH     DEFINED     10         202           0           0

BANCORPSOUTH INC                  COM   059692103         831      57,805  SH     DEFINED     01      42,636           0      15,169
BANCORPSOUTH INC                  COM   059692103       2,110     146,778  SH     DEFINED  01,08     146,778           0           0

BANCWEST CORP NEW                 COM   059790105         236      12,139  SH     DEFINED     01       9,408           0       2,731
BANCWEST CORP NEW                 COM   059790105          85       4,384  SH     OTHER       01           0       4,384           0
BANCWEST CORP NEW                 COM   059790105         433      22,272  SH     DEFINED     03           0           0      22,272
BANCWEST CORP NEW                 COM   059790105       1,038      53,400  SH     OTHER       03           0      53,400           0
BANCWEST CORP NEW                 COM   059790105           8         400  SH     DEFINED     04         400           0           0
BANCWEST CORP NEW                 COM   059790105       2,414     124,199  SH     DEFINED  01,08     124,199           0           0

BANDAG INC                        COM   059815100       1,439      40,055  SH     DEFINED     01      37,749           0       2,306
BANDAG INC                        COM   059815100          11         300  SH     OTHER       02         300           0           0
BANDAG INC                        COM   059815100          65       1,800  SH     OTHER       04       1,800           0           0
BANDAG INC                        COM   059815100       2,545      70,825  SH     DEFINED  01,08      70,825           0           0

BANGOR HYDRO ELEC CO              COM   060077104         402      16,600  SH     DEFINED     01         300      16,000         300
BANGOR HYDRO ELEC CO              COM   060077104         381      15,741  SH     DEFINED  01,08      15,741           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     61
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BANK OF AMERICA CORPORATION       COM   060505104     166,000   3,169,446  SH     DEFINED     01   2,482,213     492,142     195,091
BANK OF AMERICA CORPORATION       COM   060505104       3,632      69,340  SH     OTHER       01      49,568      16,752       3,020
BANK OF AMERICA CORPORATION       COM   060505104       1,166      22,258  SH     DEFINED     02      10,299      10,328       1,631
BANK OF AMERICA CORPORATION       COM   060505104       1,343      25,650  SH     OTHER       02      11,081      13,518       1,051
BANK OF AMERICA CORPORATION       COM   060505104       2,142      40,897  SH     DEFINED     03      26,765      11,651       2,481
BANK OF AMERICA CORPORATION       COM   060505104       3,585      68,447  SH     OTHER       03      43,435      25,012           0
BANK OF AMERICA CORPORATION       COM   060505104      32,767     625,616  SH     DEFINED     04     598,085           0      27,531
BANK OF AMERICA CORPORATION       COM   060505104     110,095   2,102,060  SH     OTHER       04   2,041,256           0      60,804
BANK OF AMERICA CORPORATION       COM   060505104         699      13,345  SH     DEFINED     05      12,745           0         600
BANK OF AMERICA CORPORATION       COM   060505104       1,164      22,231  SH     OTHER       05       2,450      17,781       2,000
BANK OF AMERICA CORPORATION       COM   060505104     158,826   3,032,480  SH     DEFINED  01,08   2,577,596     361,306      93,578
BANK OF AMERICA CORPORATION       COM   060505104          93       1,776  SH     DEFINED     09       1,776           0           0
BANK OF AMERICA CORPORATION       COM   060505104          64       1,226  SH     OTHER       09         826         400           0
BANK OF AMERICA CORPORATION       COM   060505104       1,512      28,874  SH     DEFINED     10      12,222      16,652           0
BANK OF AMERICA CORPORATION       COM   060505104         403       7,697  SH     OTHER       10       1,804       5,893           0

BANK OF GRANITE CORP              COM   062401104         157       6,824  SH     DEFINED     01       4,885           0       1,939
BANK OF GRANITE CORP              COM   062401104         509      22,181  SH     DEFINED  01,08      22,181           0           0

BANK NEW YORK INC                 COM   064057102      77,745   1,386,766  SH     DEFINED     01   1,106,901     190,552      89,313
BANK NEW YORK INC                 COM   064057102       1,812      32,315  SH     OTHER       01      29,615           0       2,700
BANK NEW YORK INC                 COM   064057102         378       6,750  SH     DEFINED     02       4,784       1,966           0
BANK NEW YORK INC                 COM   064057102         336       6,000  SH     OTHER       02           0       6,000           0
BANK NEW YORK INC                 COM   064057102       1,458      26,000  SH     DEFINED     03      22,100       3,900           0
BANK NEW YORK INC                 COM   064057102         298       5,321  SH     OTHER       03         825       4,496           0
BANK NEW YORK INC                 COM   064057102       7,763     138,476  SH     DEFINED     04      60,256           0      78,220
BANK NEW YORK INC                 COM   064057102       4,136      73,776  SH     OTHER       04      71,515           0       2,261
BANK NEW YORK INC                 COM   064057102      65,312   1,164,989  SH     DEFINED  01,08   1,164,989           0           0
BANK NEW YORK INC                 COM   064057102          84       1,490  SH     DEFINED     10       1,490           0           0
BANK NEW YORK INC                 COM   064057102         130       2,320  SH     OTHER       10       1,920         400           0

BANK ONE CORP                     COM   06423A103     115,257   2,984,009  SH     DEFINED     01   2,312,156     501,220     170,633
BANK ONE CORP                     COM   06423A103      14,062     364,065  SH     OTHER       01     196,738     153,884      13,443
BANK ONE CORP                     COM   06423A103       1,634      42,313  SH     DEFINED     02      25,027      13,374       3,912
BANK ONE CORP                     COM   06423A103       4,463     115,534  SH     OTHER       02      50,428      62,564       2,542
BANK ONE CORP                     COM   06423A103       2,582      66,860  SH     DEFINED     03      41,592      24,863         405
BANK ONE CORP                     COM   06423A103       1,341      34,725  SH     OTHER       03      26,483       4,774       3,468
BANK ONE CORP                     COM   06423A103      10,363     268,298  SH     DEFINED     04     252,043           0      16,255
BANK ONE CORP                     COM   06423A103      16,334     422,883  SH     OTHER       04     399,129           0      23,754
BANK ONE CORP                     COM   06423A103       1,113      28,804  SH     DEFINED     05      20,046       7,858         900
BANK ONE CORP                     COM   06423A103         951      24,612  SH     OTHER       05       9,980       7,382       7,250
BANK ONE CORP                     COM   06423A103      68,426   1,771,556  SH     DEFINED  01,08   1,771,556           0           0
BANK ONE CORP                     COM   06423A103         107       2,769  SH     DEFINED     09       1,597       1,172           0
BANK ONE CORP                     COM   06423A103       1,374      35,579  SH     DEFINED     10      10,817      22,814       1,948
BANK ONE CORP                     COM   06423A103       3,032      78,490  SH     OTHER       10      26,558      51,932           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     62
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BANK PLUS CORP                    COM   064446107         101      25,746  SH     DEFINED  01,08      25,746           0           0

BANK UTD CORP                     COM   065412108       1,059      20,884  SH     DEFINED     01      13,202       1,400       6,282
BANK UTD CORP                     COM   065412108          25         500  SH     OTHER       05         500           0           0
BANK UTD CORP                     COM   065412108       2,670      52,673  SH     DEFINED  01,08      52,673           0           0

BANKATLANTIC BANCORP              COM   065908501          51      12,200  SH     DEFINED     01       8,700           0       3,500
BANKATLANTIC BANCORP              COM   065908501           6       1,437  SH     DEFINED     04       1,437           0           0
BANKATLANTIC BANCORP              COM   065908501           6       1,431  SH     OTHER       04       1,143           0         288
BANKATLANTIC BANCORP              COM   065908501         226      54,024  SH     DEFINED  01,08      54,024           0           0

BANKFIRST CORP                    COM   066442104         138      10,000  SH     OTHER       04      10,000           0           0
BANKFIRST CORP                    COM   066442104         193      14,057  SH     DEFINED  01,08      14,057           0           0

BANKNORTH GROUP INC NEW           COM   06646R107       1,814     101,508  SH     DEFINED     01      93,577           0       7,931
BANKNORTH GROUP INC NEW           COM   06646R107          39       2,189  SH     DEFINED     02           0       2,189           0
BANKNORTH GROUP INC NEW           COM   06646R107         238      13,320  SH     DEFINED     04      10,620           0       2,700
BANKNORTH GROUP INC NEW           COM   06646R107       7,873     440,472  SH     DEFINED  01,08     440,472           0           0

BANKUNITED FINL CORP              COM   06652B103         906     122,895  SH     DEFINED     01           0     122,895           0
BANKUNITED FINL CORP              COM   06652B103       1,023     138,759  SH     DEFINED     04     138,759           0           0
BANKUNITED FINL CORP              COM   06652B103           1         200  SH     OTHER       04           0           0         200
BANKUNITED FINL CORP              COM   06652B103         176      23,900  SH     DEFINED  01,08      23,900           0           0

BANTA CORP                        COM   066821109       1,510      61,950  SH     DEFINED     01      46,395      11,203       4,352
BANTA CORP                        COM   066821109          16         675  SH     OTHER       02         675           0           0
BANTA CORP                        COM   066821109       2,475     101,539  SH     DEFINED  01,08     101,539           0           0

BARCLAYS BK PLC                   PFD   06738C802          10         400         DEFINED     01           0         400           0
BARCLAYS BK PLC                   PFD   06738C802          77       3,000         OTHER       02           0           0       3,000
BARCLAYS BK PLC                   PFD   06738C802         100       3,900         DEFINED     04       3,900           0           0
BARCLAYS BK PLC                   PFD   06738C802         193       7,500         OTHER       04       1,700           0       5,800

BARCLAYS BK PLC                CONV PFD 06738C836          12         500         DEFINED     03         500           0           0
BARCLAYS BK PLC                CONV PFD 06738C836          91       3,750         DEFINED     04       3,750           0           0
BARCLAYS BK PLC                CONV PFD 06738C836         150       6,200         OTHER       04       6,200           0           0

BARD C R INC                      COM   067383109       4,319     102,234  SH     DEFINED     01      83,763      13,018       5,453
BARD C R INC                      COM   067383109          21         500  SH     DEFINED     03           0         500           0
BARD C R INC                      COM   067383109          25         600  SH     DEFINED     04         600           0           0
BARD C R INC                      COM   067383109          76       1,790  SH     OTHER       04         345           0       1,445
BARD C R INC                      COM   067383109       3,331      78,837  SH     DEFINED  01,08      78,837           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     63
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BARNES & NOBLE INC                COM   067774109       1,378      69,983  SH     DEFINED     01      62,387           0       7,596
BARNES & NOBLE INC                COM   067774109          39       2,000  SH     OTHER       01       2,000           0           0
BARNES & NOBLE INC                COM   067774109         115       5,850  SH     DEFINED     04       5,850           0           0
BARNES & NOBLE INC                COM   067774109       3,614     183,585  SH     DEFINED  01,08     183,585           0           0
BARNES & NOBLE INC                COM   067774109          39       2,000  SH     DEFINED     10       1,000       1,000           0

BARNES GROUP INC                  COM   067806109         187      10,188  SH     DEFINED     01       6,891           0       3,297
BARNES GROUP INC                  COM   067806109         878      47,803  SH     DEFINED  01,08      47,803           0           0

BARNESANDNOBLE COM INC            COM   067846105          34       7,002  SH     DEFINED     01       5,572           0       1,430
BARNESANDNOBLE COM INC            COM   067846105           1         200  SH     DEFINED     04         200           0           0
BARNESANDNOBLE COM INC            COM   067846105           4         800  SH     OTHER       04         800           0           0
BARNESANDNOBLE COM INC            COM   067846105         208      42,473  SH     DEFINED  01,08      42,473           0           0

BARRICK GOLD CORP                 COM   067901108      10,349     678,618  SH     DEFINED     01     555,413     110,635      12,570
BARRICK GOLD CORP                 COM   067901108         488      32,000  SH     OTHER       01      25,500         500       6,000
BARRICK GOLD CORP                 COM   067901108          11         700  SH     DEFINED     02           0         700           0
BARRICK GOLD CORP                 COM   067901108          15       1,000  SH     OTHER       02       1,000           0           0
BARRICK GOLD CORP                 COM   067901108          18       1,150  SH     DEFINED     03         150       1,000           0
BARRICK GOLD CORP                 COM   067901108         187      12,250  SH     OTHER       03      12,000         250           0
BARRICK GOLD CORP                 COM   067901108          41       2,658  SH     DEFINED     04       2,658           0           0
BARRICK GOLD CORP                 COM   067901108           9         582  SH     OTHER       04         582           0           0
BARRICK GOLD CORP                 COM   067901108       8,515     558,375  SH     DEFINED  01,08     558,375           0           0
BARRICK GOLD CORP                 COM   067901108          12         800  SH     DEFINED     10         800           0           0

BARNETT INC                       COM   068062108         275      21,036  SH     DEFINED  01,08      21,036           0           0

BARR LABS INC                     COM   068306109       7,883     118,876  SH     DEFINED     01     106,168         950      11,758
BARR LABS INC                     COM   068306109         292       4,400  SH     DEFINED     04           0           0       4,400
BARR LABS INC                     COM   068306109          40         600  SH     OTHER       04         600           0           0
BARR LABS INC                     COM   068306109       5,671      85,525  SH     DEFINED  01,08      85,525           0           0

BARRA INC                         COM   068313105         757      12,193  SH     DEFINED     01      11,092           0       1,101
BARRA INC                         COM   068313105          16         250  SH     DEFINED     04         250           0           0
BARRA INC                         COM   068313105       1,516      24,431  SH     DEFINED  01,08      24,431           0           0

BARRETT RES CORP                  COM   068480201       1,169      30,929  SH     DEFINED     01      27,889           0       3,040
BARRETT RES CORP                  COM   068480201       2,800      74,047  SH     DEFINED  01,08      74,047           0           0

BARRINGER TECHNOLOGIES INC        COM   068509603         127      13,800  SH     DEFINED     04           0           0      13,800
BARRINGER TECHNOLOGIES INC        COM   068509603          84       9,150  SH     DEFINED  01,08       9,150           0           0

BARRY R G CORP OHIO               COM   068798107          84      28,146  SH     DEFINED  01,08      28,146           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     64
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BASIN EXPL INC                    COM   070107107         219      11,240  SH     DEFINED     01       9,595           0       1,645
BASIN EXPL INC                    COM   070107107         125       6,400  SH     DEFINED     04           0           0       6,400
BASIN EXPL INC                    COM   070107107         543      27,857  SH     DEFINED  01,08      27,857           0           0

BASSETT FURNITURE INDS INC        COM   070203104         140       9,868  SH     DEFINED     01       9,768           0         100
BASSETT FURNITURE INDS INC        COM   070203104          17       1,200  SH     OTHER       02           0       1,200           0
BASSETT FURNITURE INDS INC        COM   070203104           4         303  SH     DEFINED     04         303           0           0
BASSETT FURNITURE INDS INC        COM   070203104         305      21,514  SH     DEFINED  01,08      21,514           0           0

BATTLE MTN GOLD CO                COM   071593107         239     136,541  SH     DEFINED     01     131,644           0       4,897
BATTLE MTN GOLD CO                COM   071593107           0           2  SH     OTHER       01           0           2           0
BATTLE MTN GOLD CO                COM   071593107           1         810  SH     OTHER       03           0         810           0
BATTLE MTN GOLD CO                COM   071593107           1         850  SH     OTHER       04         850           0           0
BATTLE MTN GOLD CO                COM   071593107         381     217,728  SH     DEFINED  01,08     217,728           0           0

BAUSCH & LOMB INC                 COM   071707103       3,669      94,228  SH     DEFINED     01      76,875      13,720       3,633
BAUSCH & LOMB INC                 COM   071707103         130       3,350  SH     OTHER       03       3,000         350           0
BAUSCH & LOMB INC                 COM   071707103          16         400  SH     DEFINED     04         400           0           0
BAUSCH & LOMB INC                 COM   071707103           6         150  SH     OTHER       04         150           0           0
BAUSCH & LOMB INC                 COM   071707103       3,175      81,554  SH     DEFINED  01,08      81,554           0           0

BAXTER INTL INC                   COM   071813109     127,728   1,600,356  SH     DEFINED     01   1,039,222     438,376     122,758
BAXTER INTL INC                   COM   071813109      12,539     157,103  SH     OTHER       01      64,860      85,003       7,240
BAXTER INTL INC                   COM   071813109       3,081      38,603  SH     DEFINED     02      18,223      19,030       1,350
BAXTER INTL INC                   COM   071813109       1,111      13,919  SH     OTHER       02       8,869       2,100       2,950
BAXTER INTL INC                   COM   071813109      15,733     197,125  SH     DEFINED     03     132,087      56,694       8,344
BAXTER INTL INC                   COM   071813109       2,452      30,717  SH     OTHER       03      15,776       9,306       5,635
BAXTER INTL INC                   COM   071813109      36,006     451,140  SH     DEFINED     04     438,190           0      12,950
BAXTER INTL INC                   COM   071813109      11,729     146,960  SH     OTHER       04     135,335           0      11,625
BAXTER INTL INC                   COM   071813109       1,299      16,275  SH     DEFINED     05      15,400         325         550
BAXTER INTL INC                   COM   071813109          48         600  SH     OTHER       05           0         600           0
BAXTER INTL INC                   COM   071813109      71,126     891,165  SH     DEFINED  01,08     456,666     353,902      80,597
BAXTER INTL INC                   COM   071813109          16         200  SH     DEFINED     09         200           0           0
BAXTER INTL INC                   COM   071813109         447       5,600  SH     DEFINED     10       4,900         700           0

BAY VIEW CAP CORP DEL             COM   07262L101         181      16,836  SH     DEFINED     01      11,483           0       5,353
BAY VIEW CAP CORP DEL             COM   07262L101          11       1,000  SH     DEFINED     04       1,000           0           0
BAY VIEW CAP CORP DEL             COM   07262L101         623      57,978  SH     DEFINED  01,08      57,978           0           0

BE AEROSPACE INC                  COM   073302101         450      27,900  SH     DEFINED     01      27,800           0         100
BE AEROSPACE INC                  COM   073302101          15         900  SH     DEFINED     04         900           0           0
BE AEROSPACE INC                  COM   073302101         694      43,027  SH     DEFINED  01,08      43,027           0           0

BE FREE INC                       COM   073308108         102      23,922  SH     DEFINED     01      23,504           0         418
BE FREE INC                       COM   073308108         331      77,779  SH     DEFINED  01,08      77,779           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     65
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BE INC                            COM   073309106           8       1,864  SH     DEFINED     03           0       1,864           0
BE INC                            COM   073309106           4       1,000  SH     DEFINED     04       1,000           0           0
BE INC                            COM   073309106          78      19,184  SH     DEFINED  01,08      19,184           0           0

BEA SYS INC                    CONV DEB 073325AD4       2,371   1,000,000  PRN    DEFINED     01   1,000,000           0           0

BEA SYS INC                       COM   073325102      79,136   1,016,197  SH     DEFINED     01     977,386       9,700      29,111
BEA SYS INC                       COM   073325102         171       2,192  SH     DEFINED     04       2,192           0           0
BEA SYS INC                       COM   073325102      16,729     214,817  SH     DEFINED  01,08     214,817           0           0

BEAR STEARNS COS INC              COM   073902108      12,536     198,981  SH     DEFINED     01     155,637      30,468      12,876
BEAR STEARNS COS INC              COM   073902108         153       2,427  SH     DEFINED     04       2,427           0           0
BEAR STEARNS COS INC              COM   073902108      10,704     169,902  SH     DEFINED  01,08     169,902           0           0

BEASLEY BROADCAST GROUP INC       COM   074014101          72       7,429  SH     DEFINED     01       6,902           0         527
BEASLEY BROADCAST GROUP INC       COM   074014101         108      11,193  SH     DEFINED  01,08      11,193           0           0

BEAUTICONTROL COSMETICS INC       COM   074655101           7       1,000  SH     OTHER       05           0           0       1,000
BEAUTICONTROL COSMETICS INC       COM   074655101         162      23,450  SH     DEFINED  01,08      23,450           0           0

BEAZER HOMES USA INC              COM   07556Q105         302      11,100  SH     DEFINED     01      11,100           0           0
BEAZER HOMES USA INC              COM   07556Q105         306      11,214  SH     DEFINED  01,08      11,214           0           0

BEBE STORES INC                   COM   075571109          36       2,401  SH     DEFINED     01       2,282           0         119
BEBE STORES INC                   COM   075571109         486      32,701  SH     DEFINED  01,08      32,701           0           0

BECKMAN COULTER INC               COM   075811109       2,521      32,686  SH     DEFINED     01      27,498         400       4,788
BECKMAN COULTER INC               COM   075811109          14         183  SH     OTHER       01         183           0           0
BECKMAN COULTER INC               COM   075811109          17         220  SH     OTHER       03         220           0           0
BECKMAN COULTER INC               COM   075811109          49         641  SH     DEFINED     04         641           0           0
BECKMAN COULTER INC               COM   075811109          29         382  SH     OTHER       04         235           0         147
BECKMAN COULTER INC               COM   075811109       6,260      81,167  SH     DEFINED  01,08      81,167           0           0

BECTON DICKINSON & CO             COM   075887109      12,147     459,452  SH     DEFINED     01     372,892      64,386      22,174
BECTON DICKINSON & CO             COM   075887109         514      19,450  SH     OTHER       01         250           0      19,200
BECTON DICKINSON & CO             COM   075887109          85       3,200  SH     DEFINED     02           0       3,200           0
BECTON DICKINSON & CO             COM   075887109           6         220  SH     OTHER       03         220           0           0
BECTON DICKINSON & CO             COM   075887109         274      10,368  SH     DEFINED     04      10,368           0           0
BECTON DICKINSON & CO             COM   075887109         303      11,450  SH     OTHER       04       8,450           0       3,000
BECTON DICKINSON & CO             COM   075887109      10,081     381,318  SH     DEFINED  01,08     381,318           0           0
BECTON DICKINSON & CO             COM   075887109          22         840  SH     OTHER       10           0         840           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     66
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BED BATH & BEYOND INC             COM   075896100      10,338     423,858  SH     DEFINED     01     386,404      12,696      24,758
BED BATH & BEYOND INC             COM   075896100         195       8,000  SH     OTHER       01           0       4,000       4,000
BED BATH & BEYOND INC             COM   075896100          62       2,540  SH     DEFINED     03           0       2,540           0
BED BATH & BEYOND INC             COM   075896100         522      21,400  SH     DEFINED     04       8,600           0      12,800
BED BATH & BEYOND INC             COM   075896100          52       2,120  SH     OTHER       04       2,000           0         120
BED BATH & BEYOND INC             COM   075896100      10,361     424,790  SH     DEFINED  01,08     424,790           0           0
BED BATH & BEYOND INC             COM   075896100           5         200  SH     OTHER       09           0         200           0
BED BATH & BEYOND INC             COM   075896100         341      14,000  SH     DEFINED     10           0      14,000           0

BEDFORD PPTY INVS INC             COM   076446301         277      13,637  SH     DEFINED     01       7,603       2,400       3,634
BEDFORD PPTY INVS INC             COM   076446301          94       4,622  SH     DEFINED  01,08       4,622           0           0

BEL FUSE INC                      COM   077347201         316       7,086  SH     DEFINED     01       6,534           0         552
BEL FUSE INC                      COM   077347201         652      14,607  SH     DEFINED  01,08      14,607           0           0

BEL FUSE INC                      COM   077347300         179       4,650  SH     DEFINED     01       3,750           0         900
BEL FUSE INC                      COM   077347300         767      19,916  SH     DEFINED  01,08      19,916           0           0

BELCO OIL & GAS CORP              COM   077410108          88       9,905  SH     DEFINED     01       7,343           0       2,562
BELCO OIL & GAS CORP              COM   077410108         185      20,899  SH     DEFINED  01,08      20,899           0           0

BELDEN INC                        COM   077459105         787      33,333  SH     DEFINED     01      11,068      16,500       5,765
BELDEN INC                        COM   077459105           5         200  SH     DEFINED     04         200           0           0
BELDEN INC                        COM   077459105       1,068      45,200  SH     DEFINED  01,08      45,200           0           0

BELL & HOWELL CO NEW              COM   077852101         324      14,789  SH     DEFINED     01      14,466           0         323
BELL & HOWELL CO NEW              COM   077852101          33       1,500  SH     DEFINED     04           0           0       1,500
BELL & HOWELL CO NEW              COM   077852101         828      37,839  SH     DEFINED  01,08      37,839           0           0

BELL INDS INC                     COM   078107109          44      18,935  SH     DEFINED     01      18,935           0           0
BELL INDS INC                     COM   078107109          65      28,326  SH     DEFINED  01,08      28,326           0           0

BELL MICROPRODUCTS INC            COM   078137106         464      14,850  SH     DEFINED     01      11,850       3,000           0
BELL MICROPRODUCTS INC            COM   078137106         275       8,800  SH     DEFINED     04           0           0       8,800
BELL MICROPRODUCTS INC            COM   078137106         607      19,432  SH     DEFINED  01,08      19,432           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     67
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BELLSOUTH CORP                    COM   079860102     177,976   4,421,758  SH     DEFINED     01   3,586,883     604,584     230,291
BELLSOUTH CORP                    COM   079860102      25,421     631,581  SH     OTHER       01     297,168     319,145      15,268
BELLSOUTH CORP                    COM   079860102       7,237     179,799  SH     DEFINED     02     130,948      37,580      11,271
BELLSOUTH CORP                    COM   079860102       6,844     170,047  SH     OTHER       02     108,193      45,929      15,925
BELLSOUTH CORP                    COM   079860102       7,712     191,596  SH     DEFINED     03      94,931      85,011      11,654
BELLSOUTH CORP                    COM   079860102       4,906     121,894  SH     OTHER       03      91,452      25,274       5,168
BELLSOUTH CORP                    COM   079860102      39,216     974,321  SH     DEFINED     04     949,569           0      24,752
BELLSOUTH CORP                    COM   079860102      50,361   1,251,200  SH     OTHER       04   1,195,799           0      55,401
BELLSOUTH CORP                    COM   079860102         655      16,284  SH     DEFINED     05      15,384         900           0
BELLSOUTH CORP                    COM   079860102         192       4,776  SH     OTHER       05       1,400       3,376           0
BELLSOUTH CORP                    COM   079860102         177       4,400  SH     OTHER    04,07           0           0       4,400
BELLSOUTH CORP                    COM   079860102     117,072   2,908,632  SH     DEFINED  01,08   2,908,632           0           0
BELLSOUTH CORP                    COM   079860102          72       1,784  SH     DEFINED     09       1,784           0           0
BELLSOUTH CORP                    COM   079860102          94       2,340  SH     OTHER       09       1,300       1,040           0
BELLSOUTH CORP                    COM   079860102       1,820      45,216  SH     DEFINED     10      32,220       6,396       6,600
BELLSOUTH CORP                    COM   079860102         559      13,900  SH     OTHER       10       4,600       9,300           0

BELLWETHER EXPL CO                COM   079895207         141      18,363  SH     DEFINED  01,08      18,363           0           0

BELO A H CORP DEL                 COM   080555105       1,604      86,990  SH     DEFINED     01      74,479       7,420       5,091
BELO A H CORP DEL                 COM   080555105       2,931     159,000  SH     DEFINED     02     128,800      30,200           0
BELO A H CORP DEL                 COM   080555105         184      10,000  SH     OTHER       02      10,000           0           0
BELO A H CORP DEL                 COM   080555105          37       2,000  SH     DEFINED     05       2,000           0           0
BELO A H CORP DEL                 COM   080555105       5,983     324,507  SH     DEFINED  01,08     324,507           0           0

BEMA GOLD CORP                    COM   08135F107           2       4,000  SH     DEFINED     04       4,000           0           0
BEMA GOLD CORP                    COM   08135F107           1       2,000  SH     OTHER       04           0           0       2,000
BEMA GOLD CORP                    COM   08135F107          13      25,028  SH     DEFINED  01,08      25,028           0           0

BEMIS INC                         COM   081437105       3,189      99,273  SH     DEFINED     01      79,570      13,618       6,085
BEMIS INC                         COM   081437105         203       6,330  SH     OTHER       01       3,700       1,030       1,600
BEMIS INC                         COM   081437105           3         100  SH     OTHER       02           0           0         100
BEMIS INC                         COM   081437105          32       1,000  SH     DEFINED     03           0       1,000           0
BEMIS INC                         COM   081437105           5         150  SH     OTHER       03         150           0           0
BEMIS INC                         COM   081437105         341      10,600  SH     OTHER       04      10,600           0           0
BEMIS INC                         COM   081437105       3,190      99,304  SH     DEFINED  01,08      99,304           0           0

BENCHMARK ELECTRS INC             COM   08160H101      11,609     223,245  SH     DEFINED     01     206,329           0      16,916
BENCHMARK ELECTRS INC             COM   08160H101         411       7,900  SH     DEFINED     04           0           0       7,900
BENCHMARK ELECTRS INC             COM   08160H101       1,682      32,349  SH     DEFINED  01,08      32,349           0           0

BENIHANA INC                      COM   082047101         241      18,003  SH     DEFINED  01,08      18,003           0           0

BENIHANA INC                      COM   082047200         124      10,330  SH     DEFINED  01,08      10,330           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     68
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BENTLEY PHARMACEUTICALS INC       COM   082657107           5         500  SH     DEFINED     03           0         500           0
BENTLEY PHARMACEUTICALS INC       COM   082657107         144      13,402  SH     DEFINED  01,08      13,402           0           0

BENTON OIL & GAS CO               COM   083288100           1         500  SH     DEFINED     03           0         500           0
BENTON OIL & GAS CO               COM   083288100          12       4,500  SH     DEFINED     04       4,500           0           0
BENTON OIL & GAS CO               COM   083288100         124      47,120  SH     DEFINED  01,08      47,120           0           0

BERGEN BRUNSWIG CORP              COM   083739102       1,813     155,122  SH     DEFINED     01     129,009       1,400      24,713
BERGEN BRUNSWIG CORP              COM   083739102          52       4,408  SH     OTHER       01       1,408       3,000           0
BERGEN BRUNSWIG CORP              COM   083739102         149      12,788  SH     OTHER       03           0      12,788           0
BERGEN BRUNSWIG CORP              COM   083739102       4,578     391,742  SH     DEFINED  01,08     391,742           0           0

BERINGER WINE ESTATES HOLDINGS    COM   084102102         490       8,813  SH     DEFINED     01       7,393           0       1,420
BERINGER WINE ESTATES HOLDINGS    COM   084102102           6         100  SH     OTHER       04         100           0           0
BERINGER WINE ESTATES HOLDINGS    COM   084102102       1,459      26,263  SH     DEFINED  01,08      26,263           0           0

BERKLEY W R CORP                  COM   084423102         686      19,840  SH     DEFINED     01      16,527           0       3,313
BERKLEY W R CORP                  COM   084423102       1,830      52,939  SH     DEFINED  01,08      52,939           0           0

BERKSHIRE BANCORP INC DEL         COM   084597103           1          25  SH     OTHER       04          25           0           0
BERKSHIRE BANCORP INC DEL         COM   084597103         286       9,388  SH     DEFINED  01,08       9,388           0           0

BERKSHIRE HATHAWAY INC DEL        COM   084670108         409          93  SH     DEFINED     01          89           4           0
BERKSHIRE HATHAWAY INC DEL        COM   084670108       1,778         404  SH     OTHER       01         397           7           0
BERKSHIRE HATHAWAY INC DEL        COM   084670108          44          10  SH     DEFINED     02           2           8           0
BERKSHIRE HATHAWAY INC DEL        COM   084670108          18           4  SH     OTHER       02           1           3           0
BERKSHIRE HATHAWAY INC DEL        COM   084670108          13           3  SH     DEFINED     03           0           1           2
BERKSHIRE HATHAWAY INC DEL        COM   084670108           0         199  SH     DEFINED     04         100           0          99
BERKSHIRE HATHAWAY INC DEL        COM   084670108           0         370  SH     OTHER       04         271           0          99
BERKSHIRE HATHAWAY INC DEL        COM   084670108       5,122       1,164  SH     DEFINED  01,08       1,164           0           0
BERKSHIRE HATHAWAY INC DEL        COM   084670108          18           4  SH     DEFINED     10           0           4           0

BERKSHIRE HATHAWAY INC DEL        COM   084670207       3,834       1,852  SH     DEFINED     01       1,411         379          62
BERKSHIRE HATHAWAY INC DEL        COM   084670207      11,534       5,572  SH     OTHER       01       5,375         197           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207         594         287  SH     DEFINED     02         140         147           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207         410         198  SH     OTHER       02         181          17           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207         462         223  SH     DEFINED     03         208          15           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207         292         141  SH     OTHER       03          52          89           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207       4,935       2,384  SH     DEFINED     04       2,257           0         127
BERKSHIRE HATHAWAY INC DEL        COM   084670207       4,633       2,238  SH     OTHER       04       1,923           0         315
BERKSHIRE HATHAWAY INC DEL        COM   084670207           4           2  SH     DEFINED     05           2           0           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207          31          15  SH     OTHER       05          15           0           0
BERKSHIRE HATHAWAY INC DEL        COM   084670207         228         110  SH     DEFINED     10         109           1           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     69
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BERLITZ INTL INC NEW              COM   08520F100          48       5,700  SH     DEFINED     01       5,700           0           0
BERLITZ INTL INC NEW              COM   08520F100         114      13,442  SH     DEFINED  01,08      13,442           0           0

BERRY PETE CO                     COM   085789105         328      18,147  SH     DEFINED     01      17,242           0         905
BERRY PETE CO                     COM   085789105         979      54,175  SH     DEFINED  01,08      54,175           0           0

BEST BUY INC                      COM   086516101      25,868     406,571  SH     DEFINED     01     337,435      45,460      23,676
BEST BUY INC                      COM   086516101         541       8,504  SH     OTHER       01       4,275       2,375       1,854
BEST BUY INC                      COM   086516101         325       5,110  SH     DEFINED     02       3,025       1,385         700
BEST BUY INC                      COM   086516101         153       2,400  SH     OTHER       02         150       1,650         600
BEST BUY INC                      COM   086516101       1,522      23,925  SH     DEFINED     03       5,715      17,780         430
BEST BUY INC                      COM   086516101          86       1,350  SH     OTHER       03         245       1,000         105
BEST BUY INC                      COM   086516101         197       3,100  SH     DEFINED     04       3,100           0           0
BEST BUY INC                      COM   086516101          32         500  SH     DEFINED     05         500           0           0
BEST BUY INC                      COM   086516101      19,163     301,192  SH     DEFINED  01,08     301,192           0           0
BEST BUY INC                      COM   086516101          32         500  SH     DEFINED     10         300         200           0
BEST BUY INC                      COM   086516101           8         120  SH     OTHER       10         120           0           0

BESTFOODS                         COM   08658U101      65,210     896,364  SH     DEFINED     01     712,505     121,532      62,327
BESTFOODS                         COM   08658U101      21,788     299,490  SH     OTHER       01     126,772     167,059       5,659
BESTFOODS                         COM   08658U101       6,092      83,738  SH     DEFINED     02      57,150      22,288       4,300
BESTFOODS                         COM   08658U101       3,009      41,363  SH     OTHER       02      26,725      11,300       3,338
BESTFOODS                         COM   08658U101       7,999     109,950  SH     DEFINED     03      59,848      46,477       3,625
BESTFOODS                         COM   08658U101       4,906      67,443  SH     OTHER       03      50,786      15,977         680
BESTFOODS                         COM   08658U101      10,890     149,685  SH     DEFINED     04     147,635           0       2,050
BESTFOODS                         COM   08658U101      16,533     227,256  SH     OTHER       04     205,456           0      21,800
BESTFOODS                         COM   08658U101         211       2,900  SH     DEFINED     05       1,900       1,000           0
BESTFOODS                         COM   08658U101         146       2,000  SH     OTHER       05       1,200         800           0
BESTFOODS                         COM   08658U101      30,276     416,164  SH     DEFINED  01,08     416,164           0           0
BESTFOODS                         COM   08658U101         318       4,375  SH     DEFINED     09       4,375           0           0
BESTFOODS                         COM   08658U101       3,186      43,790  SH     DEFINED     10       5,440      38,350           0
BESTFOODS                         COM   08658U101         377       5,182  SH     OTHER       10       1,550       3,532         100

BETHLEHEM STL CORP                COM   087509105       1,183     394,320  SH     DEFINED     01     334,456      33,730      26,134
BETHLEHEM STL CORP                COM   087509105          30       9,859  SH     OTHER       01       2,359       7,500           0
BETHLEHEM STL CORP                COM   087509105          36      12,066  SH     DEFINED     04      12,042           0          24
BETHLEHEM STL CORP                COM   087509105         676     225,386  SH     DEFINED  01,08     225,386           0           0

BEVERLY ENTERPRISES INC           COM   087851309       1,117     188,108  SH     DEFINED     01      41,091     129,400      17,617
BEVERLY ENTERPRISES INC           COM   087851309          33       5,626  SH     OTHER       01       5,626           0           0
BEVERLY ENTERPRISES INC           COM   087851309         584      98,292  SH     DEFINED  01,08      98,292           0           0

BEYOND COM CORP                   COM   08860E101          29      28,200  SH     DEFINED  01,08      28,200           0           0

BIG DOG HLDGS INC                 COM   089128102          82      16,400  SH     DEFINED  01,08      16,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>


   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     70
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BILLING CONCEPTS CORP             COM   090063108          86      27,074  SH     DEFINED     01      20,675           0       6,399
BILLING CONCEPTS CORP             COM   090063108         235      73,593  SH     DEFINED  01,08      73,593           0           0

BINDLEY WESTN INDS INC            COM   090324104       1,133      35,402  SH     DEFINED     01      20,634       9,468       5,300
BINDLEY WESTN INDS INC            COM   090324104       2,172      67,863  SH     DEFINED  01,08      67,863           0           0

BINDVIEW DEV CORP                 COM   090327107         286      37,864  SH     DEFINED     01      37,200           0         664
BINDVIEW DEV CORP                 COM   090327107          14       1,800  SH     OTHER       05           0       1,800           0
BINDVIEW DEV CORP                 COM   090327107         452      59,778  SH     DEFINED  01,08      59,778           0           0

BIO RAD LABS INC                  COM   090572108         230      10,176  SH     DEFINED  01,08      10,176           0           0

BIO RAD LABS INC                  COM   090572207         108       4,820  SH     DEFINED     01       3,275           0       1,545
BIO RAD LABS INC                  COM   090572207         727      32,311  SH     DEFINED  01,08      32,311           0           0

BIO TECHNOLOGY GEN CORP           COM   090578105         690      60,343  SH     DEFINED     01      55,871           0       4,472
BIO TECHNOLOGY GEN CORP           COM   090578105          17       1,500  SH     DEFINED     04       1,000           0         500
BIO TECHNOLOGY GEN CORP           COM   090578105         981      85,791  SH     DEFINED  01,08      85,791           0           0

BIOCRYST PHARMACEUTICALS          COM   09058V103         281      13,505  SH     DEFINED     01      13,076         200         229
BIOCRYST PHARMACEUTICALS          COM   09058V103          21       1,000  SH     DEFINED     04       1,000           0           0
BIOCRYST PHARMACEUTICALS          COM   09058V103         535      25,686  SH     DEFINED  01,08      25,686           0           0

BIOGEN INC                        COM   090597105      27,622     452,818  SH     DEFINED     01     359,027      71,345      22,446
BIOGEN INC                        COM   090597105       4,016      65,830  SH     OTHER       01      27,175      36,255       2,400
BIOGEN INC                        COM   090597105       2,454      40,235  SH     DEFINED     02      26,555      10,080       3,600
BIOGEN INC                        COM   090597105         848      13,900  SH     OTHER       02       6,000       6,550       1,350
BIOGEN INC                        COM   090597105       4,850      79,509  SH     DEFINED     03      38,288      35,731       5,490
BIOGEN INC                        COM   090597105       1,249      20,480  SH     OTHER       03      11,680       6,550       2,250
BIOGEN INC                        COM   090597105      19,796     324,521  SH     DEFINED     04     307,546           0      16,975
BIOGEN INC                        COM   090597105      10,128     166,040  SH     OTHER       04     150,780           0      15,260
BIOGEN INC                        COM   090597105         431       7,060  SH     DEFINED     05       6,185         875           0
BIOGEN INC                        COM   090597105          34         550  SH     OTHER       05         550           0           0
BIOGEN INC                        COM   090597105      13,837     226,843  SH     DEFINED  01,08     226,843           0           0
BIOGEN INC                        COM   090597105          73       1,200  SH     DEFINED     09       1,200           0           0
BIOGEN INC                        COM   090597105          37         600  SH     DEFINED     10         600           0           0
BIOGEN INC                        COM   090597105          49         800  SH     OTHER       10         800           0           0

BIOMATRIX INC                     COM   09060P102         593      33,883  SH     DEFINED     01      31,719         600       1,564
BIOMATRIX INC                     COM   09060P102          35       2,000  SH     OTHER       01           0       2,000           0
BIOMATRIX INC                     COM   09060P102         602      34,380  SH     DEFINED     04      34,380           0           0
BIOMATRIX INC                     COM   09060P102         728      41,627  SH     DEFINED  01,08      41,627           0           0

BIOMARIN PHARMACEUTICAL INC       COM   09061G101         321      17,462  SH     DEFINED     01      17,162           0         300
BIOMARIN PHARMACEUTICAL INC       COM   09061G101         932      50,730  SH     DEFINED  01,08      50,730           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     71
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BIOMET INC                        COM   090613100      12,509     357,391  SH     DEFINED     01     281,068      57,058      19,265
BIOMET INC                        COM   090613100       1,838      52,500  SH     OTHER       01      52,350           0         150
BIOMET INC                        COM   090613100          42       1,200  SH     DEFINED     02       1,200           0           0
BIOMET INC                        COM   090613100         105       3,000  SH     DEFINED     03           0       3,000           0
BIOMET INC                        COM   090613100       1,517      43,344  SH     DEFINED     04      26,265           0      17,079
BIOMET INC                        COM   090613100       9,379     267,966  SH     DEFINED  01,08     267,966           0           0
BIOMET INC                        COM   090613100         408      11,662  SH     DEFINED     10       7,462       4,200           0

BIONX IMPLANTS INC                COM   09064Q106          35      11,276  SH     DEFINED  01,08      11,276           0           0

BIOPURE CORP                      COM   09065H105         248      13,732  SH     DEFINED     01      13,491           0         241
BIOPURE CORP                      COM   09065H105          52       2,900  SH     DEFINED     04       2,900           0           0
BIOPURE CORP                      COM   09065H105          18       1,000  SH     OTHER       04       1,000           0           0
BIOPURE CORP                      COM   09065H105         647      35,839  SH     DEFINED  01,08      35,839           0           0

BIOSOURCE INTL INC                COM   09066H104         341      10,987  SH     DEFINED  01,08      10,987           0           0

BIOTIME INC                       COM   09066L105          21       3,000  SH     DEFINED     02           0       3,000           0
BIOTIME INC                       COM   09066L105          21       3,100  SH     OTHER       02       3,100           0           0
BIOTIME INC                       COM   09066L105          90      13,142  SH     DEFINED  01,08      13,142           0           0

BIOSPHERE MEDICAL INC             COM   09066V103         180      12,442  SH     DEFINED  01,08      12,442           0           0

BIOTRANSPLANT INC                 COM   09066Y107         244      14,297  SH     DEFINED  01,08      14,297           0           0

BIOSPHERICS INC                   COM   090662107          66      10,400  SH     DEFINED  01,08      10,400           0           0

BIOTECH HOLDERS TR                COM   09067D201      21,658     111,100  SH     DEFINED     01     103,600         500       7,000
BIOTECH HOLDERS TR                COM   09067D201          19         100  SH     OTHER       03           0         100           0
BIOTECH HOLDERS TR                COM   09067D201         409       2,100  SH     DEFINED     04       2,000           0         100
BIOTECH HOLDERS TR                COM   09067D201          39         200  SH     OTHER       04         200           0           0
BIOTECH HOLDERS TR                COM   09067D201         390       2,000  SH     DEFINED  01,08       2,000           0           0

BIOVAIL CORP                      COM   09067J109       1,271      15,605  SH     DEFINED     01      11,230           0       4,375
BIOVAIL CORP                      COM   09067J109          12         142  SH     DEFINED  01,08         142           0           0
BIOVAIL CORP                      COM   09067J109           4          47  SH     DEFINED     10          47           0           0

BIO LOGIC SYS CORP                COM   090909102          97      18,462  SH     DEFINED  01,08      18,462           0           0

BIO VASCULAR INC                  COM   090923103          61      12,200  SH     DEFINED  01,08      12,200           0           0

BIOSPECIFICS TECHNOLOGIES CORP    COM   090931106          31      10,400  SH     DEFINED  01,08      10,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     72
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BIOSITE DIAGNOSTICS INC           COM   090945106       1,006      25,241  SH     DEFINED     01      23,996       1,000         245
BIOSITE DIAGNOSTICS INC           COM   090945106         285       7,143  SH     OTHER       01           0           0       7,143
BIOSITE DIAGNOSTICS INC           COM   090945106         894      22,429  SH     DEFINED  01,08      22,429           0           0
BIOSITE DIAGNOSTICS INC           COM   090945106          20         500  SH     DEFINED     10         500           0           0

BIRMINGHAM STL CORP               COM   091250100          67      25,000  SH     DEFINED     01      25,000           0           0
BIRMINGHAM STL CORP               COM   091250100         176      65,328  SH     DEFINED  01,08      65,328           0           0

BITSTREAM INC                     COM   091736108           1         400  SH     DEFINED     04         400           0           0
BITSTREAM INC                     COM   091736108          59      16,269  SH     DEFINED  01,08      16,269           0           0

BITWISE DESIGNS INC               COM   091747105           4       1,000  SH     DEFINED     04       1,000           0           0
BITWISE DESIGNS INC               COM   091747105          99      25,600  SH     DEFINED  01,08      25,600           0           0

BLACK & DECKER CORP               COM   091797100       5,208     152,326  SH     DEFINED     01     122,322      21,030       8,974
BLACK & DECKER CORP               COM   091797100           6         165  SH     OTHER       01           0         165           0
BLACK & DECKER CORP               COM   091797100          72       2,100  SH     DEFINED     02       1,900           0         200
BLACK & DECKER CORP               COM   091797100          51       1,500  SH     OTHER       02         200       1,300           0
BLACK & DECKER CORP               COM   091797100         931      27,240  SH     DEFINED     03      10,525      15,815         900
BLACK & DECKER CORP               COM   091797100         326       9,530  SH     OTHER       03       2,680       6,850           0
BLACK & DECKER CORP               COM   091797100       1,476      43,184  SH     DEFINED     04      40,859           0       2,325
BLACK & DECKER CORP               COM   091797100         682      19,950  SH     OTHER       04      19,600           0         350
BLACK & DECKER CORP               COM   091797100          19         550  SH     DEFINED     05         550           0           0
BLACK & DECKER CORP               COM   091797100          68       2,000  SH     OTHER       05       2,000           0           0
BLACK & DECKER CORP               COM   091797100       5,380     157,356  SH     DEFINED  01,08     157,356           0           0
BLACK & DECKER CORP               COM   091797100          95       2,775  SH     DEFINED     10       2,775           0           0

BLACK BOX CORP DEL                COM   091826107         954      20,457  SH     DEFINED     01      18,914           0       1,543
BLACK BOX CORP DEL                COM   091826107       1,340      28,749  SH     DEFINED     04      28,749           0           0
BLACK BOX CORP DEL                COM   091826107          14         300  SH     OTHER       04           0           0         300
BLACK BOX CORP DEL                COM   091826107       1,554      33,327  SH     DEFINED  01,08      33,327           0           0

BLACK HILLS CORP                  COM   092113109         848      30,220  SH     DEFINED     01      26,570           0       3,650
BLACK HILLS CORP                  COM   092113109         105       3,750  SH     OTHER       01           0       3,750           0
BLACK HILLS CORP                  COM   092113109          49       1,750  SH     OTHER       02       1,750           0           0
BLACK HILLS CORP                  COM   092113109          21         750  SH     DEFINED     03           0           0         750
BLACK HILLS CORP                  COM   092113109          41       1,462  SH     OTHER       03       1,462           0           0
BLACK HILLS CORP                  COM   092113109         231       8,224  SH     DEFINED     04       8,224           0           0
BLACK HILLS CORP                  COM   092113109          38       1,350  SH     OTHER       04       1,350           0           0
BLACK HILLS CORP                  COM   092113109       2,589      92,265  SH     DEFINED  01,08      92,265           0           0
BLACK HILLS CORP                  COM   092113109          63       2,250  SH     DEFINED     10       2,250           0           0

BLACKROCK INVT QUALITY MUN TR  UNDEFIND 09247D105           1       5,000         DEFINED     01           0           0       5,000
BLACKROCK INVT QUALITY MUN TR  UNDEFIND 09247D105         175      13,984         DEFINED     04      13,984           0           0
BLACKROCK INVT QUALITY MUN TR  UNDEFIND 09247D105          16       1,263         OTHER       04           0           0       1,263
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     73
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BLACKROCK INCOME TR INC           COM   09247F100           8       1,200  SH     DEFINED     01           0       1,200           0
BLACKROCK INCOME TR INC           COM   09247F100          32       5,000  SH     OTHER       02       5,000           0           0
BLACKROCK INCOME TR INC           COM   09247F100          49       7,660  SH     OTHER       03       3,830           0       3,830

BLACKROCK CA INSD MUN 2008 TRM UNDEFIND 09247G108           2      10,000         OTHER       01      10,000           0           0

BLACKROCK FL INSD MUN 2008 TRM    COM   09247H106         220      16,258  SH     DEFINED     04      14,258           0       2,000
BLACKROCK FL INSD MUN 2008 TRM    COM   09247H106         166      12,258  SH     OTHER       04      12,258           0           0

BLACKROCK INSD MUN 2008 TRM TR UNDEFIND 09247K109           3      21,326         DEFINED     01          26      21,300           0
BLACKROCK INSD MUN 2008 TRM TR UNDEFIND 09247K109           1       7,250         OTHER       01       7,250           0           0
BLACKROCK INSD MUN 2008 TRM TR UNDEFIND 09247K109           0       1,600         OTHER       02       1,600           0           0
BLACKROCK INSD MUN 2008 TRM TR UNDEFIND 09247K109          37       2,560         DEFINED     04       2,560           0           0
BLACKROCK INSD MUN 2008 TRM TR UNDEFIND 09247K109          23       1,600         OTHER       04       1,600           0           0

BLACKROCK MUN TARGET TERM TR   UNDEFIND 09247M105           4      40,600         DEFINED     01       5,000      35,600           0
BLACKROCK MUN TARGET TERM TR   UNDEFIND 09247M105           0       1,000         OTHER       02       1,000           0           0
BLACKROCK MUN TARGET TERM TR   UNDEFIND 09247M105         251      25,700         DEFINED     04      25,700           0           0
BLACKROCK MUN TARGET TERM TR   UNDEFIND 09247M105          28       2,907         OTHER       04       2,907           0           0

BLACKROCK INC                     COM   09247X101         720      22,512  SH     DEFINED     01      17,288       4,600         624
BLACKROCK INC                     COM   09247X101         319       9,970  SH     DEFINED  01,08       9,970           0           0

BLACKROCK INSD MUN TERM TR INC UNDEFIND 092474105           0       3,110         DEFINED     01       3,000         110           0
BLACKROCK INSD MUN TERM TR INC UNDEFIND 092474105         121      11,962         DEFINED     04       7,700           0       4,262
BLACKROCK INSD MUN TERM TR INC UNDEFIND 092474105          29       2,879         OTHER       04       1,279           0       1,600

BLACKROCK NORTH AMERN GV INCM  UNDEFIND 092475102           0       2,420         DEFINED     02       1,500         920           0
BLACKROCK NORTH AMERN GV INCM  UNDEFIND 092475102          95       9,600         DEFINED     04       9,600           0           0
BLACKROCK NORTH AMERN GV INCM  UNDEFIND 092475102          61       6,133         OTHER       04       6,133           0           0

BLACKROCK TARGET TERM TR INC   UNDEFIND 092476100           0       1,500         DEFINED     03           0       1,500           0
BLACKROCK TARGET TERM TR INC   UNDEFIND 092476100          57       5,772         DEFINED     04       5,772           0           0
BLACKROCK TARGET TERM TR INC   UNDEFIND 092476100          26       2,597         OTHER       04       2,597           0           0
BLACKROCK TARGET TERM TR INC   UNDEFIND 092476100           0       2,510         DEFINED     05       2,510           0           0
BLACKROCK TARGET TERM TR INC   UNDEFIND 092476100           3      25,610         DEFINED     10      25,610           0           0

BLACKROCK 2001 TERM TR INC     UNDEFIND 092477108           0       2,500         DEFINED     02       2,500           0           0
BLACKROCK 2001 TERM TR INC     UNDEFIND 092477108         111      12,000         DEFINED     04      12,000           0           0
BLACKROCK 2001 TERM TR INC     UNDEFIND 092477108           0       2,574         DEFINED     05       2,574           0           0

BLAIR CORP                        COM   092828102         291      12,400  SH     DEFINED     01      12,400           0           0
BLAIR CORP                        COM   092828102         357      15,176  SH     DEFINED  01,08      15,176           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     74
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BLANCH E W HLDGS INC              COM   093210102         167       8,028  SH     DEFINED     01       6,016           0       2,012
BLANCH E W HLDGS INC              COM   093210102          21       1,005  SH     OTHER       01           0       1,005           0
BLANCH E W HLDGS INC              COM   093210102          30       1,440  SH     OTHER       04           0           0       1,440
BLANCH E W HLDGS INC              COM   093210102         544      26,232  SH     DEFINED  01,08      26,232           0           0

BLAZE SOFTWARE INC                COM   09347T109          43       3,426  SH     DEFINED     01       3,290           0         136
BLAZE SOFTWARE INC                COM   09347T109         180      14,255  SH     DEFINED  01,08      14,255           0           0

BLIMPIE INTL INC                  COM   093538106          33      20,000  SH     DEFINED     04      20,000           0           0
BLIMPIE INTL INC                  COM   093538106          14       8,400  SH     DEFINED  01,08       8,400           0           0

BLOCK DRUG INC                    COM   093644102         484      11,218  SH     DEFINED     01       9,210           0       2,008
BLOCK DRUG INC                    COM   093644102       1,482      34,365  SH     DEFINED  01,08      34,365           0           0

BLOCK H & R INC                   COM   093671105       8,872     239,373  SH     DEFINED     01     169,716      30,254      39,403
BLOCK H & R INC                   COM   093671105       1,031      27,815  SH     OTHER       01      11,425      14,280       2,110
BLOCK H & R INC                   COM   093671105         156       4,200  SH     DEFINED     02       2,600           0       1,600
BLOCK H & R INC                   COM   093671105         170       4,600  SH     OTHER       02       4,600           0           0
BLOCK H & R INC                   COM   093671105          37       1,000  SH     OTHER       03       1,000           0           0
BLOCK H & R INC                   COM   093671105          70       1,900  SH     DEFINED     04       1,900           0           0
BLOCK H & R INC                   COM   093671105       2,247      60,637  SH     OTHER       04      60,637           0           0
BLOCK H & R INC                   COM   093671105         111       3,000  SH     OTHER       05       3,000           0           0
BLOCK H & R INC                   COM   093671105      18,851     508,644  SH     DEFINED  01,08     152,194     356,450           0

BLOCKBUSTER INC                   COM   093679108          85       9,626  SH     DEFINED     01       8,770           0         856
BLOCKBUSTER INC                   COM   093679108         205      23,211  SH     DEFINED  01,08      23,211           0           0

BLONDER TONGUE LABS INC           COM   093698108          63      10,573  SH     DEFINED  01,08      10,573           0           0

BLOUNT INTL INC NEW               COM   095180105          35       3,089  SH     DEFINED     01       2,692           0         397
BLOUNT INTL INC NEW               COM   095180105         243      21,606  SH     DEFINED  01,08      21,606           0           0

BLUE MARTINI SOFTWARE INC         COM   095698106       2,986      88,136  SH     DEFINED     01      88,023           0         113
BLUE MARTINI SOFTWARE INC         COM   095698106          18         518  SH     OTHER       01           0           0         518
BLUE MARTINI SOFTWARE INC         COM   095698106           0           9  SH     DEFINED     03           0           9           0
BLUE MARTINI SOFTWARE INC         COM   095698106       2,995      88,400  SH     DEFINED  01,08      88,400           0           0

BLUE RHINO CORP                   COM   095811105          47      12,098  SH     DEFINED  01,08      12,098           0           0

BLUE WAVE SYS INC                 COM   096081104          79      15,800  SH     DEFINED  01,08      15,800           0           0

BLUESTONE SOFTWARE INC            COM   09623P102         237      13,618  SH     DEFINED     01      13,383           0         235
BLUESTONE SOFTWARE INC            COM   09623P102         514      29,600  SH     DEFINED  01,08      29,600           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     75
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BLUEGREEN CORP                    COM   096231105           3       1,100  SH     DEFINED     01       1,100           0           0
BLUEGREEN CORP                    COM   096231105         204      70,827  SH     DEFINED  01,08      70,827           0           0

BLYTH INC                         COM   09643P108       1,505      64,208  SH     DEFINED     01      61,649       1,250       1,309
BLYTH INC                         COM   09643P108       3,191     136,173  SH     DEFINED  01,08     136,173           0           0
BLYTH INC                         COM   09643P108         441      18,803  SH     DEFINED     09      18,803           0           0

BOB EVANS FARMS INC               COM   096761101       1,673      90,437  SH     DEFINED     01      83,147           0       7,290
BOB EVANS FARMS INC               COM   096761101           5         266  SH     DEFINED     02         266           0           0
BOB EVANS FARMS INC               COM   096761101          64       3,438  SH     DEFINED     04       2,938           0         500
BOB EVANS FARMS INC               COM   096761101           9         500  SH     OTHER       04         500           0           0
BOB EVANS FARMS INC               COM   096761101       1,915     103,511  SH     DEFINED  01,08     103,511           0           0

BOCA RESORTS INC                  COM   09688T106         210      19,096  SH     DEFINED     01      14,299           0       4,797
BOCA RESORTS INC                  COM   09688T106         123      11,150  SH     DEFINED     04      11,150           0           0
BOCA RESORTS INC                  COM   09688T106         324      29,493  SH     DEFINED  01,08      29,493           0           0

BOCA RESH INC                     COM   096888102          48      16,372  SH     DEFINED  01,08      16,372           0           0

BOEING CO                         COM   097023105     138,090   2,191,900  SH     DEFINED     01   1,771,451     303,742     116,707
BOEING CO                         COM   097023105       6,469     102,680  SH     OTHER       01      52,946      46,503       3,231
BOEING CO                         COM   097023105       1,546      24,532  SH     DEFINED     02      17,605       4,027       2,900
BOEING CO                         COM   097023105       1,773      28,138  SH     OTHER       02       8,314      19,074         750
BOEING CO                         COM   097023105       2,098      33,305  SH     DEFINED     03      22,756       9,549       1,000
BOEING CO                         COM   097023105         773      12,266  SH     OTHER       03       5,890       6,376           0
BOEING CO                         COM   097023105      14,390     228,414  SH     DEFINED     04     208,146           0      20,268
BOEING CO                         COM   097023105       7,695     122,136  SH     OTHER       04     116,776           0       5,360
BOEING CO                         COM   097023105       1,449      23,005  SH     DEFINED     05      15,325       6,880         800
BOEING CO                         COM   097023105         473       7,500  SH     OTHER       05         900       2,600       4,000
BOEING CO                         COM   097023105      88,958   1,412,031  SH     DEFINED  01,08   1,412,031           0           0
BOEING CO                         COM   097023105          13         200  SH     OTHER       09           0         200           0
BOEING CO                         COM   097023105         185       2,934  SH     DEFINED     10       2,500         300         134

BOISE CASCADE CORP                COM   097383103       2,674     100,664  SH     DEFINED     01      82,963      15,528       2,173
BOISE CASCADE CORP                COM   097383103         140       5,286  SH     DEFINED     02       5,000         286           0
BOISE CASCADE CORP                COM   097383103       2,251      84,749  SH     DEFINED  01,08      84,749           0           0

BOLDER TECHNOLOGIES CORP          COM   097519102         102      23,869  SH     DEFINED  01,08      23,869           0           0

BON-TON STORES INC                COM   09776J101          27      13,084  SH     DEFINED  01,08      13,084           0           0

BOMBAY CO INC                     COM   097924104          55      22,700  SH     DEFINED     01      22,700           0           0
BOMBAY CO INC                     COM   097924104          29      12,000  SH     OTHER       04      12,000           0           0
BOMBAY CO INC                     COM   097924104         204      83,553  SH     DEFINED  01,08      83,553           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     76
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BONE CARE INTL INC                COM   098072101         143       6,871  SH     DEFINED     01       6,748           0         123
BONE CARE INTL INC                COM   098072101         477      23,002  SH     DEFINED  01,08      23,002           0           0

BOOKS-A-MILLION INC               COM   098570104           7       2,600  SH     DEFINED     01       2,600           0           0
BOOKS-A-MILLION INC               COM   098570104          97      37,013  SH     DEFINED  01,08      37,013           0           0

BORDERS GROUP INC                 COM   099709107       1,325      95,069  SH     DEFINED     01      80,837         200      14,032
BORDERS GROUP INC                 COM   099709107          14       1,000  SH     OTHER       01       1,000           0           0
BORDERS GROUP INC                 COM   099709107           1          50  SH     OTHER       02          50           0           0
BORDERS GROUP INC                 COM   099709107          44       3,150  SH     DEFINED     04       3,150           0           0
BORDERS GROUP INC                 COM   099709107       3,172     227,604  SH     DEFINED  01,08     227,604           0           0

BORG WARNER INC                   COM   099724106         951      28,708  SH     DEFINED     01      24,470           0       4,238
BORG WARNER INC                   COM   099724106       7,652     231,000  SH     OTHER       01           0     231,000           0
BORG WARNER INC                   COM   099724106          14         422  SH     DEFINED     02         422           0           0
BORG WARNER INC                   COM   099724106          11         342  SH     OTHER       03           0         342           0
BORG WARNER INC                   COM   099724106           4         109  SH     OTHER       04           0           0         109
BORG WARNER INC                   COM   099724106       3,508     105,915  SH     DEFINED  01,08     105,915           0           0

BOSTON ACOUSTICS INC              COM   100534106         240      17,327  SH     DEFINED  01,08      17,327           0           0

BOSTON BEER INC                   COM   100557107         137      15,200  SH     DEFINED  01,08      15,200           0           0

BOSTON COMMUNICATIONS GROUP       COM   100582105         417      21,660  SH     DEFINED  01,08      21,660           0           0

BOSTON LIFE SCIENCES INC          COM   100843408          11       1,500  SH     DEFINED     01       1,500           0           0
BOSTON LIFE SCIENCES INC          COM   100843408          16       2,200  SH     DEFINED     04       2,200           0           0
BOSTON LIFE SCIENCES INC          COM   100843408         195      26,143  SH     DEFINED  01,08      26,143           0           0

BOSTON PRIVATE FINL HLDGS INC     COM   101119105          33       2,000  SH     DEFINED     01           0       2,000           0
BOSTON PRIVATE FINL HLDGS INC     COM   101119105         269      16,300  SH     DEFINED  01,08      16,300           0           0

BOSTON PROPERTIES INC             COM   101121101         280       6,522  SH     DEFINED     01       5,060           0       1,462
BOSTON PROPERTIES INC             COM   101121101          43       1,000  SH     DEFINED     03           0       1,000           0
BOSTON PROPERTIES INC             COM   101121101          28         657  SH     DEFINED     04         657           0           0
BOSTON PROPERTIES INC             COM   101121101          28         650  SH     OTHER       04         650           0           0
BOSTON PROPERTIES INC             COM   101121101         251       5,854  SH     DEFINED  01,08       5,854           0           0

BOSTON SCIENTIFIC CORP            COM   101137107      11,282     686,367  SH     DEFINED     01     561,594     102,742      22,031
BOSTON SCIENTIFIC CORP            COM   101137107          13         800  SH     OTHER       01         800           0           0
BOSTON SCIENTIFIC CORP            COM   101137107          16       1,000  SH     DEFINED     02           0       1,000           0
BOSTON SCIENTIFIC CORP            COM   101137107          10         600  SH     DEFINED     03           0           0         600
BOSTON SCIENTIFIC CORP            COM   101137107          56       3,400  SH     DEFINED     04       3,400           0           0
BOSTON SCIENTIFIC CORP            COM   101137107       9,704     590,405  SH     DEFINED  01,08     590,405           0           0
BOSTON SCIENTIFIC CORP            COM   101137107          26       1,600  SH     DEFINED     10         400       1,200           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     77
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BOTTOMLINE TECH DEL INC           COM   101388106         287       7,687  SH     DEFINED     01       7,457           0         230
BOTTOMLINE TECH DEL INC           COM   101388106         442      11,839  SH     DEFINED  01,08      11,839           0           0

BOWATER INC                       COM   102183100       1,843      39,679  SH     DEFINED     01      32,415       4,700       2,564
BOWATER INC                       COM   102183100       7,184     154,698  SH     DEFINED  01,08     154,698           0           0

BOWL AMER INC                     COM   102565108          97      11,549  SH     DEFINED  01,08      11,549           0           0

BOWNE & CO INC                    COM   103043105         202      20,694  SH     DEFINED     01      14,362           0       6,332
BOWNE & CO INC                    COM   103043105       1,075     110,214  SH     DEFINED  01,08     110,214           0           0

BOYD GAMING CORP                  COM   103304101         350      70,895  SH     DEFINED     01      63,717           0       7,178
BOYD GAMING CORP                  COM   103304101         545     110,452  SH     DEFINED  01,08     110,452           0           0

BOYDS COLLECTION LTD              COM   103354106         494      66,940  SH     DEFINED     01      59,579       5,300       2,061
BOYDS COLLECTION LTD              COM   103354106         434      58,798  SH     DEFINED  01,08      58,798           0           0

BOYKIN LODGING CO                 COM   103430104         106      10,178  SH     DEFINED     01       6,871           0       3,307
BOYKIN LODGING CO                 COM   103430104          45       4,366  SH     DEFINED  01,08       4,366           0           0

BRADLEES INC                      COM   104499207          17      12,224  SH     DEFINED  01,08      12,224           0           0

BRADY CORP                        COM   104674106         504      16,650  SH     DEFINED     01      14,234           0       2,416
BRADY CORP                        COM   104674106       1,543      51,000  SH     OTHER       01      51,000           0           0
BRADY CORP                        COM   104674106          30       1,000  SH     DEFINED     04       1,000           0           0
BRADY CORP                        COM   104674106          18         600  SH     OTHER       04         600           0           0
BRADY CORP                        COM   104674106       1,708      56,451  SH     DEFINED  01,08      56,451           0           0

BRANDYWINE RLTY TR                COM   105368203         410      20,244  SH     DEFINED     01      13,735           0       6,509
BRANDYWINE RLTY TR                COM   105368203          20       1,000  SH     DEFINED     03           0       1,000           0
BRANDYWINE RLTY TR                COM   105368203          22       1,090  SH     DEFINED     04       1,090           0           0
BRANDYWINE RLTY TR                COM   105368203         175       8,647  SH     DEFINED  01,08       8,647           0           0

BRAUN CONSULTING INC              COM   105651103         175       8,842  SH     DEFINED     01       8,687           0         155
BRAUN CONSULTING INC              COM   105651103         457      23,080  SH     DEFINED  01,08      23,080           0           0

BREAKAWAY SOLUTIONS INC           COM   106372105         116      12,997  SH     DEFINED     01      12,817           0         180
BREAKAWAY SOLUTIONS INC           COM   106372105         466      52,368  SH     DEFINED  01,08      52,368           0           0

BRENTON BKS INC                   COM   107211104         282      23,408  SH     DEFINED     01      20,652           0       2,756
BRENTON BKS INC                   COM   107211104          22       1,823  SH     OTHER       02       1,823           0           0
BRENTON BKS INC                   COM   107211104         963      79,823  SH     DEFINED  01,08      79,823           0           0

BRIDGFORD FOODS CORP              COM   108763103         456      36,869  SH     DEFINED  01,08      36,869           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     78
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BRIGGS & STRATTON CORP            COM   109043109       1,975      52,244  SH     DEFINED     01      43,754       5,408       3,082
BRIGGS & STRATTON CORP            COM   109043109         450      11,900  SH     OTHER       01      11,900           0           0
BRIGGS & STRATTON CORP            COM   109043109         272       7,202  SH     DEFINED     02           0       7,202           0
BRIGGS & STRATTON CORP            COM   109043109          15         400  SH     DEFINED     04         400           0           0
BRIGGS & STRATTON CORP            COM   109043109          90       2,380  SH     OTHER       04       2,380           0           0
BRIGGS & STRATTON CORP            COM   109043109       1,676      44,319  SH     DEFINED  01,08      44,319           0           0
BRIGGS & STRATTON CORP            COM   109043109          19         500  SH     DEFINED     10           0         500           0

BRIGHT HORIZON FAMILY SOLUTION    COM   109195107         319      12,488  SH     DEFINED     01      12,067           0         421
BRIGHT HORIZON FAMILY SOLUTION    COM   109195107          20         788  SH     DEFINED     04         788           0           0
BRIGHT HORIZON FAMILY SOLUTION    COM   109195107         243       9,492  SH     DEFINED  01,08       9,492           0           0

BRIGHTSTAR INFO TECH GROUP INC    COM   10947N104          45      19,607  SH     DEFINED  01,08      19,607           0           0

BRIGHTPOINT INC                   COM   109473108         341      67,795  SH     DEFINED     01      52,366      13,600       1,829
BRIGHTPOINT INC                   COM   109473108          16       3,100  SH     OTHER       01       3,100           0           0
BRIGHTPOINT INC                   COM   109473108         425      84,422  SH     DEFINED  01,08      84,422           0           0

BRILLIANT DIGITAL ENTERTAINMNT    COM   109502104           0         100  SH     DEFINED     04         100           0           0
BRILLIANT DIGITAL ENTERTAINMNT    COM   109502104          53      16,185  SH     DEFINED  01,08      16,185           0           0

BRINKER INTL INC                  COM   109641100       4,896     162,514  SH     DEFINED     01      42,011     116,975       3,528
BRINKER INTL INC                  COM   109641100          15         500  SH     OTHER       01         500           0           0
BRINKER INTL INC                  COM   109641100         129       4,285  SH     OTHER       02       4,285           0           0
BRINKER INTL INC                  COM   109641100         172       5,700  SH     DEFINED     03       3,200       2,500           0
BRINKER INTL INC                  COM   109641100          60       2,000  SH     OTHER       03           0       2,000           0
BRINKER INTL INC                  COM   109641100           5         150  SH     DEFINED     05           0         150           0
BRINKER INTL INC                  COM   109641100       4,301     142,757  SH     DEFINED  01,08     142,757           0           0

BRIO TECHNOLOGY INC               COM   109704106         136      12,898  SH     DEFINED     01      12,672           0         226
BRIO TECHNOLOGY INC               COM   109704106          49       4,659  SH     OTHER       01           0           0       4,659
BRIO TECHNOLOGY INC               COM   109704106         429      40,654  SH     DEFINED  01,08      40,654           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     79
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BRISTOL MYERS SQUIBB CO           COM   110122108     307,311   5,379,631  SH     DEFINED     01   4,371,209     684,896     323,526
BRISTOL MYERS SQUIBB CO           COM   110122108      48,992     857,627  SH     OTHER       01     435,215     360,296      62,116
BRISTOL MYERS SQUIBB CO           COM   110122108      12,641     221,293  SH     DEFINED     02     161,140      48,793      11,360
BRISTOL MYERS SQUIBB CO           COM   110122108      10,938     191,480  SH     OTHER       02     124,708      49,425      17,347
BRISTOL MYERS SQUIBB CO           COM   110122108      18,000     315,102  SH     DEFINED     03     178,581     119,502      17,019
BRISTOL MYERS SQUIBB CO           COM   110122108       7,127     124,769  SH     OTHER       03      76,027      47,392       1,350
BRISTOL MYERS SQUIBB CO           COM   110122108     116,054   2,031,588  SH     DEFINED     04   1,956,973           0      74,615
BRISTOL MYERS SQUIBB CO           COM   110122108     128,975   2,257,763  SH     OTHER       04   2,195,341           0      62,422
BRISTOL MYERS SQUIBB CO           COM   110122108       5,028      88,019  SH     DEFINED     05      50,309      33,040       4,670
BRISTOL MYERS SQUIBB CO           COM   110122108         941      16,465  SH     OTHER       05      11,465       5,000           0
BRISTOL MYERS SQUIBB CO           COM   110122108     174,603   3,056,511  SH     DEFINED  01,08   3,056,111         400           0
BRISTOL MYERS SQUIBB CO           COM   110122108         824      14,430  SH     DEFINED     09      14,430           0           0
BRISTOL MYERS SQUIBB CO           COM   110122108         143       2,500  SH     OTHER       09       2,500           0           0
BRISTOL MYERS SQUIBB CO           COM   110122108       8,022     140,434  SH     DEFINED     10      70,730      69,304         400
BRISTOL MYERS SQUIBB CO           COM   110122108       3,256      56,999  SH     OTHER       10      13,545      42,654         800

BRITESMILE INC                    COM   110415106          13       1,500  SH     DEFINED     04       1,500           0           0
BRITESMILE INC                    COM   110415106           8       1,000  SH     OTHER       04       1,000           0           0
BRITESMILE INC                    COM   110415106         252      30,091  SH     DEFINED  01,08      30,091           0           0

BRITISH AMERN TOB PLC             COM   110448107           5         385  SH     DEFINED     03         385           0           0
BRITISH AMERN TOB PLC             COM   110448107          39       3,000  SH     OTHER       03       3,000           0           0
BRITISH AMERN TOB PLC             COM   110448107         420      32,151  SH     OTHER       04      32,151           0           0

BRITISH TELECOMMUNICATIONS PLC    COM   111021408          11         100  SH     DEFINED     01         100           0           0
BRITISH TELECOMMUNICATIONS PLC    COM   111021408          27         250  SH     DEFINED     02         250           0           0
BRITISH TELECOMMUNICATIONS PLC    COM   111021408          32         300  SH     OTHER       02           0         300           0
BRITISH TELECOMMUNICATIONS PLC    COM   111021408          55         510  SH     DEFINED     03           0         510           0
BRITISH TELECOMMUNICATIONS PLC    COM   111021408          91         848  SH     DEFINED     04         848           0           0
BRITISH TELECOMMUNICATIONS PLC    COM   111021408           3          30  SH     DEFINED     10          30           0           0

BROADBASE SOFTWARE                COM   11130R100         482      35,531  SH     DEFINED     01      34,973           0         558
BROADBASE SOFTWARE                COM   11130R100         818      60,330  SH     DEFINED  01,08      60,330           0           0

BROADCOM CORP                     COM   111320107     134,095     550,132  SH     DEFINED     01     529,815       2,812      17,505
BROADCOM CORP                     COM   111320107       1,048       4,300  SH     OTHER       01         500           0       3,800
BROADCOM CORP                     COM   111320107          49         200  SH     DEFINED     02           0         150          50
BROADCOM CORP                     COM   111320107         498       2,045  SH     DEFINED     03         175       1,670         200
BROADCOM CORP                     COM   111320107          49         200  SH     OTHER       03         200           0           0
BROADCOM CORP                     COM   111320107         718       2,945  SH     DEFINED     04       1,745           0       1,200
BROADCOM CORP                     COM   111320107         227         930  SH     OTHER       04         930           0           0
BROADCOM CORP                     COM   111320107      76,096     312,189  SH     DEFINED  01,08     312,189           0           0
BROADCOM CORP                     COM   111320107         159         652  SH     DEFINED     10         152         500           0
BROADCOM CORP                     COM   111320107           9          36  SH     OTHER       10          36           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     80
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BROADVISION INC                   COM   111412102         465      18,121  SH     DEFINED     01       9,351       2,200       6,570
BROADVISION INC                   COM   111412102          26       1,000  SH     DEFINED     02       1,000           0           0
BROADVISION INC                   COM   111412102          96       3,742  SH     DEFINED     03         250       3,492           0
BROADVISION INC                   COM   111412102           9         350  SH     OTHER       03         150         200           0
BROADVISION INC                   COM   111412102          21         800  SH     DEFINED     04         800           0           0
BROADVISION INC                   COM   111412102           8         300  SH     OTHER       04         300           0           0
BROADVISION INC                   COM   111412102       5,379     209,424  SH     DEFINED  01,08     209,424           0           0
BROADVISION INC                   COM   111412102           5         199  SH     DEFINED     10         199           0           0

BROADWING INC                     COM   111620100       6,034     236,060  SH     DEFINED     01     141,620      83,376      11,064
BROADWING INC                     COM   111620100         314      12,290  SH     OTHER       01       4,090       8,200           0
BROADWING INC                     COM   111620100         193       7,550  SH     DEFINED     02       2,750       4,800           0
BROADWING INC                     COM   111620100          36       1,400  SH     OTHER       02           0         800         600
BROADWING INC                     COM   111620100         134       5,229  SH     DEFINED     03           0       5,229           0
BROADWING INC                     COM   111620100          10         400  SH     OTHER       03           0         400           0
BROADWING INC                     COM   111620100         124       4,862  SH     DEFINED     04       3,862           0       1,000
BROADWING INC                     COM   111620100         171       6,700  SH     OTHER       04       6,700           0           0
BROADWING INC                     COM   111620100          18         700  SH     OTHER       05         700           0           0
BROADWING INC                     COM   111620100      15,449     604,368  SH     DEFINED  01,08     604,368           0           0
BROADWING INC                     COM   111620100          19         735  SH     DEFINED     10         735           0           0

BROCADE COMMUNICATIONS SYS INC    COM   111621108      86,042     364,584  SH     DEFINED     01     357,843       3,400       3,341
BROCADE COMMUNICATIONS SYS INC    COM   111621108          42         177  SH     DEFINED     04         177           0           0
BROCADE COMMUNICATIONS SYS INC    COM   111621108      21,347      90,452  SH     DEFINED  01,08      90,452           0           0
BROCADE COMMUNICATIONS SYS INC    COM   111621108         143         604  SH     DEFINED     10         404         200           0

BROOKLINE BANCORP INC             COM   113739106         191      16,713  SH     DEFINED     01      14,280           0       2,433
BROOKLINE BANCORP INC             COM   113739106         310      27,093  SH     DEFINED  01,08      27,093           0           0

BROOKS AUTOMATION INC             COM   11434A100         613      18,513  SH     DEFINED     01      17,260           0       1,253
BROOKS AUTOMATION INC             COM   11434A100         801      24,185  SH     DEFINED  01,08      24,185           0           0

BROOKSTONE INC                    COM   114537103         252      18,000  SH     DEFINED     01       1,200      16,800           0
BROOKSTONE INC                    COM   114537103          23       1,677  SH     DEFINED     04       1,677           0           0
BROOKSTONE INC                    COM   114537103         160      11,414  SH     DEFINED  01,08      11,414           0           0

BROOKTROUT INC                    COM   114580103         441      13,383  SH     DEFINED     01      12,364         500         519
BROOKTROUT INC                    COM   114580103         734      22,279  SH     DEFINED  01,08      22,279           0           0

BROWN & SHARPE MFG CO             COM   115223109          63      15,300  SH     DEFINED     04           0           0      15,300
BROWN & SHARPE MFG CO             COM   115223109          56      13,522  SH     DEFINED  01,08      13,522           0           0

BROWN & BROWN INC                 COM   115236101         846      26,602  SH     DEFINED     01      22,416       3,400         786
BROWN & BROWN INC                 COM   115236101          64       2,000  SH     OTHER       04       2,000           0           0
BROWN & BROWN INC                 COM   115236101       1,535      48,252  SH     DEFINED  01,08      48,252           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     81
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BROWN FORMAN CORP                 COM   115637100           3          50  SH     DEFINED     04          50           0           0
BROWN FORMAN CORP                 COM   115637100         228       4,232  SH     OTHER       04       4,232           0           0

BROWN FORMAN CORP                 COM   115637209       6,506     118,826  SH     DEFINED     01      96,039      17,224       5,563
BROWN FORMAN CORP                 COM   115637209         849      15,512  SH     OTHER       01           0      15,412         100
BROWN FORMAN CORP                 COM   115637209           3          50  SH     DEFINED     04          50           0           0
BROWN FORMAN CORP                 COM   115637209       6,226     113,714  SH     DEFINED  01,08     113,714           0           0
BROWN FORMAN CORP                 COM   115637209       1,971      36,000  SH     DEFINED     10      36,000           0           0

BROWN TOM INC                     COM   115660201         424      17,289  SH     DEFINED     01      11,695           0       5,594
BROWN TOM INC                     COM   115660201          78       3,200  SH     DEFINED     05       3,200           0           0
BROWN TOM INC                     COM   115660201       1,338      54,609  SH     DEFINED  01,08      54,609           0           0

BROWN SHOE INC NEW                COM   115736100         273      29,723  SH     DEFINED     01      26,395           0       3,328
BROWN SHOE INC NEW                COM   115736100         312      33,918  SH     DEFINED  01,08      33,918           0           0
BROWN SHOE INC NEW                COM   115736100           1         100  SH     OTHER       10           0         100           0

BRUKER DALTONICS INC              COM   116795105         510      11,500  SH     DEFINED     01           0      11,500           0
BRUKER DALTONICS INC              COM   116795105       1,930      43,500  SH     DEFINED  01,08      43,500           0           0

BRUNSWICK CORP                    COM   117043109       2,939     161,056  SH     DEFINED     01     132,137      22,421       6,498
BRUNSWICK CORP                    COM   117043109         104       5,720  SH     OTHER       01       4,720       1,000           0
BRUNSWICK CORP                    COM   117043109         429      23,500  SH     DEFINED     02           0      23,500           0
BRUNSWICK CORP                    COM   117043109          50       2,732  SH     OTHER       04       2,732           0           0
BRUNSWICK CORP                    COM   117043109       2,478     135,773  SH     DEFINED  01,08     135,773           0           0

BRUSH ENGINEERED MATLS INC        COM   117421107         561      25,946  SH     DEFINED     01      21,853           0       4,093
BRUSH ENGINEERED MATLS INC        COM   117421107          43       2,000  SH     OTHER       04           0           0       2,000
BRUSH ENGINEERED MATLS INC        COM   117421107         396      18,335  SH     DEFINED  01,08      18,335           0           0

BSQUARE CORP                      COM   11776U102         184      11,848  SH     DEFINED     01      11,645           0         203
BSQUARE CORP                      COM   11776U102         562      36,274  SH     DEFINED  01,08      36,274           0           0

BUCA INC                          COM   117769109          75       7,084  SH     DEFINED     01       6,952           0         132
BUCA INC                          COM   117769109          83       7,800  SH     DEFINED     04           0           0       7,800
BUCA INC                          COM   117769109         117      11,030  SH     DEFINED  01,08      11,030           0           0

BUCKEYE PARTNERS L P              COM   118230101          12         400  SH     DEFINED     02         400           0           0
BUCKEYE PARTNERS L P              COM   118230101         196       6,800  SH     DEFINED     03           0       6,800           0
BUCKEYE PARTNERS L P              COM   118230101          86       3,000  SH     OTHER       03           0           0       3,000
BUCKEYE PARTNERS L P              COM   118230101         403      14,000  SH     DEFINED     04      14,000           0           0
BUCKEYE PARTNERS L P              COM   118230101          43       1,500  SH     OTHER       04       1,500           0           0
BUCKEYE PARTNERS L P              COM   118230101         207       7,200  SH     DEFINED  01,08       7,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     82
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BUCKEYE TECHNOLOGIES INC          COM   118255108         863      41,576  SH     DEFINED     01      33,997       2,100       5,479
BUCKEYE TECHNOLOGIES INC          COM   118255108           7         350  SH     DEFINED     04         350           0           0
BUCKEYE TECHNOLOGIES INC          COM   118255108         727      35,023  SH     DEFINED  01,08      35,023           0           0

BUCKLE INC                        COM   118440106          53       4,518  SH     DEFINED     01       3,174           0       1,344
BUCKLE INC                        COM   118440106         399      34,314  SH     DEFINED  01,08      34,314           0           0

BUDGET GROUP INC                  COM   119003101         784     202,311  SH     DEFINED     04     202,311           0           0
BUDGET GROUP INC                  COM   119003101           8       2,000  SH     OTHER       04       2,000           0           0
BUDGET GROUP INC                  COM   119003101         190      48,990  SH     DEFINED  01,08      48,990           0           0

BUFFETS INC                       COM   119882108         961      69,879  SH     DEFINED     01      61,034           0       8,845
BUFFETS INC                       COM   119882108       2,613     190,053  SH     DEFINED  01,08     190,053           0           0

BUILDING MATLS HLDG CORP          COM   120113105          59       6,695  SH     DEFINED     01       6,695           0           0
BUILDING MATLS HLDG CORP          COM   120113105         204      22,992  SH     DEFINED  01,08      22,992           0           0

BULL RUN CORP GA                  COM   120182100         119      47,419  SH     DEFINED  01,08      47,419           0           0

BURLINGTON COAT FACTORY           COM   121579106       1,071      74,848  SH     DEFINED     01      71,236           0       3,612
BURLINGTON COAT FACTORY           COM   121579106       2,056     143,649  SH     DEFINED  01,08     143,649           0           0

BURLINGTON INDS INC               COM   121693105          27      21,650  SH     DEFINED     01      21,650           0           0
BURLINGTON INDS INC               COM   121693105          12       9,900  SH     DEFINED  01,08       9,900           0           0

BURLINGTON NORTHN SANTA FE CP     COM   12189T104      16,896     783,616  SH     DEFINED     01     628,139     114,049      41,428
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         950      44,052  SH     OTHER       01      34,882       9,170           0
BURLINGTON NORTHN SANTA FE CP     COM   12189T104          85       3,920  SH     DEFINED     02       2,120       1,800           0
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         222      10,281  SH     OTHER       02       5,943       3,894         444
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         190       8,825  SH     DEFINED     03       1,284         675       6,866
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         162       7,500  SH     OTHER       03           0       1,500       6,000
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         250      11,595  SH     DEFINED     04       9,195           0       2,400
BURLINGTON NORTHN SANTA FE CP     COM   12189T104         591      27,407  SH     OTHER       04      25,807           0       1,600
BURLINGTON NORTHN SANTA FE CP     COM   12189T104          56       2,604  SH     OTHER       05           0       2,604           0
BURLINGTON NORTHN SANTA FE CP     COM   12189T104      14,292     662,822  SH     DEFINED  01,08     662,822           0           0
BURLINGTON NORTHN SANTA FE CP     COM   12189T104          26       1,200  SH     DEFINED     10       1,200           0           0
BURLINGTON NORTHN SANTA FE CP     COM   12189T104          97       4,500  SH     OTHER       10       4,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     83
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

BURLINGTON RES INC                COM   122014103      44,733   1,215,168  SH     DEFINED     01     858,733     235,847     120,588
BURLINGTON RES INC                COM   122014103       2,864      77,803  SH     OTHER       01      44,360      16,970      16,473
BURLINGTON RES INC                COM   122014103         463      12,570  SH     DEFINED     02       8,225       3,770         575
BURLINGTON RES INC                COM   122014103         147       3,980  SH     OTHER       02       1,515       2,465           0
BURLINGTON RES INC                COM   122014103         406      11,025  SH     DEFINED     03       5,125       3,200       2,700
BURLINGTON RES INC                COM   122014103         184       5,000  SH     OTHER       03       2,000           0       3,000
BURLINGTON RES INC                COM   122014103         364       9,890  SH     DEFINED     04       7,496           0       2,394
BURLINGTON RES INC                COM   122014103       1,208      32,828  SH     OTHER       04      32,596           0         232
BURLINGTON RES INC                COM   122014103         252       6,850  SH     DEFINED     05       4,500         850       1,500
BURLINGTON RES INC                COM   122014103          31         855  SH     OTHER       05         525         330           0
BURLINGTON RES INC                COM   122014103      12,873     349,687  SH     DEFINED  01,08     349,687           0           0
BURLINGTON RES INC                COM   122014103         278       7,540  SH     DEFINED     09       7,540           0           0
BURLINGTON RES INC                COM   122014103         167       4,550  SH     OTHER       09           0       4,550           0
BURLINGTON RES INC                COM   122014103          37       1,000  SH     DEFINED     10       1,000           0           0

BURNHAM PAC PPTYS INC             COM   12232C108         112      18,479  SH     DEFINED     01      12,899           0       5,580
BURNHAM PAC PPTYS INC             COM   12232C108          46       7,609  SH     DEFINED     03         500       7,109           0
BURNHAM PAC PPTYS INC             COM   12232C108          49       8,092  SH     DEFINED  01,08       8,092           0           0

BUSH BOAKE ALLEN INC              COM   123162109         509      10,643  SH     DEFINED     01       9,533           0       1,110
BUSH BOAKE ALLEN INC              COM   123162109         918      19,204  SH     DEFINED  01,08      19,204           0           0

BUSH INDS INC                     COM   123164105          56       4,879  SH     DEFINED     01       3,230           0       1,649
BUSH INDS INC                     COM   123164105         305      26,358  SH     DEFINED  01,08      26,358           0           0

BUTLER INTL INC NEW               COM   123649105          80      15,000  SH     OTHER       04      15,000           0           0
BUTLER INTL INC NEW               COM   123649105         139      26,146  SH     DEFINED  01,08      26,146           0           0

BUTLER MFG CO DEL                 COM   123655102         128       5,600  SH     DEFINED     01       5,500           0         100
BUTLER MFG CO DEL                 COM   123655102           2         103  SH     OTHER       01         103           0           0
BUTLER MFG CO DEL                 COM   123655102         127       5,539  SH     DEFINED     02           0       5,539           0
BUTLER MFG CO DEL                 COM   123655102           0          10  SH     DEFINED     04          10           0           0
BUTLER MFG CO DEL                 COM   123655102         499      21,747  SH     DEFINED  01,08      21,747           0           0

BUY COM INC                       COM   124269101          32      11,373  SH     DEFINED     01       9,928           0       1,445
BUY COM INC                       COM   124269101         179      64,499  SH     DEFINED  01,08      64,499           0           0

C&D TECHNOLOGIES INC              COM   124661109      11,945     210,490  SH     DEFINED     01     189,092       1,800      19,598
C&D TECHNOLOGIES INC              COM   124661109         335       5,900  SH     DEFINED     04           0           0       5,900
C&D TECHNOLOGIES INC              COM   124661109       2,471      43,541  SH     DEFINED  01,08      43,541           0           0

CAIS INTERNET INC                 COM   12476Q102          31       6,411  SH     DEFINED     01       5,909         158         344
CAIS INTERNET INC                 COM   12476Q102          96      19,632  SH     DEFINED  01,08      19,632           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     84
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CBL & ASSOC PPTYS INC             COM   124830100         375      14,982  SH     DEFINED     01      10,237           0       4,745
CBL & ASSOC PPTYS INC             COM   124830100         162       6,457  SH     DEFINED  01,08       6,457           0           0

CCC INFORMATION SVCS GROUP INC    COM   12487Q109         186      23,081  SH     DEFINED     01      22,682           0         399
CCC INFORMATION SVCS GROUP INC    COM   12487Q109         281      34,900  SH     DEFINED  01,08      34,900           0           0

CB RICHARD ELLIS SVCS INC         COM   12489L108         145      11,807  SH     DEFINED     01       8,241           0       3,566
CB RICHARD ELLIS SVCS INC         COM   12489L108         843      68,795  SH     DEFINED  01,08      68,795           0           0

CBRL GROUP INC                    COM   12489V106       2,129     148,107  SH     DEFINED     01      98,955      38,100      11,052
CBRL GROUP INC                    COM   12489V106         342      23,800  SH     OTHER       01      22,575       1,225           0
CBRL GROUP INC                    COM   12489V106          14       1,000  SH     DEFINED     04       1,000           0           0
CBRL GROUP INC                    COM   12489V106          14         950  SH     OTHER       04         950           0           0
CBRL GROUP INC                    COM   12489V106       2,402     167,115  SH     DEFINED  01,08     167,115           0           0

CFW COMMUNICATION CO              COM   124923103         370      13,718  SH     DEFINED     01      13,283           0         435
CFW COMMUNICATION CO              COM   124923103         618      22,877  SH     DEFINED  01,08      22,877           0           0

C BRIDGE INTERNET SOL INC         COM   12500B105          86       4,561  SH     DEFINED     01       4,488           0          73
C BRIDGE INTERNET SOL INC         COM   12500B105         475      25,350  SH     DEFINED  01,08      25,350           0           0

CCBT FINL COS INC                 COM   12500Q102          74       4,080  SH     OTHER       04       4,080           0           0
CCBT FINL COS INC                 COM   12500Q102         247      13,600  SH     DEFINED  01,08      13,600           0           0

C-CUBE MICROSYSTEMS INC NEW       COM   12501N108         746      36,406  SH     DEFINED     01      26,078           0      10,328
C-CUBE MICROSYSTEMS INC NEW       COM   12501N108         205      10,000  SH     OTHER       01      10,000           0           0
C-CUBE MICROSYSTEMS INC NEW       COM   12501N108         189       9,200  SH     DEFINED     04       1,000           0       8,200
C-CUBE MICROSYSTEMS INC NEW       COM   12501N108       3,085     150,491  SH     DEFINED  01,08     150,491           0           0

C COR NET CORP                    COM   125010108         473      30,890  SH     DEFINED     01      27,696       1,300       1,894
C COR NET CORP                    COM   125010108         677      44,202  SH     DEFINED  01,08      44,202           0           0

C D I CORP                        COM   125071100         253      15,837  SH     DEFINED     01      13,039           0       2,798
C D I CORP                        COM   125071100         915      57,207  SH     DEFINED  01,08      57,207           0           0

CDW COMPUTER CTRS INC             COM   125129106       4,081      59,139  SH     DEFINED     01      50,672       5,200       3,267
CDW COMPUTER CTRS INC             COM   125129106          28         400  SH     DEFINED     03           0         400           0
CDW COMPUTER CTRS INC             COM   125129106          35         500  SH     DEFINED     04         500           0           0
CDW COMPUTER CTRS INC             COM   125129106          36         520  SH     OTHER       04         400           0         120
CDW COMPUTER CTRS INC             COM   125129106      16,218     235,044  SH     DEFINED  01,08     235,044           0           0

CEC ENTMT INC                     COM   125137109       1,343      41,969  SH     DEFINED     01      36,749       2,650       2,570
CEC ENTMT INC                     COM   125137109           0           1  SH     DEFINED     02           0           1           0
CEC ENTMT INC                     COM   125137109           6         195  SH     DEFINED     04         195           0           0
CEC ENTMT INC                     COM   125137109       2,741      85,650  SH     DEFINED  01,08      85,650           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     85
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CE FRANKLIN LTD                   COM   125151100         195      27,900  SH     OTHER       01           0           0      27,900

CFS BANCORP INC                   COM   12525D102         106      10,307  SH     DEFINED     01      10,307           0           0
CFS BANCORP INC                   COM   12525D102         251      24,348  SH     DEFINED  01,08      24,348           0           0

CFM TECHNOLOGIES INC              COM   12525K106          89      12,120  SH     DEFINED  01,08      12,120           0           0

CH ENERGY GROUP INC               COM   12541M102         874      21,916  SH     DEFINED     01      17,914           0       4,002
CH ENERGY GROUP INC               COM   12541M102           8         200  SH     OTHER       04           0           0         200
CH ENERGY GROUP INC               COM   12541M102       1,388      34,802  SH     DEFINED  01,08      34,802           0           0

C H ROBINSON WORLDWIDE INC        COM   12541W100       1,612      28,611  SH     DEFINED     01      25,814           0       2,797
C H ROBINSON WORLDWIDE INC        COM   12541W100          50         890  SH     OTHER       01           0         890           0
C H ROBINSON WORLDWIDE INC        COM   12541W100          11         200  SH     DEFINED     04         200           0           0
C H ROBINSON WORLDWIDE INC        COM   12541W100       6,511     115,536  SH     DEFINED  01,08     115,536           0           0

CIGNA CORP                        COM   125509109      32,361     309,969  SH     DEFINED     01     237,131      46,995      25,843
CIGNA CORP                        COM   125509109          42         400  SH     OTHER       01           0         200         200
CIGNA CORP                        COM   125509109       1,203      11,521  SH     DEFINED     02      11,521           0           0
CIGNA CORP                        COM   125509109         215       2,064  SH     OTHER       02         825       1,239           0
CIGNA CORP                        COM   125509109         268       2,563  SH     DEFINED     03         100       2,463           0
CIGNA CORP                        COM   125509109         436       4,173  SH     OTHER       03           0       4,173           0
CIGNA CORP                        COM   125509109       6,574      62,965  SH     DEFINED     04      48,382           0      14,583
CIGNA CORP                        COM   125509109       1,357      12,997  SH     OTHER       04      11,897           0       1,100
CIGNA CORP                        COM   125509109      25,300     242,335  SH     DEFINED  01,08     242,335           0           0
CIGNA CORP                        COM   125509109         256       2,448  SH     DEFINED     10       1,800         648           0
CIGNA CORP                        COM   125509109          14         130  SH     OTHER       10           0         130           0

CIT GROUP INC                     COM   125577106       7,705     440,282  SH     DEFINED     01     368,163      65,600       6,519
CIT GROUP INC                     COM   125577106           9         500  SH     DEFINED     04         500           0           0
CIT GROUP INC                     COM   125577106          11         627  SH     OTHER       04         356           0         271
CIT GROUP INC                     COM   125577106       6,794     388,202  SH     DEFINED  01,08     388,202           0           0

CKE RESTAURANTS INC               COM   12561E105         108      35,300  SH     DEFINED     01      35,300           0           0
CKE RESTAURANTS INC               COM   12561E105          30       9,842  SH     DEFINED     03           0       9,842           0
CKE RESTAURANTS INC               COM   12561E105         492     160,558  SH     DEFINED  01,08     160,558           0           0

CLECO CORP NEW                    COM   12561W105       1,890      40,437  SH     DEFINED     01      34,886         748       4,803
CLECO CORP NEW                    COM   12561W105          23         500  SH     OTHER       02         500           0           0
CLECO CORP NEW                    COM   12561W105          19         400  SH     DEFINED     04           0           0         400
CLECO CORP NEW                    COM   12561W105       2,394      51,200  SH     OTHER       04      51,200           0           0
CLECO CORP NEW                    COM   12561W105       3,060      65,450  SH     DEFINED  01,08      65,450           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     86
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CMGI INC                          COM   125750109         747      26,747  SH     DEFINED     01      11,538       9,370       5,839
CMGI INC                          COM   125750109         321      11,491  SH     OTHER       01         250         300      10,941
CMGI INC                          COM   125750109          49       1,745  SH     DEFINED     02          50         650       1,045
CMGI INC                          COM   125750109          28       1,000  SH     OTHER       02           0           0       1,000
CMGI INC                          COM   125750109          46       1,650  SH     DEFINED     03         250       1,400           0
CMGI INC                          COM   125750109         954      34,131  SH     DEFINED     04      20,931           0      13,200
CMGI INC                          COM   125750109         271       9,685  SH     OTHER       04       9,485           0         200
CMGI INC                          COM   125750109       6,735     241,080  SH     DEFINED  01,08     241,080           0           0

CMI CORP                          COM   125761304          72      46,248  SH     DEFINED  01,08      46,248           0           0

CMS ENERGY CORP                   COM   125896100       5,164     191,703  SH     DEFINED     01     157,517      27,841       6,345
CMS ENERGY CORP                   COM   125896100           8         300  SH     OTHER       01           0         200         100
CMS ENERGY CORP                   COM   125896100           3         100  SH     OTHER       02           0         100           0
CMS ENERGY CORP                   COM   125896100           8         300  SH     DEFINED     03           0           0         300
CMS ENERGY CORP                   COM   125896100          14         503  SH     DEFINED     04         503           0           0
CMS ENERGY CORP                   COM   125896100         162       6,000  SH     OTHER       04       6,000           0           0
CMS ENERGY CORP                   COM   125896100       4,723     175,345  SH     DEFINED  01,08     175,345           0           0
CMS ENERGY CORP                   COM   125896100         105       3,884  SH     DEFINED     10       3,180         704           0
CMS ENERGY CORP                   COM   125896100          32       1,180  SH     OTHER       10          30       1,150           0

CPI CORP                          COM   125902106         125       5,878  SH     DEFINED     01       5,037           0         841
CPI CORP                          COM   125902106         320      15,069  SH     DEFINED  01,08      15,069           0           0

CPB INC                           COM   125903104         460      17,026  SH     DEFINED     01      15,478           0       1,548
CPB INC                           COM   125903104         386      14,280  SH     DEFINED  01,08      14,280           0           0

CSS INDS INC                      COM   125906107         310      15,429  SH     DEFINED     01      14,425           0       1,004
CSS INDS INC                      COM   125906107          40       2,000  SH     DEFINED     02           0       2,000           0
CSS INDS INC                      COM   125906107         431      21,491  SH     DEFINED  01,08      21,491           0           0

CSK AUTO CORP                     COM   125965103          86      19,146  SH     DEFINED     01      18,808           0         338
CSK AUTO CORP                     COM   125965103         366      81,406  SH     DEFINED  01,08      81,406           0           0

CNA FINL CORP                     COM   126117100         118       3,084  SH     DEFINED     01       2,323           0         761
CNA FINL CORP                     COM   126117100         146       3,828  SH     OTHER       01       3,228         600           0
CNA FINL CORP                     COM   126117100       5,356     140,028  SH     DEFINED  01,08     140,028           0           0
CNA FINL CORP                     COM   126117100          11         300  SH     DEFINED     10         300           0           0

CNA SURETY CORP                   COM   12612L108         485      42,153  SH     DEFINED     01      38,957           0       3,196
CNA SURETY CORP                   COM   12612L108         701      60,945  SH     DEFINED  01,08      60,945           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     87
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CNF TRANSN INC                    COM   12612W104       1,248      56,084  SH     DEFINED     01      46,514           0       9,570
CNF TRANSN INC                    COM   12612W104           4         200  SH     DEFINED     02           0         200           0
CNF TRANSN INC                    COM   12612W104          20         900  SH     OTHER       02           0         900           0
CNF TRANSN INC                    COM   12612W104         605      27,210  SH     DEFINED     03       1,600      24,410       1,200
CNF TRANSN INC                    COM   12612W104          18         800  SH     OTHER       03           0         800           0
CNF TRANSN INC                    COM   12612W104       3,158     141,911  SH     DEFINED  01,08     141,911           0           0

CNET NETWORKS INC                 COM   12613R104         148       6,090  SH     DEFINED     01       4,284           0       1,806
CNET NETWORKS INC                 COM   12613R104           1          50  SH     OTHER       01           0          50           0
CNET NETWORKS INC                 COM   12613R104          24       1,000  SH     DEFINED     02       1,000           0           0
CNET NETWORKS INC                 COM   12613R104           3         120  SH     DEFINED     04         120           0           0
CNET NETWORKS INC                 COM   12613R104          17         700  SH     OTHER       04         700           0           0
CNET NETWORKS INC                 COM   12613R104       1,705      69,996  SH     DEFINED  01,08      69,996           0           0

CNS INC                           COM   126136100          73      17,800  SH     DEFINED     01      17,800           0           0
CNS INC                           COM   126136100         127      30,709  SH     DEFINED  01,08      30,709           0           0

C P & L ENERGY INC                COM   12614C106      12,394     297,305  SH     DEFINED     01     241,469      41,628      14,208
C P & L ENERGY INC                COM   12614C106         208       4,997  SH     OTHER       01       2,000       2,700         297
C P & L ENERGY INC                COM   12614C106          19         450  SH     DEFINED     02         450           0           0
C P & L ENERGY INC                COM   12614C106          72       1,720  SH     OTHER       02       1,188         532           0
C P & L ENERGY INC                COM   12614C106         100       2,400  SH     DEFINED     03           0       2,400           0
C P & L ENERGY INC                COM   12614C106          17         400  SH     OTHER       03         400           0           0
C P & L ENERGY INC                COM   12614C106         720      17,273  SH     DEFINED     04      16,399           0         874
C P & L ENERGY INC                COM   12614C106         505      12,104  SH     OTHER       04      10,604           0       1,500
C P & L ENERGY INC                COM   12614C106      10,177     244,122  SH     DEFINED  01,08     244,122           0           0
C P & L ENERGY INC                COM   12614C106          17         400  SH     DEFINED     10           0           0         400
C P & L ENERGY INC                COM   12614C106          58       1,400  SH     OTHER       10       1,400           0           0

CPAC INC                          COM   126145101           6         800  SH     DEFINED     01         800           0           0
CPAC INC                          COM   126145101          82      10,300  SH     DEFINED     04           0           0      10,300
CPAC INC                          COM   126145101         157      19,614  SH     DEFINED  01,08      19,614           0           0

C P CLARE CORP                    COM   12615K107          54      12,429  SH     DEFINED  01,08      12,429           0           0

CSG SYS INTL INC                  COM   126349109       1,136      39,160  SH     DEFINED     01      31,526         400       7,234
CSG SYS INTL INC                  COM   126349109      11,567     398,854  SH     OTHER       01           0       1,160     397,694
CSG SYS INTL INC                  COM   126349109          58       2,000  SH     OTHER       04       2,000           0           0
CSG SYS INTL INC                  COM   126349109       4,143     142,852  SH     DEFINED  01,08     142,852           0           0

CSP INC                           COM   126389105          80      13,971  SH     DEFINED  01,08      13,971           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     88
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CSX CORP                          COM   126408103       8,793     403,108  SH     DEFINED     01     331,547      56,475      15,086
CSX CORP                          COM   126408103         445      20,408  SH     OTHER       01       9,052      10,956         400
CSX CORP                          COM   126408103          18         842  SH     DEFINED     02         300         542           0
CSX CORP                          COM   126408103          54       2,480  SH     OTHER       02       1,910         570           0
CSX CORP                          COM   126408103         135       6,200  SH     DEFINED     03       1,200       4,800         200
CSX CORP                          COM   126408103          17         800  SH     OTHER       03         800           0           0
CSX CORP                          COM   126408103          52       2,380  SH     DEFINED     04       2,368           0          12
CSX CORP                          COM   126408103         368      16,864  SH     OTHER       04      14,364           0       2,500
CSX CORP                          COM   126408103       7,200     330,113  SH     DEFINED  01,08     330,113           0           0

CTC COMMUNICATIONS GROUP INC      COM   126419100         830      40,990  SH     DEFINED     01      40,047           0         943
CTC COMMUNICATIONS GROUP INC      COM   126419100         935      46,196  SH     DEFINED  01,08      46,196           0           0

CT COMMUNICATIONS INC             COM   126426402         344      16,940  SH     DEFINED     01      16,250           0         690
CT COMMUNICATIONS INC             COM   126426402         309      15,193  SH     DEFINED  01,08      15,193           0           0

CTS CORP                          COM   126501105       1,529      30,199  SH     DEFINED     01      27,800           0       2,399
CTS CORP                          COM   126501105          38         756  SH     DEFINED     03         756           0           0
CTS CORP                          COM   126501105       2,657      52,488  SH     DEFINED  01,08      52,488           0           0
CTS CORP                          COM   126501105           5         100  SH     DEFINED     10         100           0           0

CUNO INC                          COM   126583103         353      15,844  SH     DEFINED     01      13,260         300       2,284
CUNO INC                          COM   126583103         200       9,001  SH     DEFINED     02           0       9,001           0
CUNO INC                          COM   126583103         131       5,900  SH     DEFINED     04           0           0       5,900
CUNO INC                          COM   126583103         560      25,191  SH     DEFINED  01,08      25,191           0           0

CVB FINL CORP                     COM   126600105         269      16,022  SH     DEFINED     01      14,769           0       1,253
CVB FINL CORP                     COM   126600105         614      36,498  SH     DEFINED  01,08      36,498           0           0

CVS CORP                          COM   126650100      49,888   1,077,225  SH     DEFINED     01     817,820     208,290      51,115
CVS CORP                          COM   126650100       2,122      45,820  SH     OTHER       01      16,730      24,440       4,650
CVS CORP                          COM   126650100       2,462      53,160  SH     DEFINED     02      31,761      20,199       1,200
CVS CORP                          COM   126650100         369       7,974  SH     OTHER       02       1,800       5,874         300
CVS CORP                          COM   126650100       1,501      32,402  SH     DEFINED     03      20,495      11,347         560
CVS CORP                          COM   126650100         515      11,110  SH     OTHER       03       3,945       6,890         275
CVS CORP                          COM   126650100      23,727     512,320  SH     DEFINED     04     490,495           0      21,825
CVS CORP                          COM   126650100       5,237     113,074  SH     OTHER       04     100,949           0      12,125
CVS CORP                          COM   126650100       1,090      23,543  SH     DEFINED     05      18,718       4,575         250
CVS CORP                          COM   126650100          65       1,410  SH     OTHER       05         260       1,150           0
CVS CORP                          COM   126650100      31,177     673,186  SH     DEFINED  01,08     673,186           0           0
CVS CORP                          COM   126650100          96       2,075  SH     OTHER       09           0       2,075           0
CVS CORP                          COM   126650100         404       8,718  SH     DEFINED     10       3,540       5,178           0
CVS CORP                          COM   126650100          19         400  SH     OTHER       10           0           0         400
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     89
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CV THERAPEUTICS INC               COM   126667104       1,229      15,805  SH     DEFINED     01      15,331           0         474
CV THERAPEUTICS INC               COM   126667104       2,259      29,049  SH     DEFINED  01,08      29,049           0           0

CABLE & WIRELESS PUB LTD CO       COM   126830207          21         500  SH     DEFINED     01           0         500           0
CABLE & WIRELESS PUB LTD CO       COM   126830207         110       2,595  SH     OTHER       01           0       2,595           0
CABLE & WIRELESS PUB LTD CO       COM   126830207          72       1,690  SH     DEFINED     04       1,690           0           0
CABLE & WIRELESS PUB LTD CO       COM   126830207           1          35  SH     DEFINED     10          35           0           0

CABLEVISION SYS CORP              COM   12686C109         826      12,450  SH     DEFINED     01       6,929           0       5,521
CABLEVISION SYS CORP              COM   12686C109          33         500  SH     OTHER       01         500           0           0
CABLEVISION SYS CORP              COM   12686C109         375       5,650  SH     DEFINED     04       5,650           0           0
CABLEVISION SYS CORP              COM   12686C109          27         400  SH     OTHER       04           0           0         400
CABLEVISION SYS CORP              COM   12686C109       7,494     113,014  SH     DEFINED  01,08     113,014           0           0

CABLETRON SYS INC                 COM   126920107       9,352     318,360  SH     DEFINED     01     258,448      47,360      12,552
CABLETRON SYS INC                 COM   126920107         264       8,993  SH     OTHER       01           0           0       8,993
CABLETRON SYS INC                 COM   126920107          15         500  SH     DEFINED     03           0         500           0
CABLETRON SYS INC                 COM   126920107         388      13,200  SH     DEFINED     04       6,300           0       6,900
CABLETRON SYS INC                 COM   126920107          15         500  SH     OTHER       04         500           0           0
CABLETRON SYS INC                 COM   126920107       7,995     272,170  SH     DEFINED  01,08     272,170           0           0

CABLE DESIGN TECHNOLOGIES CORP    COM   126924109         850      34,977  SH     DEFINED     01      24,141       2,100       8,736
CABLE DESIGN TECHNOLOGIES CORP    COM   126924109          36       1,500  SH     OTHER       04       1,500           0           0
CABLE DESIGN TECHNOLOGIES CORP    COM   126924109       1,973      81,161  SH     DEFINED  01,08      81,161           0           0
CABLE DESIGN TECHNOLOGIES CORP    COM   126924109          58       2,400  SH     DEFINED     10           0       2,400           0

CACHEFLOW INC                     COM   126946102       6,409      44,821  SH     DEFINED     01      42,435           0       2,386
CACHEFLOW INC                     COM   126946102       4,407      30,815  SH     DEFINED  01,08      30,815           0           0

C2 INC                            COM   126948108         110      12,200  SH     DEFINED  01,08      12,200           0           0

CABOT CORP                        COM   127055101       1,430      45,130  SH     DEFINED     01      42,727           0       2,403
CABOT CORP                        COM   127055101           5         150  SH     DEFINED     03           0         150           0
CABOT CORP                        COM   127055101          25         800  SH     DEFINED     04         800           0           0
CABOT CORP                        COM   127055101       5,824     183,801  SH     DEFINED  01,08     183,801           0           0

CABOT INDUSTRIAL TRUST            COM   127072106         481      24,107  SH     DEFINED     01      16,378           0       7,729
CABOT INDUSTRIAL TRUST            COM   127072106         206      10,314  SH     DEFINED  01,08      10,314           0           0

CABOT MICROELECTRONICS CORP       COM   12709P103       1,014      21,115  SH     DEFINED     01      14,877       1,100       5,138
CABOT MICROELECTRONICS CORP       COM   12709P103       1,756      36,577  SH     DEFINED  01,08      36,577           0           0

CABOT OIL & GAS CORP              COM   127097103         432      21,207  SH     DEFINED     01      16,496           0       4,711
CABOT OIL & GAS CORP              COM   127097103          92       4,500  SH     OTHER       05       4,500           0           0
CABOT OIL & GAS CORP              COM   127097103       1,090      53,499  SH     DEFINED  01,08      53,499           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     90
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CACHE INC                         COM   127150308          70      25,475  SH     DEFINED  01,08      25,475           0           0

CACI INTL INC                     COM   127190304         144       6,697  SH     DEFINED     01       5,098           0       1,599
CACI INTL INC                     COM   127190304         874      40,779  SH     DEFINED  01,08      40,779           0           0

CADBURY SCHWEPPES PLC             COM   127209302         278      11,560  SH     DEFINED     01      11,560           0           0
CADBURY SCHWEPPES PLC             COM   127209302          96       4,004  SH     OTHER       01       1,304       2,700           0
CADBURY SCHWEPPES PLC             COM   127209302           3         110  SH     DEFINED     03           0         110           0

CADENCE DESIGN SYSTEM INC         COM   127387108       4,450     173,234  SH     DEFINED     01     160,913           0      12,321
CADENCE DESIGN SYSTEM INC         COM   127387108         411      16,000  SH     OTHER       01      16,000           0           0
CADENCE DESIGN SYSTEM INC         COM   127387108           2          95  SH     DEFINED     03           0          95           0
CADENCE DESIGN SYSTEM INC         COM   127387108          26       1,000  SH     DEFINED     04       1,000           0           0
CADENCE DESIGN SYSTEM INC         COM   127387108         157       6,115  SH     OTHER       04       4,115           0       2,000
CADENCE DESIGN SYSTEM INC         COM   127387108      17,991     700,375  SH     DEFINED  01,08     700,375           0           0

CADIZ INC                         COM   127537108         360      35,997  SH     DEFINED     01      35,364           0         633
CADIZ INC                         COM   127537108         400      40,038  SH     DEFINED  01,08      40,038           0           0

CADMUS COMMUNICATIONS CORP        COM   127587103          20       2,400  SH     DEFINED     01       2,400           0           0
CADMUS COMMUNICATIONS CORP        COM   127587103         152      18,762  SH     DEFINED  01,08      18,762           0           0

CAGLES INC                        COM   127703106         166      19,660  SH     DEFINED  01,08      19,660           0           0

CAL DIVE INTL INC                 COM   127914109       1,131      19,774  SH     DEFINED     01      16,759       2,000       1,015
CAL DIVE INTL INC                 COM   127914109       1,393      24,354  SH     DEFINED  01,08      24,354           0           0

CALDERA SYS INC                   COM   128780103          24       5,741  SH     DEFINED     01       5,609          43          89
CALDERA SYS INC                   COM   128780103         114      27,762  SH     DEFINED  01,08      27,762           0           0

CALGON CARBON CORP                COM   129603106         237      34,851  SH     DEFINED     01      28,338           0       6,513
CALGON CARBON CORP                COM   129603106         274      40,243  SH     DEFINED  01,08      40,243           0           0

CALICO COMM INC                   COM   129897104         271      44,242  SH     DEFINED     01      43,651           0         591
CALICO COMM INC                   COM   129897104           4         600  SH     DEFINED     04         600           0           0
CALICO COMM INC                   COM   129897104         249      40,617  SH     DEFINED  01,08      40,617           0           0

CALIFORNIA AMPLIFIER INC          COM   129900106         312      13,572  SH     DEFINED     01      13,358           0         214
CALIFORNIA AMPLIFIER INC          COM   129900106          23       1,000  SH     OTHER       02           0       1,000           0
CALIFORNIA AMPLIFIER INC          COM   129900106          14         600  SH     DEFINED     04         600           0           0
CALIFORNIA AMPLIFIER INC          COM   129900106         589      25,591  SH     DEFINED  01,08      25,591           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     91
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CALIFORNIA WTR SVC GROUP          COM   130788102         661      24,694  SH     DEFINED     01      22,382           0       2,312
CALIFORNIA WTR SVC GROUP          COM   130788102          27       1,000  SH     OTHER       02       1,000           0           0
CALIFORNIA WTR SVC GROUP          COM   130788102          11         400  SH     DEFINED     03           0         400           0
CALIFORNIA WTR SVC GROUP          COM   130788102         116       4,347  SH     OTHER       03       3,105       1,242           0
CALIFORNIA WTR SVC GROUP          COM   130788102         888      33,199  SH     DEFINED  01,08      33,199           0           0

CALIPER TECHNOLOGIES CORP         COM   130876105         607      10,474  SH     DEFINED     01       4,495       5,900          79
CALIPER TECHNOLOGIES CORP         COM   130876105       1,655      28,563  SH     DEFINED  01,08      28,563           0           0

CALLAWAY GOLF CO                  COM   131193104       1,767     114,941  SH     DEFINED     01     109,392           0       5,549
CALLAWAY GOLF CO                  COM   131193104       3,442     223,877  SH     DEFINED  01,08     219,877       4,000           0
CALLAWAY GOLF CO                  COM   131193104           3         200  SH     DEFINED     10         200           0           0
CALLAWAY GOLF CO                  COM   131193104           2         100  SH     OTHER       10         100           0           0

CALLON PETE CO DEL                COM   13123X102         146       9,236  SH     DEFINED     01       8,543           0         693
CALLON PETE CO DEL                COM   13123X102           3         163  SH     DEFINED     04         163           0           0
CALLON PETE CO DEL                COM   13123X102         269      17,039  SH     DEFINED  01,08      17,039           0           0

CALPINE CORP                      COM   131347106      18,408     176,364  SH     DEFINED     01     162,374       7,000       6,990
CALPINE CORP                      COM   131347106         104       1,000  SH     DEFINED     02       1,000           0           0
CALPINE CORP                      COM   131347106          42         400  SH     DEFINED     04         400           0           0
CALPINE CORP                      COM   131347106      38,989     373,552  SH     DEFINED  01,08     373,552           0           0
CALPINE CORP                      COM   131347106          56         533  SH     DEFINED     10         533           0           0

CALYPTE BIOMEDICAL CORP           COM   131722100           2         995  SH     DEFINED     01         995           0           0
CALYPTE BIOMEDICAL CORP           COM   131722100          41      17,868  SH     DEFINED  01,08      17,868           0           0

CAMBRIDGE HEART INC               COM   131910101          73      16,800  SH     DEFINED  01,08      16,800           0           0

CAMBREX CORP                      COM   132011107       1,934      52,261  SH     DEFINED     01      48,810         539       2,912
CAMBREX CORP                      COM   132011107         111       3,000  SH     DEFINED     04       3,000           0           0
CAMBREX CORP                      COM   132011107       1,509      40,779  SH     DEFINED  01,08      40,779           0           0

CAMBRIDGE TECH PARTNERS MASS      COM   132524109         362      82,696  SH     DEFINED     01      78,760         425       3,511
CAMBRIDGE TECH PARTNERS MASS      COM   132524109           0         100  SH     DEFINED     02         100           0           0
CAMBRIDGE TECH PARTNERS MASS      COM   132524109           0         100  SH     DEFINED     04         100           0           0
CAMBRIDGE TECH PARTNERS MASS      COM   132524109       1,088     248,769  SH     DEFINED  01,08     248,769           0           0

CAMDEN PPTY TR                    COM   133131102         709      22,860  SH     DEFINED     01      15,475           0       7,385
CAMDEN PPTY TR                    COM   133131102          31       1,000  SH     DEFINED     04       1,000           0           0
CAMDEN PPTY TR                    COM   133131102         303       9,787  SH     DEFINED  01,08       9,787           0           0

CAMINUS CORP                      COM   133766105         182       4,575  SH     DEFINED     01       4,496           0          79
CAMINUS CORP                      COM   133766105         448      11,262  SH     DEFINED  01,08      11,262           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     92
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CAMPBELL SOUP CO                  COM   134429109      16,133     623,482  SH     DEFINED     01     594,952       2,449      26,081
CAMPBELL SOUP CO                  COM   134429109         278      10,725  SH     OTHER       01       4,200       6,525           0
CAMPBELL SOUP CO                  COM   134429109         105       4,059  SH     DEFINED     02       3,859         200           0
CAMPBELL SOUP CO                  COM   134429109          36       1,400  SH     OTHER       02           0       1,400           0
CAMPBELL SOUP CO                  COM   134429109         220       8,484  SH     DEFINED     03       5,600       2,884           0
CAMPBELL SOUP CO                  COM   134429109         288      11,132  SH     OTHER       03       7,980       3,152           0
CAMPBELL SOUP CO                  COM   134429109         327      12,655  SH     DEFINED     04       8,139           0       4,516
CAMPBELL SOUP CO                  COM   134429109         549      21,200  SH     OTHER       04      19,700           0       1,500
CAMPBELL SOUP CO                  COM   134429109      15,549     600,921  SH     DEFINED  01,08     600,921           0           0
CAMPBELL SOUP CO                  COM   134429109         205       7,939  SH     DEFINED     09       7,939           0           0
CAMPBELL SOUP CO                  COM   134429109         131       5,060  SH     DEFINED     10         100       4,960           0
CAMPBELL SOUP CO                  COM   134429109         104       4,000  SH     OTHER       10       4,000           0           0

CANADIAN PAC LTD NEW              COM   135923100           3         125  SH     DEFINED     01         125           0           0
CANADIAN PAC LTD NEW              COM   135923100         348      13,400  SH     OTHER       01           0           0      13,400
CANADIAN PAC LTD NEW              COM   135923100          16         600  SH     DEFINED     03           0         600           0
CANADIAN PAC LTD NEW              COM   135923100          10         400  SH     DEFINED     04         400           0           0
CANADIAN PAC LTD NEW              COM   135923100          42       1,600  SH     OTHER       04       1,600           0           0

CANADIAN NATL RY CO               COM   136375102          28         964  SH     DEFINED     01           0         964           0
CANADIAN NATL RY CO               COM   136375102          72       2,468  SH     DEFINED     03           0       2,468           0
CANADIAN NATL RY CO               COM   136375102          45       1,530  SH     DEFINED     04       1,530           0           0
CANADIAN NATL RY CO               COM   136375102          26         886  SH     DEFINED  01,08         886           0           0
CANADIAN NATL RY CO               COM   136375102          47       1,600  SH     DEFINED     10         700         900           0

CANDELA CORP                      COM   136907102          54       4,900  SH     DEFINED     04           0           0       4,900
CANDELA CORP                      COM   136907102         347      31,562  SH     DEFINED  01,08      31,562           0           0

CANDIES INC                       COM   137409108          31      29,300  SH     DEFINED  01,08      29,300           0           0

CANNONDALE CORP                   COM   137798104          63      11,700  SH     DEFINED  01,08      11,700           0           0

CANYON RESOURCES CORP             COM   138869300          10      11,800  SH     DEFINED  01,08      11,800           0           0

CAPITAL CITY BK GROUP INC         COM   139674105          45       2,313  SH     DEFINED     01       1,639           0         674
CAPITAL CITY BK GROUP INC         COM   139674105          16         800  SH     DEFINED     04         800           0           0
CAPITAL CITY BK GROUP INC         COM   139674105         145       7,407  SH     DEFINED  01,08       7,407           0           0

CAPITAL AUTOMOTIVE REIT           COM   139733109         160      12,320  SH     DEFINED     01       8,348           0       3,972
CAPITAL AUTOMOTIVE REIT           COM   139733109          65       5,000  SH     DEFINED     02           0       5,000           0
CAPITAL AUTOMOTIVE REIT           COM   139733109          68       5,200  SH     DEFINED  01,08       5,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     93
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CAPITAL ONE FINL CORP             COM   14040H105     101,884   1,454,193  SH     DEFINED     01   1,020,864     376,861      56,468
CAPITAL ONE FINL CORP             COM   14040H105       2,334      33,310  SH     OTHER       01       6,880      22,480       3,950
CAPITAL ONE FINL CORP             COM   14040H105          77       1,103  SH     DEFINED     02       1,013          90           0
CAPITAL ONE FINL CORP             COM   14040H105       3,519      50,230  SH     DEFINED     03      20,525      25,225       4,480
CAPITAL ONE FINL CORP             COM   14040H105         500       7,136  SH     OTHER       03       2,910       4,151          75
CAPITAL ONE FINL CORP             COM   14040H105      23,453     334,750  SH     DEFINED     04     334,750           0           0
CAPITAL ONE FINL CORP             COM   14040H105         856      12,222  SH     OTHER       04      12,222           0           0
CAPITAL ONE FINL CORP             COM   14040H105          18         250  SH     DEFINED     05         250           0           0
CAPITAL ONE FINL CORP             COM   14040H105          35         500  SH     OTHER       05         500           0           0
CAPITAL ONE FINL CORP             COM   14040H105      20,793     296,785  SH     DEFINED  01,08     296,785           0           0
CAPITAL ONE FINL CORP             COM   14040H105         451       6,440  SH     DEFINED     09       6,440           0           0
CAPITAL ONE FINL CORP             COM   14040H105          49         693  SH     DEFINED     10         693           0           0

CAPITAL PAC HLDGS INC             COM   14040M104         113      37,594  SH     DEFINED  01,08      37,594           0           0

CAPITAL SR LIVING CORP            COM   140475104         443     173,052  SH     DEFINED  01,08     173,052           0           0

CAPITOL BANCORP LTD               COM   14056D105          28       2,300  SH     DEFINED     02           0       2,300           0
CAPITOL BANCORP LTD               COM   14056D105         104       8,435  SH     DEFINED  01,08       8,435           0           0
CAPITOL BANCORP LTD               COM   14056D105         122       9,840  SH     DEFINED     10           0       9,840           0

CAPITOL FED FINL                  COM   14057C106         457      31,244  SH     DEFINED     01      23,712           0       7,532
CAPITOL FED FINL                  COM   14057C106       1,865     127,497  SH     DEFINED  01,08     127,497           0           0

CAPITOL TRANSAMERICA CORP         COM   140640103          52       4,400  SH     DEFINED     01       4,400           0           0
CAPITOL TRANSAMERICA CORP         COM   140640103         170      14,329  SH     DEFINED  01,08      14,329           0           0

CAPROCK COMMUNICATIONS CORP       COM   140667106         196      38,423  SH     DEFINED     01      37,823           0         600
CAPROCK COMMUNICATIONS CORP       COM   140667106           8       1,500  SH     OTHER       01           0       1,500           0
CAPROCK COMMUNICATIONS CORP       COM   140667106         301      59,185  SH     DEFINED  01,08      59,185           0           0

CAPSTONE TURBINE CORP             COM   14067D102         422       6,100  SH     DEFINED     01           0       6,100           0
CAPSTONE TURBINE CORP             COM   14067D102          17         250  SH     OTHER       04         250           0           0
CAPSTONE TURBINE CORP             COM   14067D102       3,899      56,300  SH     DEFINED  01,08      56,300           0           0

CAPSTEAD MTG CORP                 COM   14067E407         100      11,117  SH     DEFINED     01       7,863           0       3,254
CAPSTEAD MTG CORP                 COM   14067E407          11       1,250  SH     OTHER       04       1,250           0           0
CAPSTEAD MTG CORP                 COM   14067E407          40       4,403  SH     DEFINED  01,08       4,403           0           0

CARBO CERAMICS INC                COM   140781105         138       5,194  SH     DEFINED     01       5,006           0         188
CARBO CERAMICS INC                COM   140781105         373      14,028  SH     DEFINED  01,08      14,028           0           0

CARAUSTAR INDS INC                COM   140909102         438      39,619  SH     DEFINED     01      10,557      24,600       4,462
CARAUSTAR INDS INC                COM   140909102       1,034      93,491  SH     DEFINED  01,08      93,491           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     94
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CARDINAL HEALTH INC               COM   14149Y108     155,749   1,766,118  SH     DEFINED     01   1,543,591     178,558      43,969
CARDINAL HEALTH INC               COM   14149Y108       3,646      41,347  SH     OTHER       01      21,374      17,673       2,300
CARDINAL HEALTH INC               COM   14149Y108         918      10,412  SH     DEFINED     02       7,468       1,044       1,900
CARDINAL HEALTH INC               COM   14149Y108         555       6,294  SH     OTHER       02       5,119         725         450
CARDINAL HEALTH INC               COM   14149Y108         895      10,151  SH     DEFINED     03       4,301       5,589         261
CARDINAL HEALTH INC               COM   14149Y108         559       6,344  SH     OTHER       03       2,170       4,174           0
CARDINAL HEALTH INC               COM   14149Y108       1,830      20,749  SH     DEFINED     04      18,749           0       2,000
CARDINAL HEALTH INC               COM   14149Y108       2,611      29,610  SH     OTHER       04      24,064           0       5,546
CARDINAL HEALTH INC               COM   14149Y108       2,438      27,644  SH     DEFINED     05      23,044       2,275       2,325
CARDINAL HEALTH INC               COM   14149Y108         468       5,308  SH     OTHER       05       2,660       2,648           0
CARDINAL HEALTH INC               COM   14149Y108      40,553     459,849  SH     DEFINED  01,08     459,849           0           0
CARDINAL HEALTH INC               COM   14149Y108       1,574      17,854  SH     DEFINED     10      14,030       3,824           0
CARDINAL HEALTH INC               COM   14149Y108          95       1,075  SH     OTHER       10         200         875           0

CARDIODYNAMICS INTL CORP          COM   141597104         149      28,510  SH     DEFINED     01      28,007           0         503
CARDIODYNAMICS INTL CORP          COM   141597104           5       1,000  SH     OTHER       03           0       1,000           0
CARDIODYNAMICS INTL CORP          COM   141597104         188      36,108  SH     DEFINED  01,08      36,108           0           0

CAREDATA COM INC                  COM   14166W100           4      16,536  SH     DEFINED  01,08      16,536           0           0

CAREER EDUCATION CORP             COM   141665109      15,951     358,444  SH     DEFINED     01     336,501           0      21,943
CAREER EDUCATION CORP             COM   141665109         597      13,426  SH     DEFINED  01,08      13,426           0           0

CAREMARK RX INC                   COM   141705103      13,416   1,192,534  SH     DEFINED     01   1,099,518         100      92,916
CAREMARK RX INC                   COM   141705103         224      19,934  SH     OTHER       01      18,884       1,050           0
CAREMARK RX INC                   COM   141705103          14       1,262  SH     DEFINED     02       1,262           0           0
CAREMARK RX INC                   COM   141705103           7         605  SH     DEFINED     03           0         605           0
CAREMARK RX INC                   COM   141705103          75       6,650  SH     DEFINED     04       6,650           0           0
CAREMARK RX INC                   COM   141705103           0          30  SH     OTHER       04          30           0           0
CAREMARK RX INC                   COM   141705103       3,891     345,905  SH     DEFINED  01,08     345,905           0           0

CARLISLE COS INC                  COM   142339100       1,560      37,596  SH     DEFINED     01      32,135         459       5,002
CARLISLE COS INC                  COM   142339100       3,664      88,278  SH     DEFINED  01,08      88,278           0           0

CARMIKE CINEMAS INC               COM   143436103          15      21,806  SH     DEFINED  01,08      21,806           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     95
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CARNIVAL CORP                     COM   143658102      31,673   1,286,228  SH     DEFINED     01     914,852     327,181      44,195
CARNIVAL CORP                     COM   143658102       2,142      87,004  SH     OTHER       01      60,194      25,010       1,800
CARNIVAL CORP                     COM   143658102         537      21,794  SH     DEFINED     02      14,619       4,825       2,350
CARNIVAL CORP                     COM   143658102         119       4,828  SH     OTHER       02         888       3,940           0
CARNIVAL CORP                     COM   143658102         951      38,600  SH     DEFINED     03      15,625      22,975           0
CARNIVAL CORP                     COM   143658102         307      12,485  SH     OTHER       03       7,155       5,330           0
CARNIVAL CORP                     COM   143658102      21,239     862,501  SH     DEFINED     04     822,681           0      39,820
CARNIVAL CORP                     COM   143658102       9,972     404,937  SH     OTHER       04     390,662           0      14,275
CARNIVAL CORP                     COM   143658102       1,539      62,485  SH     DEFINED     05      31,585      14,400      16,500
CARNIVAL CORP                     COM   143658102         121       4,900  SH     OTHER       05       1,500       3,400           0
CARNIVAL CORP                     COM   143658102      18,831     764,724  SH     DEFINED  01,08     764,724           0           0
CARNIVAL CORP                     COM   143658102          44       1,800  SH     DEFINED     10         700       1,100           0
CARNIVAL CORP                     COM   143658102           5         200  SH     OTHER       10           0         200           0

CARRIAGE SVCS INC                 COM   143905107          40      17,500  SH     DEFINED  01,08      17,500           0           0

CARPENTER TECHNOLOGY CORP         COM   144285103         819      28,130  SH     DEFINED     01      24,499         400       3,231
CARPENTER TECHNOLOGY CORP         COM   144285103       1,833      62,929  SH     DEFINED  01,08      62,929           0           0

CARRAMERICA RLTY CORP             COM   144418100         244       8,052  SH     DEFINED     01       6,250           0       1,802
CARRAMERICA RLTY CORP             COM   144418100         220       7,282  SH     DEFINED  01,08       7,282           0           0

CARREKER CORP                     COM   144433109         191       9,786  SH     DEFINED     01       9,611           0         175
CARREKER CORP                     COM   144433109          72       3,700  SH     DEFINED     04           0           0       3,700
CARREKER CORP                     COM   144433109         497      25,512  SH     DEFINED  01,08      25,512           0           0

CARRIER ACCESS CORP               COM   144460102         216      10,880  SH     DEFINED     01       9,708         800         372
CARRIER ACCESS CORP               COM   144460102       1,235      62,321  SH     DEFINED  01,08      62,321           0           0

CARRINGTON LABS INC               COM   144525102           2       1,100  SH     DEFINED     04       1,100           0           0
CARRINGTON LABS INC               COM   144525102          38      21,849  SH     DEFINED  01,08      21,849           0           0

CARTER WALLACE INC                COM   146285101       1,685      68,947  SH     DEFINED     01      64,867           0       4,080
CARTER WALLACE INC                COM   146285101         578      23,665  SH     OTHER       04      23,665           0           0
CARTER WALLACE INC                COM   146285101       3,067     125,519  SH     DEFINED  01,08     125,519           0           0

CASCADE CORP                      COM   147195101          30       1,905  SH     DEFINED     01       1,905           0           0
CASCADE CORP                      COM   147195101         669      42,961  SH     DEFINED  01,08      42,961           0           0

CASCADE NAT GAS CORP              COM   147339105         125       7,137  SH     DEFINED     01       4,439           0       2,698
CASCADE NAT GAS CORP              COM   147339105         423      24,160  SH     DEFINED  01,08      24,160           0           0

CASELLA WASTE SYS INC             COM   147448104         141      13,894  SH     DEFINED     01      11,132           0       2,762
CASELLA WASTE SYS INC             COM   147448104         345      34,052  SH     DEFINED  01,08      34,052           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     96
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CASEYS GEN STORES INC             COM   147528103         436      33,568  SH     DEFINED     01      21,273       2,200      10,095
CASEYS GEN STORES INC             COM   147528103           7         500  SH     DEFINED     03         500           0           0
CASEYS GEN STORES INC             COM   147528103          26       2,000  SH     DEFINED     04       2,000           0           0
CASEYS GEN STORES INC             COM   147528103          13       1,000  SH     OTHER       04       1,000           0           0
CASEYS GEN STORES INC             COM   147528103       2,170     166,936  SH     DEFINED  01,08     166,936           0           0
CASEYS GEN STORES INC             COM   147528103         163      12,535  SH     DEFINED     09      12,535           0           0

CASH AMER INTL INC                COM   14754D100         364      49,721  SH     DEFINED     01      44,658           0       5,063
CASH AMER INTL INC                COM   14754D100         268      36,618  SH     DEFINED  01,08      36,618           0           0

CASINO DATA SYS                   COM   147583108          14       2,000  SH     DEFINED     01       2,000           0           0
CASINO DATA SYS                   COM   147583108          14       2,000  SH     OTHER       04       2,000           0           0
CASINO DATA SYS                   COM   147583108         192      27,414  SH     DEFINED  01,08      27,414           0           0

CASTLE A M & CO                   COM   148411101       1,363     141,596  SH     DEFINED     01           0      66,363      75,233
CASTLE A M & CO                   COM   148411101       3,038     315,622  SH     OTHER       01           0     306,134       9,488
CASTLE A M & CO                   COM   148411101          50       5,225  SH     DEFINED     02       5,225           0           0
CASTLE A M & CO                   COM   148411101         368      38,247  SH     DEFINED  01,08      38,247           0           0

CASTLE DENTAL CTRS INC            COM   14844P105          28      14,700  SH     DEFINED     04           0           0      14,700
CASTLE DENTAL CTRS INC            COM   14844P105          17       8,547  SH     DEFINED  01,08       8,547           0           0

CASTLE ENERGY CORP                COM   148449309         213      28,703  SH     DEFINED  01,08      28,703           0           0

CATALINA LTG INC                  COM   148865108       1,280     372,477  SH     DEFINED     04     372,477           0           0
CATALINA LTG INC                  COM   148865108          39      11,359  SH     DEFINED  01,08      11,359           0           0

CATALINA MARKETING CORP           COM   148867104         428      11,372  SH     DEFINED     01       5,223       2,100       4,049
CATALINA MARKETING CORP           COM   148867104         184       4,895  SH     OTHER       01           0       1,295       3,600
CATALINA MARKETING CORP           COM   148867104          68       1,800  SH     DEFINED     03           0       1,800           0
CATALINA MARKETING CORP           COM   148867104          34         900  SH     OTHER       04         900           0           0
CATALINA MARKETING CORP           COM   148867104       4,344     115,468  SH     DEFINED  01,08     115,468           0           0
CATALINA MARKETING CORP           COM   148867104         272       7,233  SH     DEFINED     09       7,233           0           0

CATALYST INTL INC                 COM   14887T105          83      17,912  SH     DEFINED  01,08      17,912           0           0

CATALYST SEMICONDUCTOR INC        COM   148881105         186      19,713  SH     DEFINED  01,08      19,713           0           0

CATALYTICA INC                    COM   148885106         371      29,996  SH     DEFINED     01      29,160           0         836
CATALYTICA INC                    COM   148885106         110       8,916  SH     DEFINED     04           0           0       8,916
CATALYTICA INC                    COM   148885106         631      50,976  SH     DEFINED  01,08      50,976           0           0

CATAPULT COMMUNICATIONS CORP      COM   149016107         509      27,337  SH     DEFINED  01,08      27,337           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     97
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CATELLUS DEV CORP                 COM   149111106       2,003     114,473  SH     DEFINED     01      83,659      21,800       9,014
CATELLUS DEV CORP                 COM   149111106           1          50  SH     OTHER       01          50           0           0
CATELLUS DEV CORP                 COM   149111106           4         236  SH     OTHER       02         236           0           0
CATELLUS DEV CORP                 COM   149111106           1          44  SH     OTHER       03          44           0           0
CATELLUS DEV CORP                 COM   149111106       3,096     176,898  SH     DEFINED  01,08     176,898           0           0

CATERPILLAR INC DEL               COM   149123101      27,390     811,570  SH     DEFINED     01     617,822     134,700      59,048
CATERPILLAR INC DEL               COM   149123101       1,815      53,781  SH     OTHER       01      19,576      19,667      14,538
CATERPILLAR INC DEL               COM   149123101         209       6,200  SH     DEFINED     02       5,100       1,100           0
CATERPILLAR INC DEL               COM   149123101         217       6,422  SH     OTHER       02       5,522         100         800
CATERPILLAR INC DEL               COM   149123101       1,552      45,989  SH     DEFINED     03      14,750      29,664       1,575
CATERPILLAR INC DEL               COM   149123101         926      27,448  SH     OTHER       03      10,932       3,325      13,191
CATERPILLAR INC DEL               COM   149123101      10,924     323,660  SH     DEFINED     04     301,157           0      22,503
CATERPILLAR INC DEL               COM   149123101       8,114     240,428  SH     OTHER       04     223,602           0      16,826
CATERPILLAR INC DEL               COM   149123101      29,829     883,811  SH     DEFINED  01,08     575,881     307,930           0
CATERPILLAR INC DEL               COM   149123101          88       2,600  SH     DEFINED     09       2,600           0           0
CATERPILLAR INC DEL               COM   149123101         142       4,200  SH     DEFINED     10           0       4,200           0
CATERPILLAR INC DEL               COM   149123101           7         200  SH     OTHER       10         200           0           0

CATHAY BANCORP INC                COM   149150104         563      11,558  SH     DEFINED     01      10,262           0       1,296
CATHAY BANCORP INC                COM   149150104         711      14,583  SH     DEFINED  01,08      14,583           0           0

CATO CORP NEW                     COM   149205106         116       9,251  SH     DEFINED     01       5,501           0       3,750
CATO CORP NEW                     COM   149205106          86       6,900  SH     DEFINED     04           0           0       6,900
CATO CORP NEW                     COM   149205106         765      61,235  SH     DEFINED  01,08      61,235           0           0

CAVALIER HOMES INC                COM   149507105           5       3,000  SH     DEFINED     01       3,000           0           0
CAVALIER HOMES INC                COM   149507105          40      26,356  SH     DEFINED  01,08      26,356           0           0

CD&L INC                          COM   14983Y107           8      13,600  SH     DEFINED  01,08      13,600           0           0

CEDAR FAIR L P                    COM   150185106          96       5,200  SH     DEFINED     01           0       5,200           0
CEDAR FAIR L P                    COM   150185106          74       4,000  SH     OTHER       01           0       4,000           0
CEDAR FAIR L P                    COM   150185106          26       1,400  SH     DEFINED     04       1,400           0           0
CEDAR FAIR L P                    COM   150185106         260      14,100  SH     OTHER       04      14,100           0           0
CEDAR FAIR L P                    COM   150185106         264      14,300  SH     DEFINED  01,08      14,300           0           0
CEDAR FAIR L P                    COM   150185106           7         400  SH     DEFINED     10           0         400           0

CEL-SCI CORP                      COM   150837409           3       1,500  SH     DEFINED     04       1,500           0           0
CEL-SCI CORP                      COM   150837409           2       1,000  SH     OTHER       04       1,000           0           0
CEL-SCI CORP                      COM   150837409          24      11,052  SH     DEFINED  01,08      11,052           0           0

CELL GENESYS INC                  COM   150921104       1,081      36,026  SH     DEFINED     01      29,425         500       6,101
CELL GENESYS INC                  COM   150921104          18         600  SH     DEFINED     04         600           0           0
CELL GENESYS INC                  COM   150921104       1,465      48,849  SH     DEFINED  01,08      48,849           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     98
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CELLSTAR CORP                     COM   150925105           3       1,000  SH     OTHER       04       1,000           0           0
CELLSTAR CORP                     COM   150925105         325     102,951  SH     DEFINED  01,08     102,951           0           0

CELERITEK INC                     COM   150926103         447      11,870  SH     DEFINED     01      11,702           0         168
CELERITEK INC                     COM   150926103         568      15,081  SH     DEFINED  01,08      15,081           0           0

CELL THERAPEUTICS INC             COM   150934107       1,818      27,259  SH     DEFINED     01      26,524           0         735
CELL THERAPEUTICS INC             COM   150934107       1,811      27,164  SH     DEFINED  01,08      27,164           0           0

CELESTICA INC                  CONV DEB 15101QAA6         975   2,000,000  PRN    DEFINED     01   2,000,000           0           0

CELESTICA INC                     COM   15101Q108          74       1,070  SH     DEFINED     01       1,070           0           0
CELESTICA INC                     COM   15101Q108         140       2,025  SH     OTHER       01           0       2,025           0
CELESTICA INC                     COM   15101Q108          35         500  SH     DEFINED     02           0         500           0
CELESTICA INC                     COM   15101Q108          17         250  SH     OTHER       04         250           0           0

CELGENE CORP                      COM   151020104         451       7,572  SH     DEFINED     01       3,793         600       3,179
CELGENE CORP                      COM   151020104          27         450  SH     DEFINED     04         450           0           0
CELGENE CORP                      COM   151020104           0           7  SH     OTHER       04           7           0           0
CELGENE CORP                      COM   151020104       3,258      54,751  SH     DEFINED  01,08      54,751           0           0

CELL PATHWAYS INC NEW             COM   15114R101         191      23,472  SH     DEFINED     01      22,692           0         780
CELL PATHWAYS INC NEW             COM   15114R101         821     101,100  SH     DEFINED     04     101,000           0         100
CELL PATHWAYS INC NEW             COM   15114R101          41       5,000  SH     OTHER       04       5,000           0           0
CELL PATHWAYS INC NEW             COM   15114R101         350      43,050  SH     DEFINED  01,08      43,050           0           0
CELL PATHWAYS INC NEW             COM   15114R101           4         500  SH     DEFINED     10           0         500           0

CELLEGY PHARMACEUTICALS INC       COM   15115L103          16       2,000  SH     OTHER       04       2,000           0           0
CELLEGY PHARMACEUTICALS INC       COM   15115L103         126      15,775  SH     DEFINED  01,08      15,775           0           0

CELSION CORPORATION               COM   15117N107         128      52,424  SH     DEFINED     01      48,552       3,000         872
CELSION CORPORATION               COM   15117N107          27      11,230  SH     DEFINED  01,08      11,230           0           0

CEMEX S A                         COM   151290889         406      20,250  SH     OTHER       01           0         250      20,000
CEMEX S A                         COM   151290889          28       1,377  SH     DEFINED     04       1,377           0           0
CEMEX S A                         COM   151290889          13         670  SH     OTHER       04         670           0           0

CENIT BANCORP INC                 COM   15131W109         152      10,310  SH     DEFINED  01,08      10,310           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE     99
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>                <C>      <C>         <C>        <C>           <C>

CENDANT CORP                      COM   151313103      15,745   1,447,824  SH     DEFINED     01   1,030,445     348,187      69,192
CENDANT CORP                      COM   151313103      11,197   1,029,597  SH     OTHER       01       9,419         660   1,019,518
CENDANT CORP                      COM   151313103          11         999  SH     OTHER       02         999           0           0
CENDANT CORP                      COM   151313103           6         575  SH     DEFINED     03         200         375           0
CENDANT CORP                      COM   151313103          32       2,908  SH     DEFINED     04       2,908           0           0
CENDANT CORP                      COM   151313103          49       4,550  SH     OTHER       04       4,450           0         100
CENDANT CORP                      COM   151313103      12,563   1,155,192  SH     DEFINED  01,08   1,155,192           0           0

CENTENNIAL BANCORP                COM   15133T104         164      27,309  SH     DEFINED  01,08      27,309           0           0

CENTENNIAL COMMUNCTNS CORP NEW    COM   15133V208         154       7,002  SH     DEFINED     01       6,576           0         426
CENTENNIAL COMMUNCTNS CORP NEW    COM   15133V208       3,023     137,425  SH     DEFINED  01,08     137,425           0           0

CENTERPOINT PPTYS TR              COM   151895109       1,364      29,621  SH     DEFINED     01      21,249       4,400       3,972
CENTERPOINT PPTYS TR              COM   151895109         253       5,487  SH     DEFINED  01,08       5,487           0           0

CENTERSPAN COMMUNICATIONS CORP    COM   152012100           5         500  SH     DEFINED     04         500           0           0
CENTERSPAN COMMUNICATIONS CORP    COM   152012100         106       9,963  SH     DEFINED  01,08       9,963           0           0

CENTEX CONSTRUCTION PRODUCTS      COM   15231R109         104       4,191  SH     DEFINED     01       2,859           0       1,332
CENTEX CONSTRUCTION PRODUCTS      COM   15231R109         761      30,661  SH     DEFINED  01,08      30,661           0           0

CENTEX CORP                       COM   152312104       4,313     134,248  SH     DEFINED     01     104,513      14,921      14,814
CENTEX CORP                       COM   152312104         601      18,716  SH     OTHER       05      18,716           0           0
CENTEX CORP                       COM   152312104       3,112      96,862  SH     DEFINED  01,08      96,862           0           0
CENTEX CORP                       COM   152312104           6         200  SH     DEFINED     10         200           0           0

CENTILLIUM COMMUNICATIONS INC     COM   152319109         357       3,717  SH     DEFINED     01       3,525           0         192
CENTILLIUM COMMUNICATIONS INC     COM   152319109          29         300  SH     OTHER       01           0           0         300
CENTILLIUM COMMUNICATIONS INC     COM   152319109       3,318      34,567  SH     DEFINED  01,08      34,567           0           0

CENTRAL FD CDA LTD                COM   153501101          34      10,433  SH     OTHER       01       6,650       3,783           0

CENTRAL GARDEN & PET CO           COM   153527106          64       9,278  SH     DEFINED     01       6,522           0       2,756
CENTRAL GARDEN & PET CO           COM   153527106          74      10,700  SH     DEFINED     04           0           0      10,700
CENTRAL GARDEN & PET CO           COM   153527106         181      26,108  SH     DEFINED  01,08      26,108           0           0

CENTRAL PKG CORP                  COM   154785109         373      18,834  SH     DEFINED     01      16,438           0       2,396
CENTRAL PKG CORP                  COM   154785109          12         625  SH     OTHER       04         625           0           0
CENTRAL PKG CORP                  COM   154785109       1,225      61,853  SH     DEFINED  01,08      61,853           0           0

CENTRAL SECS CORP                 COM   155123102         355       9,866  SH     OTHER       01       9,866           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    100
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CENTRAL VT PUB SVC CORP           COM   155771108         179      17,600  SH     DEFINED     01      17,100           0         500
CENTRAL VT PUB SVC CORP           COM   155771108           2         200  SH     OTHER       01         200           0           0
CENTRAL VT PUB SVC CORP           COM   155771108         274      26,946  SH     DEFINED  01,08      26,946           0           0

CENTURA BKS INC                   COM   15640T100         277       7,241  SH     DEFINED     01       3,749         501       2,991
CENTURA BKS INC                   COM   15640T100         115       3,000  SH     DEFINED     04       3,000           0           0
CENTURA BKS INC                   COM   15640T100       3,011      78,602  SH     DEFINED  01,08      78,602           0           0

CENTURA SOFTWARE CORP             COM   15640W103         150      42,916  SH     DEFINED  01,08      42,916           0           0

CENTURY ALUM CO                   COM   156431108         225      17,986  SH     DEFINED     01      15,866           0       2,120
CENTURY ALUM CO                   COM   156431108         374      29,907  SH     DEFINED  01,08      29,907           0           0

CENTURY BANCORP INC               COM   156432106       1,066      73,500  SH     DEFINED     04      73,500           0           0
CENTURY BANCORP INC               COM   156432106          75       5,200  SH     DEFINED  01,08       5,200           0           0

CENTURY BUSINESS SVCS INC         COM   156490104         116      88,233  SH     DEFINED     01      86,903           0       1,330
CENTURY BUSINESS SVCS INC         COM   156490104          13      10,000  SH     OTHER       04           0           0      10,000
CENTURY BUSINESS SVCS INC         COM   156490104         143     109,053  SH     DEFINED  01,08     109,053           0           0

CENTURY SOUTH BKS INC             COM   156683104         118       6,443  SH     DEFINED     01       4,442           0       2,001
CENTURY SOUTH BKS INC             COM   156683104          43       2,329  SH     DEFINED     04           0           0       2,329
CENTURY SOUTH BKS INC             COM   156683104         309      16,803  SH     DEFINED  01,08      16,803           0           0

CEPHEID                           COM   15670R107         153      18,700  SH     DEFINED  01,08      18,700           0           0

CENTURYTEL INC                    COM   156700106       7,134     261,785  SH     DEFINED     01     200,902      53,060       7,823
CENTURYTEL INC                    COM   156700106         309      11,343  SH     OTHER       01           0       3,750       7,593
CENTURYTEL INC                    COM   156700106          45       1,645  SH     DEFINED     03         945         700           0
CENTURYTEL INC                    COM   156700106         440      16,149  SH     DEFINED     04      14,149           0       2,000
CENTURYTEL INC                    COM   156700106         248       9,111  SH     OTHER       04       7,593           0       1,518
CENTURYTEL INC                    COM   156700106       7,626     279,859  SH     DEFINED  01,08     279,859           0           0
CENTURYTEL INC                    COM   156700106         364      13,370  SH     DEFINED     10       3,300      10,070           0

CEPHALON INC                      COM   156708109         506      10,428  SH     DEFINED     01       6,631         800       2,997
CEPHALON INC                      COM   156708109       2,434      50,182  SH     DEFINED  01,08      50,182           0           0

CERADYNE INC                      COM   156710105         239      24,195  SH     DEFINED  01,08      24,195           0           0

CERIDIAN CORP                     COM   15677T106       7,132     254,140  SH     DEFINED     01     206,825      36,549      10,766
CERIDIAN CORP                     COM   15677T106          59       2,096  SH     OTHER       02       2,096           0           0
CERIDIAN CORP                     COM   15677T106         281      10,000  SH     DEFINED     05      10,000           0           0
CERIDIAN CORP                     COM   15677T106       6,040     215,248  SH     DEFINED  01,08     215,248           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    101
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CERNER CORP                       COM   156782104       2,210      47,582  SH     DEFINED     01      42,080       1,700       3,802
CERNER CORP                       COM   156782104       3,336      71,849  SH     DEFINED  01,08      71,849           0           0

CERPROBE CORP                     COM   156787103         178      12,100  SH     DEFINED  01,08      12,100           0           0

CERUS CORP                        COM   157085101         662      11,934  SH     DEFINED     01       7,445           0       4,489
CERUS CORP                        COM   157085101          11         200  SH     OTHER       04         200           0           0
CERUS CORP                        COM   157085101       1,085      19,548  SH     DEFINED  01,08      19,548           0           0

CHALONE WINE GROUP LTD            COM   157639105           1         100  SH     DEFINED     01         100           0           0
CHALONE WINE GROUP LTD            COM   157639105           1         100  SH     OTHER       01           0         100           0
CHALONE WINE GROUP LTD            COM   157639105         400      40,800  SH     DEFINED     03      40,800           0           0
CHALONE WINE GROUP LTD            COM   157639105         294      30,000  SH     OTHER       03           0      30,000           0
CHALONE WINE GROUP LTD            COM   157639105          65       6,671  SH     DEFINED  01,08       6,671           0           0

CHAMPION ENTERPRISES INC          COM   158496109         429     100,913  SH     DEFINED     01      87,634       5,032       8,247
CHAMPION ENTERPRISES INC          COM   158496109          65      15,400  SH     OTHER       04      15,400           0           0
CHAMPION ENTERPRISES INC          COM   158496109         594     139,684  SH     DEFINED  01,08     139,684           0           0

CHAMPION INDS INC W VA            COM   158520106          31      10,404  SH     DEFINED  01,08      10,404           0           0

CHAMPIONSHIP AUTO RACING TEAM     COM   158711101         274      11,250  SH     DEFINED     01      10,583           0         667
CHAMPIONSHIP AUTO RACING TEAM     COM   158711101         341      14,007  SH     DEFINED  01,08      14,007           0           0

CHAMPS ENTMT INC DEL              COM   158787101          74      14,737  SH     DEFINED  01,08      14,737           0           0

CHANNELL COML CORP                COM   159186105         157      11,877  SH     DEFINED  01,08      11,877           0           0

CHARLES & COLVARD LTD             COM   159765106          66      17,000  SH     DEFINED     04      17,000           0           0
CHARLES & COLVARD LTD             COM   159765106           6       1,600  SH     DEFINED  01,08       1,600           0           0

CHARLES RIVER ASSOCIATES          COM   159852102         139      11,502  SH     DEFINED  01,08      11,502           0           0

CHARLES RIV LABS INTL INC         COM   159864107         228       6,700  SH     DEFINED     01           0       6,700           0
CHARLES RIV LABS INTL INC         COM   159864107         544      16,000  SH     DEFINED  01,08      16,000           0           0

CHART HOUSE ENTERPRISES INC       COM   160902102          56       9,700  SH     DEFINED     01       9,700           0           0
CHART HOUSE ENTERPRISES INC       COM   160902102         202      35,215  SH     DEFINED  01,08      35,215           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    102
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CHARTER ONE FINL INC              COM   160903100      10,287     422,039  SH     DEFINED     01     355,801      56,703       9,535
CHARTER ONE FINL INC              COM   160903100         492      20,173  SH     OTHER       01      19,337         836           0
CHARTER ONE FINL INC              COM   160903100         164       6,723  SH     OTHER       03       1,142       5,581           0
CHARTER ONE FINL INC              COM   160903100       1,159      47,554  SH     DEFINED     04      21,718           0      25,836
CHARTER ONE FINL INC              COM   160903100         101       4,134  SH     OTHER       04       4,134           0           0
CHARTER ONE FINL INC              COM   160903100       8,004     328,373  SH     DEFINED  01,08     328,373           0           0
CHARTER ONE FINL INC              COM   160903100          11         463  SH     DEFINED     10         463           0           0

CHARTER MUN MTG ACCEP CO          COM   160908109         172      12,414  SH     DEFINED     01       8,445           0       3,969
CHARTER MUN MTG ACCEP CO          COM   160908109          61       4,409  SH     DEFINED     02       2,703       1,706           0
CHARTER MUN MTG ACCEP CO          COM   160908109          91       6,562  SH     OTHER       02       4,460       2,102           0
CHARTER MUN MTG ACCEP CO          COM   160908109         428      30,946  SH     DEFINED     04      30,946           0           0
CHARTER MUN MTG ACCEP CO          COM   160908109          31       2,267  SH     OTHER       04       2,267           0           0
CHARTER MUN MTG ACCEP CO          COM   160908109         240      17,333  SH     DEFINED  01,08      17,333           0           0

CHARMING SHOPPES INC              COM   161133103         885     169,628  SH     DEFINED     01     153,238           0      16,390
CHARMING SHOPPES INC              COM   161133103         424      81,165  SH     DEFINED  01,08      81,165           0           0

CHART INDS INC                    COM   16115Q100         161      31,428  SH     DEFINED  01,08      31,428           0           0

CHARTER COMMUNICATIONS INC DEL    COM   16117M107         222      13,664  SH     DEFINED     01       9,730       1,500       2,434
CHARTER COMMUNICATIONS INC DEL    COM   16117M107           1          50  SH     DEFINED     02           0          50           0
CHARTER COMMUNICATIONS INC DEL    COM   16117M107          29       1,800  SH     OTHER       03           0       1,800           0
CHARTER COMMUNICATIONS INC DEL    COM   16117M107          46       2,800  SH     DEFINED     04       2,800           0           0
CHARTER COMMUNICATIONS INC DEL    COM   16117M107          63       3,900  SH     OTHER       04       3,900           0           0
CHARTER COMMUNICATIONS INC DEL    COM   16117M107       2,229     137,020  SH     DEFINED  01,08     137,020           0           0
CHARTER COMMUNICATIONS INC DEL    COM   16117M107          14         850  SH     DEFINED     10         350         500           0

CHASE CORP                        COM   16150R104         111      11,884  SH     DEFINED  01,08      11,884           0           0

CHASE INDS INC                    COM   161568100         102      11,857  SH     DEFINED  01,08      11,857           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    103
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CHASE MANHATTAN CORP NEW          COM   16161A108     131,927   2,856,363  SH     DEFINED     01   2,292,458     416,410     147,495
CHASE MANHATTAN CORP NEW          COM   16161A108       1,830      39,625  SH     OTHER       01      36,100       2,175       1,350
CHASE MANHATTAN CORP NEW          COM   16161A108       1,402      30,362  SH     DEFINED     02      13,257      14,130       2,975
CHASE MANHATTAN CORP NEW          COM   16161A108         852      18,446  SH     OTHER       02       4,119      14,102         225
CHASE MANHATTAN CORP NEW          COM   16161A108       6,789     146,999  SH     DEFINED     03      51,420      88,774       6,805
CHASE MANHATTAN CORP NEW          COM   16161A108         738      15,971  SH     OTHER       03       8,617       7,042         312
CHASE MANHATTAN CORP NEW          COM   16161A108      24,302     526,165  SH     DEFINED     04     499,734           0      26,431
CHASE MANHATTAN CORP NEW          COM   16161A108      10,681     231,265  SH     OTHER       04     213,986           0      17,279
CHASE MANHATTAN CORP NEW          COM   16161A108         285       6,169  SH     DEFINED     05       6,019         150           0
CHASE MANHATTAN CORP NEW          COM   16161A108         705      15,270  SH     OTHER       05         270      15,000           0
CHASE MANHATTAN CORP NEW          COM   16161A108     124,583   2,697,355  SH     DEFINED  01,08   2,073,550     518,175     105,630
CHASE MANHATTAN CORP NEW          COM   16161A108          22         475  SH     DEFINED     09         475           0           0
CHASE MANHATTAN CORP NEW          COM   16161A108          91       1,964  SH     OTHER       09           0       1,964           0
CHASE MANHATTAN CORP NEW          COM   16161A108       1,501      32,504  SH     DEFINED     10      27,860       4,644           0
CHASE MANHATTAN CORP NEW          COM   16161A108          38         825  SH     OTHER       10         300         525           0

CHATEAU CMNTYS INC                COM   161726104         379      14,149  SH     DEFINED     01      10,457           0       3,692
CHATEAU CMNTYS INC                COM   161726104      18,474     689,031  SH     DEFINED     04     689,031           0           0
CHATEAU CMNTYS INC                COM   161726104         149       5,567  SH     DEFINED  01,08       5,567           0           0
CHATEAU CMNTYS INC                COM   161726104         332      12,394  SH     DEFINED     10      12,394           0           0

CHATTEM INC                       COM   162456107         232      24,290  SH     DEFINED  01,08      24,290           0           0

CHEAP TICKETS INC                 COM   162672109          57       5,459  SH     DEFINED     01       4,095           0       1,364
CHEAP TICKETS INC                 COM   162672109         333      32,114  SH     DEFINED  01,08      32,114           0           0

CHECK TECHNOLOGY CORP             COM   162780100          67      15,136  SH     DEFINED  01,08      15,136           0           0

CHECKERS DRIVE-IN RESTAURANTS     COM   162809305          49      12,607  SH     DEFINED  01,08      12,607           0           0

CHECKFREE CORP NEW                COM   162813109       1,987      47,432  SH     DEFINED     01      43,300       2,200       1,932
CHECKFREE CORP NEW                COM   162813109          19         450  SH     DEFINED     04         450           0           0
CHECKFREE CORP NEW                COM   162813109          21         500  SH     OTHER       04         500           0           0
CHECKFREE CORP NEW                COM   162813109       8,428     201,179  SH     DEFINED  01,08     201,179           0           0

CHECKPOINT SYS INC                COM   162825103         328      43,436  SH     DEFINED     01      38,321           0       5,115
CHECKPOINT SYS INC                COM   162825103           8       1,000  SH     OTHER       04       1,000           0           0
CHECKPOINT SYS INC                COM   162825103         425      56,232  SH     DEFINED  01,08      56,232           0           0

CHEESECAKE FACTORY INC            COM   163072101       1,256      29,044  SH     DEFINED     01      26,546           0       2,498
CHEESECAKE FACTORY INC            COM   163072101          24         562  SH     DEFINED     04         562           0           0
CHEESECAKE FACTORY INC            COM   163072101       2,204      50,966  SH     DEFINED  01,08      50,966           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    104
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CHELSEA GCA RLTY INC              COM   163262108         350       9,971  SH     DEFINED     01       6,969           0       3,002
CHELSEA GCA RLTY INC              COM   163262108          35       1,000  SH     DEFINED     03           0       1,000           0
CHELSEA GCA RLTY INC              COM   163262108         176       5,000  SH     OTHER       03       5,000           0           0
CHELSEA GCA RLTY INC              COM   163262108         144       4,100  SH     DEFINED     04           0           0       4,100
CHELSEA GCA RLTY INC              COM   163262108           7         200  SH     OTHER       04         200           0           0
CHELSEA GCA RLTY INC              COM   163262108         143       4,069  SH     DEFINED  01,08       4,069           0           0

CHEMED CORP                       COM   163596109         650      20,419  SH     DEFINED     01      18,156           0       2,263
CHEMED CORP                       COM   163596109       1,130      35,528  SH     DEFINED  01,08      35,528           0           0

CHEMFIRST INC                     COM   16361A106         546      26,229  SH     DEFINED     01      22,744           0       3,485
CHEMFIRST INC                     COM   16361A106         438      21,051  SH     DEFINED  01,08      21,051           0           0

CHEMICAL FINL CORP                COM   163731102         188       8,005  SH     DEFINED     01       5,613           0       2,392
CHEMICAL FINL CORP                COM   163731102         531      22,582  SH     DEFINED  01,08      22,582           0           0

CHESAPEAKE CORP                   COM   165159104         647      33,610  SH     DEFINED     01      30,722           0       2,888
CHESAPEAKE CORP                   COM   165159104         718      37,281  SH     DEFINED  01,08      37,281           0           0

CHESAPEAKE ENERGY CORP            COM   165167107       1,802     250,741  SH     DEFINED     01     247,660           0       3,081
CHESAPEAKE ENERGY CORP            COM   165167107       1,218     169,437  SH     DEFINED  01,08     169,437           0           0

CHEVRON CORPORATION               COM   166751107     128,479   1,507,087  SH     DEFINED     01   1,186,045     236,400      84,642
CHEVRON CORPORATION               COM   166751107      12,382     145,243  SH     OTHER       01      89,564      46,087       9,592
CHEVRON CORPORATION               COM   166751107       2,325      27,269  SH     DEFINED     02      19,292       7,407         570
CHEVRON CORPORATION               COM   166751107       4,733      55,522  SH     OTHER       02      22,073      32,099       1,350
CHEVRON CORPORATION               COM   166751107      12,486     146,464  SH     DEFINED     03      80,990      38,322      27,152
CHEVRON CORPORATION               COM   166751107       8,344      97,875  SH     OTHER       03      63,757      29,942       4,176
CHEVRON CORPORATION               COM   166751107      12,692     148,875  SH     DEFINED     04     145,350           0       3,525
CHEVRON CORPORATION               COM   166751107      17,384     203,923  SH     OTHER       04     179,693           0      24,230
CHEVRON CORPORATION               COM   166751107         761       8,922  SH     DEFINED     05       8,572         350           0
CHEVRON CORPORATION               COM   166751107         716       8,400  SH     OTHER       05           0       8,400           0
CHEVRON CORPORATION               COM   166751107      89,552   1,050,461  SH     DEFINED  01,08   1,043,959       6,502           0
CHEVRON CORPORATION               COM   166751107          30         350  SH     DEFINED     09         350           0           0
CHEVRON CORPORATION               COM   166751107          52         614  SH     OTHER       09         614           0           0
CHEVRON CORPORATION               COM   166751107         553       6,490  SH     DEFINED     10       5,840         650           0
CHEVRON CORPORATION               COM   166751107         814       9,551  SH     OTHER       10       3,056       6,495           0

CHICOS FAS INC                    COM   168615102         500      14,700  SH     DEFINED     01      13,561           0       1,139
CHICOS FAS INC                    COM   168615102          10         300  SH     OTHER       04         300           0           0
CHICOS FAS INC                    COM   168615102         896      26,367  SH     DEFINED  01,08      26,367           0           0

CHIEF CONS MNG CO                 COM   168628105          41      14,587  SH     DEFINED  01,08      14,587           0           0

CHIEFTAIN INTL INC                COM   16867C101         265      12,800  SH     DEFINED     01      12,800           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    105
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CHILDRENS COMPREHENSIVE SVCS      COM   16875K202          51      14,900  SH     DEFINED  01,08      14,900           0           0

CHILES OFFSHORE INC               COM   16888M104         515      23,800  SH     OTHER       01           0           0      23,800

CHILDRENS PL RETAIL STORES INC    COM   168905107         478      18,573  SH     DEFINED     01      17,268         700         605
CHILDRENS PL RETAIL STORES INC    COM   168905107       1,003      38,943  SH     DEFINED  01,08      38,943           0           0

CHIPPAC INC                       COM   169657103         631      53,100  SH     DEFINED  01,08      53,100           0           0

CHOICE HOTELS INTL INC            COM   169905106         683      62,061  SH     DEFINED     01      60,904         200         957
CHOICE HOTELS INTL INC            COM   169905106         668      60,745  SH     DEFINED  01,08      60,745           0           0

CHIQUITA BRANDS INTL INC          COM   170032106         196      62,591  SH     DEFINED     01      52,623           0       9,968
CHIQUITA BRANDS INTL INC          COM   170032106           2         750  SH     OTHER       04         750           0           0
CHIQUITA BRANDS INTL INC          COM   170032106         405     129,537  SH     DEFINED  01,08     129,537           0           0

CHIRON CORP                       COM   170040109       5,278     117,284  SH     DEFINED     01     107,795           0       9,489
CHIRON CORP                       COM   170040109         133       2,964  SH     OTHER       01         496           0       2,468
CHIRON CORP                       COM   170040109         194       4,300  SH     DEFINED     02           0       4,300           0
CHIRON CORP                       COM   170040109          27         600  SH     OTHER       02           0         600           0
CHIRON CORP                       COM   170040109         135       3,010  SH     DEFINED     03       1,170       1,100         740
CHIRON CORP                       COM   170040109          36         800  SH     DEFINED     04         800           0           0
CHIRON CORP                       COM   170040109         174       3,860  SH     OTHER       04       1,500           0       2,360
CHIRON CORP                       COM   170040109      22,846     507,692  SH     DEFINED  01,08     507,692           0           0

CHITTENDEN CORP                   COM   170228100         789      30,704  SH     DEFINED     01      25,323           0       5,381
CHITTENDEN CORP                   COM   170228100         143       5,576  SH     DEFINED     04       5,576           0           0
CHITTENDEN CORP                   COM   170228100       1,493      58,140  SH     DEFINED  01,08      58,140           0           0

CHOICE ONE COMMUNICATION INC      COM   17038P104         217      17,784  SH     DEFINED     01       9,055       8,600         129
CHOICE ONE COMMUNICATION INC      COM   17038P104         648      53,144  SH     DEFINED  01,08      53,144           0           0

CHOICEPOINT INC                   COM   170388102         381       8,296  SH     DEFINED     01       3,130       1,520       3,646
CHOICEPOINT INC                   COM   170388102         328       7,156  SH     OTHER       01           0       7,156           0
CHOICEPOINT INC                   COM   170388102         420       9,150  SH     DEFINED     04       3,050           0       6,100
CHOICEPOINT INC                   COM   170388102         282       6,140  SH     OTHER       04       6,140           0           0
CHOICEPOINT INC                   COM   170388102       2,276      49,622  SH     DEFINED  01,08      49,622           0           0

CHOLESTECH CORP                   COM   170393102         106      14,700  SH     DEFINED  01,08      14,700           0           0

CHORDIANT SOFTWARE INC            COM   170404107          37       4,779  SH     DEFINED     01       4,698           0          81
CHORDIANT SOFTWARE INC            COM   170404107         162      20,843  SH     DEFINED  01,08      20,843           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    106
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CHRIS CRAFT INDS INC              COM   170520100       1,825      22,154  SH     DEFINED     01      20,840           0       1,314
CHRIS CRAFT INDS INC              COM   170520100          57         687  SH     DEFINED     04         687           0           0
CHRIS CRAFT INDS INC              COM   170520100       7,821      94,949  SH     DEFINED  01,08      94,949           0           0

CHRISTOPHER & BANKS CORP          COM   171046105          30         775  SH     DEFINED     04           0           0         775
CHRISTOPHER & BANKS CORP          COM   171046105         797      20,498  SH     DEFINED  01,08      20,498           0           0

CHROMAVISION MED SYS INC          COM   17111P104         139      14,680  SH     DEFINED     01      14,107         319         254
CHROMAVISION MED SYS INC          COM   17111P104         334      35,114  SH     DEFINED  01,08      35,114           0           0

CHROMATICS COLOR SCIENCES INTL    COM   171116304          16      24,856  SH     DEFINED  01,08      24,856           0           0

CHROMCRAFT REVINGTON INC          COM   171117104         154      19,003  SH     DEFINED  01,08      19,003           0           0

CHRONIMED INC                     COM   171164106         152      20,623  SH     DEFINED  01,08      20,623           0           0

CHUBB CORP                        COM   171232101      27,093     342,411  SH     DEFINED     01     263,054      54,049      25,308
CHUBB CORP                        COM   171232101       2,819      35,626  SH     OTHER       01      18,070       9,456       8,100
CHUBB CORP                        COM   171232101         124       1,572  SH     DEFINED     02       1,572           0           0
CHUBB CORP                        COM   171232101         356       4,500  SH     DEFINED     03       1,400       3,100           0
CHUBB CORP                        COM   171232101         231       2,925  SH     OTHER       03       2,925           0           0
CHUBB CORP                        COM   171232101         540       6,819  SH     DEFINED     04       6,819           0           0
CHUBB CORP                        COM   171232101         542       6,850  SH     OTHER       04       4,600           0       2,250
CHUBB CORP                        COM   171232101      21,595     272,923  SH     DEFINED  01,08     272,923           0           0
CHUBB CORP                        COM   171232101         100       1,258  SH     DEFINED     09       1,258           0           0
CHUBB CORP                        COM   171232101          16         200  SH     OTHER       09         200           0           0
CHUBB CORP                        COM   171232101         404       5,100  SH     DEFINED     10         600       4,200         300

CHURCH & DWIGHT INC               COM   171340102       1,121      61,008  SH     DEFINED     01      59,524           0       1,484
CHURCH & DWIGHT INC               COM   171340102       5,476     298,000  SH     DEFINED     02     298,000           0           0
CHURCH & DWIGHT INC               COM   171340102          70       3,831  SH     OTHER       04       3,831           0           0
CHURCH & DWIGHT INC               COM   171340102       2,041     111,089  SH     DEFINED  01,08     111,089           0           0

CHURCHILL DOWNS INC               COM   171484108         125       4,840  SH     DEFINED     01       3,386           0       1,454
CHURCHILL DOWNS INC               COM   171484108         394      15,240  SH     DEFINED  01,08      15,240           0           0

CHYRON CORP                       COM   171605207         129      51,665  SH     DEFINED  01,08      51,665           0           0

CIBER INC                         COM   17163B102         399      48,320  SH     DEFINED     01      44,445           0       3,875
CIBER INC                         COM   17163B102           1         100  SH     OTHER       02           0         100           0
CIBER INC                         COM   17163B102           4         500  SH     DEFINED     03           0         500           0
CIBER INC                         COM   17163B102           3         400  SH     DEFINED     04         400           0           0
CIBER INC                         COM   17163B102         890     107,910  SH     DEFINED  01,08     107,910           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    107
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CIDCO INC                         COM   171768104           4       1,600  SH     DEFINED     01       1,600           0           0
CIDCO INC                         COM   171768104          60      22,144  SH     DEFINED  01,08      22,144           0           0

CIENA CORP                        COM   171779101      70,269     572,164  SH     DEFINED     01     523,784       2,400      45,980
CIENA CORP                        COM   171779101      13,933     113,452  SH     OTHER       01           0           0     113,452
CIENA CORP                        COM   171779101         199       1,620  SH     DEFINED     02         700         100         820
CIENA CORP                        COM   171779101          25         200  SH     OTHER       02           0         200           0
CIENA CORP                        COM   171779101         320       2,604  SH     DEFINED     04       2,604           0           0
CIENA CORP                        COM   171779101         442       3,600  SH     OTHER       04       3,600           0           0
CIENA CORP                        COM   171779101      28,791     234,430  SH     DEFINED  01,08     234,430           0           0
CIENA CORP                        COM   171779101         123       1,002  SH     DEFINED     10       1,002           0           0

CIMA LABS INC                     COM   171796105         859      16,494  SH     DEFINED  01,08      16,494           0           0

CINCINNATI FINL CORP              COM   172062101      10,839     305,333  SH     DEFINED     01     250,318      42,231      12,784
CINCINNATI FINL CORP              COM   172062101          32         900  SH     OTHER       01           0         900           0
CINCINNATI FINL CORP              COM   172062101          53       1,500  SH     OTHER       03       1,500           0           0
CINCINNATI FINL CORP              COM   172062101         185       5,208  SH     DEFINED     04       5,208           0           0
CINCINNATI FINL CORP              COM   172062101       8,669     244,202  SH     DEFINED  01,08     244,202           0           0
CINCINNATI FINL CORP              COM   172062101         496      13,978  SH     DEFINED     10       3,813      10,165           0
CINCINNATI FINL CORP              COM   172062101         266       7,506  SH     OTHER       10       7,506           0           0

CINERGY CORP                      COM   172474108       9,345     282,656  SH     DEFINED     01     227,625      41,128      13,903
CINERGY CORP                      COM   172474108          70       2,126  SH     OTHER       01       1,351         675         100
CINERGY CORP                      COM   172474108          10         294  SH     DEFINED     02         294           0           0
CINERGY CORP                      COM   172474108          47       1,417  SH     DEFINED     03         150       1,267           0
CINERGY CORP                      COM   172474108          50       1,500  SH     OTHER       03       1,500           0           0
CINERGY CORP                      COM   172474108         179       5,400  SH     DEFINED     04       5,400           0           0
CINERGY CORP                      COM   172474108          79       2,380  SH     OTHER       04       1,750           0         630
CINERGY CORP                      COM   172474108       8,001     241,986  SH     DEFINED  01,08     241,986           0           0
CINERGY CORP                      COM   172474108           7         204  SH     DEFINED     10         204           0           0
CINERGY CORP                      COM   172474108          12         375  SH     OTHER       10         375           0           0

CIPRICO INC                       COM   172529109         139      13,723  SH     DEFINED  01,08      13,723           0           0

CIRCLE INTL GROUP INC             COM   172574105         853      28,195  SH     DEFINED     01      25,048           0       3,147
CIRCLE INTL GROUP INC             COM   172574105       2,901      95,888  SH     DEFINED  01,08      95,888           0           0

CIRCOR INTL INC                   COM   17273K109         175      16,953  SH     DEFINED  01,08      16,953           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    108
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CIRCUIT CITY STORE INC            COM   172737108       9,438     410,365  SH     DEFINED     01     308,903      81,743      19,719
CIRCUIT CITY STORE INC            COM   172737108         362      15,719  SH     OTHER       01       9,904       5,615         200
CIRCUIT CITY STORE INC            COM   172737108         121       5,240  SH     DEFINED     02         860       3,280       1,100
CIRCUIT CITY STORE INC            COM   172737108          47       2,050  SH     OTHER       02         350       1,700           0
CIRCUIT CITY STORE INC            COM   172737108         702      30,530  SH     DEFINED     03      10,025      18,855       1,650
CIRCUIT CITY STORE INC            COM   172737108         183       7,950  SH     OTHER       03       4,150       3,800           0
CIRCUIT CITY STORE INC            COM   172737108          22         940  SH     DEFINED     04         940           0           0
CIRCUIT CITY STORE INC            COM   172737108         246      10,710  SH     OTHER       04      10,710           0           0
CIRCUIT CITY STORE INC            COM   172737108       6,993     304,060  SH     DEFINED  01,08     304,060           0           0
CIRCUIT CITY STORE INC            COM   172737108           9         400  SH     OTHER       09         400           0           0
CIRCUIT CITY STORE INC            COM   172737108          35       1,500  SH     DEFINED     10       1,500           0           0
CIRCUIT CITY STORE INC            COM   172737108          67       2,900  SH     OTHER       10           0       2,900           0

CISCO SYS INC                     COM   17275R102   1,141,464  20,659,981  SH     DEFINED     01  15,409,601   4,015,998   1,234,382
CISCO SYS INC                     COM   17275R102     127,153   2,301,415  SH     OTHER       01     839,228   1,191,626     270,561
CISCO SYS INC                     COM   17275R102      37,369     676,365  SH     DEFINED     02     346,832     273,414      56,119
CISCO SYS INC                     COM   17275R102      14,213     257,250  SH     OTHER       02     148,972      87,177      21,101
CISCO SYS INC                     COM   17275R102      79,884   1,445,859  SH     DEFINED     03     663,558     715,069      67,232
CISCO SYS INC                     COM   17275R102      24,532     444,013  SH     OTHER       03     238,267     193,441      12,305
CISCO SYS INC                     COM   17275R102     456,581   8,263,909  SH     DEFINED     04   7,863,486           0     400,423
CISCO SYS INC                     COM   17275R102     272,598   4,933,895  SH     OTHER       04   4,600,842           0     333,053
CISCO SYS INC                     COM   17275R102      35,330     639,464  SH     DEFINED     05     401,117     193,179      45,168
CISCO SYS INC                     COM   17275R102       4,775      86,418  SH     OTHER       05      39,312      45,656       1,450
CISCO SYS INC                     COM   17275R102     586,486  10,615,132  SH     DEFINED  01,08  10,584,205      30,927           0
CISCO SYS INC                     COM   17275R102       1,258      22,775  SH     DEFINED     09      22,775           0           0
CISCO SYS INC                     COM   17275R102          66       1,200  SH     OTHER       09         600         600           0
CISCO SYS INC                     COM   17275R102      28,550     516,744  SH     DEFINED     10     192,647     320,597       3,500
CISCO SYS INC                     COM   17275R102       4,526      81,926  SH     OTHER       10      23,265      58,061         600

CIRRUS LOGIC CORP                 COM   172755100       5,929     147,085  SH     DEFINED     01     143,654           0       3,431
CIRRUS LOGIC CORP                 COM   172755100          27         660  SH     DEFINED     03         160           0         500
CIRRUS LOGIC CORP                 COM   172755100          44       1,100  SH     OTHER       04       1,100           0           0
CIRRUS LOGIC CORP                 COM   172755100       7,646     189,661  SH     DEFINED  01,08     189,661           0           0

CITADEL COMMUNICATIONS CORP       COM   172853202         642      37,756  SH     DEFINED     01      37,096           0         660
CITADEL COMMUNICATIONS CORP       COM   172853202           4         250  SH     OTHER       04         250           0           0
CITADEL COMMUNICATIONS CORP       COM   172853202       1,657      97,461  SH     DEFINED  01,08      97,461           0           0

CITADEL HLDG CP                   COM   172862203          46      14,779  SH     DEFINED  01,08      14,779           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    109
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CINTAS CORP                       COM   172908105      14,001     321,395  SH     DEFINED     01     188,274     124,162       8,959
CINTAS CORP                       COM   172908105       1,389      31,895  SH     OTHER       01       1,995      25,250       4,650
CINTAS CORP                       COM   172908105       2,379      54,606  SH     DEFINED     03      18,269      36,037         300
CINTAS CORP                       COM   172908105         538      12,360  SH     OTHER       03       8,010       2,250       2,100
CINTAS CORP                       COM   172908105       4,802     110,236  SH     DEFINED     04     109,936           0         300
CINTAS CORP                       COM   172908105       1,452      33,343  SH     OTHER       04      30,943           0       2,400
CINTAS CORP                       COM   172908105          39         900  SH     DEFINED     05         900           0           0
CINTAS CORP                       COM   172908105      20,221     464,183  SH     DEFINED  01,08     464,183           0           0

CITIGROUP INC                     COM   172967101     680,654  12,590,253  SH     DEFINED     01   9,479,021   2,404,774     706,458
CITIGROUP INC                     COM   172967101      32,688     604,637  SH     OTHER       01     338,948     210,833      54,856
CITIGROUP INC                     COM   172967101      17,064     315,635  SH     DEFINED     02     161,196     133,082      21,357
CITIGROUP INC                     COM   172967101       4,979      92,098  SH     OTHER       02      42,800      40,356       8,942
CITIGROUP INC                     COM   172967101      45,144     835,048  SH     DEFINED     03     362,513     426,128      46,407
CITIGROUP INC                     COM   172967101       8,535     157,881  SH     OTHER       03      80,983      60,434      16,464
CITIGROUP INC                     COM   172967101     178,617   3,303,938  SH     DEFINED     04   3,166,473           0     137,464
CITIGROUP INC                     COM   172967101      75,613   1,398,640  SH     OTHER       04   1,345,310           0      53,330
CITIGROUP INC                     COM   172967101      12,445     230,194  SH     DEFINED     05     162,453      56,929      10,812
CITIGROUP INC                     COM   172967101       2,966      54,866  SH     OTHER       05      15,464      38,202       1,200
CITIGROUP INC                     COM   172967101         144       2,667  SH     OTHER    04,07           0           0       2,667
CITIGROUP INC                     COM   172967101     387,963   7,176,258  SH     DEFINED  01,08   7,162,851      13,407           0
CITIGROUP INC                     COM   172967101         884      16,352  SH     DEFINED     09      16,352           0           0
CITIGROUP INC                     COM   172967101          85       1,565  SH     OTHER       09         965         600           0
CITIGROUP INC                     COM   172967101       9,781     180,916  SH     DEFINED     10      90,883      88,033       2,000
CITIGROUP INC                     COM   172967101       1,763      32,606  SH     OTHER       10      14,143      18,463           0

CITIZENS BKG CORP MICH            COM   174420109         958      41,671  SH     DEFINED     01      32,856           0       8,815
CITIZENS BKG CORP MICH            COM   174420109         115       4,989  SH     DEFINED     04       4,989           0           0
CITIZENS BKG CORP MICH            COM   174420109         281      12,225  SH     OTHER       04      12,225           0           0
CITIZENS BKG CORP MICH            COM   174420109       1,761      76,559  SH     DEFINED  01,08      76,559           0           0
CITIZENS BKG CORP MICH            COM   174420109           3         150  SH     DEFINED     10           0         150           0

CITIZENS COMMUNICATIONS CO        COM   17453B101       1,094      81,437  SH     DEFINED     01      56,660      17,047       7,730
CITIZENS COMMUNICATIONS CO        COM   17453B101          52       3,895  SH     OTHER       01       3,895           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101         334      24,860  SH     DEFINED     02      19,409       5,451           0
CITIZENS COMMUNICATIONS CO        COM   17453B101          78       5,802  SH     OTHER       02       5,802           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101         265      19,696  SH     DEFINED     03      10,105       9,591           0
CITIZENS COMMUNICATIONS CO        COM   17453B101         720      53,558  SH     DEFINED     04      51,558           0       2,000
CITIZENS COMMUNICATIONS CO        COM   17453B101         157      11,704  SH     OTHER       04      11,704           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101       3,065     228,123  SH     DEFINED  01,08     228,123           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101          93       6,941  SH     DEFINED     09       6,941           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101         401      29,875  SH     DEFINED     10      29,875           0           0
CITIZENS COMMUNICATIONS CO        COM   17453B101          27       2,000  SH     OTHER       10           0       2,000           0

CITIZENS INC                      COM   174740100         165      24,681  SH     DEFINED  01,08      24,681           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    110
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CITRIX SYS INC                    COM   177376100       5,479     273,123  SH     DEFINED     01     258,778       4,460       9,885
CITRIX SYS INC                    COM   177376100       2,033     101,324  SH     OTHER       01         800           0     100,524
CITRIX SYS INC                    COM   177376100          55       2,744  SH     DEFINED     02       1,744           0       1,000
CITRIX SYS INC                    COM   177376100           7         370  SH     OTHER       02         370           0           0
CITRIX SYS INC                    COM   177376100          20       1,000  SH     DEFINED     03           0           0       1,000
CITRIX SYS INC                    COM   177376100          12         600  SH     OTHER       03           0         600           0
CITRIX SYS INC                    COM   177376100       1,108      55,232  SH     DEFINED     04      55,232           0           0
CITRIX SYS INC                    COM   177376100          64       3,200  SH     OTHER       04       3,200           0           0
CITRIX SYS INC                    COM   177376100          64       3,200  SH     OTHER       05       3,200           0           0
CITRIX SYS INC                    COM   177376100       5,447     271,495  SH     DEFINED  01,08     271,495           0           0
CITRIX SYS INC                    COM   177376100           1          50  SH     DEFINED     10           0          50           0

CITY HLDG CO                      COM   177835105         163      22,668  SH     DEFINED  01,08      22,668           0           0

CITY NATL CORP                    COM   178566105       1,246      32,249  SH     DEFINED     01      29,975           0       2,274
CITY NATL CORP                    COM   178566105           8         200  SH     OTHER       02         200           0           0
CITY NATL CORP                    COM   178566105          93       2,403  SH     DEFINED     03       1,650           0         753
CITY NATL CORP                    COM   178566105       5,120     132,564  SH     DEFINED  01,08     132,564           0           0

CLAIRES STORES INC                COM   179584107       1,170      64,979  SH     DEFINED     01      61,450           0       3,529
CLAIRES STORES INC                COM   179584107          55       3,045  SH     OTHER       01           0       3,045           0
CLAIRES STORES INC                COM   179584107         154       8,539  SH     DEFINED     04       8,539           0           0
CLAIRES STORES INC                COM   179584107       2,635     146,405  SH     DEFINED  01,08     146,405           0           0

CLARCOR INC                       COM   179895107         341      17,472  SH     DEFINED     01      11,687           0       5,785
CLARCOR INC                       COM   179895107         467      23,967  SH     OTHER       01           0      23,967           0
CLARCOR INC                       COM   179895107          16         800  SH     OTHER       02           0         800           0
CLARCOR INC                       COM   179895107         215      11,000  SH     OTHER       04      11,000           0           0
CLARCOR INC                       COM   179895107         896      45,950  SH     DEFINED  01,08      45,950           0           0

CLARENT CORP DEL                  COM   180461105       1,056      26,809  SH     DEFINED     01      26,381           0         428
CLARENT CORP DEL                  COM   180461105       1,890      48,008  SH     DEFINED  01,08      48,008           0           0

CLARK / BARDES HLDGS INC          COM   180668105         135      13,221  SH     DEFINED  01,08      13,221           0           0

CLARK DICK PRODTNS INC            COM   181512104         283      31,440  SH     DEFINED  01,08      31,440           0           0

CLARUS CORP                       COM   182707109         330      14,458  SH     DEFINED     01      14,205           0         253
CLARUS CORP                       COM   182707109           5         200  SH     DEFINED     04         200           0           0
CLARUS CORP                       COM   182707109         463      20,282  SH     DEFINED  01,08      20,282           0           0

CLASSIC COMMUNICATIONS INC        COM   182728204           8       1,546  SH     DEFINED     01       1,546           0           0
CLASSIC COMMUNICATIONS INC        COM   182728204          66      13,066  SH     DEFINED  01,08      13,066           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    111
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CLAYTON HOMES INC                 COM   184190106       1,497     149,688  SH     DEFINED     01     117,782      13,831      18,075
CLAYTON HOMES INC                 COM   184190106          73       7,258  SH     OTHER       01       6,038       1,220           0
CLAYTON HOMES INC                 COM   184190106           9         858  SH     DEFINED     02         858           0           0
CLAYTON HOMES INC                 COM   184190106       1,148     114,762  SH     DEFINED     03      69,373      42,889       2,500
CLAYTON HOMES INC                 COM   184190106         363      36,314  SH     OTHER       03      17,084      14,230       5,000
CLAYTON HOMES INC                 COM   184190106         526      52,638  SH     DEFINED     04       6,120           0      46,518
CLAYTON HOMES INC                 COM   184190106         367      36,748  SH     OTHER       04      32,248           0       4,500
CLAYTON HOMES INC                 COM   184190106       3,913     391,287  SH     DEFINED  01,08     391,287           0           0
CLAYTON HOMES INC                 COM   184190106           8         781  SH     DEFINED     10         781           0           0

CLEAN HARBORS INC                 COM   184496107         110      37,160  SH     DEFINED  01,08      37,160           0           0

CLEAR CHANNEL COMMUNICATIONS      COM   184502102      73,982   1,309,416  SH     DEFINED     01     983,924     265,320      60,171
CLEAR CHANNEL COMMUNICATIONS      COM   184502102       2,455      43,452  SH     OTHER       01      28,240      13,450       1,762
CLEAR CHANNEL COMMUNICATIONS      COM   184502102          65       1,151  SH     DEFINED     02           0       1,151           0
CLEAR CHANNEL COMMUNICATIONS      COM   184502102       5,826     103,123  SH     DEFINED     03      43,102      54,617       5,404
CLEAR CHANNEL COMMUNICATIONS      COM   184502102         713      12,622  SH     OTHER       03       7,702       4,520         400
CLEAR CHANNEL COMMUNICATIONS      COM   184502102      20,645     365,405  SH     DEFINED     04     338,556           0      26,849
CLEAR CHANNEL COMMUNICATIONS      COM   184502102       6,835     120,980  SH     OTHER       04     120,055           0         925
CLEAR CHANNEL COMMUNICATIONS      COM   184502102          34         600  SH     DEFINED     05         600           0           0
CLEAR CHANNEL COMMUNICATIONS      COM   184502102      49,579     877,509  SH     DEFINED  01,08     877,509           0           0
CLEAR CHANNEL COMMUNICATIONS      COM   184502102         102       1,803  SH     DEFINED     09       1,803           0           0
CLEAR CHANNEL COMMUNICATIONS      COM   184502102          17         300  SH     OTHER       09         300           0           0
CLEAR CHANNEL COMMUNICATIONS      COM   184502102          96       1,696  SH     DEFINED     10       1,696           0           0

CLEVELAND CLIFFS INC              COM   185896107         598      26,124  SH     DEFINED     01      24,332           0       1,792
CLEVELAND CLIFFS INC              COM   185896107         702      30,667  SH     DEFINED  01,08      30,667           0           0

CLICK COMMERCE INC                COM   18681D109       1,483      34,700  SH     DEFINED  01,08      34,700           0           0

CLICKACTION INC                   COM   18681E107           7         800  SH     DEFINED     01           0         800           0
CLICKACTION INC                   COM   18681E107          18       2,000  SH     DEFINED     02       2,000           0           0
CLICKACTION INC                   COM   18681E107         219      23,972  SH     DEFINED  01,08      23,972           0           0

CLICK2LEARN COM INC               COM   18681S106         138       9,364  SH     DEFINED     01       9,199           0         165
CLICK2LEARN COM INC               COM   18681S106         281      19,127  SH     DEFINED  01,08      19,127           0           0

CLINTRIALS RESEARCH INC           COM   188767107          67      12,400  SH     DEFINED     01      12,400           0           0
CLINTRIALS RESEARCH INC           COM   188767107         117      21,700  SH     DEFINED  01,08      21,700           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    112
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CLOROX CO DEL                     COM   189054109      19,838     501,451  SH     DEFINED     01     397,148      81,317      22,986
CLOROX CO DEL                     COM   189054109       1,165      29,438  SH     OTHER       01      10,984      18,254         200
CLOROX CO DEL                     COM   189054109          83       2,100  SH     DEFINED     02       1,600           0         500
CLOROX CO DEL                     COM   189054109         154       3,900  SH     OTHER       02         800       2,900         200
CLOROX CO DEL                     COM   189054109         477      12,050  SH     DEFINED     03       9,700       1,150       1,200
CLOROX CO DEL                     COM   189054109         159       4,009  SH     OTHER       03       3,709         300           0
CLOROX CO DEL                     COM   189054109       1,199      30,313  SH     DEFINED     04      29,713           0         600
CLOROX CO DEL                     COM   189054109         963      24,335  SH     OTHER       04      23,835           0         500
CLOROX CO DEL                     COM   189054109         117       2,950  SH     DEFINED     05       2,550           0         400
CLOROX CO DEL                     COM   189054109          12         300  SH     OTHER       05           0         300           0
CLOROX CO DEL                     COM   189054109      16,593     419,408  SH     DEFINED  01,08     419,408           0           0
CLOROX CO DEL                     COM   189054109         101       2,550  SH     DEFINED     10         400         850       1,300

CLOSURE MED CORP                  COM   189093107         168       6,651  SH     DEFINED     01       6,437           0         214
CLOSURE MED CORP                  COM   189093107          81       3,200  SH     DEFINED     04       3,200           0           0
CLOSURE MED CORP                  COM   189093107         445      17,683  SH     DEFINED  01,08      17,683           0           0

COACHMEN INDS INC                 COM   189873102          82       7,851  SH     DEFINED     01       5,501           0       2,350
COACHMEN INDS INC                 COM   189873102         577      55,242  SH     DEFINED  01,08      55,242           0           0

COAST FEDERAL LITIGATION TR       COM   19034Q110          70      46,664  SH     DEFINED  01,08      46,664           0           0

COAST DISTR SYS                   COM   190345108          23      17,000  SH     DEFINED  01,08      17,000           0           0

COASTAL BANCORP INC               COM   19041P105         110       6,150  SH     DEFINED     01       6,150           0           0
COASTAL BANCORP INC               COM   19041P105         168       9,380  SH     DEFINED  01,08       9,380           0           0

COASTAL CORP                      COM   190441105      37,108     500,610  SH     DEFINED     01     411,376      66,673      22,561
COASTAL CORP                      COM   190441105          30         400  SH     OTHER       01           0         200         200
COASTAL CORP                      COM   190441105         621       8,380  SH     DEFINED     02       7,330         800         250
COASTAL CORP                      COM   190441105         242       3,260  SH     OTHER       02         700       2,560           0
COASTAL CORP                      COM   190441105          96       1,300  SH     DEFINED     03       1,300           0           0
COASTAL CORP                      COM   190441105          16         218  SH     OTHER       03         218           0           0
COASTAL CORP                      COM   190441105         878      11,841  SH     DEFINED     04      11,841           0           0
COASTAL CORP                      COM   190441105         267       3,600  SH     OTHER       04       3,600           0           0
COASTAL CORP                      COM   190441105      23,802     321,108  SH     DEFINED  01,08     321,108           0           0
COASTAL CORP                      COM   190441105         195       2,630  SH     DEFINED     10       2,130         500           0

COASTAL CORP                   CONV PFD 190441303         297         515         OTHER       04         515           0           0

COASTCAST CORP                    COM   19057T108          66       4,258  SH     DEFINED     01       4,258           0           0
COASTCAST CORP                    COM   19057T108         200      12,934  SH     DEFINED  01,08      12,934           0           0

COBALT GROUP INC                  COM   19074Q103          75      21,377  SH     DEFINED  01,08      21,377           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    113
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COBALT NETWORKS INC               COM   19074R101       1,673      28,903  SH     DEFINED     01      28,103           0         800
COBALT NETWORKS INC               COM   19074R101          35         600  SH     DEFINED     04         600           0           0
COBALT NETWORKS INC               COM   19074R101       1,543      26,653  SH     DEFINED  01,08      26,653           0           0

COBRA ELECTRS CORP                COM   191042100           2         317  SH     OTHER       01           0         317           0
COBRA ELECTRS CORP                COM   191042100         155      26,025  SH     DEFINED  01,08      26,025           0           0

COCA COLA BOTTLING CO CONS        COM   191098102          62       1,489  SH     DEFINED     01       1,461           0          28
COCA COLA BOTTLING CO CONS        COM   191098102         963      22,952  SH     DEFINED  01,08      22,952           0           0

COCA COLA CO                      COM   191216100     298,450   5,414,053  SH     DEFINED     01   4,579,018     505,305     329,730
COCA COLA CO                      COM   191216100      62,120   1,126,888  SH     OTHER       01     454,158     602,498      70,232
COCA COLA CO                      COM   191216100       8,370     151,841  SH     DEFINED     02      97,118      42,529      12,194
COCA COLA CO                      COM   191216100      13,258     240,508  SH     OTHER       02     173,137      54,595      12,776
COCA COLA CO                      COM   191216100      34,969     634,365  SH     DEFINED     03     554,713      68,574      11,078
COCA COLA CO                      COM   191216100     109,683   1,989,717  SH     OTHER       03     101,012   1,887,505       1,200
COCA COLA CO                      COM   191216100     151,088   2,740,833  SH     DEFINED     04   2,626,601           0     114,232
COCA COLA CO                      COM   191216100      91,261   1,655,521  SH     OTHER       04   1,365,437           0     290,084
COCA COLA CO                      COM   191216100      10,749     195,000  SH     DEFINED     05     141,360      45,090       8,550
COCA COLA CO                      COM   191216100       5,451      98,882  SH     OTHER       05      41,140      53,742       4,000
COCA COLA CO                      COM   191216100         386       7,000  SH     OTHER    04,07           0           0       7,000
COCA COLA CO                      COM   191216100     200,976   3,645,823  SH     DEFINED  01,08   3,645,823           0           0
COCA COLA CO                      COM   191216100         302       5,479  SH     DEFINED     09       5,479           0           0
COCA COLA CO                      COM   191216100          33         600  SH     OTHER       09         600           0           0
COCA COLA CO                      COM   191216100      11,379     206,430  SH     DEFINED     10      54,035     152,095         300
COCA COLA CO                      COM   191216100       2,171      39,385  SH     OTHER       10      29,835       9,350         200

COCA COLA ENTERPRISES INC         COM   191219104      11,286     708,174  SH     DEFINED     01     577,082     104,746      26,346
COCA COLA ENTERPRISES INC         COM   191219104          22       1,404  SH     DEFINED     04       1,404           0           0
COCA COLA ENTERPRISES INC         COM   191219104       9,700     608,658  SH     DEFINED  01,08     608,658           0           0

CODA MUSIC TECHNOLOGY INC         COM   19188P108          57      15,300  SH     DEFINED  01,08      15,300           0           0

COEUR D ALENE MINES CORP IDAHO UNDEFIND 192108AE8          15      40,000         DEFINED     01      40,000           0           0
COEUR D ALENE MINES CORP IDAHO UNDEFIND 192108AE8           2       5,000         DEFINED     04       5,000           0           0

COEUR D ALENE MINES CORP IDAHO    COM   192108108           5       4,000  SH     DEFINED     01       4,000           0           0
COEUR D ALENE MINES CORP IDAHO    COM   192108108           0           1  SH     OTHER       04           1           0           0
COEUR D ALENE MINES CORP IDAHO    COM   192108108          55      44,210  SH     DEFINED  01,08      44,210           0           0

COFLEXIP                          COM   192384105         106       1,700  SH     DEFINED     01           0       1,700           0
COFLEXIP                          COM   192384105         430       6,900  SH     OTHER       01           0           0       6,900
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    114
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COGNEX CORP                       COM   192422103         297       7,531  SH     DEFINED     01       2,782       1,400       3,349
COGNEX CORP                       COM   192422103          12         300  SH     OTHER       04         300           0           0
COGNEX CORP                       COM   192422103       2,796      70,887  SH     DEFINED  01,08      70,887           0           0

COGNITRONICS CORP                 COM   192432102          13       1,150  SH     DEFINED     01       1,150           0           0
COGNITRONICS CORP                 COM   192432102         110       9,592  SH     DEFINED  01,08       9,592           0           0

COGNIZANT TECHNOLOGY SOLUTIONS    COM   192446102         247       6,339  SH     DEFINED     01       6,031           0         308
COGNIZANT TECHNOLOGY SOLUTIONS    COM   192446102           4         100  SH     OTHER       04         100           0           0
COGNIZANT TECHNOLOGY SOLUTIONS    COM   192446102         275       7,047  SH     DEFINED  01,08       7,047           0           0

COHEN & STEERS RLTY INCOME FD     COM   19247P107           1      11,400  SH     DEFINED     01      11,400           0           0

COHERENT INC                      COM   192479103       3,589      52,774  SH     DEFINED     01      49,732         800       2,242
COHERENT INC                      COM   192479103           7         100  SH     OTHER       02           0         100           0
COHERENT INC                      COM   192479103          54         800  SH     DEFINED     04         800           0           0
COHERENT INC                      COM   192479103       4,450      65,448  SH     DEFINED  01,08      65,448           0           0

COHESION TECHNOLOGIES INC         COM   19248N101          33       3,100  SH     DEFINED     01       3,100           0           0
COHESION TECHNOLOGIES INC         COM   19248N101         298      28,380  SH     DEFINED  01,08      28,380           0           0

COHOES BANCORP INC                COM   192513109         226      13,202  SH     DEFINED  01,08      13,202           0           0

COHU INC                          COM   192576106         320      20,898  SH     DEFINED     01      20,536           0         362
COHU INC                          COM   192576106         901      58,818  SH     DEFINED  01,08      58,818           0           0

COINSTAR INC                      COM   19259P300         283      20,900  SH     DEFINED     01      20,537           0         363
COINSTAR INC                      COM   19259P300          27       2,000  SH     OTHER       01           0           0       2,000
COINSTAR INC                      COM   19259P300         369      27,245  SH     DEFINED  01,08      27,245           0           0

COLDWATER CREEK INC               COM   193068103          46       1,706  SH     DEFINED     01       1,658           0          48
COLDWATER CREEK INC               COM   193068103         208       7,715  SH     DEFINED  01,08       7,715           0           0
COLDWATER CREEK INC               COM   193068103           3         100  SH     DEFINED     10         100           0           0

COLE NATIONAL CORP NEW            COM   193290103          13       2,000  SH     OTHER       01           0       2,000           0
COLE NATIONAL CORP NEW            COM   193290103         126      19,428  SH     DEFINED  01,08      19,428           0           0

COLE KENNETH PRODTNS INC          COM   193294105         284       8,031  SH     DEFINED     01       7,167         850          14
COLE KENNETH PRODTNS INC          COM   193294105          53       1,500  SH     DEFINED     04           0           0       1,500
COLE KENNETH PRODTNS INC          COM   193294105       1,097      31,059  SH     DEFINED  01,08      31,059           0           0

COLLATERAL THERAPEUTICS           COM   193921103         217       7,489  SH     DEFINED     01       7,358           0         131
COLLATERAL THERAPEUTICS           COM   193921103         258       8,917  SH     DEFINED  01,08       8,917           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    115
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COLGATE PALMOLIVE CO              COM   194162103      44,766     948,431  SH     DEFINED     01     844,646      35,908      67,877
COLGATE PALMOLIVE CO              COM   194162103       3,875      82,088  SH     OTHER       01      57,688      23,800         600
COLGATE PALMOLIVE CO              COM   194162103       2,028      42,962  SH     DEFINED     02      41,062         500       1,400
COLGATE PALMOLIVE CO              COM   194162103         607      12,864  SH     OTHER       02       8,252       4,512         100
COLGATE PALMOLIVE CO              COM   194162103       1,877      39,774  SH     DEFINED     03      17,020      19,562       3,192
COLGATE PALMOLIVE CO              COM   194162103         262       5,552  SH     OTHER       03         900       4,652           0
COLGATE PALMOLIVE CO              COM   194162103       3,105      65,781  SH     DEFINED     04      62,981           0       2,800
COLGATE PALMOLIVE CO              COM   194162103       5,051     107,008  SH     OTHER       04     106,208           0         800
COLGATE PALMOLIVE CO              COM   194162103          24         510  SH     DEFINED     05         510           0           0
COLGATE PALMOLIVE CO              COM   194162103          38         800  SH     OTHER       05         800           0           0
COLGATE PALMOLIVE CO              COM   194162103      41,146     871,745  SH     DEFINED  01,08     871,745           0           0
COLGATE PALMOLIVE CO              COM   194162103         709      15,025  SH     DEFINED     09      15,025           0           0
COLGATE PALMOLIVE CO              COM   194162103         743      15,750  SH     DEFINED     10       2,950      12,800           0
COLGATE PALMOLIVE CO              COM   194162103         552      11,692  SH     OTHER       10       8,528       3,164           0

COLLAGENEX PHARMACEUTICALS INC    COM   19419B100          96      11,792  SH     DEFINED  01,08      11,792           0           0

COLLECTORS UNIVERSE INC           COM   19421R101          84      33,714  SH     DEFINED  01,08      33,714           0           0

COLLINS & AIKMAN CORP NEW         COM   194830105         199      42,448  SH     DEFINED     01      33,940           0       8,508
COLLINS & AIKMAN CORP NEW         COM   194830105         573     122,335  SH     DEFINED  01,08     122,335           0           0

COLLINS INDS INC                  COM   194858106          68      19,438  SH     DEFINED  01,08      19,438           0           0

COLONIAL BANCGROUP INC            COM   195493309         936      90,207  SH     DEFINED     01      39,881      32,400      17,926
COLONIAL BANCGROUP INC            COM   195493309       1,929     185,968  SH     DEFINED     04     185,968           0           0
COLONIAL BANCGROUP INC            COM   195493309         290      27,952  SH     OTHER       04      27,952           0           0
COLONIAL BANCGROUP INC            COM   195493309       1,935     186,546  SH     DEFINED  01,08     186,546           0           0

COLONIAL HIGH INCOME MUN TR    UNDEFIND 195743109          63       9,514         DEFINED     04       9,514           0           0
COLONIAL HIGH INCOME MUN TR    UNDEFIND 195743109          54       8,100         OTHER       04       8,100           0           0

COLONIAL INTERMARKET INCM TR 1 UNDEFIND 195762109           1       6,200         DEFINED     01           0       6,200           0
COLONIAL INTERMARKET INCM TR 1 UNDEFIND 195762109          80       9,190         DEFINED     04       9,190           0           0

COLONIAL MUN INCOME TR         UNDEFIND 195799101           0       8,000         DEFINED     03           0       8,000           0
COLONIAL MUN INCOME TR         UNDEFIND 195799101          17       2,700         DEFINED     04       2,700           0           0
COLONIAL MUN INCOME TR         UNDEFIND 195799101           6       1,000         OTHER       04       1,000           0           0

COLONIAL PPTYS TR                 COM   195872106         364      14,166  SH     DEFINED     01       8,873       1,000       4,293
COLONIAL PPTYS TR                 COM   195872106           5         200  SH     OTHER       04         200           0           0
COLONIAL PPTYS TR                 COM   195872106         145       5,664  SH     DEFINED  01,08       5,664           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    116
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COLORADO MEDTECH INC              COM   19652U104          10       1,200  SH     DEFINED     04       1,200           0           0
COLORADO MEDTECH INC              COM   19652U104           1         100  SH     OTHER       04         100           0           0
COLORADO MEDTECH INC              COM   19652U104         149      17,479  SH     DEFINED  01,08      17,479           0           0

COLUMBIA ENERGY GROUP             COM   197648108      10,383     146,234  SH     DEFINED     01     115,787      20,565       9,882
COLUMBIA ENERGY GROUP             COM   197648108           4          50  SH     OTHER       01           0           0          50
COLUMBIA ENERGY GROUP             COM   197648108          66         936  SH     DEFINED     04         936           0           0
COLUMBIA ENERGY GROUP             COM   197648108          64         898  SH     OTHER       04         898           0           0
COLUMBIA ENERGY GROUP             COM   197648108       8,808     124,061  SH     DEFINED  01,08     124,061           0           0
COLUMBIA ENERGY GROUP             COM   197648108          21         300  SH     OTHER       09           0         300           0
COLUMBIA ENERGY GROUP             COM   197648108          35         498  SH     DEFINED     10           0         498           0

COLUMBIA LABS INC                 COM   197779101         133      22,909  SH     DEFINED     01      21,926           0         983
COLUMBIA LABS INC                 COM   197779101          12       2,000  SH     DEFINED     03           0       2,000           0
COLUMBIA LABS INC                 COM   197779101         123      21,198  SH     DEFINED     04      21,198           0           0
COLUMBIA LABS INC                 COM   197779101         317      54,511  SH     DEFINED  01,08      54,511           0           0

COLUMBIA SPORTSWEAR CO            COM   198516106         328       7,154  SH     DEFINED     01       6,149         600         405
COLUMBIA SPORTSWEAR CO            COM   198516106       1,061      23,121  SH     DEFINED  01,08      23,121           0           0

COLUMBUS MCKINNON CORP N Y        COM   199333105          99       7,295  SH     DEFINED     01       4,971           0       2,324
COLUMBUS MCKINNON CORP N Y        COM   199333105       3,997     294,739  SH     OTHER       04     294,739           0           0
COLUMBUS MCKINNON CORP N Y        COM   199333105         844      62,218  SH     DEFINED  01,08      62,218           0           0

COMFORT SYS USA INC               COM   199908104          86      16,547  SH     DEFINED     01      11,527           0       5,020
COMFORT SYS USA INC               COM   199908104         750     144,672  SH     DEFINED  01,08     144,672           0           0

COMARCO INC                       COM   200080109          57       1,620  SH     DEFINED     01       1,620           0           0
COMARCO INC                       COM   200080109         624      17,839  SH     DEFINED  01,08      17,839           0           0

COMCAST CORP                      COM   200300200      86,796   2,120,232  SH     DEFINED     01   1,723,031     301,335      95,866
COMCAST CORP                      COM   200300200         870      21,249  SH     OTHER       01       2,134      17,515       1,600
COMCAST CORP                      COM   200300200          41       1,010  SH     DEFINED     02         300         710           0
COMCAST CORP                      COM   200300200       1,199      29,289  SH     DEFINED     03      11,119      14,690       3,480
COMCAST CORP                      COM   200300200         198       4,835  SH     OTHER       03         635       3,500         700
COMCAST CORP                      COM   200300200       6,020     147,045  SH     DEFINED     04     119,095           0      27,950
COMCAST CORP                      COM   200300200       4,982     121,711  SH     OTHER       04     120,675           0       1,036
COMCAST CORP                      COM   200300200           8         200  SH     DEFINED     05           0         200           0
COMCAST CORP                      COM   200300200      59,071   1,442,974  SH     DEFINED  01,08   1,442,974           0           0
COMCAST CORP                      COM   200300200           4         100  SH     OTHER       09           0         100           0
COMCAST CORP                      COM   200300200          51       1,246  SH     DEFINED     10         646         600           0

COMDIAL CORP                      COM   200332302          41      20,000  SH     DEFINED     04           0           0      20,000
COMDIAL CORP                      COM   200332302          53      26,237  SH     DEFINED  01,08      26,237           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    117
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMDISCO INC                      COM   200336105       2,773     145,495  SH     DEFINED     01     133,545       5,166       6,784
COMDISCO INC                      COM   200336105          25       1,325  SH     DEFINED     04       1,325           0           0
COMDISCO INC                      COM   200336105          10         500  SH     OTHER       04         500           0           0
COMDISCO INC                      COM   200336105       7,923     415,633  SH     DEFINED  01,08     415,633           0           0

COMERICA INC                      COM   200340107      18,885     323,164  SH     DEFINED     01     229,286      44,992      48,886
COMERICA INC                      COM   200340107       4,882      83,541  SH     OTHER       01       3,933       4,458      75,150
COMERICA INC                      COM   200340107         167       2,850  SH     DEFINED     02         600       2,250           0
COMERICA INC                      COM   200340107          64       1,100  SH     DEFINED     03           0       1,100           0
COMERICA INC                      COM   200340107         123       2,100  SH     OTHER       03       2,100           0           0
COMERICA INC                      COM   200340107       2,071      35,443  SH     DEFINED     04      35,443           0           0
COMERICA INC                      COM   200340107       1,291      22,091  SH     OTHER       04      18,716           0       3,375
COMERICA INC                      COM   200340107      15,544     265,999  SH     DEFINED  01,08     265,999           0           0
COMERICA INC                      COM   200340107       1,976      33,822  SH     DEFINED     10      27,761       6,061           0
COMERICA INC                      COM   200340107       3,982      68,145  SH     OTHER       10      50,345      17,800           0

COMFORCE CORP                     COM   20038K109           0          75  SH     DEFINED     01           0          75           0
COMFORCE CORP                     COM   20038K109          37      21,406  SH     DEFINED  01,08      21,406           0           0

COMMERCE BANCORP INC NJ           COM   200519106       1,615      27,755  SH     DEFINED     01      23,257           0       4,498
COMMERCE BANCORP INC NJ           COM   200519106          80       1,369  SH     DEFINED     04           0           0       1,369
COMMERCE BANCORP INC NJ           COM   200519106       3,610      62,041  SH     DEFINED  01,08      62,041           0           0

COMMERCE BANCSHARES INC           COM   200525103         349       9,482  SH     DEFINED     01       7,879           0       1,603
COMMERCE BANCSHARES INC           COM   200525103          13         346  SH     DEFINED     02         346           0           0
COMMERCE BANCSHARES INC           COM   200525103         111       3,010  SH     DEFINED     04       3,010           0           0
COMMERCE BANCSHARES INC           COM   200525103         220       5,972  SH     OTHER       04       5,972           0           0
COMMERCE BANCSHARES INC           COM   200525103       3,362      91,325  SH     DEFINED  01,08      91,325           0           0
COMMERCE BANCSHARES INC           COM   200525103         413      11,232  SH     DEFINED     10      11,232           0           0

COMMERCE GROUP INC MASS           COM   200641108         859      29,693  SH     DEFINED     01      24,843           0       4,850
COMMERCE GROUP INC MASS           COM   200641108       1,296      44,797  SH     DEFINED  01,08      44,797           0           0
COMMERCE GROUP INC MASS           COM   200641108          12         400  SH     DEFINED     10         400           0           0

COMMERCE ONE INC DEL              COM   200693109       1,308      16,667  SH     DEFINED     01      11,584           0       5,083
COMMERCE ONE INC DEL              COM   200693109       6,054      77,117  SH     OTHER       01          60           0      77,057
COMMERCE ONE INC DEL              COM   200693109          16         200  SH     DEFINED     03           0         200           0
COMMERCE ONE INC DEL              COM   200693109         212       2,700  SH     DEFINED     04       2,700           0           0
COMMERCE ONE INC DEL              COM   200693109      13,225     168,468  SH     DEFINED  01,08     168,468           0           0

COMMERCIAL BANKSHARES INC         COM   201607108          27       1,587  SH     DEFINED     04       1,587           0           0
COMMERCIAL BANKSHARES INC         COM   201607108          46       2,661  SH     OTHER       04       2,661           0           0
COMMERCIAL BANKSHARES INC         COM   201607108         110       6,375  SH     DEFINED  01,08       6,375           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    118
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMMERCIAL FEDERAL CORPORATION    COM   201647104         747      39,034  SH     DEFINED     01      22,921       3,100      13,013
COMMERCIAL FEDERAL CORPORATION    COM   201647104          34       1,800  SH     OTHER       01       1,800           0           0
COMMERCIAL FEDERAL CORPORATION    COM   201647104          50       2,607  SH     OTHER       04           0           0       2,607
COMMERCIAL FEDERAL CORPORATION    COM   201647104       2,589     135,350  SH     DEFINED  01,08     135,350           0           0
COMMERCIAL FEDERAL CORPORATION    COM   201647104          16         820  SH     DEFINED     09         820           0           0

COMMERCIAL METALS CO              COM   201723103         845      33,138  SH     DEFINED     01      25,083       5,000       3,055
COMMERCIAL METALS CO              COM   201723103          56       2,200  SH     DEFINED     04           0           0       2,200
COMMERCIAL METALS CO              COM   201723103       1,108      43,440  SH     DEFINED  01,08      43,440           0           0

COMMERCIAL NET LEASE RLTY INC     COM   202218103         187      18,000  SH     DEFINED     01      12,256           0       5,744
COMMERCIAL NET LEASE RLTY INC     COM   202218103          10       1,000  SH     DEFINED     04       1,000           0           0
COMMERCIAL NET LEASE RLTY INC     COM   202218103          79       7,590  SH     DEFINED  01,08       7,590           0           0

COMMODORE APPLIED TECH INC        COM   202630109          18      20,800  SH     DEFINED  01,08      20,800           0           0

COMMONWEALTH BANCORP INC          COM   20268X102         112       7,700  SH     DEFINED     01       7,700           0           0
COMMONWEALTH BANCORP INC          COM   20268X102         384      26,501  SH     DEFINED  01,08      26,501           0           0

COMMONWEALTH INDS INC DEL         COM   203004106          76      13,600  SH     DEFINED     01      13,600           0           0
COMMONWEALTH INDS INC DEL         COM   203004106         147      26,430  SH     DEFINED  01,08      26,430           0           0

COMMONWEALTH TEL ENTERPRISES      COM   203349105         683      18,516  SH     DEFINED     01      17,724           0         792
COMMONWEALTH TEL ENTERPRISES      COM   203349105          17         466  SH     OTHER       01         466           0           0
COMMONWEALTH TEL ENTERPRISES      COM   203349105       1,302      35,316  SH     DEFINED  01,08      35,316           0           0

COMMONWEALTH TEL ENTERPRISES      COM   203349204         770      19,998  SH     DEFINED  01,08      19,998           0           0

COMMSCOPE INC                     COM   203372107         854      34,858  SH     DEFINED     01      30,949           0       3,909
COMMSCOPE INC                     COM   203372107          25       1,003  SH     DEFINED     04       1,003           0           0
COMMSCOPE INC                     COM   203372107       3,698     150,955  SH     DEFINED  01,08     150,555           0         400

COMMUNICATION INTELLIGENCE NEW    COM   20338K106           2         800  SH     DEFINED     04         800           0           0
COMMUNICATION INTELLIGENCE NEW    COM   20338K106         110      49,012  SH     DEFINED  01,08      49,012           0           0

COMMUNITY BK SYS INC              COM   203607106         166       6,400  SH     DEFINED     01       6,400           0           0
COMMUNITY BK SYS INC              COM   203607106          52       1,992  SH     OTHER       04       1,992           0           0
COMMUNITY BK SYS INC              COM   203607106         434      16,736  SH     DEFINED  01,08      16,736           0           0

COMMUNICATIONS SYS INC            COM   203900105          13       1,000  SH     OTHER       04       1,000           0           0
COMMUNICATIONS SYS INC            COM   203900105         334      24,977  SH     DEFINED  01,08      24,977           0           0

COMMUNITY FIRST BANKSHARES INC    COM   203902101         964      54,896  SH     DEFINED     01      20,491      22,400      12,005
COMMUNITY FIRST BANKSHARES INC    COM   203902101          54       3,048  SH     DEFINED     04       3,048           0           0
COMMUNITY FIRST BANKSHARES INC    COM   203902101       2,469     140,599  SH     DEFINED  01,08     140,599           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    119
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMMUNITY SVGS BANKSHARES NEW     COM   204037105         124      10,000  SH     DEFINED     01           0      10,000           0
COMMUNITY SVGS BANKSHARES NEW     COM   204037105         152      12,282  SH     DEFINED     04      12,282           0           0
COMMUNITY SVGS BANKSHARES NEW     COM   204037105         313      25,255  SH     DEFINED  01,08       8,844      16,411           0

COMMUNITY TR BANCORP INC          COM   204149108         101       6,512  SH     DEFINED     01       6,512           0           0
COMMUNITY TR BANCORP INC          COM   204149108         299      19,208  SH     DEFINED  01,08      19,208           0           0

COMPASS BANCSHARES INC            COM   20449H109       1,631      83,663  SH     DEFINED     01      78,005           0       5,658
COMPASS BANCSHARES INC            COM   20449H109          25       1,296  SH     DEFINED     04       1,296           0           0
COMPASS BANCSHARES INC            COM   20449H109       6,508     333,739  SH     DEFINED  01,08     333,739           0           0

COMPAQ COMPUTER CORP              COM   204493100     137,688   4,992,311  SH     DEFINED     01   4,214,605     522,162     255,544
COMPAQ COMPUTER CORP              COM   204493100       1,486      53,894  SH     OTHER       01      41,790      10,700       1,404
COMPAQ COMPUTER CORP              COM   204493100         208       7,550  SH     DEFINED     02       4,200       3,350           0
COMPAQ COMPUTER CORP              COM   204493100          72       2,600  SH     OTHER       02       1,100       1,500           0
COMPAQ COMPUTER CORP              COM   204493100         455      16,499  SH     DEFINED     03       6,744       4,905       4,850
COMPAQ COMPUTER CORP              COM   204493100         239       8,660  SH     OTHER       03       4,310       4,350           0
COMPAQ COMPUTER CORP              COM   204493100       3,633     131,721  SH     DEFINED     04     125,337           0       6,384
COMPAQ COMPUTER CORP              COM   204493100       2,984     108,186  SH     OTHER       04      95,936           0      12,250
COMPAQ COMPUTER CORP              COM   204493100       2,134      77,377  SH     DEFINED     05      56,587      16,800       3,990
COMPAQ COMPUTER CORP              COM   204493100         325      11,800  SH     OTHER       05         700      11,100           0
COMPAQ COMPUTER CORP              COM   204493100      74,512   2,701,669  SH     DEFINED  01,08   2,701,669           0           0
COMPAQ COMPUTER CORP              COM   204493100          41       1,500  SH     DEFINED     09       1,500           0           0
COMPAQ COMPUTER CORP              COM   204493100         117       4,250  SH     OTHER       09           0       4,250           0
COMPAQ COMPUTER CORP              COM   204493100         873      31,644  SH     DEFINED     10      21,344      10,300           0
COMPAQ COMPUTER CORP              COM   204493100          33       1,200  SH     OTHER       10           0       1,200           0

COMPETITIVE TECHNOLOGIES INC      COM   204512107         138      14,962  SH     DEFINED  01,08      14,962           0           0

COMPLETE BUSINESS SOLUTIONS       COM   20452F107         358      26,525  SH     DEFINED     01      26,060           0         465
COMPLETE BUSINESS SOLUTIONS       COM   20452F107         534      39,580  SH     DEFINED  01,08      39,580           0           0

COMPUCREDIT CORP                  COM   20478N100      12,250     218,385  SH     DEFINED     01     201,395           0      16,990
COMPUCREDIT CORP                  COM   20478N100       3,627      64,658  SH     DEFINED  01,08      64,658           0           0

COMPUCOM SYS INC                  COM   204780100         226      83,940  SH     DEFINED  01,08      83,940           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    120
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMPUTER ASSOC INTL INC           COM   204912109      22,422     890,214  SH     DEFINED     01     832,015      11,324      46,875
COMPUTER ASSOC INTL INC           COM   204912109       2,400      95,292  SH     OTHER       01      68,437      14,300      12,555
COMPUTER ASSOC INTL INC           COM   204912109         127       5,062  SH     DEFINED     02       3,375       1,687           0
COMPUTER ASSOC INTL INC           COM   204912109           4         145  SH     DEFINED     03         100          45           0
COMPUTER ASSOC INTL INC           COM   204912109          71       2,800  SH     OTHER       03           0       2,800           0
COMPUTER ASSOC INTL INC           COM   204912109         735      29,164  SH     DEFINED     04      29,164           0           0
COMPUTER ASSOC INTL INC           COM   204912109         540      21,451  SH     OTHER       04      20,151           0       1,300
COMPUTER ASSOC INTL INC           COM   204912109         709      28,155  SH     DEFINED     05      20,205       7,550         400
COMPUTER ASSOC INTL INC           COM   204912109         250       9,925  SH     OTHER       05       1,150       7,775       1,000
COMPUTER ASSOC INTL INC           COM   204912109      23,489     932,566  SH     DEFINED  01,08     932,566           0           0
COMPUTER ASSOC INTL INC           COM   204912109           6         225  SH     DEFINED     10         225           0           0

COMPUTER NETWORK TECHNOLOGY CP    COM   204925101       1,139      33,149  SH     DEFINED     01      32,319           0         830
COMPUTER NETWORK TECHNOLOGY CP    COM   204925101         344      10,000  SH     OTHER       04      10,000           0           0
COMPUTER NETWORK TECHNOLOGY CP    COM   204925101       1,644      47,812  SH     DEFINED  01,08      47,812           0           0

COMPUTER LEARNING CTRS INC        COM   205199102           0          57  SH     DEFINED     01          50           7           0
COMPUTER LEARNING CTRS INC        COM   205199102          19      20,022  SH     DEFINED  01,08      20,022           0           0

COMPUTER MOTION INC               COM   205253107           5         500  SH     DEFINED     04           0           0         500
COMPUTER MOTION INC               COM   205253107         105      11,000  SH     DEFINED  01,08      11,000           0           0

COMPUTER SCIENCES CORP            COM   205363104     105,279   1,417,894  SH     DEFINED     01     824,167     543,175      50,552
COMPUTER SCIENCES CORP            COM   205363104      10,509     141,542  SH     OTHER       01      59,658      63,320      18,564
COMPUTER SCIENCES CORP            COM   205363104       6,683      90,013  SH     DEFINED     02      41,973      42,015       6,025
COMPUTER SCIENCES CORP            COM   205363104       1,861      25,060  SH     OTHER       02      10,665      12,775       1,620
COMPUTER SCIENCES CORP            COM   205363104       5,227      70,394  SH     DEFINED     03      24,819      44,315       1,260
COMPUTER SCIENCES CORP            COM   205363104       1,677      22,589  SH     OTHER       03       9,765       6,374       6,450
COMPUTER SCIENCES CORP            COM   205363104      41,241     555,433  SH     DEFINED     04     538,774           0      16,659
COMPUTER SCIENCES CORP            COM   205363104      14,371     193,555  SH     OTHER       04     188,330           0       5,225
COMPUTER SCIENCES CORP            COM   205363104      14,049     189,215  SH     DEFINED     05     119,345      54,865      15,005
COMPUTER SCIENCES CORP            COM   205363104       1,759      23,690  SH     OTHER       05       9,415      12,275       2,000
COMPUTER SCIENCES CORP            COM   205363104      19,632     264,410  SH     DEFINED  01,08     264,410           0           0
COMPUTER SCIENCES CORP            COM   205363104         158       2,125  SH     DEFINED     09       2,125           0           0
COMPUTER SCIENCES CORP            COM   205363104         148       1,990  SH     OTHER       09         100       1,890           0
COMPUTER SCIENCES CORP            COM   205363104         238       3,205  SH     DEFINED     10       3,205           0           0
COMPUTER SCIENCES CORP            COM   205363104          17         225  SH     OTHER       10           0         225           0

COMPUTER TASK GROUP INC           COM   205477102         185      59,072  SH     DEFINED  01,08      59,072           0           0

COMPUTRAC INC                     COM   205620107          11      19,100  SH     DEFINED  01,08      19,100           0           0

COMPX INTERNATIONAL INC           COM   20563P101          54       2,570  SH     DEFINED     01       1,935           0         635
COMPX INTERNATIONAL INC           COM   20563P101         174       8,293  SH     DEFINED  01,08       8,293           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    121
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMPUTRON SOFTWARE INC            COM   205631104          39      26,100  SH     DEFINED  01,08      26,100           0           0

COMPUWARE CORP                    COM   205638109       5,191     619,772  SH     DEFINED     01     510,545      93,123      16,104
COMPUWARE CORP                    COM   205638109           4         500  SH     DEFINED     02         500           0           0
COMPUWARE CORP                    COM   205638109           3         355  SH     DEFINED     03           0         355           0
COMPUWARE CORP                    COM   205638109         114      13,600  SH     DEFINED     04      13,600           0           0
COMPUWARE CORP                    COM   205638109           1         118  SH     DEFINED     05         118           0           0
COMPUWARE CORP                    COM   205638109       5,026     600,164  SH     DEFINED  01,08     600,164           0           0

COMSTOCK RES INC                  COM   205768203         129      11,367  SH     DEFINED     01       8,019           0       3,348
COMSTOCK RES INC                  COM   205768203          72       6,300  SH     OTHER       01           0       6,300           0
COMSTOCK RES INC                  COM   205768203         447      39,296  SH     DEFINED  01,08      39,296           0           0

COMTECH TELECOMMUNICATIONS CP     COM   205826209           1         100  SH     DEFINED     02         100           0           0
COMTECH TELECOMMUNICATIONS CP     COM   205826209          22       1,500  SH     DEFINED     04       1,500           0           0
COMTECH TELECOMMUNICATIONS CP     COM   205826209         178      12,065  SH     DEFINED  01,08      12,065           0           0

COMVERSE TECHNOLOGY INC           COM   205862402      42,777     396,087  SH     DEFINED     01     354,891       8,048      33,148
COMVERSE TECHNOLOGY INC           COM   205862402          32         300  SH     OTHER       02           0           0         300
COMVERSE TECHNOLOGY INC           COM   205862402          21         194  SH     DEFINED     03           0         194           0
COMVERSE TECHNOLOGY INC           COM   205862402          33         306  SH     DEFINED     04         306           0           0
COMVERSE TECHNOLOGY INC           COM   205862402         126       1,168  SH     OTHER       04       1,168           0           0
COMVERSE TECHNOLOGY INC           COM   205862402      25,762     238,538  SH     DEFINED  01,08     238,538           0           0
COMVERSE TECHNOLOGY INC           COM   205862402          22         206  SH     DEFINED     10         206           0           0

CONAGRA INC                       COM   205887102      19,962     994,996  SH     DEFINED     01     786,223     154,666      54,107
CONAGRA INC                       COM   205887102         437      21,800  SH     OTHER       01      18,300       3,500           0
CONAGRA INC                       COM   205887102         600      29,922  SH     DEFINED     02      23,722       6,200           0
CONAGRA INC                       COM   205887102          22       1,108  SH     OTHER       02         400         708           0
CONAGRA INC                       COM   205887102          26       1,300  SH     DEFINED     03           0       1,300           0
CONAGRA INC                       COM   205887102         329      16,400  SH     DEFINED     04      16,400           0           0
CONAGRA INC                       COM   205887102       1,503      74,910  SH     OTHER       04      64,910           0      10,000
CONAGRA INC                       COM   205887102      16,532     824,038  SH     DEFINED  01,08     824,038           0           0
CONAGRA INC                       COM   205887102          20       1,000  SH     DEFINED     09       1,000           0           0
CONAGRA INC                       COM   205887102          12         600  SH     OTHER       09         600           0           0
CONAGRA INC                       COM   205887102         436      21,750  SH     DEFINED     10       4,400      17,350           0
CONAGRA INC                       COM   205887102          46       2,300  SH     OTHER       10       2,000         300           0

COMPUTER HORIZONS CORP            COM   205908106         144      21,203  SH     DEFINED     01      16,718           0       4,485
COMPUTER HORIZONS CORP            COM   205908106         597      87,617  SH     DEFINED  01,08      87,617           0           0

COMSHARE INC                      COM   205912108          64      15,000  SH     DEFINED     04           0           0      15,000
COMSHARE INC                      COM   205912108          69      16,200  SH     DEFINED  01,08      16,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    122
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COMTREX SYS CORP                  COM   205920101           6       6,000  SH     DEFINED     04       6,000           0           0
COMTREX SYS CORP                  COM   205920101          13      12,700  SH     DEFINED  01,08      12,700           0           0

COM21 INC                         COM   205937105         303      22,465  SH     DEFINED     01      22,073           0         392
COM21 INC                         COM   205937105          64       4,714  SH     OTHER       01           0           0       4,714
COM21 INC                         COM   205937105           1          50  SH     OTHER       02           0          50           0
COM21 INC                         COM   205937105          68       5,000  SH     DEFINED     03           0           0       5,000
COM21 INC                         COM   205937105         400      29,610  SH     DEFINED  01,08      29,610           0           0

CONCEPTUS INC                     COM   206016107         125      13,721  SH     DEFINED  01,08      13,721           0           0

CONCERO INC                       COM   206018103          63      13,900  SH     DEFINED  01,08      13,900           0           0

CONCORD CAMERA CORP               COM   206156101         556      21,680  SH     DEFINED     01      21,326           0         354
CONCORD CAMERA CORP               COM   206156101         205       8,000  SH     DEFINED     04       1,000           0       7,000
CONCORD CAMERA CORP               COM   206156101       1,058      41,273  SH     DEFINED  01,08      41,273           0           0

CONCORD COMMUNICATIONS INC        COM   206186108         441      16,644  SH     DEFINED     01      16,352           0         292
CONCORD COMMUNICATIONS INC        COM   206186108         159       6,017  SH     OTHER       01           0         100       5,917
CONCORD COMMUNICATIONS INC        COM   206186108         455      17,158  SH     DEFINED  01,08      17,158           0           0

CONCORD EFS INC                   COM   206197105       6,619     186,373  SH     DEFINED     01     154,243      20,409      11,721
CONCORD EFS INC                   COM   206197105       1,666      46,897  SH     OTHER       01           0      35,295      11,602
CONCORD EFS INC                   COM   206197105         900      25,342  SH     DEFINED     02      25,342           0           0
CONCORD EFS INC                   COM   206197105         109       3,055  SH     DEFINED     03           0       3,055           0
CONCORD EFS INC                   COM   206197105          20         575  SH     DEFINED     04         575           0           0
CONCORD EFS INC                   COM   206197105         162       4,555  SH     OTHER       04       4,555           0           0
CONCORD EFS INC                   COM   206197105      20,853     587,147  SH     DEFINED  01,08     587,147           0           0
CONCORD EFS INC                   COM   206197105         133       3,750  SH     DEFINED     10       3,750           0           0

CONCUR TECHNOLOGIES INC           COM   206708109           0         100  SH     DEFINED     01         100           0           0
CONCUR TECHNOLOGIES INC           COM   206708109          52      21,747  SH     DEFINED  01,08      21,747           0           0

CONCURRENT COMPUTER CORP NEW      COM   206710204       1,063      55,954  SH     DEFINED     01      54,223           0       1,731
CONCURRENT COMPUTER CORP NEW      COM   206710204          13         674  SH     DEFINED     03         674           0           0
CONCURRENT COMPUTER CORP NEW      COM   206710204       1,386      72,965  SH     DEFINED  01,08      72,965           0           0

CONDUCTUS INC                     COM   206784100         227      15,374  SH     DEFINED  01,08      15,374           0           0

CONE MLS CORP N C                 COM   206814105          59      13,100  SH     DEFINED     01      12,100           0       1,000
CONE MLS CORP N C                 COM   206814105         230      51,155  SH     DEFINED  01,08      51,155           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    123
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CONECTIV INC                      COM   206829103       1,932     108,076  SH     DEFINED     01      85,593       5,135      17,348
CONECTIV INC                      COM   206829103          23       1,300  SH     DEFINED     02       1,300           0           0
CONECTIV INC                      COM   206829103          13         750  SH     DEFINED     03           0         750           0
CONECTIV INC                      COM   206829103          28       1,572  SH     DEFINED     04       1,572           0           0
CONECTIV INC                      COM   206829103          19       1,050  SH     OTHER       04       1,050           0           0
CONECTIV INC                      COM   206829103       4,622     258,557  SH     DEFINED  01,08     258,557           0           0

CONEXANT SYSTEMS INC              COM   207142100      30,931     738,660  SH     DEFINED     01     719,719       3,408      15,533
CONEXANT SYSTEMS INC              COM   207142100         496      11,847  SH     OTHER       01         720       9,874       1,253
CONEXANT SYSTEMS INC              COM   207142100          36         860  SH     DEFINED     02           0         860           0
CONEXANT SYSTEMS INC              COM   207142100          31         744  SH     OTHER       02           0         744           0
CONEXANT SYSTEMS INC              COM   207142100         392       9,365  SH     DEFINED     03       6,330       2,770         265
CONEXANT SYSTEMS INC              COM   207142100          50       1,200  SH     OTHER       03       1,200           0           0
CONEXANT SYSTEMS INC              COM   207142100         443      10,582  SH     DEFINED     04      10,582           0           0
CONEXANT SYSTEMS INC              COM   207142100         519      12,402  SH     OTHER       04      12,102           0         300
CONEXANT SYSTEMS INC              COM   207142100      13,700     327,170  SH     DEFINED  01,08     327,170           0           0
CONEXANT SYSTEMS INC              COM   207142100          85       2,024  SH     DEFINED     10       1,524           0         500

CONMED CORP                       COM   207410101         275      20,069  SH     DEFINED     01      17,319         700       2,050
CONMED CORP                       COM   207410101          31       2,250  SH     DEFINED     02           0       2,250           0
CONMED CORP                       COM   207410101         122       8,900  SH     DEFINED     04           0           0       8,900
CONMED CORP                       COM   207410101         573      41,869  SH     DEFINED  01,08      41,869           0           0

CONNECTICUT WTR SVC INC           COM   207797101         310       9,606  SH     DEFINED  01,08       9,606           0           0

CONNETICS CORP                    COM   208192104         728      30,178  SH     DEFINED     01      29,689           0         489
CONNETICS CORP                    COM   208192104       1,092      45,284  SH     DEFINED  01,08      45,284           0           0

CONOCO INC                        COM   208251306         157       6,000  SH     DEFINED     01       5,800           0         200
CONOCO INC                        COM   208251306          10         400  SH     DEFINED     02           0         400           0
CONOCO INC                        COM   208251306          16         600  SH     OTHER       02         100         500           0
CONOCO INC                        COM   208251306          36       1,375  SH     DEFINED     04       1,375           0           0
CONOCO INC                        COM   208251306          73       2,800  SH     OTHER       04         600           0       2,200
CONOCO INC                        COM   208251306      11,897     455,382  SH     DEFINED  01,08           0     273,287     182,095
CONOCO INC                        COM   208251306          26       1,000  SH     DEFINED     10           0       1,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    124
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CONOCO INC                        COM   208251405      32,456   1,204,896  SH     DEFINED     01     937,960     162,637     104,299
CONOCO INC                        COM   208251405          33       1,227  SH     OTHER       01           0           0       1,227
CONOCO INC                        COM   208251405         189       7,033  SH     DEFINED     02       5,445       1,588           0
CONOCO INC                        COM   208251405         160       5,952  SH     OTHER       02       4,410         489       1,053
CONOCO INC                        COM   208251405          56       2,085  SH     DEFINED     03       1,349         736           0
CONOCO INC                        COM   208251405         107       3,988  SH     OTHER       03       3,988           0           0
CONOCO INC                        COM   208251405         762      28,281  SH     DEFINED     04      28,281           0           0
CONOCO INC                        COM   208251405         108       4,000  SH     OTHER       04           0           0       4,000
CONOCO INC                        COM   208251405      43,603   1,618,707  SH     DEFINED  01,08     990,275     628,432           0
CONOCO INC                        COM   208251405          10         369  SH     OTHER       09         369           0           0

CONSECO INC                       COM   208464107       5,548     727,594  SH     DEFINED     01     463,769     224,008      39,817
CONSECO INC                       COM   208464107          80      10,532  SH     OTHER       01      10,510          22           0
CONSECO INC                       COM   208464107           4         555  SH     DEFINED     02         555           0           0
CONSECO INC                       COM   208464107           9       1,168  SH     OTHER       02         252           0         916
CONSECO INC                       COM   208464107           0           1  SH     DEFINED     03           1           0           0
CONSECO INC                       COM   208464107         467      61,214  SH     DEFINED     04      61,214           0           0
CONSECO INC                       COM   208464107          99      13,008  SH     OTHER       04      13,008           0           0
CONSECO INC                       COM   208464107       3,845     504,228  SH     DEFINED  01,08     504,228           0           0

CONSOL ENERGY INC                 COM   20854P109         424      26,401  SH     DEFINED     01      25,547           0         854
CONSOL ENERGY INC                 COM   20854P109          30       1,850  SH     DEFINED     04       1,850           0           0
CONSOL ENERGY INC                 COM   20854P109       1,845     114,849  SH     DEFINED  01,08     114,849           0           0

CONSOLIDATED EDISON INC           COM   209115104      14,481     424,359  SH     DEFINED     01     342,136      58,769      23,454
CONSOLIDATED EDISON INC           COM   209115104         160       4,700  SH     OTHER       01       1,100       1,000       2,600
CONSOLIDATED EDISON INC           COM   209115104         353      10,350  SH     DEFINED     02       1,900       7,250       1,200
CONSOLIDATED EDISON INC           COM   209115104          84       2,450  SH     OTHER       02       1,100         850         500
CONSOLIDATED EDISON INC           COM   209115104         105       3,065  SH     DEFINED     03         800       2,090         175
CONSOLIDATED EDISON INC           COM   209115104          43       1,260  SH     OTHER       03         400         860           0
CONSOLIDATED EDISON INC           COM   209115104         802      23,496  SH     DEFINED     04      22,196           0       1,300
CONSOLIDATED EDISON INC           COM   209115104         593      17,390  SH     OTHER       04      17,390           0           0
CONSOLIDATED EDISON INC           COM   209115104      11,067     324,294  SH     DEFINED  01,08     324,294           0           0
CONSOLIDATED EDISON INC           COM   209115104          27         800  SH     DEFINED     10           0           0         800

CONSOLIDATED FREIGHTWAYS CORP     COM   209232107          85      16,900  SH     DEFINED     01      16,900           0           0
CONSOLIDATED FREIGHTWAYS CORP     COM   209232107          11       2,100  SH     DEFINED     04       2,100           0           0
CONSOLIDATED FREIGHTWAYS CORP     COM   209232107         142      28,300  SH     DEFINED  01,08      28,300           0           0

CONSOLIDATED GRAPHICS INC         COM   209341106           1         100  SH     DEFINED     01           0           0         100
CONSOLIDATED GRAPHICS INC         COM   209341106         262      22,328  SH     DEFINED  01,08      22,328           0           0

CONSOLIDATED PRODS INC            COM   209798107         257      32,067  SH     DEFINED     01      26,270           0       5,797
CONSOLIDATED PRODS INC            COM   209798107         148      18,452  SH     DEFINED     04           0           0      18,452
CONSOLIDATED PRODS INC            COM   209798107         529      66,185  SH     DEFINED  01,08      66,185           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    125
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CONSOLIDATED STORES CORP          COM   210149100       2,664     197,323  SH     DEFINED     01     161,107      28,337       7,879
CONSOLIDATED STORES CORP          COM   210149100           8         600  SH     OTHER       03           0         600           0
CONSOLIDATED STORES CORP          COM   210149100       2,307     170,922  SH     DEFINED  01,08     170,922           0           0

CONSOLIDATED TOMOKA LD CO         COM   210226106          13       1,061  SH     OTHER       01           0       1,061           0
CONSOLIDATED TOMOKA LD CO         COM   210226106           1          54  SH     DEFINED     02          54           0           0
CONSOLIDATED TOMOKA LD CO         COM   210226106         240      19,173  SH     DEFINED  01,08      19,173           0           0

CONSTELLATION ENERGY CORP         COM   210371100      13,659     274,547  SH     DEFINED     01     218,557      39,251      16,739
CONSTELLATION ENERGY CORP         COM   210371100         684      13,750  SH     OTHER       01       9,950       3,700         100
CONSTELLATION ENERGY CORP         COM   210371100          79       1,580  SH     DEFINED     02       1,000         580           0
CONSTELLATION ENERGY CORP         COM   210371100         114       2,298  SH     OTHER       02       2,100         198           0
CONSTELLATION ENERGY CORP         COM   210371100          72       1,450  SH     DEFINED     03       1,225           0         225
CONSTELLATION ENERGY CORP         COM   210371100         581      11,671  SH     DEFINED     04      11,671           0           0
CONSTELLATION ENERGY CORP         COM   210371100         391       7,850  SH     OTHER       04       7,850           0           0
CONSTELLATION ENERGY CORP         COM   210371100      11,369     228,517  SH     DEFINED  01,08     228,517           0           0
CONSTELLATION ENERGY CORP         COM   210371100          15         300  SH     OTHER       10           0         300           0

CONSUMER PORTFOLIO SVCS INC       COM   210502100          34      20,100  SH     DEFINED  01,08      20,100           0           0

CONTINENTAL AIRLS INC             COM   210795209           1          16  SH     OTHER       01           0          16           0
CONTINENTAL AIRLS INC             COM   210795209         411       9,110  SH     DEFINED  01,08       9,110           0           0

CONTINENTAL AIRLS INC             COM   210795308         198       4,360  SH     DEFINED     01       3,298           0       1,062
CONTINENTAL AIRLS INC             COM   210795308           2          48  SH     OTHER       01           0          48           0
CONTINENTAL AIRLS INC             COM   210795308          45       1,000  SH     DEFINED     04       1,000           0           0
CONTINENTAL AIRLS INC             COM   210795308       4,160      91,562  SH     DEFINED  01,08      91,562           0           0

CONTINENTAL MATLS CORP            COM   211615307         145      11,138  SH     DEFINED  01,08      11,138           0           0

CONVERGENT COMMUNICATIONS INC     COM   211914403          66      20,796  SH     DEFINED     01      13,771       6,800         225
CONVERGENT COMMUNICATIONS INC     COM   211914403          59      18,626  SH     DEFINED  01,08      18,626           0           0

CONTINUCARE CORP                  COM   212172100         111     196,705  SH     DEFINED     04     196,705           0           0

CONTINUUS SOFTWARE CORP           COM   21218R104          20      12,505  SH     DEFINED  01,08      12,505           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    126
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CONVERGYS CORP                    COM   212485106       8,282     213,045  SH     DEFINED     01     201,888       6,400       4,757
CONVERGYS CORP                    COM   212485106         432      11,100  SH     OTHER       01       2,100       9,000           0
CONVERGYS CORP                    COM   212485106         376       9,680  SH     DEFINED     02       4,880       4,800           0
CONVERGYS CORP                    COM   212485106          54       1,400  SH     OTHER       02           0         800         600
CONVERGYS CORP                    COM   212485106          35         900  SH     DEFINED     03           0         900           0
CONVERGYS CORP                    COM   212485106          16         400  SH     OTHER       03           0         400           0
CONVERGYS CORP                    COM   212485106         180       4,624  SH     DEFINED     04       4,624           0           0
CONVERGYS CORP                    COM   212485106          78       2,000  SH     OTHER       04       2,000           0           0
CONVERGYS CORP                    COM   212485106       8,157     209,830  SH     DEFINED  01,08     209,830           0           0
CONVERGYS CORP                    COM   212485106          39       1,000  SH     OTHER       09       1,000           0           0

COOLSAVINGS COM INC               COM   216485102           9       3,323  SH     DEFINED     01       2,730         500          93
COOLSAVINGS COM INC               COM   216485102          24       8,911  SH     DEFINED  01,08       8,911           0           0

COOPER CAMERON CORP               COM   216640102       3,246      44,046  SH     DEFINED     01      38,706           0       5,340
COOPER CAMERON CORP               COM   216640102         140       1,900  SH     DEFINED     04       1,900           0           0
COOPER CAMERON CORP               COM   216640102         189       2,570  SH     OTHER       04       2,570           0           0
COOPER CAMERON CORP               COM   216640102      10,809     146,693  SH     DEFINED  01,08     146,693           0           0

COOPER COS INC                    COM   216648402         600      16,958  SH     DEFINED     01      13,673       1,800       1,485
COOPER COS INC                    COM   216648402           3          83  SH     OTHER       04          83           0           0
COOPER COS INC                    COM   216648402       1,720      48,634  SH     DEFINED  01,08      48,634           0           0

COOPER INDS INC                   COM   216669101       5,985     169,801  SH     DEFINED     01     140,211      24,333       5,257
COOPER INDS INC                   COM   216669101         528      14,991  SH     OTHER       01      14,991           0           0
COOPER INDS INC                   COM   216669101         102       2,904  SH     OTHER       02           0         904       2,000
COOPER INDS INC                   COM   216669101          74       2,100  SH     DEFINED     03         500         200       1,400
COOPER INDS INC                   COM   216669101         686      19,475  SH     OTHER       03      19,475           0           0
COOPER INDS INC                   COM   216669101         205       5,804  SH     DEFINED     04       5,804           0           0
COOPER INDS INC                   COM   216669101         218       6,196  SH     OTHER       04       5,596           0         600
COOPER INDS INC                   COM   216669101       4,924     139,680  SH     DEFINED  01,08     139,680           0           0
COOPER INDS INC                   COM   216669101          17         478  SH     DEFINED     09           0         478           0
COOPER INDS INC                   COM   216669101          88       2,510  SH     DEFINED     10       2,510           0           0

COOPER TIRE & RUBR CO             COM   216831107       1,580     157,073  SH     DEFINED     01     124,465      18,524      14,084
COOPER TIRE & RUBR CO             COM   216831107           2         200  SH     DEFINED     03           0         200           0
COOPER TIRE & RUBR CO             COM   216831107           1         100  SH     DEFINED     04         100           0           0
COOPER TIRE & RUBR CO             COM   216831107       1,219     121,183  SH     DEFINED  01,08     121,183           0           0

COORS ADOLPH CO                   COM   217016104       4,829      76,431  SH     DEFINED     01      59,845       9,513       7,073
COORS ADOLPH CO                   COM   217016104           1          16  SH     DEFINED     04          16           0           0
COORS ADOLPH CO                   COM   217016104       3,653      57,807  SH     DEFINED  01,08      57,807           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    127
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COORSTEK INC                      COM   217020106         199       5,213  SH     DEFINED     01       5,121           0          92
COORSTEK INC                      COM   217020106           1          16  SH     OTHER       02           0          16           0
COORSTEK INC                      COM   217020106         494      12,928  SH     DEFINED  01,08      12,928           0           0

COPART INC                        COM   217204106         923      66,549  SH     DEFINED     01      60,692       1,900       3,957
COPART INC                        COM   217204106       1,239      89,279  SH     DEFINED  01,08      89,279           0           0

COPPER MTN NETWORKS INC           COM   217510106         109       2,909  SH     DEFINED     01       2,134           0         775
COPPER MTN NETWORKS INC           COM   217510106          75       2,000  SH     OTHER       01           0       1,000       1,000
COPPER MTN NETWORKS INC           COM   217510106          15         400  SH     DEFINED     03           0           0         400
COPPER MTN NETWORKS INC           COM   217510106          49       1,307  SH     DEFINED     04       1,307           0           0
COPPER MTN NETWORKS INC           COM   217510106          36         950  SH     OTHER       04         950           0           0
COPPER MTN NETWORKS INC           COM   217510106       2,462      65,647  SH     DEFINED  01,08      65,647           0           0

COPYTELE INC                      COM   217721109           1       1,000  SH     OTHER       01       1,000           0           0
COPYTELE INC                      COM   217721109           5       4,000  SH     OTHER       02           0       4,000           0
COPYTELE INC                      COM   217721109           3       2,000  SH     DEFINED     04       2,000           0           0
COPYTELE INC                      COM   217721109         131     102,522  SH     DEFINED  01,08     102,522           0           0

COR THERAPEUTICS INC              COM   217753102         554       8,894  SH     DEFINED     01       2,436       1,600       4,858
COR THERAPEUTICS INC              COM   217753102          50         800  SH     OTHER       01           0         800           0
COR THERAPEUTICS INC              COM   217753102          35         554  SH     DEFINED     04         554           0           0
COR THERAPEUTICS INC              COM   217753102          19         300  SH     OTHER       04           0           0         300
COR THERAPEUTICS INC              COM   217753102      13,917     223,336  SH     DEFINED  01,08     223,336           0           0

CORE INC MASS                     COM   21867P102          80      13,300  SH     DEFINED  01,08      13,300           0           0

CORILLIAN CORP                    COM   218725109         449      46,656  SH     DEFINED     01      46,576           0          80
CORILLIAN CORP                    COM   218725109         645      67,032  SH     DEFINED  01,08      67,032           0           0

CORINTHIAN COLLEGES INC           COM   218868107       8,048     136,407  SH     DEFINED     01     126,965           0       9,442
CORINTHIAN COLLEGES INC           COM   218868107         517       8,767  SH     DEFINED  01,08       8,767           0           0

CORIXA CORP                       COM   21887F100       1,565      31,145  SH     DEFINED     01      30,505           0         640
CORIXA CORP                       COM   21887F100          26         525  SH     OTHER       01           0           0         525
CORIXA CORP                       COM   21887F100          20         400  SH     DEFINED     04           0           0         400
CORIXA CORP                       COM   21887F100       1,339      26,650  SH     DEFINED  01,08      26,650           0           0

CORIO INC                         COM   218875102         263      34,300  SH     DEFINED  01,08      34,300           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    128
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CORN PRODS INTL INC               COM   219023108         775      34,061  SH     DEFINED     01      16,574       9,556       7,931
CORN PRODS INTL INC               COM   219023108          58       2,530  SH     OTHER       01         961       1,569           0
CORN PRODS INTL INC               COM   219023108           2          75  SH     DEFINED     02          75           0           0
CORN PRODS INTL INC               COM   219023108           6         275  SH     OTHER       02          75           0         200
CORN PRODS INTL INC               COM   219023108          39       1,725  SH     DEFINED     03         725       1,000           0
CORN PRODS INTL INC               COM   219023108          13         553  SH     OTHER       03         553           0           0
CORN PRODS INTL INC               COM   219023108         138       6,079  SH     DEFINED     04       6,079           0           0
CORN PRODS INTL INC               COM   219023108          41       1,802  SH     OTHER       04       1,802           0           0
CORN PRODS INTL INC               COM   219023108       2,427     106,698  SH     DEFINED  01,08     106,698           0           0
CORN PRODS INTL INC               COM   219023108           9         400  SH     DEFINED     10           0         400           0

CORNELL COMPANIES INC             COM   219141108           7         800  SH     DEFINED     01           0         800           0
CORNELL COMPANIES INC             COM   219141108           2         200  SH     DEFINED     02         200           0           0
CORNELL COMPANIES INC             COM   219141108         102      11,928  SH     DEFINED  01,08      11,928           0           0

CORNERSTONE RLTY INCOME TR INC    COM   21922V102         211      19,845  SH     DEFINED     01      16,093           0       3,752
CORNERSTONE RLTY INCOME TR INC    COM   21922V102          13       1,232  SH     DEFINED     04       1,232           0           0
CORNERSTONE RLTY INCOME TR INC    COM   21922V102         104       9,743  SH     DEFINED  01,08       9,743           0           0

CORNERSTONE INTERNET SOLUTIONS    COM   21923C103           0         400  SH     DEFINED     04         400           0           0
CORNERSTONE INTERNET SOLUTIONS    COM   21923C103          13      33,084  SH     DEFINED  01,08      33,084           0           0

CORNING INC                       COM   219350105     271,262     913,340  SH     DEFINED     01     810,884      66,986      35,470
CORNING INC                       COM   219350105       7,244      24,390  SH     OTHER       01      11,120       8,095       5,175
CORNING INC                       COM   219350105         632       2,128  SH     DEFINED     02       1,223         605         300
CORNING INC                       COM   219350105         565       1,901  SH     OTHER       02         650       1,176          75
CORNING INC                       COM   219350105       3,425      11,532  SH     DEFINED     03       5,700       4,847         985
CORNING INC                       COM   219350105         879       2,960  SH     OTHER       03       2,960           0           0
CORNING INC                       COM   219350105      17,952      60,443  SH     DEFINED     04      59,423           0       1,020
CORNING INC                       COM   219350105       8,155      27,459  SH     OTHER       04      23,664           0       3,795
CORNING INC                       COM   219350105         870       2,930  SH     DEFINED     05       2,930           0           0
CORNING INC                       COM   219350105     129,790     437,002  SH     DEFINED  01,08     437,002           0           0
CORNING INC                       COM   219350105       2,372       7,988  SH     DEFINED     10       6,138       1,850           0
CORNING INC                       COM   219350105       1,121       3,775  SH     OTHER       10       3,600         175           0

CORPORATE EXECUTIVE BRD CO        COM   21988R102         799      19,856  SH     DEFINED     01      19,114           0         742
CORPORATE EXECUTIVE BRD CO        COM   21988R102       1,352      33,578  SH     DEFINED  01,08      33,578           0           0

CORRECTIONAL SVCS CORP            COM   219921103          32       8,200  SH     DEFINED     01       8,200           0           0
CORRECTIONAL SVCS CORP            COM   219921103          26       6,600  SH     DEFINED     04           0           0       6,600
CORRECTIONAL SVCS CORP            COM   219921103          58      15,094  SH     DEFINED  01,08      15,094           0           0

CORRPRO COS INC                   COM   220317101           5       1,125  SH     DEFINED     01       1,125           0           0
CORRPRO COS INC                   COM   220317101          48      11,875  SH     DEFINED  01,08      11,875           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    129
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CORSAIR COMMUNICATIONS INC        COM   220406102         416      53,199  SH     DEFINED     01      52,882           0         317
CORSAIR COMMUNICATIONS INC        COM   220406102          36       4,634  SH     OTHER       01           0           0       4,634
CORSAIR COMMUNICATIONS INC        COM   220406102         191      24,508  SH     DEFINED  01,08      24,508           0           0

CORUS BANKSHARES INC              COM   220873103         302       8,366  SH     DEFINED     01       3,700       3,000       1,666
CORUS BANKSHARES INC              COM   220873103          14         400  SH     OTHER       04         400           0           0
CORUS BANKSHARES INC              COM   220873103       1,494      41,423  SH     DEFINED  01,08      41,423           0           0

CORVAS INTL INC                   COM   221005101         626      26,905  SH     DEFINED  01,08      26,905           0           0

CORVEL CORP                       COM   221006109         160       5,739  SH     DEFINED     01       5,631           0         108
CORVEL CORP                       COM   221006109         404      14,521  SH     DEFINED  01,08      14,521           0           0

CORVIS CORP                       COM   221009103           6         100  SH     DEFINED     04         100           0           0
CORVIS CORP                       COM   221009103          18         300  SH     OTHER       04         300           0           0
CORVIS CORP                       COM   221009103      15,192     248,855  SH     DEFINED  01,08     248,855           0           0

COST PLUS INC CALIF               COM   221485105       9,354     310,510  SH     DEFINED     01     288,943       1,500      20,067
COST PLUS INC CALIF               COM   221485105          34       1,125  SH     OTHER       01           0       1,125           0
COST PLUS INC CALIF               COM   221485105          69       2,300  SH     DEFINED     04           0           0       2,300
COST PLUS INC CALIF               COM   221485105         798      26,487  SH     DEFINED  01,08      26,487           0           0

COSTCO WHSL CORP NEW              COM   22160K105      29,328     839,443  SH     DEFINED     01     668,273     126,652      44,518
COSTCO WHSL CORP NEW              COM   22160K105         805      23,050  SH     OTHER       01       8,150      14,500         400
COSTCO WHSL CORP NEW              COM   22160K105       3,747     107,255  SH     DEFINED     02      61,310      38,120       7,825
COSTCO WHSL CORP NEW              COM   22160K105         897      25,681  SH     OTHER       02      12,420      10,811       2,450
COSTCO WHSL CORP NEW              COM   22160K105       6,673     190,987  SH     DEFINED     03      62,469     114,333      14,185
COSTCO WHSL CORP NEW              COM   22160K105       1,634      46,760  SH     OTHER       03      16,695      23,875       6,190
COSTCO WHSL CORP NEW              COM   22160K105      15,800     452,251  SH     DEFINED     04     433,251           0      19,000
COSTCO WHSL CORP NEW              COM   22160K105       3,538     101,280  SH     OTHER       04      75,505           0      25,775
COSTCO WHSL CORP NEW              COM   22160K105      24,313     695,910  SH     DEFINED  01,08     695,910           0           0
COSTCO WHSL CORP NEW              COM   22160K105       1,347      38,550  SH     DEFINED     10      32,950       5,600           0
COSTCO WHSL CORP NEW              COM   22160K105          79       2,275  SH     OTHER       10          75       2,200           0

COSTAR GROUP INC                  COM   22160N109         306       8,276  SH     DEFINED     01       6,658           0       1,618
COSTAR GROUP INC                  COM   22160N109       2,201      59,474  SH     DEFINED  01,08      59,474           0           0

COTELLIGENT INC                   COM   221630106          84      27,544  SH     DEFINED  01,08      27,544           0           0

COTTON STS LIFE INS CO            COM   221774102          95      10,364  SH     DEFINED  01,08      10,364           0           0

COULTER PHARMACEUTICAL INC        COM   222116105       1,096      37,969  SH     DEFINED     01      17,269      18,691       2,009
COULTER PHARMACEUTICAL INC        COM   222116105         961      33,275  SH     DEFINED     04      31,775           0       1,500
COULTER PHARMACEUTICAL INC        COM   222116105         644      22,304  SH     DEFINED  01,08      22,304           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    130
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COUNTRYWIDE CR INDS INC DEL       COM   222372104       7,528     199,408  SH     DEFINED     01     162,961      28,639       7,808
COUNTRYWIDE CR INDS INC DEL       COM   222372104           4         100  SH     OTHER       01           0           0         100
COUNTRYWIDE CR INDS INC DEL       COM   222372104           8         200  SH     OTHER       02         200           0           0
COUNTRYWIDE CR INDS INC DEL       COM   222372104          15         400  SH     DEFINED     03         200           0         200
COUNTRYWIDE CR INDS INC DEL       COM   222372104          96       2,540  SH     DEFINED     04       2,540           0           0
COUNTRYWIDE CR INDS INC DEL       COM   222372104       7,056     186,902  SH     DEFINED  01,08     186,902           0           0

COURIER CORP                      COM   222660102         157       5,400  SH     DEFINED     01       5,400           0           0
COURIER CORP                      COM   222660102         304      10,499  SH     DEFINED  01,08      10,499           0           0

COUSINS PPTYS INC                 COM   222795106         991      23,010  SH     DEFINED     01      15,565       5,900       1,545
COUSINS PPTYS INC                 COM   222795106         288       6,698  SH     DEFINED  01,08       6,698           0           0

COVAD COMMUNICATIONS GROUP INC    COM   222814204         227      16,953  SH     DEFINED     01      13,413         917       2,623
COVAD COMMUNICATIONS GROUP INC    COM   222814204          42       3,112  SH     OTHER       01         112           0       3,000
COVAD COMMUNICATIONS GROUP INC    COM   222814204          13       1,000  SH     OTHER       02       1,000           0           0
COVAD COMMUNICATIONS GROUP INC    COM   222814204           2         150  SH     DEFINED     03           0           0         150
COVAD COMMUNICATIONS GROUP INC    COM   222814204           1          60  SH     DEFINED     04          60           0           0
COVAD COMMUNICATIONS GROUP INC    COM   222814204           9         700  SH     OTHER       04         700           0           0
COVAD COMMUNICATIONS GROUP INC    COM   222814204       1,766     132,036  SH     DEFINED  01,08     132,036           0           0
COVAD COMMUNICATIONS GROUP INC    COM   222814204          69       5,150  SH     DEFINED     10       5,000         150           0

COVALENT GROUP INC                COM   222815102          48      14,695  SH     DEFINED  01,08      14,695           0           0

COVANCE INC                       COM   222816100         564      68,855  SH     DEFINED     01      58,738           0      10,117
COVANCE INC                       COM   222816100          26       3,175  SH     DEFINED     04       3,175           0           0
COVANCE INC                       COM   222816100          19       2,300  SH     OTHER       04         700           0       1,600
COVANCE INC                       COM   222816100       1,358     165,900  SH     DEFINED  01,08     165,900           0           0

COVENANT TRANS INC                COM   22284P105         163      17,492  SH     DEFINED  01,08      17,492           0           0

COVENTRY HEALTH CARE INC          COM   222862104       1,079      71,316  SH     DEFINED     01      55,166       2,100      14,050
COVENTRY HEALTH CARE INC          COM   222862104       1,675     110,771  SH     DEFINED  01,08     110,771           0           0

COVER-ALL TECHNOLOGIES INC        COM   222892101          21      37,076  SH     DEFINED  01,08      37,076           0           0

COX COMMUNICATIONS INC NEW        COM   224044107         765      20,007  SH     DEFINED     01      13,069       2,233       4,705
COX COMMUNICATIONS INC NEW        COM   224044107         174       4,542  SH     OTHER       01       3,560         982           0
COX COMMUNICATIONS INC NEW        COM   224044107          79       2,059  SH     DEFINED     03       1,541         518           0
COX COMMUNICATIONS INC NEW        COM   224044107         123       3,222  SH     DEFINED     04       3,222           0           0
COX COMMUNICATIONS INC NEW        COM   224044107          34         900  SH     OTHER       04         900           0           0
COX COMMUNICATIONS INC NEW        COM   224044107      16,931     442,641  SH     DEFINED  01,08     442,641           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    131
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
COX RADIO INC                     COM   224051102          55       3,159  SH     DEFINED     01       1,606         750         803
COX RADIO INC                     COM   224051102          39       2,250  SH     OTHER       04       2,250           0           0
COX RADIO INC                     COM   224051102       1,195      68,525  SH     DEFINED  01,08      68,525           0           0

CRAFTMADE INTL INC                COM   22413E104         103      12,600  SH     DEFINED  01,08      12,600           0           0

CRAIG CORP                        COM   224174102          55      17,500  SH     DEFINED  01,08      17,500           0           0

CRAIG JENNY INC                   COM   224206102         106      58,500  SH     DEFINED  01,08      58,500           0           0

CRANE CO                          COM   224399105       2,623     114,658  SH     DEFINED     01      88,105      20,417       6,136
CRANE CO                          COM   224399105          87       3,800  SH     DEFINED     02           0       3,800           0
CRANE CO                          COM   224399105          93       4,081  SH     OTHER       02           0       4,081           0
CRANE CO                          COM   224399105         229      10,019  SH     OTHER       04      10,019           0           0
CRANE CO                          COM   224399105       2,079      90,901  SH     DEFINED  01,08      90,901           0           0

CRAWFORD & CO                     COM   224633107         314      25,798  SH     DEFINED     01      21,649           0       4,149
CRAWFORD & CO                     COM   224633107         923      75,758  SH     DEFINED  01,08      75,758           0           0

CRAWFORD & CO                     COM   224633206         413      39,318  SH     DEFINED  01,08      39,318           0           0

CREDIT MGMT SOLUTIONS INC         COM   224905109          50      13,295  SH     DEFINED  01,08      13,295           0           0

CRAY INC                          COM   225223106           4       1,000  SH     DEFINED     01       1,000           0           0
CRAY INC                          COM   225223106         100      22,400  SH     DEFINED  01,08      22,400           0           0

CREDENCE SYS CORP                 COM   225302108         964      32,133  SH     DEFINED     01      29,926           0       2,207
CREDENCE SYS CORP                 COM   225302108         102       3,400  SH     DEFINED     04           0           0       3,400
CREDENCE SYS CORP                 COM   225302108       4,112     137,061  SH     DEFINED  01,08     137,061           0           0

CREDIT ACCEP CORP MICH            COM   225310101         389      61,671  SH     DEFINED     01      58,367           0       3,304
CREDIT ACCEP CORP MICH            COM   225310101         506      80,101  SH     DEFINED  01,08      80,101           0           0

CREE INC                          COM   225447101      14,266     122,718  SH     DEFINED     01     121,411           0       1,307
CREE INC                          COM   225447101          70         600  SH     OTHER       01         600           0           0
CREE INC                          COM   225447101      41,164     354,100  SH     DEFINED     04     354,050           0          50
CREE INC                          COM   225447101          30         260  SH     OTHER       04         260           0           0
CREE INC                          COM   225447101       3,464      29,800  SH     DEFINED  01,08      29,800           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    132
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CRESCENT REAL ESTATE EQUITIES     COM   225756105         312      13,977  SH     DEFINED     01       9,387       2,000       2,590
CRESCENT REAL ESTATE EQUITIES     COM   225756105           7         300  SH     OTHER       01         300           0           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105         112       5,000  SH     DEFINED     03         500       4,500           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105          45       2,000  SH     OTHER       03       2,000           0           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105          19         847  SH     DEFINED     04         847           0           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105          11         500  SH     OTHER       04           0           0         500
CRESCENT REAL ESTATE EQUITIES     COM   225756105         435      19,476  SH     OTHER       05      19,476           0           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105         245      10,996  SH     DEFINED  01,08      10,996           0           0
CRESCENT REAL ESTATE EQUITIES     COM   225756105          37       1,650  SH     DEFINED     09       1,650           0           0

CRESTLINE CAP CORP                COM   226153104         174       8,690  SH     DEFINED     01       5,823           0       2,867
CRESTLINE CAP CORP                COM   226153104           6         317  SH     OTHER       01         317           0           0
CRESTLINE CAP CORP                COM   226153104           1          50  SH     DEFINED     02          50           0           0
CRESTLINE CAP CORP                COM   226153104          10         484  SH     OTHER       02           0         484           0
CRESTLINE CAP CORP                COM   226153104           1          57  SH     DEFINED     04          57           0           0
CRESTLINE CAP CORP                COM   226153104          10         500  SH     OTHER       04         500           0           0
CRESTLINE CAP CORP                COM   226153104          71       3,555  SH     DEFINED  01,08       3,555           0           0

CRITICAL PATH INC                 COM   22674V100         243       3,997  SH     DEFINED     01       2,846           0       1,151
CRITICAL PATH INC                 COM   22674V100          18         300  SH     OTHER       01           0         300           0
CRITICAL PATH INC                 COM   22674V100          30         500  SH     OTHER       04         500           0           0
CRITICAL PATH INC                 COM   22674V100       3,123      51,410  SH     DEFINED  01,08      51,410           0           0

CRITICARE SYS INC                 COM   226901106          76      31,800  SH     DEFINED  01,08      31,800           0           0

CROMPTON CORP                     COM   227116100       1,307     165,923  SH     DEFINED     01     156,555       1,000       8,368
CROMPTON CORP                     COM   227116100          10       1,247  SH     DEFINED     02       1,247           0           0
CROMPTON CORP                     COM   227116100          11       1,361  SH     OTHER       02       1,361           0           0
CROMPTON CORP                     COM   227116100       2,614     331,964  SH     DEFINED  01,08     331,964           0           0

CROSS A T CO                      COM   227478104         196      36,483  SH     DEFINED  01,08      36,483           0           0

CROSS TIMBERS OIL CO              COM   227573102       1,284      66,895  SH     DEFINED     01      57,679           0       9,216
CROSS TIMBERS OIL CO              COM   227573102       2,260     117,771  SH     DEFINED  01,08     117,771           0           0

CROSSMANN CMNTYS INC              COM   22764E109          85       4,293  SH     DEFINED     01       2,960           0       1,333
CROSSMANN CMNTYS INC              COM   22764E109         323      16,347  SH     DEFINED  01,08      16,347           0           0

CROSSROADS SYS INC                COM   22765D100          80       9,355  SH     DEFINED     01       9,194           0         161
CROSSROADS SYS INC                COM   22765D100         313      36,882  SH     DEFINED  01,08      36,882           0           0

CROSSWALK COM INC                 COM   227685104          29      15,473  SH     DEFINED  01,08      15,473           0           0

CROSSWORLDS SOFTWARE INC          COM   22769P109         523      26,500  SH     DEFINED  01,08      26,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    133
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CROWN CENT PETE CORP              COM   228219101         104      11,600  SH     DEFINED  01,08      11,600           0           0

CROWN CASTLE INTL CORP            COM   228227104      12,501     402,464  SH     DEFINED     01     392,491       7,260       2,713
CROWN CASTLE INTL CORP            COM   228227104          31       1,000  SH     DEFINED     02           0       1,000           0
CROWN CASTLE INTL CORP            COM   228227104          97       3,131  SH     DEFINED     04       3,131           0           0
CROWN CASTLE INTL CORP            COM   228227104       4,887     157,326  SH     DEFINED  01,08     157,326           0           0

CROWN CORK & SEAL INC             COM   228255105       2,456     229,801  SH     DEFINED     01     185,004      40,400       4,397
CROWN CORK & SEAL INC             COM   228255105           3         300  SH     OTHER       01         100         200           0
CROWN CORK & SEAL INC             COM   228255105           7         700  SH     DEFINED     02         700           0           0
CROWN CORK & SEAL INC             COM   228255105           2         150  SH     OTHER       02           0         150           0
CROWN CORK & SEAL INC             COM   228255105          29       2,750  SH     DEFINED     03       2,450         300           0
CROWN CORK & SEAL INC             COM   228255105           1         100  SH     OTHER       03         100           0           0
CROWN CORK & SEAL INC             COM   228255105          33       3,128  SH     OTHER       04       3,128           0           0
CROWN CORK & SEAL INC             COM   228255105       2,063     193,034  SH     DEFINED  01,08     193,034           0           0

CROWN CRAFTS INC                  COM   228309100          27      25,700  SH     DEFINED  01,08      25,700           0           0

CROWN MEDIA HLDGS INC             COM   228411104         118       8,304  SH     DEFINED     01       7,382           0         922
CROWN MEDIA HLDGS INC             COM   228411104         149      10,524  SH     DEFINED  01,08      10,524           0           0

CROWN RES CORP                    COM   228569109          15      28,900  SH     DEFINED  01,08      28,900           0           0

CRYO-CELL INTL INC                COM   228895108          96      19,414  SH     DEFINED  01,08      19,414           0           0

CRYOLIFE INC                      COM   228903100         420      12,119  SH     DEFINED     01      11,805           0         314
CRYOLIFE INC                      COM   228903100         118       3,400  SH     DEFINED     04       3,400           0           0
CRYOLIFE INC                      COM   228903100         665      19,160  SH     DEFINED  01,08      19,160           0           0

CUBIC CORP                        COM   229669106         414      17,350  SH     DEFINED     01      16,913           0         437
CUBIC CORP                        COM   229669106          29       1,200  SH     DEFINED     02           0       1,200           0
CUBIC CORP                        COM   229669106         631      26,439  SH     DEFINED  01,08      26,439           0           0

CUBIST PHARMACEUTICALS INC        COM   229678107       2,955      56,754  SH     DEFINED     01      55,976           0         778
CUBIST PHARMACEUTICALS INC        COM   229678107         710      13,628  SH     DEFINED  01,08      13,628           0           0

CULLEN FROST BANKERS INC          COM   229899109       1,565      48,159  SH     DEFINED     01      25,701      11,588      10,870
CULLEN FROST BANKERS INC          COM   229899109       3,548     109,172  SH     DEFINED  01,08     109,172           0           0

CULP INC                          COM   230215105         143      35,733  SH     DEFINED  01,08      35,733           0           0

CUMMINS ENGINE INC                COM   231021106       2,775      92,704  SH     DEFINED     01      72,880      10,615       9,209
CUMMINS ENGINE INC                COM   231021106          36       1,200  SH     DEFINED     04       1,200           0           0
CUMMINS ENGINE INC                COM   231021106           7         250  SH     OTHER       04         250           0           0
CUMMINS ENGINE INC                COM   231021106       2,105      70,318  SH     DEFINED  01,08      70,318           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    134
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CUMULUS MEDIA INC                 COM   231082108         125      20,391  SH     DEFINED     01      14,260           0       6,131
CUMULUS MEDIA INC                 COM   231082108          31       5,000  SH     DEFINED     03       5,000           0           0
CUMULUS MEDIA INC                 COM   231082108         522      85,266  SH     DEFINED  01,08      85,266           0           0

CURAGEN CORP                      COM   23126R101       1,395      26,177  SH     DEFINED     01      25,234         200         743
CURAGEN CORP                      COM   23126R101       3,041      57,082  SH     DEFINED  01,08      57,082           0           0

CURATIVE HEALTH SVCS INC          COM   231264102         130      23,976  SH     DEFINED  01,08      23,976           0           0

CURIS INC                         COM   231269101           3         160  SH     DEFINED     01          30           0         130
CURIS INC                         COM   231269101          33       1,650  SH     DEFINED     04       1,650           0           0
CURIS INC                         COM   231269101         360      18,072  SH     DEFINED  01,08      18,072           0           0

CURRENT INCOME SHS INC            COM   231298100         127      11,800  SH     DEFINED     01           0      11,800           0
CURRENT INCOME SHS INC            COM   231298100           8         700  SH     OTHER       04         700           0           0

CURTISS WRIGHT CORP               COM   231561101         722      15,294  SH     DEFINED     01      14,306           0         988
CURTISS WRIGHT CORP               COM   231561101       1,209      25,624  SH     DEFINED  01,08      25,624           0           0

CUSEEME NETWORKS INC              COM   231629106          58      14,144  SH     DEFINED  01,08      14,144           0           0

CYBERIAN OUTPOST INC              COM   231914102         138      36,142  SH     DEFINED  01,08      36,142           0           0

CUTTER & BUCK INC                 COM   232217109         219      17,611  SH     DEFINED  01,08      17,611           0           0

CYBER-CARE INC                    COM   23243T105         307      48,300  SH     DEFINED     01      48,300           0           0
CYBER-CARE INC                    COM   23243T105           2         300  SH     DEFINED     04         300           0           0
CYBER-CARE INC                    COM   23243T105           8       1,300  SH     OTHER       04         300           0       1,000
CYBER-CARE INC                    COM   23243T105         276      43,417  SH     DEFINED  01,08      43,417           0           0

CYBERCASH INC                     COM   232462101           1         450  SH     DEFINED     04         450           0           0
CYBERCASH INC                     COM   232462101          91      27,896  SH     DEFINED  01,08      27,896           0           0

CYBERSOURCE CORP                  COM   23251J106         212      18,748  SH     DEFINED     01      18,122           0         626
CYBERSOURCE CORP                  COM   23251J106           2         200  SH     DEFINED     02           0           0         200
CYBERSOURCE CORP                  COM   23251J106           1         100  SH     DEFINED     04         100           0           0
CYBERSOURCE CORP                  COM   23251J106         376      33,228  SH     DEFINED  01,08      33,228           0           0

CYBERONICS INC                    COM   23251P102         519      24,222  SH     DEFINED     01      23,640           0         582
CYBERONICS INC                    COM   23251P102         665      31,004  SH     DEFINED  01,08      31,004           0           0

CYBEROPTICS CORP                  COM   232517102         126       6,867  SH     DEFINED     01       6,746           0         121
CYBEROPTICS CORP                  COM   232517102         237      12,928  SH     DEFINED  01,08      12,928           0           0

CYBEX INTL INC                    COM   23252E106          48      16,000  SH     DEFINED  01,08      16,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    135
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CYGNUS INC                        COM   232560102         241      21,906  SH     DEFINED     01      19,295           0       2,611
CYGNUS INC                        COM   232560102           6         500  SH     OTHER       04           0           0         500
CYGNUS INC                        COM   232560102         448      40,707  SH     DEFINED  01,08      40,707           0           0

CYLINK CORP                       COM   232565101         232      22,263  SH     DEFINED     01      21,872           0         391
CYLINK CORP                       COM   232565101           1         100  SH     OTHER       02           0         100           0
CYLINK CORP                       COM   232565101         409      39,200  SH     DEFINED  01,08      39,200           0           0

CYMER INC                         COM   232572107         928      30,249  SH     DEFINED     01      29,128           0       1,121
CYMER INC                         COM   232572107          12         400  SH     OTHER       01           0         400           0
CYMER INC                         COM   232572107           7         220  SH     DEFINED     03           0           0         220
CYMER INC                         COM   232572107       1,302      42,443  SH     DEFINED  01,08      42,443           0           0

CYPRESS BIOSCIENCES INC           COM   232674101           1         300  SH     DEFINED     01         300           0           0
CYPRESS BIOSCIENCES INC           COM   232674101           1         500  SH     OTHER       04         500           0           0
CYPRESS BIOSCIENCES INC           COM   232674101         104      61,552  SH     DEFINED  01,08      61,552           0           0

CYPRESS COMMUNICATIONS INC        COM   232743104          20       7,693  SH     DEFINED     01       6,671           0       1,022
CYPRESS COMMUNICATIONS INC        COM   232743104         188      70,845  SH     DEFINED  01,08      70,845           0           0

CYPRESS SEMICONDUCTOR CORP     CONV DEB 232806AE9       1,014   1,003,000  PRN    DEFINED     01   1,003,000           0           0

CYPRESS SEMICONDUCTOR CORP     CONV DEB 232806AF6         385     500,000  PRN    DEFINED     01     500,000           0           0

CYPRESS SEMICONDUCTOR CORP        COM   232806109       4,107      98,812  SH     DEFINED     01      84,076       4,200      10,536
CYPRESS SEMICONDUCTOR CORP        COM   232806109         349       8,397  SH     OTHER       01           0           0       8,397
CYPRESS SEMICONDUCTOR CORP        COM   232806109          95       2,290  SH     OTHER       04         300           0       1,990
CYPRESS SEMICONDUCTOR CORP        COM   232806109      15,497     372,858  SH     DEFINED  01,08     372,858           0           0
CYPRESS SEMICONDUCTOR CORP        COM   232806109          15         365  SH     DEFINED     10         365           0           0

CYSIVE INC                        COM   23281T108          45       6,733  SH     DEFINED     01       6,673           0          60
CYSIVE INC                        COM   23281T108           7       1,000  SH     OTHER       04       1,000           0           0
CYSIVE INC                        COM   23281T108         152      22,709  SH     DEFINED  01,08      22,709           0           0

CYRK INC                          COM   232817106          41      12,000  SH     DEFINED     01      12,000           0           0
CYRK INC                          COM   232817106          86      24,946  SH     DEFINED  01,08      24,946           0           0

CYTEC INDS INC                    COM   232820100       1,651      49,379  SH     DEFINED     01      38,944       1,952       8,483
CYTEC INDS INC                    COM   232820100          17         513  SH     OTHER       01         513           0           0
CYTEC INDS INC                    COM   232820100          23         684  SH     DEFINED     02         684           0           0
CYTEC INDS INC                    COM   232820100          32         966  SH     OTHER       02           0         966           0
CYTEC INDS INC                    COM   232820100           6         171  SH     DEFINED     04         171           0           0
CYTEC INDS INC                    COM   232820100          73       2,178  SH     OTHER       04       2,178           0           0
CYTEC INDS INC                    COM   232820100       3,948     118,087  SH     DEFINED  01,08     118,087           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    136
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
CYTOGEN CORP                      COM   232824102         500      79,237  SH     DEFINED     01      77,951           0       1,286
CYTOGEN CORP                      COM   232824102           2         300  SH     OTHER       01           0         300           0
CYTOGEN CORP                      COM   232824102           1         200  SH     DEFINED     02         200           0           0
CYTOGEN CORP                      COM   232824102         650     103,007  SH     DEFINED  01,08     103,007           0           0

CYTYC CORP                        COM   232946103       1,309      30,351  SH     DEFINED     01       1,793      27,200       1,358
CYTYC CORP                        COM   232946103         404       9,360  SH     OTHER       01           0           0       9,360
CYTYC CORP                        COM   232946103          43       1,000  SH     DEFINED     04       1,000           0           0
CYTYC CORP                        COM   232946103          13         300  SH     OTHER       04         300           0           0
CYTYC CORP                        COM   232946103       2,149      49,827  SH     DEFINED  01,08      49,827           0           0

DSI TOYS INC                      COM   232968107          24      10,300  SH     DEFINED  01,08      10,300           0           0
DSI TOYS INC                      COM   232968107           5       2,000  SH     DEFINED     10           0       2,000           0

D A CONSULTING GROUP INC          COM   233027101          28      15,100  SH     DEFINED  01,08      15,100           0           0

DDI CORP                          COM   233162106       1,268      28,648  SH     DEFINED     01      28,157           0         491
DDI CORP                          COM   233162106       1,812      40,952  SH     DEFINED  01,08      40,952           0           0

DMC STRATEX NETWORKS INC          COM   23322L106         178      11,091  SH     DEFINED     01       3,571       1,800       5,720
DMC STRATEX NETWORKS INC          COM   23322L106         206      12,800  SH     DEFINED     04       6,100           0       6,700
DMC STRATEX NETWORKS INC          COM   23322L106       1,741     108,364  SH     DEFINED  01,08     108,364           0           0

DLJ HIGH YIELD BD FD           UNDEFIND 23322Y108           5      73,307         DEFINED     03           0      18,000      55,307

DMI FURNITURE INC                 COM   233230101          26      10,000  SH     DEFINED     04      10,000           0           0
DMI FURNITURE INC                 COM   233230101          26       9,993  SH     DEFINED  01,08       9,993           0           0

DQE INC                           COM   23329J104       1,795      44,731  SH     DEFINED     01      38,964       2,452       3,315
DQE INC                           COM   23329J104         117       2,925  SH     OTHER       01           0       2,700         225
DQE INC                           COM   23329J104         140       3,501  SH     DEFINED     02       3,501           0           0
DQE INC                           COM   23329J104         104       2,598  SH     OTHER       02         159       2,439           0
DQE INC                           COM   23329J104          20         500  SH     DEFINED     03         500           0           0
DQE INC                           COM   23329J104           7         166  SH     OTHER       03         166           0           0
DQE INC                           COM   23329J104         181       4,500  SH     DEFINED     04       4,500           0           0
DQE INC                           COM   23329J104         640      15,945  SH     OTHER       04      12,945           0       3,000
DQE INC                           COM   23329J104       6,588     164,176  SH     DEFINED  01,08     164,176           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    137
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DPL INC                           COM   233293109       2,815      94,635  SH     DEFINED     01      84,858       2,690       7,087
DPL INC                           COM   233293109           9         300  SH     OTHER       01         300           0           0
DPL INC                           COM   233293109          60       2,024  SH     DEFINED     02       1,687         337           0
DPL INC                           COM   233293109          43       1,459  SH     OTHER       02         900         559           0
DPL INC                           COM   233293109         120       4,050  SH     OTHER       03           0       4,050           0
DPL INC                           COM   233293109         228       7,674  SH     DEFINED     04       6,924           0         750
DPL INC                           COM   233293109         309      10,378  SH     OTHER       04       9,856           0         522
DPL INC                           COM   233293109      10,851     364,736  SH     DEFINED  01,08     364,736           0           0
DPL INC                           COM   233293109          60       2,000  SH     DEFINED     09       2,000           0           0
DPL INC                           COM   233293109          89       3,000  SH     DEFINED     10       1,200       1,800           0
DPL INC                           COM   233293109         121       4,061  SH     OTHER       10       4,061           0           0

DRS TECHNOLOGIES INC              COM   23330X100         404      24,860  SH     DEFINED  01,08      24,860           0           0

D R HORTON INC                    COM   23331A109         944      54,948  SH     DEFINED     01      23,232      19,184      12,531
D R HORTON INC                    COM   23331A109       2,192     127,522  SH     DEFINED  01,08     127,522           0           0

DSP GROUP INC                     COM   23332B106       1,598      42,746  SH     DEFINED     01      41,872           0         874
DSP GROUP INC                     COM   23332B106       2,933      78,469  SH     DEFINED  01,08      78,469           0           0

DST SYS INC DEL                   COM   233326107       5,147      43,802  SH     DEFINED     01      37,495       4,000       2,307
DST SYS INC DEL                   COM   233326107          35         300  SH     OTHER       01         300           0           0
DST SYS INC DEL                   COM   233326107         123       1,050  SH     DEFINED     04         550           0         500
DST SYS INC DEL                   COM   233326107      20,289     172,676  SH     DEFINED  01,08     172,676           0           0

DT INDUSTRIES INC                 COM   23333J108         134      13,534  SH     DEFINED  01,08      13,534           0           0

DTE ENERGY CO                     COM   233331107       9,886     258,464  SH     DEFINED     01     207,537      36,390      14,537
DTE ENERGY CO                     COM   233331107         143       3,750  SH     OTHER       01       1,000       2,650         100
DTE ENERGY CO                     COM   233331107          29         754  SH     DEFINED     02         754           0           0
DTE ENERGY CO                     COM   233331107          58       1,510  SH     DEFINED     03           0       1,510           0
DTE ENERGY CO                     COM   233331107         109       2,846  SH     OTHER       03       1,546       1,300           0
DTE ENERGY CO                     COM   233331107         245       6,400  SH     DEFINED     04       6,400           0           0
DTE ENERGY CO                     COM   233331107         100       2,611  SH     OTHER       04       1,712           0         899
DTE ENERGY CO                     COM   233331107           2          45  SH     DEFINED     05          45           0           0
DTE ENERGY CO                     COM   233331107       8,332     217,820  SH     DEFINED  01,08     217,820           0           0
DTE ENERGY CO                     COM   233331107          38       1,000  SH     DEFINED     10       1,000           0           0
DTE ENERGY CO                     COM   233331107         229       5,985  SH     OTHER       10       1,975       4,010           0

DVI INC                           COM   233343102         579      29,785  SH     DEFINED     01      27,910           0       1,875
DVI INC                           COM   233343102         415      21,326  SH     DEFINED  01,08      21,326           0           0

DAIN RAUSCHER CORP                COM   233856103       1,864      20,043  SH     DEFINED     01      16,780         300       2,963
DAIN RAUSCHER CORP                COM   233856103       2,367      25,456  SH     DEFINED  01,08      25,456           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    138
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DAIRY MART CONVENIENCE STORES     COM   233860303          54      10,800  SH     DEFINED  01,08      10,800           0           0

DAISYTEK INTL CORP                COM   234053106           6       1,000  SH     DEFINED     01           0       1,000           0
DAISYTEK INTL CORP                COM   234053106           4         696  SH     OTHER       01           0         196         500
DAISYTEK INTL CORP                COM   234053106         145      22,997  SH     DEFINED  01,08      22,997           0           0

DAL-TILE INTL INC                 COM   23426R108         717      57,369  SH     DEFINED     01      55,386           0       1,983
DAL-TILE INTL INC                 COM   23426R108       1,091      87,290  SH     DEFINED  01,08      87,290           0           0

DALEEN TECHNOLOGIES INC           COM   23437N104         146       9,886  SH     DEFINED     01       9,711           0         175
DALEEN TECHNOLOGIES INC           COM   23437N104         371      25,063  SH     DEFINED  01,08      25,063           0           0

DALLAS SEMICONDUCTOR CORP         COM   235204104         531      16,159  SH     DEFINED     01       7,496       2,488       6,175
DALLAS SEMICONDUCTOR CORP         COM   235204104          46       1,385  SH     OTHER       01           0       1,385           0
DALLAS SEMICONDUCTOR CORP         COM   235204104          39       1,200  SH     DEFINED     02           0       1,200           0
DALLAS SEMICONDUCTOR CORP         COM   235204104          46       1,400  SH     DEFINED     04       1,400           0           0
DALLAS SEMICONDUCTOR CORP         COM   235204104          16         500  SH     DEFINED     05           0           0         500
DALLAS SEMICONDUCTOR CORP         COM   235204104       3,047      92,693  SH     DEFINED  01,08      92,693           0           0

DAMARK INTL INC                   COM   235691102           4         300  SH     DEFINED     01           0           0         300
DAMARK INTL INC                   COM   235691102         127      10,344  SH     DEFINED  01,08      10,344           0           0

DAN RIV INC GA                    COM   235774106         110      25,472  SH     DEFINED  01,08      25,472           0           0

DANA CORP                         COM   235811106       5,630     261,882  SH     DEFINED     01     218,048      37,300       6,534
DANA CORP                         COM   235811106           2         100  SH     OTHER       01         100           0           0
DANA CORP                         COM   235811106           6         300  SH     DEFINED     03           0         300           0
DANA CORP                         COM   235811106         702      32,639  SH     DEFINED     04      32,639           0           0
DANA CORP                         COM   235811106         185       8,584  SH     OTHER       04       8,584           0           0
DANA CORP                         COM   235811106       5,244     243,892  SH     DEFINED  01,08     243,892           0           0
DANA CORP                         COM   235811106          11         500  SH     DEFINED     10           0         500           0

DANAHER CORP DEL                  COM   235851102      34,480     693,057  SH     DEFINED     01     466,541      96,045     130,471
DANAHER CORP DEL                  COM   235851102       2,427      48,792  SH     OTHER       01      22,642      26,150           0
DANAHER CORP DEL                  COM   235851102         823      16,547  SH     DEFINED     02      10,397       6,150           0
DANAHER CORP DEL                  COM   235851102         291       5,850  SH     OTHER       02       2,550       2,900         400
DANAHER CORP DEL                  COM   235851102         951      19,125  SH     DEFINED     03       9,900       7,325       1,900
DANAHER CORP DEL                  COM   235851102         320       6,440  SH     OTHER       03       4,490       1,200         750
DANAHER CORP DEL                  COM   235851102         269       5,400  SH     DEFINED     04       4,700           0         700
DANAHER CORP DEL                  COM   235851102          35         700  SH     OTHER       04         700           0           0
DANAHER CORP DEL                  COM   235851102         265       5,325  SH     DEFINED     05       5,325           0           0
DANAHER CORP DEL                  COM   235851102           2          50  SH     OTHER       05           0          50           0
DANAHER CORP DEL                  COM   235851102      10,372     208,490  SH     DEFINED  01,08     208,490           0           0
DANAHER CORP DEL                  COM   235851102      31,615     635,483  SH     DEFINED     09     635,483           0           0
DANAHER CORP DEL                  COM   235851102         144       2,900  SH     DEFINED     10       2,900           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    139
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DANIELSON HLDG CORP               COM   236274106         125      30,300  SH     DEFINED     01       5,300      25,000           0
DANIELSON HLDG CORP               COM   236274106         131      31,764  SH     DEFINED  01,08      31,764           0           0

DAOU SYS INC                      COM   237015102          18      18,300  SH     DEFINED  01,08      18,300           0           0

DARDEN RESTAURANTS INC            COM   237194105       4,864     233,718  SH     DEFINED     01     187,756      31,444      14,518
DARDEN RESTAURANTS INC            COM   237194105         242      11,646  SH     OTHER       01       6,300       1,346       4,000
DARDEN RESTAURANTS INC            COM   237194105          68       3,250  SH     DEFINED     02       3,050         200           0
DARDEN RESTAURANTS INC            COM   237194105          66       3,150  SH     OTHER       02       2,350         800           0
DARDEN RESTAURANTS INC            COM   237194105          61       2,910  SH     DEFINED     03         100       2,810           0
DARDEN RESTAURANTS INC            COM   237194105         125       6,000  SH     OTHER       03       6,000           0           0
DARDEN RESTAURANTS INC            COM   237194105          10         500  SH     DEFINED     04         500           0           0
DARDEN RESTAURANTS INC            COM   237194105       1,703      81,834  SH     OTHER       04      14,622           0      67,212
DARDEN RESTAURANTS INC            COM   237194105         583      28,000  SH     DEFINED     05           0           0      28,000
DARDEN RESTAURANTS INC            COM   237194105       3,967     190,628  SH     DEFINED  01,08     190,628           0           0
DARDEN RESTAURANTS INC            COM   237194105           2         100  SH     DEFINED     10           0         100           0
DARDEN RESTAURANTS INC            COM   237194105          20         968  SH     OTHER       10         968           0           0

DARLING INTL INC                  COM   237266101          15      19,900  SH     DEFINED  01,08      19,900           0           0

DATA BROADCASTING CORP            COM   237596101         252      79,131  SH     DEFINED     01      65,093       2,000      12,038
DATA BROADCASTING CORP            COM   237596101           3       1,000  SH     DEFINED     04       1,000           0           0
DATA BROADCASTING CORP            COM   237596101         264      82,798  SH     DEFINED  01,08      82,798           0           0

DATA CRITICAL CORP DEL            COM   237622105         169      22,934  SH     DEFINED  01,08      22,934           0           0
DATA CRITICAL CORP DEL            COM   237622105           4         500  SH     DEFINED     10         500           0           0

DATA DIMENSIONS INC               COM   237654207          17      16,813  SH     DEFINED  01,08      16,813           0           0

DATA I O CORP                     COM   237690102         106      28,163  SH     DEFINED  01,08      28,163           0           0

DATA RACE INC                     COM   237842109         175      31,409  SH     DEFINED  01,08      31,409           0           0

DATA RETURN CORP                  COM   23785M104         239      11,794  SH     DEFINED     01      11,259           0         535
DATA RETURN CORP                  COM   23785M104          20       1,000  SH     DEFINED     04       1,000           0           0
DATA RETURN CORP                  COM   23785M104       1,054      52,060  SH     DEFINED  01,08      52,060           0           0

DATA SYS & SOFTWARE INC           COM   237887104          67      12,800  SH     DEFINED  01,08      12,800           0           0

DATAKEY INC                       COM   237909106          86      10,633  SH     DEFINED  01,08      10,633           0           0

DATAWATCH CORP                    COM   237917109          37      31,399  SH     OTHER       01           0      12,972      18,427
DATAWATCH CORP                    COM   237917109          15      12,600  SH     DEFINED  01,08      12,600           0           0

DATAWARE TECHNOLOGIES INC         COM   237920103          47      23,619  SH     DEFINED  01,08      23,619           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    140
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DATARAM CORP                      COM   238108203          15         750  SH     DEFINED     04         750           0           0
DATARAM CORP                      COM   238108203         828      40,660  SH     DEFINED  01,08      40,660           0           0

DATASCOPE CORP                    COM   238113104       1,138      33,981  SH     DEFINED     01      30,572       1,700       1,709
DATASCOPE CORP                    COM   238113104         649      19,376  SH     DEFINED  01,08      19,376           0           0

DATASTREAM SYS INC                COM   238124101         204      15,842  SH     DEFINED     01      15,379           0         463
DATASTREAM SYS INC                COM   238124101         397      30,854  SH     DEFINED  01,08      30,854           0           0

DATATEC SYS INC                   COM   238128102          88      20,000  SH     DEFINED     04      20,000           0           0
DATATEC SYS INC                   COM   238128102         159      36,186  SH     DEFINED  01,08      36,186           0           0

DATUM INC                         COM   238208102         329      12,668  SH     DEFINED  01,08      12,668           0           0

DAVE & BUSTERS INC                COM   23833N104           4         450  SH     DEFINED     01           0         450           0
DAVE & BUSTERS INC                COM   23833N104           0           5  SH     DEFINED     04           5           0           0
DAVE & BUSTERS INC                COM   23833N104         151      19,059  SH     DEFINED  01,08      19,059           0           0

DAVOX CORP                        COM   239208101         105      10,408  SH     DEFINED     01      10,223           0         185
DAVOX CORP                        COM   239208101         200      19,919  SH     DEFINED  01,08      19,919           0           0

DAW TECHNOLOGIES INC              COM   239220106          12      10,700  SH     DEFINED  01,08      10,700           0           0

DAWSON GEOPHYSICAL CO             COM   239359102           9         800  SH     DEFINED     01         800           0           0
DAWSON GEOPHYSICAL CO             COM   239359102         130      12,254  SH     DEFINED  01,08      12,254           0           0

DAXOR CORP                        COM   239467103           9         700  SH     DEFINED     01         700           0           0
DAXOR CORP                        COM   239467103         135      10,395  SH     DEFINED  01,08      10,395           0           0

DE BEERS CONS MINES LTD           COM   240253302         266       9,600  SH     DEFINED     01         600       9,000           0
DE BEERS CONS MINES LTD           COM   240253302          28       1,000  SH     DEFINED     02       1,000           0           0
DE BEERS CONS MINES LTD           COM   240253302          17         598  SH     DEFINED     03         598           0           0
DE BEERS CONS MINES LTD           COM   240253302         382      13,800  SH     OTHER       04      13,800           0           0

DEAN FOODS CO                     COM   242361103       1,657      49,842  SH     DEFINED     01      42,173         425       7,244
DEAN FOODS CO                     COM   242361103         295       8,886  SH     OTHER       01       8,886           0           0
DEAN FOODS CO                     COM   242361103          45       1,350  SH     DEFINED     02       1,350           0           0
DEAN FOODS CO                     COM   242361103         269       8,080  SH     OTHER       02       8,080           0           0
DEAN FOODS CO                     COM   242361103          85       2,556  SH     DEFINED     03           0       2,556           0
DEAN FOODS CO                     COM   242361103          29         877  SH     DEFINED     04           0           0         877
DEAN FOODS CO                     COM   242361103         605      18,195  SH     OTHER       04      18,195           0           0
DEAN FOODS CO                     COM   242361103       3,866     116,274  SH     DEFINED  01,08     116,274           0           0

DEB SHOPS INC                     COM   242728103         553      46,547  SH     DEFINED  01,08      46,547           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    141
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DEBT STRATEGIES FUND INC       UNDEFIND 242768109           1      20,000         OTHER       01      20,000           0           0

DECORATOR INDS INC                COM   243631207           9       2,082  SH     DEFINED     04       2,082           0           0
DECORATOR INDS INC                COM   243631207         106      25,793  SH     DEFINED  01,08      25,793           0           0

DEERE & CO                        COM   244199105      17,286     519,875  SH     DEFINED     01     401,473      95,761      22,641
DEERE & CO                        COM   244199105       1,091      32,815  SH     OTHER       01      13,915      18,900           0
DEERE & CO                        COM   244199105         179       5,373  SH     DEFINED     02       1,800       3,073         500
DEERE & CO                        COM   244199105         683      20,540  SH     OTHER       02           0      20,190         350
DEERE & CO                        COM   244199105         126       3,797  SH     DEFINED     03       1,180       2,570          47
DEERE & CO                        COM   244199105          93       2,796  SH     OTHER       03       2,556         240           0
DEERE & CO                        COM   244199105         333      10,024  SH     DEFINED     04      10,024           0           0
DEERE & CO                        COM   244199105         401      12,075  SH     OTHER       04      12,075           0           0
DEERE & CO                        COM   244199105          10         300  SH     DEFINED     05         300           0           0
DEERE & CO                        COM   244199105      38,926   1,170,709  SH     DEFINED  01,08     385,646     640,644     144,419
DEERE & CO                        COM   244199105           7         200  SH     DEFINED     09         200           0           0

DEL GLOBAL TECHNOLOGIES CORP      COM   245073101          35       3,500  SH     DEFINED     01       3,500           0           0
DEL GLOBAL TECHNOLOGIES CORP      COM   245073101         113      11,400  SH     DEFINED     04           0           0      11,400
DEL GLOBAL TECHNOLOGIES CORP      COM   245073101         114      11,568  SH     DEFINED  01,08      11,568           0           0

DEL LABS INC                      COM   245091103          19       1,530  SH     DEFINED     01           0       1,530           0
DEL LABS INC                      COM   245091103         323      26,643  SH     DEFINED  01,08      26,643           0           0

DEL MONTE FOODS CO                COM   24522P103         206      33,366  SH     DEFINED     01      25,335           0       8,031
DEL MONTE FOODS CO                COM   24522P103         365      59,019  SH     DEFINED  01,08      59,019           0           0

DELAWARE GR DIV AND INC FD INC    COM   245915103         143      11,500  SH     DEFINED     04      11,500           0           0

DELCO REMY INTL INC               COM   246626105          96      12,645  SH     DEFINED     01       8,562           0       4,083
DELCO REMY INTL INC               COM   246626105          86      11,245  SH     DEFINED  01,08      11,245           0           0

DELHAIZE AMER INC                 COM   246688105          50       2,884  SH     DEFINED     01          34           0       2,850
DELHAIZE AMER INC                 COM   246688105           6         332  SH     DEFINED     04         332           0           0
DELHAIZE AMER INC                 COM   246688105          12         666  SH     OTHER       04         666           0           0
DELHAIZE AMER INC                 COM   246688105       2,131     122,214  SH     DEFINED  01,08     122,214           0           0

DELHAIZE AMER INC                 COM   246688204         238      14,197  SH     DEFINED     01      10,727           0       3,470
DELHAIZE AMER INC                 COM   246688204           6         333  SH     DEFINED     04         333           0           0
DELHAIZE AMER INC                 COM   246688204           6         333  SH     OTHER       04         333           0           0
DELHAIZE AMER INC                 COM   246688204         225      13,461  SH     DEFINED  01,08      13,461           0           0

DELIA*S INC                       COM   246885107          41      21,600  SH     DEFINED  01,08      21,600           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    142
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DELL COMPUTER CORP                COM   247025109     128,943   4,184,832  SH     DEFINED     01   3,766,572     140,228     278,032
DELL COMPUTER CORP                COM   247025109       4,092     132,808  SH     OTHER       01      45,040      79,400       8,368
DELL COMPUTER CORP                COM   247025109       1,189      38,575  SH     DEFINED     02       9,925      25,400       3,250
DELL COMPUTER CORP                COM   247025109         494      16,030  SH     OTHER       02       5,550       9,880         600
DELL COMPUTER CORP                COM   247025109         964      31,289  SH     DEFINED     03      10,378      19,461       1,450
DELL COMPUTER CORP                COM   247025109         546      17,713  SH     OTHER       03       6,163      11,550           0
DELL COMPUTER CORP                COM   247025109       8,467     274,782  SH     DEFINED     04     254,367           0      20,415
DELL COMPUTER CORP                COM   247025109       6,094     197,795  SH     OTHER       04     183,525           0      14,270
DELL COMPUTER CORP                COM   247025109       3,293     106,887  SH     DEFINED     05      75,387      22,825       8,675
DELL COMPUTER CORP                COM   247025109         275       8,935  SH     OTHER       05       8,335         600           0
DELL COMPUTER CORP                COM   247025109     116,558   3,782,873  SH     DEFINED  01,08   3,782,873           0           0
DELL COMPUTER CORP                COM   247025109       1,108      35,968  SH     DEFINED     10      23,178      12,790           0
DELL COMPUTER CORP                COM   247025109         153       4,966  SH     OTHER       10         900       4,066           0

DELPHI AUTOMOTIVE SYS CORP        COM   247126105      15,726   1,039,743  SH     DEFINED     01     832,904     147,750      59,089
DELPHI AUTOMOTIVE SYS CORP        COM   247126105         807      53,336  SH     OTHER       01      44,357       8,375         604
DELPHI AUTOMOTIVE SYS CORP        COM   247126105          41       2,717  SH     DEFINED     02       2,274         418          25
DELPHI AUTOMOTIVE SYS CORP        COM   247126105          79       5,235  SH     OTHER       02       1,287       2,559       1,389
DELPHI AUTOMOTIVE SYS CORP        COM   247126105          60       3,939  SH     DEFINED     03       1,710       1,669         560
DELPHI AUTOMOTIVE SYS CORP        COM   247126105         114       7,512  SH     OTHER       03       4,970       2,473          69
DELPHI AUTOMOTIVE SYS CORP        COM   247126105         315      20,809  SH     DEFINED     04      20,343           0         466
DELPHI AUTOMOTIVE SYS CORP        COM   247126105         470      31,079  SH     OTHER       04      19,596           0      11,483
DELPHI AUTOMOTIVE SYS CORP        COM   247126105           5         300  SH     DEFINED     05           0           0         300
DELPHI AUTOMOTIVE SYS CORP        COM   247126105      13,216     873,773  SH     DEFINED  01,08     873,773           0           0
DELPHI AUTOMOTIVE SYS CORP        COM   247126105           3         174  SH     DEFINED     10         174           0           0
DELPHI AUTOMOTIVE SYS CORP        COM   247126105       1,305      86,274  SH     OTHER       10      81,506       4,768           0

DELPHI FINL GROUP INC             COM   247131105         435      10,730  SH     DEFINED     01       6,040       1,201       3,489
DELPHI FINL GROUP INC             COM   247131105         330       8,156  SH     DEFINED     04           0           0       8,156
DELPHI FINL GROUP INC             COM   247131105       1,578      38,975  SH     DEFINED  01,08      38,975           0           0

DELTA & PINE LD CO                COM   247357106       1,007      39,219  SH     DEFINED     01      35,093           0       4,126
DELTA & PINE LD CO                COM   247357106          13         500  SH     OTHER       01         500           0           0
DELTA & PINE LD CO                COM   247357106       1,674      65,185  SH     DEFINED  01,08      65,185           0           0

DELTA AIR LINES INC DEL           COM   247361108      10,299     232,087  SH     DEFINED     01     181,047      37,657      13,383
DELTA AIR LINES INC DEL           COM   247361108         359       8,100  SH     OTHER       01       5,000           0       3,100
DELTA AIR LINES INC DEL           COM   247361108          93       2,100  SH     DEFINED     03           0       2,100           0
DELTA AIR LINES INC DEL           COM   247361108         170       3,833  SH     DEFINED     04       2,793           0       1,040
DELTA AIR LINES INC DEL           COM   247361108          14         322  SH     OTHER       04          18           0         304
DELTA AIR LINES INC DEL           COM   247361108           9         194  SH     OTHER       05         194           0           0
DELTA AIR LINES INC DEL           COM   247361108       8,462     190,696  SH     DEFINED  01,08     190,696           0           0

DELTA APPAREL INC                 COM   247368103          42       3,570  SH     DEFINED     01       3,570           0           0
DELTA APPAREL INC                 COM   247368103          92       7,903  SH     DEFINED  01,08       7,903           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    143
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DELTATHREE COM INC                COM   24783N102          31       8,662  SH     DEFINED     01       8,296           0         366
DELTATHREE COM INC                COM   24783N102          50      13,756  SH     DEFINED  01,08      13,756           0           0

DELTEK SYS INC                    COM   24785A108          75       9,753  SH     DEFINED     01       8,533       1,000         220
DELTEK SYS INC                    COM   24785A108         196      25,618  SH     DEFINED  01,08      25,618           0           0
DELTEK SYS INC                    COM   24785A108           5         700  SH     DEFINED     10         700           0           0

DELTIC TIMBER CORP                COM   247850100         185      10,912  SH     DEFINED     01       8,723           0       2,189
DELTIC TIMBER CORP                COM   247850100           2         139  SH     OTHER       01          57          82           0
DELTIC TIMBER CORP                COM   247850100          99       5,867  SH     DEFINED  01,08       5,867           0           0

DELTA WOODSIDE INDS INC NEW       COM   247909104          40      35,700  SH     DEFINED     01      35,700           0           0
DELTA WOODSIDE INDS INC NEW       COM   247909104          89      79,046  SH     DEFINED  01,08      79,046           0           0

DENBURY RES INC                   COM   247916208          97      13,842  SH     DEFINED     01      12,614           0       1,228
DENBURY RES INC                   COM   247916208         250      35,659  SH     DEFINED  01,08      35,659           0           0

DELTA FINANCIAL CORP              COM   247918105           8      10,100  SH     DEFINED     01      10,100           0           0
DELTA FINANCIAL CORP              COM   247918105           2       2,900  SH     DEFINED  01,08       2,900           0           0

DELUXE CORP                       COM   248019101       2,635     129,716  SH     DEFINED     01     106,134      19,926       3,656
DELUXE CORP                       COM   248019101           4         200  SH     OTHER       01         200           0           0
DELUXE CORP                       COM   248019101           5         250  SH     DEFINED     02         250           0           0
DELUXE CORP                       COM   248019101          18         885  SH     DEFINED     03           0         885           0
DELUXE CORP                       COM   248019101          13         640  SH     OTHER       03         640           0           0
DELUXE CORP                       COM   248019101         244      12,002  SH     OTHER       04      12,002           0           0
DELUXE CORP                       COM   248019101       4,497     221,413  SH     DEFINED  01,08     147,913      73,500           0

DENDREON CORP                     COM   24823Q107         365      15,500  SH     DEFINED  01,08      15,500           0           0

DENDRITE INTL INC                 COM   248239105         942      35,148  SH     DEFINED     01      30,855       1,850       2,443
DENDRITE INTL INC                 COM   248239105       1,481      55,228  SH     DEFINED  01,08      55,228           0           0

DENISON INTERNATIONAL PLC         COM   248335101         553      41,900  SH     DEFINED     01           0      41,900           0

DENSE PAC MICROSYSTEMS INC        COM   248719304           3         500  SH     DEFINED     01         500           0           0
DENSE PAC MICROSYSTEMS INC        COM   248719304         139      24,663  SH     DEFINED  01,08      24,663           0           0

DENTSPLY INTL INC NEW             COM   249030107       1,244      35,595  SH     DEFINED     01      32,655         500       2,440
DENTSPLY INTL INC NEW             COM   249030107          21         600  SH     OTHER       01           0           0         600
DENTSPLY INTL INC NEW             COM   249030107         318       9,100  SH     DEFINED     04           0           0       9,100
DENTSPLY INTL INC NEW             COM   249030107       4,981     142,561  SH     DEFINED  01,08     142,561           0           0
DENTSPLY INTL INC NEW             COM   249030107          94       2,696  SH     DEFINED     09       2,696           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    144
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DEPARTMENT 56 INC                 COM   249509100           1         100  SH     DEFINED     01           0           0         100
DEPARTMENT 56 INC                 COM   249509100         501      37,997  SH     DEFINED  01,08      37,997           0           0

DESCARTES SYS GROUP INC           COM   249906108      11,850     239,400  SH     DEFINED     01     216,100           0      23,300
DESCARTES SYS GROUP INC           COM   249906108          50       1,000  SH     DEFINED     04       1,000           0           0

DESIGNS INC                       COM   25057L102          47      20,400  SH     DEFINED  01,08      20,400           0           0

DETECTION SYS INC                 COM   250644101         161      17,543  SH     DEFINED  01,08      17,543           0           0

DETROIT DIESEL CORP               COM   250837101         569      24,925  SH     DEFINED     01      23,584           0       1,341
DETROIT DIESEL CORP               COM   250837101           3         150  SH     OTHER       01           0         150           0
DETROIT DIESEL CORP               COM   250837101          46       2,000  SH     DEFINED     04       2,000           0           0
DETROIT DIESEL CORP               COM   250837101         873      38,270  SH     DEFINED  01,08      38,270           0           0
DETROIT DIESEL CORP               COM   250837101          34       1,500  SH     DEFINED     10       1,500           0           0

DEUTSCHE TELEKOM AG               COM   251566105          14         400  SH     DEFINED     01         400           0           0
DEUTSCHE TELEKOM AG               COM   251566105          36       1,042  SH     DEFINED     03         522         520           0
DEUTSCHE TELEKOM AG               COM   251566105          36       1,057  SH     DEFINED     04       1,057           0           0
DEUTSCHE TELEKOM AG               COM   251566105         377      11,000  SH     OTHER       04      11,000           0           0

DEVCON INTL CORP                  COM   251588109         121      16,634  SH     DEFINED  01,08      16,634           0           0

DEVELOPERS DIVERSIFIED RLTY CO    COM   251591103         430      33,409  SH     DEFINED     01      23,762           0       9,647
DEVELOPERS DIVERSIFIED RLTY CO    COM   251591103          12         900  SH     OTHER       01           0           0         900
DEVELOPERS DIVERSIFIED RLTY CO    COM   251591103         185      14,346  SH     DEFINED  01,08      14,346           0           0

DEVON ENERGY CORP NEW             COM   25179M103      13,237     220,061  SH     DEFINED     01     177,575      33,462       9,024
DEVON ENERGY CORP NEW             COM   25179M103          83       1,385  SH     OTHER       01          13       1,372           0
DEVON ENERGY CORP NEW             COM   25179M103           6         106  SH     OTHER       02         106           0           0
DEVON ENERGY CORP NEW             COM   25179M103          36         606  SH     DEFINED     03         276         330           0
DEVON ENERGY CORP NEW             COM   25179M103          13         220  SH     OTHER       03           0         220           0
DEVON ENERGY CORP NEW             COM   25179M103         250       4,155  SH     DEFINED     04         665           0       3,490
DEVON ENERGY CORP NEW             COM   25179M103      11,201     186,217  SH     DEFINED  01,08     186,217           0           0
DEVON ENERGY CORP NEW             COM   25179M103          20         335  SH     DEFINED     10         335           0           0

DEVRY INC DEL                     COM   251893103       9,755     259,268  SH     DEFINED     01     209,131      30,400      19,737
DEVRY INC DEL                     COM   251893103       1,847      49,102  SH     OTHER       01           0       5,000      44,102
DEVRY INC DEL                     COM   251893103       1,881      50,000  SH     DEFINED     04      50,000           0           0
DEVRY INC DEL                     COM   251893103       7,450     198,014  SH     DEFINED  01,08     198,014           0           0
DEVRY INC DEL                     COM   251893103          53       1,400  SH     DEFINED     09       1,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    145
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DEXTER CORP                       COM   252165105         811      13,515  SH     DEFINED     01      11,000           0       2,515
DEXTER CORP                       COM   252165105           0         712  SH     DEFINED     04         712           0           0
DEXTER CORP                       COM   252165105           0         300  SH     OTHER       04         300           0           0
DEXTER CORP                       COM   252165105       1,011      21,152  SH     DEFINED  01,08      21,152           0           0

DIACRIN INC                       COM   25243N103           2         300  SH     DEFINED     01           0         300           0
DIACRIN INC                       COM   25243N103         100      14,000  SH     OTHER       04           0           0      14,000
DIACRIN INC                       COM   25243N103         157      21,995  SH     DEFINED  01,08      21,995           0           0

DIAGEO P L C                      COM   25243Q205         100       2,845  SH     DEFINED     01         565       2,280           0
DIAGEO P L C                      COM   25243Q205          60       1,692  SH     OTHER       01           0       1,692           0
DIAGEO P L C                      COM   25243Q205           6         172  SH     OTHER       02           0         172           0
DIAGEO P L C                      COM   25243Q205          18         515  SH     DEFINED     03         455          60           0
DIAGEO P L C                      COM   25243Q205          22         615  SH     OTHER       03         615           0           0
DIAGEO P L C                      COM   25243Q205          15         432  SH     DEFINED     04         432           0           0
DIAGEO P L C                      COM   25243Q205          97       2,757  SH     OTHER       04       2,757           0           0

DIAGNOSTIC PRODS CORP             COM   252450101       1,295      24,144  SH     DEFINED     01      21,166         600       2,378
DIAGNOSTIC PRODS CORP             COM   252450101       1,017      18,970  SH     DEFINED  01,08      18,970           0           0

DIAL CORP NEW                     COM   25247D101       1,405     120,879  SH     DEFINED     01     107,583       1,200      12,096
DIAL CORP NEW                     COM   25247D101           5         456  SH     OTHER       01         456           0           0
DIAL CORP NEW                     COM   25247D101          57       4,865  SH     DEFINED     02         202       4,663           0
DIAL CORP NEW                     COM   25247D101          14       1,166  SH     OTHER       02         508         658           0
DIAL CORP NEW                     COM   25247D101       3,177     273,288  SH     DEFINED  01,08     273,288           0           0
DIAL CORP NEW                     COM   25247D101          21       1,800  SH     DEFINED     10       1,800           0           0

DIAMETRICS MED INC                COM   252532106         205      25,464  SH     DEFINED     01      25,027           0         437
DIAMETRICS MED INC                COM   252532106         340      42,357  SH     DEFINED  01,08      42,357           0           0

DIAMOND OFFSHORE DRILLING INC  CONV DEB 25271CAA0       2,257   2,011,000  PRN    DEFINED     01   2,000,000      11,000           0
DIAMOND OFFSHORE DRILLING INC  CONV DEB 25271CAA0          10       9,000  PRN    OTHER       01       9,000           0           0

DIAMOND OFFSHORE DRILLING INC     COM   25271C102         467      11,394  SH     DEFINED     01       6,819       2,500       2,075
DIAMOND OFFSHORE DRILLING INC     COM   25271C102          41       1,000  SH     DEFINED     02       1,000           0           0
DIAMOND OFFSHORE DRILLING INC     COM   25271C102          39         942  SH     DEFINED     04         942           0           0
DIAMOND OFFSHORE DRILLING INC     COM   25271C102       4,456     108,679  SH     DEFINED  01,08     108,679           0           0

DIAMOND TECHNOLOGY PARTNERS       COM   252762109       1,640      22,092  SH     DEFINED     01      19,483       2,000         609
DIAMOND TECHNOLOGY PARTNERS       COM   252762109         111       1,500  SH     OTHER       01           0           0       1,500
DIAMOND TECHNOLOGY PARTNERS       COM   252762109       1,995      26,862  SH     DEFINED  01,08      26,862           0           0

DIANON SYS INC                    COM   252826102          64       1,600  SH     DEFINED     01       1,600           0           0
DIANON SYS INC                    COM   252826102         452      11,332  SH     DEFINED  01,08      11,332           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    146
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DIEBOLD INC                       COM   253651103       1,350      50,809  SH     DEFINED     01      47,439           0       3,370
DIEBOLD INC                       COM   253651103          30       1,125  SH     OTHER       01           0       1,125           0
DIEBOLD INC                       COM   253651103           5         200  SH     DEFINED     02           0           0         200
DIEBOLD INC                       COM   253651103          30       1,125  SH     OTHER       02         325         800           0
DIEBOLD INC                       COM   253651103          30       1,130  SH     DEFINED     03           0           0       1,130
DIEBOLD INC                       COM   253651103          50       1,892  SH     OTHER       03       1,892           0           0
DIEBOLD INC                       COM   253651103          61       2,300  SH     DEFINED     04       1,400           0         900
DIEBOLD INC                       COM   253651103         191       7,172  SH     OTHER       04       7,172           0           0
DIEBOLD INC                       COM   253651103       5,245     197,458  SH     DEFINED  01,08     197,458           0           0

DIEDRICH COFFEE INC               COM   253675102          28      16,684  SH     DEFINED  01,08      16,684           0           0

DIGENE CORP                       COM   253752109         389      10,814  SH     DEFINED     01      10,626           0         188
DIGENE CORP                       COM   253752109           9         250  SH     DEFINED     04         250           0           0
DIGENE CORP                       COM   253752109         666      18,504  SH     DEFINED  01,08      18,504           0           0

DIGEX INC DEL                     COM   253756100          75       1,604  SH     DEFINED     01       1,194           0         410
DIGEX INC DEL                     COM   253756100       1,306      27,872  SH     DEFINED  01,08      27,872           0           0

DIGI INTL INC                     COM   253798102         103      13,100  SH     DEFINED     01      13,000           0         100
DIGI INTL INC                     COM   253798102           2         300  SH     OTHER       01           0         300           0
DIGI INTL INC                     COM   253798102         275      34,882  SH     DEFINED  01,08      34,882           0           0

DIGIMARC CORP                     COM   253807101         157       8,425  SH     DEFINED     01       8,278           0         147
DIGIMARC CORP                     COM   253807101           4         200  SH     DEFINED     04         200           0           0
DIGIMARC CORP                     COM   253807101         620      33,310  SH     DEFINED  01,08      33,310           0           0

DIGITAL BIOMETRICS INC            COM   253833107         156      24,900  SH     DEFINED  01,08      24,900           0           0

DIGITAL COURIER TECHNOLOGIES      COM   253838106          37      20,545  SH     DEFINED     01      15,963           0       4,582
DIGITAL COURIER TECHNOLOGIES      COM   253838106          34      18,869  SH     DEFINED  01,08      18,869           0           0

DIGITAL IMPACT INC DEL            COM   25385G106          47       7,199  SH     DEFINED     01       6,816           0         383
DIGITAL IMPACT INC DEL            COM   25385G106         226      34,208  SH     DEFINED  01,08      34,208           0           0

DIGITAL IS INC DEL                COM   25385N101       1,304      69,554  SH     DEFINED     01      68,396           0       1,158
DIGITAL IS INC DEL                COM   25385N101         105       5,600  SH     DEFINED     04       5,600           0           0
DIGITAL IS INC DEL                COM   25385N101       1,618      86,286  SH     DEFINED  01,08      86,286           0           0

DIGITAL INSIGHT CORP              COM   25385P106         964      26,861  SH     DEFINED     01      21,061       5,500         300
DIGITAL INSIGHT CORP              COM   25385P106          57       1,588  SH     OTHER       01           0           0       1,588
DIGITAL INSIGHT CORP              COM   25385P106       1,079      30,074  SH     DEFINED  01,08      30,074           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    147
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DIGITAL LIGHTWAVE INC             COM   253855100         207       2,857  SH     DEFINED     01         631       2,038         188
DIGITAL LIGHTWAVE INC             COM   253855100          62         850  SH     DEFINED     04         850           0           0
DIGITAL LIGHTWAVE INC             COM   253855100       2,250      30,977  SH     DEFINED  01,08      30,977           0           0

DIGITAL LIGHTHOUSE CORP           COM   25386P105          70      23,290  SH     DEFINED  01,08      23,290           0           0

DIGITAL RIV INC                   COM   25388B104         127      19,763  SH     DEFINED     01      19,417           0         346
DIGITAL RIV INC                   COM   25388B104         173      26,823  SH     DEFINED  01,08      26,823           0           0

DIGITAS INC                       COM   25388K104         166       9,360  SH     DEFINED     01       9,197           0         163
DIGITAS INC                       COM   25388K104           1          36  SH     OTHER       01           0          36           0
DIGITAS INC                       COM   25388K104       1,257      70,822  SH     DEFINED  01,08      70,822           0           0

DIGITALTHINK INC                  COM   25388M100         989      23,470  SH     DEFINED     01      23,272           0         198
DIGITALTHINK INC                  COM   25388M100       1,663      39,478  SH     DEFINED  01,08      39,478           0           0

DIGITAL GENERATION SYS INC        COM   253921100          13       3,000  SH     OTHER       04       3,000           0           0
DIGITAL GENERATION SYS INC        COM   253921100         105      24,710  SH     DEFINED  01,08      24,710           0           0

DIME CMNTY BANCSHARES             COM   253922108         376      15,200  SH     DEFINED     01      12,973           0       2,227
DIME CMNTY BANCSHARES             COM   253922108         471      19,032  SH     DEFINED  01,08      19,032           0           0

DILLARDS INC                      COM   254067101       2,282     214,801  SH     DEFINED     01     163,985      32,937      17,879
DILLARDS INC                      COM   254067101         271      25,490  SH     DEFINED     04      25,490           0           0
DILLARDS INC                      COM   254067101       1,661     156,335  SH     DEFINED  01,08     156,335           0           0

DIME BANCORP INC NEW              COM   25429Q102       1,655      76,757  SH     DEFINED     01      71,316           0       5,441
DIME BANCORP INC NEW              COM   25429Q102          34       1,600  SH     DEFINED     04       1,600           0           0
DIME BANCORP INC NEW              COM   25429Q102       6,550     303,773  SH     DEFINED  01,08     303,773           0           0

DIMON INC                         COM   254394109           1         300  SH     DEFINED     01           0           0         300
DIMON INC                         COM   254394109         193      59,435  SH     DEFINED  01,08      59,435           0           0

DIODES INC                        COM   254543101         419      27,259  SH     DEFINED  01,08      27,259           0           0

DIONEX CORP                       COM   254546104         676      24,473  SH     DEFINED     01      23,177           0       1,296
DIONEX CORP                       COM   254546104          50       1,800  SH     DEFINED     04       1,800           0           0
DIONEX CORP                       COM   254546104         162       5,880  SH     OTHER       04           0           0       5,880
DIONEX CORP                       COM   254546104       1,014      36,720  SH     DEFINED  01,08      36,720           0           0

DISCOUNT AUTO PTS INC             COM   254642101          96      12,500  SH     DEFINED     01      12,500           0           0
DISCOUNT AUTO PTS INC             COM   254642101           8       1,000  SH     OTHER       01           0       1,000           0
DISCOUNT AUTO PTS INC             COM   254642101         250      32,488  SH     DEFINED  01,08      32,488           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    148
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DISNEY WALT CO                    COM   254687106     201,343   5,263,874  SH     DEFINED     01   3,920,542   1,030,574     312,758
DISNEY WALT CO                    COM   254687106      32,656     853,760  SH     OTHER       01     516,284     293,062      44,414
DISNEY WALT CO                    COM   254687106       7,733     202,165  SH     DEFINED     02     116,928      78,383       6,854
DISNEY WALT CO                    COM   254687106       2,536      66,295  SH     OTHER       02      51,451      10,679       4,165
DISNEY WALT CO                    COM   254687106       9,324     243,773  SH     DEFINED     03     132,194     104,734       6,845
DISNEY WALT CO                    COM   254687106       6,693     174,977  SH     OTHER       03     127,860      36,317      10,800
DISNEY WALT CO                    COM   254687106      60,461   1,580,670  SH     DEFINED     04   1,529,437           0      51,233
DISNEY WALT CO                    COM   254687106      43,028   1,124,922  SH     OTHER       04   1,041,221           0      83,701
DISNEY WALT CO                    COM   254687106       5,907     154,433  SH     DEFINED     05     107,533      41,750       5,150
DISNEY WALT CO                    COM   254687106       1,560      40,793  SH     OTHER       05      17,843      22,950           0
DISNEY WALT CO                    COM   254687106     123,118   3,218,778  SH     DEFINED  01,08   3,218,778           0           0
DISNEY WALT CO                    COM   254687106         651      17,025  SH     DEFINED     09      17,025           0           0
DISNEY WALT CO                    COM   254687106          46       1,190  SH     OTHER       09       1,190           0           0
DISNEY WALT CO                    COM   254687106       3,831     100,156  SH     DEFINED     10      45,794      54,362           0
DISNEY WALT CO                    COM   254687106       1,163      30,404  SH     OTHER       10       4,540      25,864           0

DISPATCH MGMT SVCS CORP           COM   254927106          22      50,000  SH     DEFINED     04      50,000           0           0
DISPATCH MGMT SVCS CORP           COM   254927106           0         200  SH     DEFINED  01,08         200           0           0

DIRECT FOCUS INC                  COM   254931108         537      13,510  SH     DEFINED     01      12,979           0         531
DIRECT FOCUS INC                  COM   254931108         604      15,189  SH     DEFINED  01,08      15,189           0           0

DITECH COMMUNICATIONS CORP        COM   25500M103         409       9,983  SH     DEFINED     01       1,537       7,800         646
DITECH COMMUNICATIONS CORP        COM   25500M103          54       1,325  SH     DEFINED     04         325           0       1,000
DITECH COMMUNICATIONS CORP        COM   25500M103       1,357      33,104  SH     DEFINED  01,08      33,104           0           0

DIVERSA CORP                      COM   255064107         203       7,502  SH     DEFINED     01       7,287           0         215
DIVERSA CORP                      COM   255064107         188       6,954  SH     DEFINED  01,08       6,954           0           0

DIVINE INTERVENTURES INC          COM   255404105         269      71,700  SH     DEFINED  01,08      71,700           0           0

DIXIE GROUP INC                   COM   255519100          19       5,000  SH     OTHER       01           0       5,000           0
DIXIE GROUP INC                   COM   255519100         175      45,179  SH     DEFINED  01,08      45,179           0           0

DIXON TICONDEROGA CO              COM   255860108          52      11,300  SH     DEFINED  01,08      11,300           0           0

DOCUCORP INTL INC                 COM   255911109           0         120  SH     DEFINED     04         120           0           0
DOCUCORP INTL INC                 COM   255911109          69      16,915  SH     DEFINED  01,08      16,915           0           0

DOBSON COMMUNICATIONS CORP        COM   256069105          37       2,491  SH     DEFINED     01       1,842           0         649
DOBSON COMMUNICATIONS CORP        COM   256069105       1,935     131,745  SH     DEFINED  01,08     131,745           0           0

DOCUMENTUM INC                    COM   256159104       1,358      16,727  SH     DEFINED     01      16,143           0         584
DOCUMENTUM INC                    COM   256159104           4          50  SH     DEFINED     04          50           0           0
DOCUMENTUM INC                    COM   256159104       2,053      25,293  SH     DEFINED  01,08      25,293           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    149
   ________

                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                             <C>      <C>      <C>          <C>          <C>            <C>          <C>       <C>           <C>
DOLE FOOD INC                     COM   256605106         860      57,307  SH     DEFINED     01      49,288         100       7,919
DOLE FOOD INC                     COM   256605106           8         500  SH     OTHER       03         500           0           0
DOLE FOOD INC                     COM   256605106           8         560  SH     DEFINED     04         560           0           0
DOLE FOOD INC                     COM   256605106          30       2,013  SH     OTHER       04       2,013           0           0
DOLE FOOD INC                     COM   256605106       2,406     160,404  SH     DEFINED  01,08     160,404           0           0

DOLLAR GEN CORP                   COM   256669102       9,777     583,691  SH     DEFINED     01     455,665      89,808      38,218
DOLLAR GEN CORP                   COM   256669102          41       2,441  SH     OTHER       01           0       2,285         156
DOLLAR GEN CORP                   COM   256669102          10         625  SH     DEFINED     02           0         625           0
DOLLAR GEN CORP                   COM   256669102         487      29,080  SH     DEFINED     04      25,047           0       4,033
DOLLAR GEN CORP                   COM   256669102         107       6,406  SH     OTHER       04       4,500           0       1,906
DOLLAR GEN CORP                   COM   256669102       8,247     492,341  SH     DEFINED  01,08     492,341           0           0
DOLLAR GEN CORP                   COM   256669102          17       1,044  SH     DEFINED     10       1,044           0           0

DOLLAR THRIFTY AUTOMOTIVE GP      COM   256743105         440      22,256  SH     DEFINED     01      18,023           0       4,233
DOLLAR THRIFTY AUTOMOTIVE GP      COM   256743105         517      26,172  SH     DEFINED  01,08      26,172           0           0

DOLLAR TREE STORES INC            COM   256747106       2,864      70,613  SH     DEFINED     01      64,682         900       5,031
DOLLAR TREE STORES INC            COM   256747106          43       1,050  SH     OTHER       01           0           0       1,050
DOLLAR TREE STORES INC            COM   256747106          30         750  SH     DEFINED     03           0         750           0
DOLLAR TREE STORES INC            COM   256747106          20         500  SH     DEFINED     04         500           0           0
DOLLAR TREE STORES INC            COM   256747106           4          90  SH     OTHER       04           0           0          90
DOLLAR TREE STORES INC            COM   256747106      11,851     292,160  SH     DEFINED  01,08     292,160           0           0

DOMINION RES INC VA NEW           COM   25746U109      25,173     433,559  SH     DEFINED     01     344,589      61,892      27,078
DOMINION RES INC VA NEW           COM   25746U109         245       4,219  SH     OTHER       01       2,230       1,668         321
DOMINION RES INC VA NEW           COM   25746U109         347       5,973  SH     DEFINED     02         899       5,074           0
DOMINION RES INC VA NEW           COM   25746U109         148       2,554  SH     OTHER       02       1,254       1,000         300
DOMINION RES INC VA NEW           COM   25746U109         141       2,427  SH     DEFINED     03         700         127       1,600
DOMINION RES INC VA NEW           COM   25746U109           4          74  SH     OTHER       03          74           0           0
DOMINION RES INC VA NEW           COM   25746U109       1,070      18,437  SH     DEFINED     04      18,153           0         284
DOMINION RES INC VA NEW           COM   25746U109       1,466      25,241  SH     OTHER       04      22,886           0       2,355
DOMINION RES INC VA NEW           COM   25746U109      21,104     363,481  SH     DEFINED  01,08     363,481           0           0
DOMINION RES INC VA NEW           COM   25746U109           7         121  SH     DEFINED     09         121           0           0
DOMINION RES INC VA NEW           COM   25746U109          10         175  SH     DEFINED     10         175           0           0

DONALDSON INC                     COM   257651109       1,400      63,630  SH     DEFINED     01      58,123           0       5,507
DONALDSON INC                     COM   257651109          13         600  SH     OTHER       01         600           0           0
DONALDSON INC                     COM   257651109          40       1,800  SH     DEFINED     04       1,800           0           0
DONALDSON INC                     COM   257651109       2,880     130,907  SH     DEFINED  01,08     130,907           0           0

DONALDSON LUFKIN & JENRETTE NW    COM   257661108         398       4,453  SH     DEFINED     01       3,395           0       1,058
DONALDSON LUFKIN & JENRETTE NW    COM   257661108         367       4,100  SH     DEFINED     04       4,100           0           0
DONALDSON LUFKIN & JENRETTE NW    COM   257661108          48         540  SH     OTHER       04         540           0           0
DONALDSON LUFKIN & JENRETTE NW    COM   257661108       8,972     100,316  SH     DEFINED  01,08     100,316           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    150
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DONALDSON LUFKIN & JENRETTE NW    COM   257661504         112      16,333  SH     DEFINED     01      16,046           0         287
DONALDSON LUFKIN & JENRETTE NW    COM   257661504           2         250  SH     DEFINED     04         250           0           0
DONALDSON LUFKIN & JENRETTE NW    COM   257661504          28       4,023  SH     DEFINED  01,08       4,023           0           0

DONEGAL GROUP INC                 COM   257701102         109      15,043  SH     DEFINED  01,08      15,043           0           0

DONNA KARAN INTL INC              COM   257826107          79      12,800  SH     DEFINED     01      12,800           0           0
DONNA KARAN INTL INC              COM   257826107         181      29,200  SH     DEFINED  01,08      29,200           0           0

DONNELLEY R R & SONS CO           COM   257867101      54,878   2,234,281  SH     DEFINED     01   1,475,899     533,963     224,419
DONNELLEY R R & SONS CO           COM   257867101     131,104   5,337,678  SH     OTHER       01   3,998,528   1,295,323      43,827
DONNELLEY R R & SONS CO           COM   257867101         138       5,600  SH     DEFINED     02       4,400       1,200           0
DONNELLEY R R & SONS CO           COM   257867101         104       4,223  SH     OTHER       02         150       2,573       1,500
DONNELLEY R R & SONS CO           COM   257867101      11,226     457,032  SH     DEFINED     03     450,896       5,886         250
DONNELLEY R R & SONS CO           COM   257867101       2,349      95,644  SH     OTHER       03      27,744      67,900           0
DONNELLEY R R & SONS CO           COM   257867101         111       4,516  SH     DEFINED     04       4,516           0           0
DONNELLEY R R & SONS CO           COM   257867101       2,160      87,934  SH     OTHER       04      85,934           0       2,000
DONNELLEY R R & SONS CO           COM   257867101       4,426     180,193  SH     DEFINED  01,08     180,193           0           0
DONNELLEY R R & SONS CO           COM   257867101          74       3,000  SH     DEFINED     10       3,000           0           0

DONNELLY CORP                     COM   257870105         203      13,290  SH     DEFINED  01,08      13,290           0           0
DONNELLY CORP                     COM   257870105           8         502  SH     DEFINED     10           0         502           0

DORAL FINL CORP                   COM   25811P100         316      19,551  SH     DEFINED     01      13,284           0       6,267
DORAL FINL CORP                   COM   25811P100           5         300  SH     DEFINED     02         300           0           0
DORAL FINL CORP                   COM   25811P100         804      49,675  SH     DEFINED  01,08      49,675           0           0

DOT HILL SYS CORP                 COM   25848T109          41       6,339  SH     DEFINED     01       4,440           0       1,899
DOT HILL SYS CORP                 COM   25848T109           3         400  SH     OTHER       01           0         400           0
DOT HILL SYS CORP                 COM   25848T109         131      20,103  SH     DEFINED  01,08      20,103           0           0

DOUBLECLICK INC                   COM   258609304         346      10,808  SH     DEFINED     01       6,971         910       2,927
DOUBLECLICK INC                   COM   258609304           3         100  SH     DEFINED     03           0         100           0
DOUBLECLICK INC                   COM   258609304          87       2,728  SH     DEFINED     04       2,728           0           0
DOUBLECLICK INC                   COM   258609304          53       1,660  SH     OTHER       04       1,660           0           0
DOUBLECLICK INC                   COM   258609304       3,197      99,895  SH     DEFINED  01,08      99,895           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    151
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DOVER CORP                        COM   260003108      22,638     482,304  SH     DEFINED     01     386,036      66,909      29,359
DOVER CORP                        COM   260003108       2,517      53,630  SH     OTHER       01      22,600      30,830         200
DOVER CORP                        COM   260003108         127       2,700  SH     OTHER       02       1,900           0         800
DOVER CORP                        COM   260003108         286       6,100  SH     DEFINED     03       6,100           0           0
DOVER CORP                        COM   260003108         341       7,275  SH     DEFINED     04       5,100           0       2,175
DOVER CORP                        COM   260003108         188       4,000  SH     OTHER       04       4,000           0           0
DOVER CORP                        COM   260003108          14         300  SH     OTHER       05         300           0           0
DOVER CORP                        COM   260003108      14,778     314,839  SH     DEFINED  01,08     314,839           0           0
DOVER CORP                        COM   260003108       1,117      23,800  SH     DEFINED     10      18,000       5,800           0
DOVER CORP                        COM   260003108       1,609      34,287  SH     OTHER       10       6,600      27,687           0

DOVER DOWNS ENTMT INC             COM   260086103         145      10,785  SH     DEFINED     01       9,947           0         838
DOVER DOWNS ENTMT INC             COM   260086103           8         600  SH     DEFINED     04         600           0           0
DOVER DOWNS ENTMT INC             COM   260086103         116       8,600  SH     OTHER       04       8,600           0           0
DOVER DOWNS ENTMT INC             COM   260086103         407      30,301  SH     DEFINED  01,08      30,301           0           0

DOW CHEM CO                       COM   260543103      35,476   1,422,622  SH     DEFINED     01   1,158,771     215,164      48,687
DOW CHEM CO                       COM   260543103       4,930     197,697  SH     OTHER       01     124,368      46,950      26,379
DOW CHEM CO                       COM   260543103         395      15,835  SH     DEFINED     02      11,824       4,011           0
DOW CHEM CO                       COM   260543103         422      16,926  SH     OTHER       02      11,859       4,767         300
DOW CHEM CO                       COM   260543103         904      36,249  SH     DEFINED     03       9,306      20,916       6,027
DOW CHEM CO                       COM   260543103         708      28,386  SH     OTHER       03      27,057       1,329           0
DOW CHEM CO                       COM   260543103       2,235      89,607  SH     DEFINED     04      86,007           0       3,600
DOW CHEM CO                       COM   260543103       4,734     189,851  SH     OTHER       04     187,952           0       1,899
DOW CHEM CO                       COM   260543103           2          69  SH     DEFINED     05          69           0           0
DOW CHEM CO                       COM   260543103         206       8,250  SH     OTHER       05           0       8,250           0
DOW CHEM CO                       COM   260543103      25,897   1,038,501  SH     DEFINED  01,08   1,038,501           0           0
DOW CHEM CO                       COM   260543103         703      28,171  SH     DEFINED     10      11,697      13,714       2,760
DOW CHEM CO                       COM   260543103         406      16,290  SH     OTHER       10       3,000      13,290           0

DOW JONES & CO INC                COM   260561105       8,405     138,932  SH     DEFINED     01     128,098       1,321       9,513
DOW JONES & CO INC                COM   260561105         448       7,406  SH     OTHER       01           0       6,306       1,100
DOW JONES & CO INC                COM   260561105          48         800  SH     DEFINED     04         800           0           0
DOW JONES & CO INC                COM   260561105         134       2,208  SH     OTHER       04       2,208           0           0
DOW JONES & CO INC                COM   260561105       7,664     126,682  SH     DEFINED  01,08     126,682           0           0
DOW JONES & CO INC                COM   260561105          12         200  SH     DEFINED     10           0         200           0

DOWNEY FINL CORP                  COM   261018105       2,195      55,575  SH     DEFINED     01      48,330       1,800       5,445
DOWNEY FINL CORP                  COM   261018105          56       1,411  SH     DEFINED     03           0       1,411           0
DOWNEY FINL CORP                  COM   261018105         316       8,011  SH     OTHER       03         500       7,511           0
DOWNEY FINL CORP                  COM   261018105          12         300  SH     DEFINED     04         300           0           0
DOWNEY FINL CORP                  COM   261018105       3,336      84,453  SH     DEFINED  01,08      84,453           0           0

DRESS BARN INC                    COM   261570105         640      30,461  SH     DEFINED     01      25,594       1,100       3,767
DRESS BARN INC                    COM   261570105       1,436      68,396  SH     DEFINED  01,08      68,396           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    152
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DREW INDS INC                     COM   26168L205          42       6,700  SH     DEFINED     04           0           0       6,700
DREW INDS INC                     COM   26168L205         194      31,065  SH     DEFINED  01,08      31,065           0           0

DREXLER TECHNOLOGY CORP           COM   261876106         509      26,696  SH     DEFINED  01,08      26,696           0           0

DREYERS GRAND ICE CREAM INC       COM   261878102         706      32,736  SH     DEFINED     01      31,648           0       1,088
DREYERS GRAND ICE CREAM INC       COM   261878102          22       1,000  SH     OTHER       01       1,000           0           0
DREYERS GRAND ICE CREAM INC       COM   261878102          65       3,000  SH     DEFINED     03       3,000           0           0
DREYERS GRAND ICE CREAM INC       COM   261878102          30       1,400  SH     OTHER       04       1,400           0           0
DREYERS GRAND ICE CREAM INC       COM   261878102       1,698      78,736  SH     DEFINED  01,08      78,736           0           0

DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107           0       2,879         DEFINED     01           0       2,879           0
DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107           0       1,073         OTHER       01       1,073           0           0
DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107           0       1,142         OTHER       02         642         500           0
DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107         704      82,231         DEFINED     04      82,231           0           0
DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107          28       3,300         OTHER       04       3,300           0           0

DREYFUS MUN INCOME INC         UNDEFIND 26201R102           1       8,430         DEFINED     01       8,180         250           0
DREYFUS MUN INCOME INC         UNDEFIND 26201R102          10       1,229         DEFINED     04       1,229           0           0
DREYFUS MUN INCOME INC         UNDEFIND 26201R102          24       3,034         OTHER       04       1,511           0       1,523

DREYFUS STRATEGIC MUN BD FD    UNDEFIND 26202F107           0       3,216         DEFINED     01       1,468       1,748           0
DREYFUS STRATEGIC MUN BD FD    UNDEFIND 26202F107           0       1,286         OTHER       01           0       1,286           0
DREYFUS STRATEGIC MUN BD FD    UNDEFIND 26202F107           0       1,350         OTHER       02           0       1,350           0
DREYFUS STRATEGIC MUN BD FD    UNDEFIND 26202F107         214      25,594         DEFINED     04      25,594           0           0
DREYFUS STRATEGIC MUN BD FD    UNDEFIND 26202F107         248      29,564         OTHER       04      28,862           0         702

DRIL-QUIP INC                     COM   262037104         425      10,666  SH     DEFINED     01       9,400           0       1,266
DRIL-QUIP INC                     COM   262037104         808      20,258  SH     DEFINED  01,08      20,258           0           0

DRKOOP COM INC                    COM   262098106           0         100  SH     DEFINED     04         100           0           0
DRKOOP COM INC                    COM   262098106          35      30,620  SH     DEFINED  01,08      30,620           0           0

DROVERS BANCSHARES CORP           COM   262120108         159      10,148  SH     DEFINED  01,08      10,148           0           0

DRUG EMPORIUM INC                 COM   262175102           9      12,137  SH     DEFINED     01      12,137           0           0
DRUG EMPORIUM INC                 COM   262175102          24      33,100  SH     DEFINED     04       1,000           0      32,100
DRUG EMPORIUM INC                 COM   262175102          34      46,919  SH     DEFINED  01,08      46,919           0           0

DRUGSTORE COM INC                 COM   262241102          35      10,512  SH     DEFINED     01       7,289           0       3,223
DRUGSTORE COM INC                 COM   262241102           2         600  SH     DEFINED     04         100           0         500
DRUGSTORE COM INC                 COM   262241102         252      74,626  SH     DEFINED  01,08      74,626           0           0
DRUGSTORE COM INC                 COM   262241102           1         199  SH     DEFINED     10           0         199           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    153
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DSET CORP                         COM   262504103         698      33,855  SH     DEFINED     01      24,545           0       9,310
DSET CORP                         COM   262504103         303      14,715  SH     DEFINED  01,08      14,715           0           0

DSL NET INC                       COM   262506108          88      28,583  SH     DEFINED     01      28,092           0         491
DSL NET INC                       COM   262506108         270      88,259  SH     DEFINED  01,08      88,259           0           0

DU PONT E I DE NEMOURS & CO       COM   263534109     111,749   2,696,837  SH     DEFINED     01   2,145,817     437,601     113,419
DU PONT E I DE NEMOURS & CO       COM   263534109      20,981     506,326  SH     OTHER       01     287,936     185,409      32,981
DU PONT E I DE NEMOURS & CO       COM   263534109       4,205     101,479  SH     DEFINED     02      69,268      26,608       5,603
DU PONT E I DE NEMOURS & CO       COM   263534109       2,375      57,318  SH     OTHER       02      34,980       9,891      12,447
DU PONT E I DE NEMOURS & CO       COM   263534109       8,622     208,082  SH     DEFINED     03     122,844      75,883       9,355
DU PONT E I DE NEMOURS & CO       COM   263534109       4,970     119,948  SH     OTHER       03      78,750      40,948         250
DU PONT E I DE NEMOURS & CO       COM   263534109      23,579     569,031  SH     DEFINED     04     550,370           0      18,661
DU PONT E I DE NEMOURS & CO       COM   263534109      26,399     637,087  SH     OTHER       04     609,619           0      27,468
DU PONT E I DE NEMOURS & CO       COM   263534109       2,219      53,557  SH     DEFINED     05      38,072       8,650       6,835
DU PONT E I DE NEMOURS & CO       COM   263534109         754      18,199  SH     OTHER       05       6,849       8,450       2,900
DU PONT E I DE NEMOURS & CO       COM   263534109      91,057   2,197,486  SH     DEFINED  01,08   1,596,010     489,095     112,381
DU PONT E I DE NEMOURS & CO       COM   263534109         251       6,050  SH     DEFINED     09       6,050           0           0
DU PONT E I DE NEMOURS & CO       COM   263534109          59       1,425  SH     OTHER       09       1,275         150           0
DU PONT E I DE NEMOURS & CO       COM   263534109       2,708      65,344  SH     DEFINED     10      25,522      39,822           0
DU PONT E I DE NEMOURS & CO       COM   263534109         264       6,370  SH     OTHER       10       3,370       2,800         200

DUANE READE INC                   COM   263578106         448      18,493  SH     DEFINED     01      17,879           0         614
DUANE READE INC                   COM   263578106         466      19,227  SH     DEFINED  01,08      19,227           0           0

DUCK HEAD APPAREL CO INC          COM   26410P103           3       3,570  SH     DEFINED     01       3,570           0           0
DUCK HEAD APPAREL CO INC          COM   26410P103           6       7,903  SH     DEFINED  01,08       7,903           0           0

DUCOMMUN INC DEL                  COM   264147109         311      22,104  SH     DEFINED  01,08      22,104           0           0

DUFF & PHELPS UTIL CORP BD TR  UNDEFIND 26432K108           2      17,937         DEFINED     01           0      17,937           0
DUFF & PHELPS UTIL CORP BD TR  UNDEFIND 26432K108           0       1,000         OTHER       02       1,000           0           0
DUFF & PHELPS UTIL CORP BD TR  UNDEFIND 26432K108           8         700         OTHER       04         200           0         500

DUFF & PHELPS UTILS INCOME INC    COM   264324104          35       3,600  SH     DEFINED     01           0       3,600           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104          82       8,390  SH     OTHER       01       7,300       1,090           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104          30       3,030  SH     DEFINED     02       3,030           0           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104          80       8,186  SH     OTHER       02       5,930       2,256           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104          31       3,200  SH     DEFINED     03           0       2,000       1,200
DUFF & PHELPS UTILS INCOME INC    COM   264324104          24       2,500  SH     OTHER       03       2,500           0           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104         317      32,537  SH     DEFINED     04       3,727           0      28,810
DUFF & PHELPS UTILS INCOME INC    COM   264324104         112      11,520  SH     OTHER       04      11,520           0           0
DUFF & PHELPS UTILS INCOME INC    COM   264324104          24       2,500  SH     OTHER       10       2,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    154
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DUKE ENERGY CORP                  COM   264399106     107,327   1,251,627  SH     DEFINED     01     914,972     264,150      72,505
DUKE ENERGY CORP                  COM   264399106       9,086     105,956  SH     OTHER       01      53,258      49,288       3,410
DUKE ENERGY CORP                  COM   264399106       5,178      60,386  SH     DEFINED     02      44,128      14,083       2,175
DUKE ENERGY CORP                  COM   264399106       1,326      15,462  SH     OTHER       02       9,813       5,349         300
DUKE ENERGY CORP                  COM   264399106       2,941      34,295  SH     DEFINED     03      16,938      14,507       2,850
DUKE ENERGY CORP                  COM   264399106         821       9,572  SH     OTHER       03       6,224       3,348           0
DUKE ENERGY CORP                  COM   264399106      36,679     427,749  SH     DEFINED     04     406,782           0      20,967
DUKE ENERGY CORP                  COM   264399106      16,527     192,739  SH     OTHER       04     184,689           0       8,050
DUKE ENERGY CORP                  COM   264399106       3,774      44,015  SH     DEFINED     05      41,615       1,800         600
DUKE ENERGY CORP                  COM   264399106         154       1,800  SH     OTHER       05       1,800           0           0
DUKE ENERGY CORP                  COM   264399106      48,482     565,391  SH     DEFINED  01,08     565,391           0           0
DUKE ENERGY CORP                  COM   264399106          93       1,079  SH     DEFINED     09       1,079           0           0
DUKE ENERGY CORP                  COM   264399106         300       3,494  SH     DEFINED     10       2,600         894           0
DUKE ENERGY CORP                  COM   264399106         141       1,650  SH     OTHER       10       1,150         500           0

DUKE WEEKS REALTY CORP            COM   264411505         566      23,463  SH     DEFINED     01      19,894           0       3,569
DUKE WEEKS REALTY CORP            COM   264411505         643      26,654  SH     OTHER       01      26,254           0         400
DUKE WEEKS REALTY CORP            COM   264411505         314      13,000  SH     DEFINED     03           0      13,000           0
DUKE WEEKS REALTY CORP            COM   264411505          67       2,760  SH     DEFINED     04       2,760           0           0
DUKE WEEKS REALTY CORP            COM   264411505          48       2,000  SH     OTHER       04       2,000           0           0
DUKE WEEKS REALTY CORP            COM   264411505         355      14,710  SH     DEFINED  01,08      14,710           0           0

DUN & BRADSTREET CORP DEL         COM   26483B106      17,049     495,072  SH     DEFINED     01     282,281     187,830      24,961
DUN & BRADSTREET CORP DEL         COM   26483B106       6,130     177,997  SH     OTHER       01      54,986      80,347      42,664
DUN & BRADSTREET CORP DEL         COM   26483B106          41       1,200  SH     DEFINED     02         400         800           0
DUN & BRADSTREET CORP DEL         COM   26483B106         486      14,100  SH     OTHER       02       2,900       8,000       3,200
DUN & BRADSTREET CORP DEL         COM   26483B106         219       6,365  SH     DEFINED     03       2,750       3,615           0
DUN & BRADSTREET CORP DEL         COM   26483B106         270       7,850  SH     OTHER       03       4,466       3,384           0
DUN & BRADSTREET CORP DEL         COM   26483B106         224       6,500  SH     DEFINED     04       6,500           0           0
DUN & BRADSTREET CORP DEL         COM   26483B106         760      22,058  SH     OTHER       04      21,792           0         266
DUN & BRADSTREET CORP DEL         COM   26483B106      10,836     314,664  SH     DEFINED  01,08     314,664           0           0
DUN & BRADSTREET CORP DEL         COM   26483B106          15         450  SH     DEFINED     09         100         350           0
DUN & BRADSTREET CORP DEL         COM   26483B106          38       1,100  SH     DEFINED     10         800         300           0
DUN & BRADSTREET CORP DEL         COM   26483B106          24         700  SH     OTHER       10         700           0           0

DUNN COMPUTER CORP VA             COM   265771105          14      11,816  SH     DEFINED  01,08      11,816           0           0

DURA AUTOMOTIVE SYSTEMS CORP      COM   265903104          65       7,074  SH     DEFINED     01       4,957           0       2,117
DURA AUTOMOTIVE SYSTEMS CORP      COM   265903104          17       1,807  SH     DEFINED     04           0           0       1,807
DURA AUTOMOTIVE SYSTEMS CORP      COM   265903104         195      21,070  SH     DEFINED  01,08      21,070           0           0

DUPONT PHOTOMASKS INC             COM   26613X101         328       5,591  SH     DEFINED     01       5,404           0         187
DUPONT PHOTOMASKS INC             COM   26613X101       2,504      42,622  SH     DEFINED  01,08      42,622           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    155
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

DURA PHARMACEUTICALS INC          COM   26632S109       2,082      58,855  SH     DEFINED     01      49,985       1,500       7,370
DURA PHARMACEUTICALS INC          COM   26632S109         205       5,800  SH     DEFINED     03           0       5,800           0
DURA PHARMACEUTICALS INC          COM   26632S109       1,061      30,000  SH     OTHER       04      30,000           0           0
DURA PHARMACEUTICALS INC          COM   26632S109       2,874      81,256  SH     DEFINED  01,08      81,256           0           0

DURAMED PHARMACEUTICALS INC       COM   266354109         133      22,700  SH     DEFINED     01      22,700           0           0
DURAMED PHARMACEUTICALS INC       COM   266354109         201      34,467  SH     DEFINED  01,08      34,467           0           0

DUSA PHARMACEUTICALS INC          COM   266898105         432      14,036  SH     DEFINED     01      13,793           0         243
DUSA PHARMACEUTICALS INC          COM   266898105         105       3,395  SH     DEFINED  01,08       3,395           0           0

DYAX CORP                         COM   26746E103         582      13,300  SH     DEFINED  01,08      13,300           0           0

DYCOM INDS INC                    COM   267475101         304       7,298  SH     DEFINED     01       2,324       1,250       3,724
DYCOM INDS INC                    COM   267475101          62       1,500  SH     DEFINED     03           0       1,500           0
DYCOM INDS INC                    COM   267475101          31         737  SH     OTHER       04         737           0           0
DYCOM INDS INC                    COM   267475101       2,376      57,089  SH     DEFINED  01,08      57,089           0           0
DYCOM INDS INC                    COM   267475101          12         300  SH     DEFINED     10         300           0           0

EA ENGR SCIENCE&TECHNOLOGY INC    COM   267911105          28      26,750  SH     DEFINED  01,08      26,750           0           0

DYNAMIC HEALTHCARE TECHNOLOGS     COM   267927101           6       6,000  SH     DEFINED     04       6,000           0           0
DYNAMIC HEALTHCARE TECHNOLOGS     COM   267927101           7       6,332  SH     DEFINED  01,08       6,332           0           0

DYNAMICS RESH CORP                COM   268057106         232      30,905  SH     DEFINED  01,08      30,905           0           0

DYNEGY INC NEW                    COM   26816Q101      21,433     376,016  SH     DEFINED     01     358,424         200      17,392
DYNEGY INC NEW                    COM   26816Q101         134       2,358  SH     OTHER       01         800       1,558           0
DYNEGY INC NEW                    COM   26816Q101          40         694  SH     OTHER       02         694           0           0
DYNEGY INC NEW                    COM   26816Q101          57       1,000  SH     DEFINED     03           0           0       1,000
DYNEGY INC NEW                    COM   26816Q101         500       8,774  SH     DEFINED     04         774           0       8,000
DYNEGY INC NEW                    COM   26816Q101         194       3,400  SH     OTHER       04       3,400           0           0
DYNEGY INC NEW                    COM   26816Q101      47,881     840,020  SH     DEFINED  01,08     840,020           0           0

EBT INTL INC                      COM   268248101          34       6,800  SH     DEFINED     01       6,800           0           0
EBT INTL INC                      COM   268248101         121      24,371  SH     DEFINED  01,08      24,371           0           0

ECCS INC                          COM   26825H100          39      13,997  SH     DEFINED  01,08      13,997           0           0

ECC INTL CORP                     COM   268255106          84      23,044  SH     DEFINED  01,08      23,044           0           0

ECI TELECOM LTD                   COM   268258100           6         200  SH     DEFINED     01           0           0         200
ECI TELECOM LTD                   COM   268258100          31       1,001  SH     DEFINED     03           0       1,000           1
ECI TELECOM LTD                   COM   268258100         426      13,900  SH     DEFINED     04      13,900           0           0
ECI TELECOM LTD                   COM   268258100          64       2,100  SH     OTHER       04       1,900           0         200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    156
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EDAP TMS S A                      COM   268311107          27      21,200  SH     DEFINED     04           0           0      21,200

EEX CORP                          COM   26842V207          89      18,445  SH     DEFINED     01      12,981           0       5,464
EEX CORP                          COM   26842V207          70      14,500  SH     DEFINED     04           0           0      14,500
EEX CORP                          COM   26842V207           3         549  SH     DEFINED     05         549           0           0
EEX CORP                          COM   26842V207         149      30,954  SH     DEFINED  01,08      30,954           0           0

EFTC CORP                         COM   268443108          36      17,301  SH     DEFINED  01,08      17,301           0           0

E4L INC                           COM   268452109           3      13,100  SH     DEFINED     01      13,100           0           0
E4L INC                           COM   268452109          10      41,440  SH     DEFINED  01,08      41,440           0           0

EGL INC                           COM   268484102       9,565     316,204  SH     DEFINED     01     294,053       1,000      21,151
EGL INC                           COM   268484102       1,302      43,025  SH     DEFINED  01,08      43,025           0           0

E-LOAN INC                        COM   26861P107          24       5,673  SH     DEFINED     01       4,059           0       1,614
E-LOAN INC                        COM   26861P107         183      43,810  SH     DEFINED  01,08      43,810           0           0

E M C CORP MASS                   COM   268648102     766,704   7,734,719  SH     DEFINED     01   5,784,761   1,570,157     379,801
E M C CORP MASS                   COM   268648102      64,928     655,015  SH     OTHER       01     325,527     231,438      98,050
E M C CORP MASS                   COM   268648102      11,283     113,827  SH     DEFINED     02      27,674      80,278       5,875
E M C CORP MASS                   COM   268648102       3,369      33,985  SH     OTHER       02       8,140      22,345       3,500
E M C CORP MASS                   COM   268648102      52,871     533,377  SH     DEFINED     03     239,050     266,212      28,115
E M C CORP MASS                   COM   268648102       7,507      75,730  SH     OTHER       03      37,240      37,315       1,175
E M C CORP MASS                   COM   268648102     218,486   2,204,148  SH     DEFINED     04   2,072,313           0     131,835
E M C CORP MASS                   COM   268648102      76,016     766,868  SH     OTHER       04     736,242           0      30,626
E M C CORP MASS                   COM   268648102      19,622     197,957  SH     DEFINED     05     143,887      40,570      13,500
E M C CORP MASS                   COM   268648102       2,220      22,400  SH     OTHER       05      14,700       6,700       1,000
E M C CORP MASS                   COM   268648102     333,469   3,364,128  SH     DEFINED  01,08   3,311,970      52,158           0
E M C CORP MASS                   COM   268648102       9,201      92,819  SH     DEFINED     09      92,819           0           0
E M C CORP MASS                   COM   268648102          40         400  SH     OTHER       09         300         100           0
E M C CORP MASS                   COM   268648102       9,763      98,493  SH     DEFINED     10      70,769      27,724           0
E M C CORP MASS                   COM   268648102         718       7,248  SH     OTHER       10       1,825       5,423           0

EMC INS GROUP INC                 COM   268664109         321      31,280  SH     DEFINED  01,08      31,280           0           0

EMS TECHNOLOGIES INC              COM   26873N108         138       9,225  SH     DEFINED     01       9,225           0           0
EMS TECHNOLOGIES INC              COM   26873N108         209      13,920  SH     DEFINED  01,08      13,920           0           0

E MEDSOFT COM                     COM   26873Q101         102      38,904  SH     DEFINED     01      37,656           0       1,248
E MEDSOFT COM                     COM   26873Q101          26       9,819  SH     DEFINED  01,08       9,819           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    157
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ENSCO INTL INC                    COM   26874Q100      19,415     507,592  SH     DEFINED     01     488,572       7,300      11,720
ENSCO INTL INC                    COM   26874Q100         115       3,000  SH     OTHER       01       3,000           0           0
ENSCO INTL INC                    COM   26874Q100          21         550  SH     OTHER       04         250           0         300
ENSCO INTL INC                    COM   26874Q100          38       1,000  SH     OTHER       05       1,000           0           0
ENSCO INTL INC                    COM   26874Q100      15,505     405,353  SH     DEFINED  01,08     405,353           0           0

EOG RES INC                       COM   26875P101      16,809     432,386  SH     DEFINED     01     385,977      36,000      10,409
EOG RES INC                       COM   26875P101         890      22,900  SH     OTHER       01           0           0      22,900
EOG RES INC                       COM   26875P101         167       4,300  SH     DEFINED     04       4,300           0           0
EOG RES INC                       COM   26875P101          12         310  SH     OTHER       04           0           0         310
EOG RES INC                       COM   26875P101       4,297     110,541  SH     DEFINED  01,08     110,541           0           0

EON COMMUNICATIONS CORP           COM   268763109          41      13,681  SH     DEFINED  01,08      13,681           0           0

EP MEDSYSTEMS INC                 COM   26881P103          84      17,752  SH     DEFINED  01,08      17,752           0           0

EPIX MEDICAL INC                  COM   26881Q101         214      15,263  SH     DEFINED  01,08      15,263           0           0

E PIPHANY INC                     COM   26881V100         284       3,684  SH     DEFINED     01       1,383       1,900         401
E PIPHANY INC                     COM   26881V100          74         959  SH     OTHER       03           0         959           0
E PIPHANY INC                     COM   26881V100       3,607      46,802  SH     DEFINED  01,08      46,802           0           0

ESB FINL CORP                     COM   26884F102           8         825  SH     DEFINED     01         825           0           0
ESB FINL CORP                     COM   26884F102          87       9,212  SH     DEFINED  01,08       9,212           0           0

EPL TECHNOLOGIES INC              COM   268920204           2       1,500  SH     OTHER       01           0       1,500           0
EPL TECHNOLOGIES INC              COM   268920204           3       2,500  SH     OTHER       04       2,500           0           0
EPL TECHNOLOGIES INC              COM   268920204          10       9,907  SH     DEFINED  01,08       9,907           0           0

ESPS INC                          COM   269129102          37      11,073  SH     DEFINED  01,08      11,073           0           0

ESS TECHNOLOGY INC                COM   269151106         789      55,132  SH     DEFINED     01      52,110           0       3,022
ESS TECHNOLOGY INC                COM   269151106         916      64,033  SH     DEFINED  01,08      64,033           0           0

E SPIRE COMMUNICATIONS INC        COM   269153102         140      47,765  SH     DEFINED     01      44,997           0       2,768
E SPIRE COMMUNICATIONS INC        COM   269153102          23       7,678  SH     OTHER       01           0           0       7,678
E SPIRE COMMUNICATIONS INC        COM   269153102           3       1,000  SH     OTHER       04       1,000           0           0
E SPIRE COMMUNICATIONS INC        COM   269153102         242      82,330  SH     DEFINED  01,08      82,330           0           0

E-STAMP CORP                      COM   269154100           3       3,000  SH     DEFINED     03           0       3,000           0
E-STAMP CORP                      COM   269154100           0         400  SH     DEFINED     04         400           0           0
E-STAMP CORP                      COM   269154100          37      40,682  SH     DEFINED  01,08      40,682           0           0

E TOWN                            COM   269242103         946      14,148  SH     DEFINED     01      13,153           0         995
E TOWN                            COM   269242103       1,003      14,999  SH     DEFINED  01,08      14,999           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    158
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

E TRADE GROUP INC                 COM   269246104       3,140     191,016  SH     DEFINED     01     178,668         400      11,948
E TRADE GROUP INC                 COM   269246104         161       9,800  SH     DEFINED     04       9,800           0           0
E TRADE GROUP INC                 COM   269246104          10         600  SH     OTHER       04         600           0           0
E TRADE GROUP INC                 COM   269246104      13,586     826,534  SH     DEFINED  01,08     826,534           0           0

E Z EM INC                        COM   269305207          96      13,182  SH     DEFINED  01,08      13,182           0           0

EAGLE FOOD CENTERS INC            COM   269514105           0         322  SH     DEFINED     01         258           0          64
EAGLE FOOD CENTERS INC            COM   269514105           0          64  SH     DEFINED     03           0          64           0
EAGLE FOOD CENTERS INC            COM   269514105          28      27,900  SH     DEFINED  01,08      27,900           0           0

EAGLE POINT SOFTWARE              COM   269824108          49      11,500  SH     DEFINED  01,08      11,500           0           0

EARTHCARE CO                      COM   27031N105         130      24,236  SH     DEFINED  01,08      24,236           0           0

EARTHGRAINS CO                    COM   270319106       1,179      63,946  SH     DEFINED     01      54,486           0       9,460
EARTHGRAINS CO                    COM   270319106          16         844  SH     OTHER       01         844           0           0
EARTHGRAINS CO                    COM   270319106          13         720  SH     DEFINED     03           0         720           0
EARTHGRAINS CO                    COM   270319106          12         640  SH     OTHER       03         640           0           0
EARTHGRAINS CO                    COM   270319106           1          80  SH     DEFINED     04          80           0           0
EARTHGRAINS CO                    COM   270319106          19       1,048  SH     OTHER       04       1,048           0           0
EARTHGRAINS CO                    COM   270319106       1,470      79,716  SH     DEFINED  01,08      79,716           0           0
EARTHGRAINS CO                    COM   270319106          18         960  SH     DEFINED     10         960           0           0

EARTHSHELL CORP                   COM   27032B100          38      30,140  SH     DEFINED     01      29,123         500         517
EARTHSHELL CORP                   COM   27032B100          13      10,000  SH     OTHER       01      10,000           0           0
EARTHSHELL CORP                   COM   27032B100         165     131,827  SH     DEFINED  01,08     131,827           0           0

EARTHWEB INC                      COM   27032C108         342      40,712  SH     DEFINED  01,08      40,712           0           0

EARTHLINK INC                     COM   270321102          65       7,075  SH     DEFINED     01       5,810           0       1,265
EARTHLINK INC                     COM   270321102           1         142  SH     DEFINED     03           0         142           0
EARTHLINK INC                     COM   270321102          72       7,872  SH     DEFINED     04       7,872           0           0
EARTHLINK INC                     COM   270321102           5         584  SH     OTHER       04         261           0         323
EARTHLINK INC                     COM   270321102       1,557     170,672  SH     DEFINED  01,08     170,672           0           0

EAST WEST BANCORP INC             COM   27579R104         720      36,789  SH     DEFINED     01       9,186      23,300       4,303
EAST WEST BANCORP INC             COM   27579R104         474      24,237  SH     DEFINED  01,08      24,237           0           0

EASTERN CO                        COM   276317104         153      13,190  SH     DEFINED  01,08      13,190           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    159
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EASTERN ENTERPRISES               COM   27637F100       3,172      49,710  SH     DEFINED     01      39,215       6,909       3,586
EASTERN ENTERPRISES               COM   27637F100          64       1,000  SH     OTHER       01       1,000           0           0
EASTERN ENTERPRISES               COM   27637F100         300       4,700  SH     DEFINED     03         300           0       4,400
EASTERN ENTERPRISES               COM   27637F100         122       1,917  SH     DEFINED     04       1,917           0           0
EASTERN ENTERPRISES               COM   27637F100          33         516  SH     OTHER       05         516           0           0
EASTERN ENTERPRISES               COM   27637F100       4,569      71,594  SH     DEFINED  01,08      71,594           0           0

EASTGROUP PPTY INC                COM   277276101         207       9,318  SH     DEFINED     01       6,338           0       2,980
EASTGROUP PPTY INC                COM   277276101          67       3,000  SH     DEFINED     04       1,500           0       1,500
EASTGROUP PPTY INC                COM   277276101          86       3,860  SH     DEFINED  01,08       3,860           0           0

EASTMAN CHEM CO                   COM   277432100       5,357     145,024  SH     DEFINED     01     115,868      24,290       4,866
EASTMAN CHEM CO                   COM   277432100         160       4,328  SH     OTHER       01       1,788         493       2,047
EASTMAN CHEM CO                   COM   277432100          27         731  SH     DEFINED     02         731           0           0
EASTMAN CHEM CO                   COM   277432100           6         150  SH     OTHER       02         150           0           0
EASTMAN CHEM CO                   COM   277432100          34         932  SH     DEFINED     03         187         745           0
EASTMAN CHEM CO                   COM   277432100          37       1,003  SH     OTHER       03         823         180           0
EASTMAN CHEM CO                   COM   277432100         377      10,209  SH     DEFINED     04      10,001           0         208
EASTMAN CHEM CO                   COM   277432100         289       7,832  SH     OTHER       04       7,464           0         368
EASTMAN CHEM CO                   COM   277432100          14         375  SH     DEFINED     05         375           0           0
EASTMAN CHEM CO                   COM   277432100       4,436     120,089  SH     DEFINED  01,08     110,139       9,950           0
EASTMAN CHEM CO                   COM   277432100           9         250  SH     OTHER       10         250           0           0

EASTMAN KODAK CO                  COM   277461109      24,525     600,006  SH     DEFINED     01     478,892      90,456      30,658
EASTMAN KODAK CO                  COM   277461109       1,021      24,989  SH     OTHER       01      16,793       7,157       1,039
EASTMAN KODAK CO                  COM   277461109         239       5,840  SH     DEFINED     02       5,215         625           0
EASTMAN KODAK CO                  COM   277461109         188       4,595  SH     OTHER       02       3,044       1,551           0
EASTMAN KODAK CO                  COM   277461109         149       3,649  SH     DEFINED     03       1,100       2,549           0
EASTMAN KODAK CO                  COM   277461109         399       9,759  SH     OTHER       03       9,041         718           0
EASTMAN KODAK CO                  COM   277461109       2,959      72,388  SH     DEFINED     04      72,156           0         232
EASTMAN KODAK CO                  COM   277461109       2,170      53,077  SH     OTHER       04      49,072           0       4,005
EASTMAN KODAK CO                  COM   277461109          63       1,533  SH     DEFINED     05       1,533           0           0
EASTMAN KODAK CO                  COM   277461109      39,946     977,265  SH     DEFINED  01,08     491,034     404,869      81,362
EASTMAN KODAK CO                  COM   277461109          44       1,065  SH     DEFINED     10         565         500           0
EASTMAN KODAK CO                  COM   277461109          82       2,000  SH     OTHER       10       1,000       1,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    160
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EATON CORP                        COM   278058102       8,600     139,558  SH     DEFINED     01     113,528      19,075       6,955
EATON CORP                        COM   278058102         145       2,348  SH     OTHER       01       1,348         900         100
EATON CORP                        COM   278058102          87       1,404  SH     DEFINED     02       1,000         404           0
EATON CORP                        COM   278058102         432       7,008  SH     OTHER       02       3,708       3,300           0
EATON CORP                        COM   278058102         201       3,265  SH     DEFINED     03       1,900       1,365           0
EATON CORP                        COM   278058102         481       7,800  SH     OTHER       03           0           0       7,800
EATON CORP                        COM   278058102         214       3,475  SH     DEFINED     04       3,475           0           0
EATON CORP                        COM   278058102         752      12,199  SH     OTHER       04       7,499           0       4,700
EATON CORP                        COM   278058102       6,928     112,426  SH     DEFINED  01,08     112,426           0           0
EATON CORP                        COM   278058102          62       1,000  SH     DEFINED     10         100         900           0
EATON CORP                        COM   278058102          15         245  SH     OTHER       10         150          95           0

EATON VANCE CORP                  COM   278265103      13,130     257,457  SH     DEFINED     01     236,724       1,400      19,333
EATON VANCE CORP                  COM   278265103          63       1,230  SH     OTHER       01           0       1,230           0
EATON VANCE CORP                  COM   278265103         612      12,000  SH     DEFINED     02      12,000           0           0
EATON VANCE CORP                  COM   278265103          15         300  SH     DEFINED     04         300           0           0
EATON VANCE CORP                  COM   278265103       3,830      75,105  SH     DEFINED  01,08      75,105           0           0

EBAY INC                          COM   278642103      66,096     962,273  SH     DEFINED     01     957,717       1,100       3,456
EBAY INC                          COM   278642103          23         330  SH     OTHER       01         130         200           0
EBAY INC                          COM   278642103           7         100  SH     DEFINED     03           0         100           0
EBAY INC                          COM   278642103          82       1,200  SH     DEFINED     04       1,200           0           0
EBAY INC                          COM   278642103         168       2,440  SH     OTHER       04       2,440           0           0
EBAY INC                          COM   278642103      14,202     206,757  SH     DEFINED  01,08     206,757           0           0
EBAY INC                          COM   278642103          43         630  SH     DEFINED     10          30         600           0

EBENX INC                         COM   278668108          57       4,999  SH     DEFINED     01       4,905           0          94
EBENX INC                         COM   278668108         137      12,133  SH     DEFINED  01,08      12,133           0           0

EBIX COM INC                      COM   278715107          36      10,000  SH     DEFINED     01           0           0      10,000
EBIX COM INC                      COM   278715107          44      12,473  SH     DEFINED  01,08      12,473           0           0

ECHELON CORP                      COM   27874N105          86       2,935  SH     DEFINED     01       1,002       1,200         733
ECHELON CORP                      COM   27874N105           3         100  SH     DEFINED     04         100           0           0
ECHELON CORP                      COM   27874N105       1,165      39,655  SH     DEFINED  01,08      39,655           0           0

ECHO BAY MINES LTD                COM   278751102           7       9,300  SH     DEFINED     01       9,300           0           0
ECHO BAY MINES LTD                COM   278751102           0         100  SH     OTHER       02         100           0           0
ECHO BAY MINES LTD                COM   278751102           1       1,491  SH     DEFINED     03           0       1,491           0
ECHO BAY MINES LTD                COM   278751102           0         550  SH     OTHER       04         550           0           0
ECHO BAY MINES LTD                COM   278751102          33      44,330  SH     DEFINED  01,08      44,330           0           0

ECHOSTAR COMMUNICATIONS NEW    CONV DEB 278762AD1       2,640   2,000,000  PRN    DEFINED     01   2,000,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    161
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ECHOSTAR COMMUNICATIONS NEW       COM   278762109       1,177      22,312  SH     DEFINED     01       5,502      13,100       3,710
ECHOSTAR COMMUNICATIONS NEW       COM   278762109          26         500  SH     OTHER       01           0         500           0
ECHOSTAR COMMUNICATIONS NEW       COM   278762109           5         100  SH     DEFINED     03           0         100           0
ECHOSTAR COMMUNICATIONS NEW       COM   278762109          21         400  SH     DEFINED     04         400           0           0
ECHOSTAR COMMUNICATIONS NEW       COM   278762109          69       1,300  SH     OTHER       04       1,300           0           0
ECHOSTAR COMMUNICATIONS NEW       COM   278762109       9,543     180,902  SH     DEFINED  01,08     180,902           0           0
ECHOSTAR COMMUNICATIONS NEW       COM   278762109          11         200  SH     DEFINED     10           0         200           0

ECLIPSE SURGICAL TECHNOLOGIES     COM   278849104          41      10,140  SH     DEFINED     01      10,140           0           0
ECLIPSE SURGICAL TECHNOLOGIES     COM   278849104          12       3,110  SH     OTHER       01           0           0       3,110
ECLIPSE SURGICAL TECHNOLOGIES     COM   278849104         155      38,690  SH     DEFINED  01,08      38,690           0           0

ECLIPSYS CORP                     COM   278856109         566      35,352  SH     DEFINED     01      33,874           0       1,478
ECLIPSYS CORP                     COM   278856109         713      44,556  SH     DEFINED  01,08      44,556           0           0

ECOLAB INC                        COM   278865100       9,474     262,719  SH     DEFINED     01     201,671      46,725      14,323
ECOLAB INC                        COM   278865100         193       5,350  SH     OTHER       01       4,325         925         100
ECOLAB INC                        COM   278865100       1,305      36,175  SH     DEFINED     03      12,105      19,415       4,655
ECOLAB INC                        COM   278865100         169       4,700  SH     OTHER       03       2,000       2,400         300
ECOLAB INC                        COM   278865100         146       4,056  SH     DEFINED     04       4,056           0           0
ECOLAB INC                        COM   278865100          79       2,200  SH     OTHER       04         600           0       1,600
ECOLAB INC                        COM   278865100           2          55  SH     DEFINED     05          55           0           0
ECOLAB INC                        COM   278865100          33         925  SH     OTHER       05           0         925           0
ECOLAB INC                        COM   278865100       6,941     192,472  SH     DEFINED  01,08     192,472           0           0
ECOLAB INC                        COM   278865100           5         150  SH     DEFINED     09         150           0           0

ECOLLEGE COM                      COM   27887E100         209      26,107  SH     DEFINED  01,08      26,107           0           0

EDELBROCK CORP                    COM   279434104          12       1,100  SH     DEFINED     01       1,100           0           0
EDELBROCK CORP                    COM   279434104          75       6,800  SH     DEFINED     04           0           0       6,800
EDELBROCK CORP                    COM   279434104          79       7,100  SH     DEFINED  01,08       7,100           0           0

EDGAR ONLINE INC                  COM   279765101          50      10,585  SH     DEFINED  01,08      10,585           0           0

EDGEWATER TECHNOLOGY INC          COM   280358102          29       5,450  SH     DEFINED     01       5,450           0           0
EDGEWATER TECHNOLOGY INC          COM   280358102         243      46,324  SH     DEFINED  01,08      46,324           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    162
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EDISON INTL                       COM   281020107      12,654     655,251  SH     DEFINED     01     524,510      83,931      46,810
EDISON INTL                       COM   281020107         158       8,200  SH     OTHER       01       2,400       1,000       4,800
EDISON INTL                       COM   281020107          52       2,673  SH     DEFINED     02       2,673           0           0
EDISON INTL                       COM   281020107         186       9,618  SH     OTHER       02       4,700       3,718       1,200
EDISON INTL                       COM   281020107         624      32,334  SH     DEFINED     03      14,850      15,022       2,462
EDISON INTL                       COM   281020107         350      18,100  SH     OTHER       03      15,800       1,500         800
EDISON INTL                       COM   281020107         231      11,975  SH     DEFINED     04      11,975           0           0
EDISON INTL                       COM   281020107         146       7,568  SH     OTHER       04       7,568           0           0
EDISON INTL                       COM   281020107       9,773     506,084  SH     DEFINED  01,08     506,084           0           0
EDISON INTL                       COM   281020107          39       2,000  SH     OTHER       10       2,000           0           0

EDISON SCHOOLS INC                COM   281033100         291       9,161  SH     DEFINED     01       6,884           0       2,277
EDISON SCHOOLS INC                COM   281033100       1,214      38,227  SH     DEFINED  01,08      38,227           0           0

EDO CORP                          COM   281347104       1,260     143,000  SH     DEFINED     04     143,000           0           0
EDO CORP                          COM   281347104         142      16,148  SH     DEFINED  01,08      16,148           0           0

EDUCATION MGMT CORP               COM   28139T101         566      21,005  SH     DEFINED     01      20,340           0         665
EDUCATION MGMT CORP               COM   28139T101       1,146      42,553  SH     DEFINED  01,08      42,553           0           0

EDUCATIONAL DEV CORP              COM   281479105          41      13,398  SH     DEFINED  01,08      13,398           0           0

J D EDWARDS & CO                  COM   281667105       1,390      53,707  SH     DEFINED     01      51,027           0       2,680
J D EDWARDS & CO                  COM   281667105       2,892     111,770  SH     DEFINED  01,08     111,770           0           0

EDWARDS LIFESCIENCES CORP         COM   28176E108      11,298     517,991  SH     DEFINED     01     451,634      21,388      44,969
EDWARDS LIFESCIENCES CORP         COM   28176E108         277      12,717  SH     OTHER       01       6,288       6,409          20
EDWARDS LIFESCIENCES CORP         COM   28176E108          54       2,461  SH     DEFINED     02       1,805         596          60
EDWARDS LIFESCIENCES CORP         COM   28176E108          26       1,173  SH     OTHER       02         773           0         400
EDWARDS LIFESCIENCES CORP         COM   28176E108         414      18,987  SH     DEFINED     03      18,418         299         270
EDWARDS LIFESCIENCES CORP         COM   28176E108          40       1,828  SH     OTHER       03         670         118       1,040
EDWARDS LIFESCIENCES CORP         COM   28176E108         114       5,215  SH     DEFINED     04       5,035           0         180
EDWARDS LIFESCIENCES CORP         COM   28176E108         301      13,787  SH     OTHER       04      11,879           0       1,908
EDWARDS LIFESCIENCES CORP         COM   28176E108       3,721     170,575  SH     DEFINED  01,08     170,575           0           0
EDWARDS LIFESCIENCES CORP         COM   28176E108           3         140  SH     DEFINED     10           0         140           0

EDWARDS AG INC                    COM   281760108       3,145      60,122  SH     DEFINED     01      53,533       1,800       4,789
EDWARDS AG INC                    COM   281760108          94       1,803  SH     OTHER       01       1,803           0           0
EDWARDS AG INC                    COM   281760108          36         682  SH     DEFINED     02         682           0           0
EDWARDS AG INC                    COM   281760108          24         450  SH     OTHER       02         300         150           0
EDWARDS AG INC                    COM   281760108         161       3,072  SH     DEFINED     04       3,072           0           0
EDWARDS AG INC                    COM   281760108          89       1,700  SH     OTHER       04       1,700           0           0
EDWARDS AG INC                    COM   281760108      11,985     229,099  SH     DEFINED  01,08     229,099           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    163
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EFFICIENT NETWORKS INC            COM   282056100          77       2,068  SH     DEFINED     01       1,284           0         784
EFFICIENT NETWORKS INC            COM   282056100       2,913      78,073  SH     DEFINED  01,08      78,073           0           0

EFUNDS CORP                       COM   28224R101         239      32,450  SH     DEFINED  01,08      32,450           0           0

EGAIN COMMUNICATIONS              COM   28225C103         230      24,490  SH     DEFINED     01      24,136           0         354
EGAIN COMMUNICATIONS              COM   28225C103         346      36,776  SH     DEFINED  01,08      36,776           0           0

EGGHEAD COM INC NEW               COM   282329101           9       3,893  SH     DEFINED     01       3,893           0           0
EGGHEAD COM INC NEW               COM   282329101           3       1,300  SH     DEFINED     04       1,300           0           0
EGGHEAD COM INC NEW               COM   282329101         118      50,834  SH     DEFINED  01,08      50,834           0           0

EGLOBE INC                        COM   282339100          78      64,344  SH     DEFINED     01      63,304           0       1,040
EGLOBE INC                        COM   282339100          55      45,309  SH     DEFINED  01,08      45,309           0           0

1838 BD-DEB TRADING FD         UNDEFIND 282520105           7      41,400         DEFINED     01           0      41,400           0
1838 BD-DEB TRADING FD         UNDEFIND 282520105           2         125         DEFINED     04         125           0           0

EL PASO ELEC CO                   COM   283677854         550      39,968  SH     DEFINED     01      22,185       7,400      10,383
EL PASO ELEC CO                   COM   283677854           0           6  SH     DEFINED     04           6           0           0
EL PASO ELEC CO                   COM   283677854       1,219      88,497  SH     DEFINED  01,08      88,497           0           0

EL PASO ENERGY CAP TR I        CONV PFD 283678209       5,469      70,000         DEFINED     01      70,000           0           0

EL PASO ENERGY PARTNERS L P       COM   28368B102          40       1,500  SH     DEFINED     04       1,500           0           0
EL PASO ENERGY PARTNERS L P       COM   28368B102         128       4,800  SH     OTHER       04       4,800           0           0
EL PASO ENERGY PARTNERS L P       COM   28368B102         214       8,000  SH     DEFINED     05       8,000           0           0

EL PASO ENERGY CORP DEL           COM   283905107      45,650     740,771  SH     DEFINED     01     616,327      85,468      38,976
EL PASO ENERGY CORP DEL           COM   283905107       1,092      17,716  SH     OTHER       01      10,442       6,032       1,242
EL PASO ENERGY CORP DEL           COM   283905107         107       1,733  SH     DEFINED     02         600       1,133           0
EL PASO ENERGY CORP DEL           COM   283905107         292       4,745  SH     OTHER       02       1,274       3,471           0
EL PASO ENERGY CORP DEL           COM   283905107         353       5,726  SH     DEFINED     03         126         110       5,490
EL PASO ENERGY CORP DEL           COM   283905107         282       4,571  SH     OTHER       03       4,571           0           0
EL PASO ENERGY CORP DEL           COM   283905107       1,888      30,642  SH     DEFINED     04      20,376           0      10,266
EL PASO ENERGY CORP DEL           COM   283905107         782      12,683  SH     OTHER       04      12,367           0         316
EL PASO ENERGY CORP DEL           COM   283905107          18         300  SH     OTHER       05         300           0           0
EL PASO ENERGY CORP DEL           COM   283905107      62,408   1,012,709  SH     DEFINED  01,08     393,427     493,185     126,097
EL PASO ENERGY CORP DEL           COM   283905107          37         600  SH     DEFINED     09         600           0           0
EL PASO ENERGY CORP DEL           COM   283905107         138       2,240  SH     DEFINED     10       2,240           0           0
EL PASO ENERGY CORP DEL           COM   283905107          81       1,320  SH     OTHER       10         150       1,170           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    164
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ELAN PLC                          COM   284131208     119,971   2,191,257  SH     DEFINED     01   1,107,093     938,662     145,502
ELAN PLC                          COM   284131208      11,739     214,413  SH     OTHER       01      49,055      95,360      69,998
ELAN PLC                          COM   284131208       3,574      65,270  SH     DEFINED     02      33,860      23,110       8,300
ELAN PLC                          COM   284131208       1,371      25,050  SH     OTHER       02       8,050      16,000       1,000
ELAN PLC                          COM   284131208       8,311     151,790  SH     DEFINED     03      68,535      72,560      10,695
ELAN PLC                          COM   284131208         999      18,240  SH     OTHER       03      14,200       3,725         315
ELAN PLC                          COM   284131208      92,711   1,693,352  SH     DEFINED     04   1,621,842           0      71,510
ELAN PLC                          COM   284131208      31,009     566,374  SH     OTHER       04     528,899           0      37,475
ELAN PLC                          COM   284131208      13,033     238,045  SH     DEFINED     05     150,200      69,415      18,430
ELAN PLC                          COM   284131208       1,129      20,630  SH     OTHER       05       7,830      11,700       1,100
ELAN PLC                          COM   284131208         600      10,960  SH     DEFINED     09      10,960           0           0
ELAN PLC                          COM   284131208          55       1,000  SH     OTHER       09         700         300           0
ELAN PLC                          COM   284131208          22         400  SH     DEFINED     10         400           0           0

ELAN PLC                          WT    284131703         223       3,000         DEFINED     04       3,000           0           0
ELAN PLC                          WT    284131703          52         700         OTHER       04         700           0           0

ELANTEC SEMICONDUCTOR INC         COM   284155108      22,981     230,674  SH     DEFINED     01     214,123       4,300      12,251
ELANTEC SEMICONDUCTOR INC         COM   284155108       2,792      28,023  SH     DEFINED  01,08      28,023           0           0

ELCOM INTL INC                    COM   284434107           4         800  SH     DEFINED     01         800           0           0
ELCOM INTL INC                    COM   284434107           4       1,000  SH     OTHER       04           0           0       1,000
ELCOM INTL INC                    COM   284434107         177      39,852  SH     DEFINED  01,08      39,852           0           0

ELCOR CORP                        COM   284443108         277      19,108  SH     DEFINED     01      18,206           0         902
ELCOR CORP                        COM   284443108         969      66,817  SH     DEFINED  01,08      66,817           0           0

ELCOTEL INC                       COM   284447109           4       3,485  SH     OTHER       04       3,485           0           0
ELCOTEL INC                       COM   284447109          22      17,600  SH     DEFINED  01,08      17,600           0           0

ELDER BEERMAN STORES CORP NEW     COM   284470101          53      11,442  SH     DEFINED  01,08      11,442           0           0

ELEC COMMUNICATIONS CORP          COM   284739109          22      11,964  SH     DEFINED  01,08      11,964           0           0

ELECTRIC & GAS TECHNOLOGY INC     COM   284853108          20      20,791  SH     DEFINED  01,08      20,791           0           0

ELECTRIC FUEL CORP                COM   284871100          16       1,500  SH     DEFINED     02           0           0       1,500
ELECTRIC FUEL CORP                COM   284871100         377      35,000  SH     DEFINED     03           0           0      35,000
ELECTRIC FUEL CORP                COM   284871100         120      11,174  SH     DEFINED  01,08      11,174           0           0

ELECTRIC LIGHTWAVE INC            COM   284895109          79       9,259  SH     DEFINED     01       8,996           0         263
ELECTRIC LIGHTWAVE INC            COM   284895109         121      14,260  SH     DEFINED  01,08      14,260           0           0

ELECTRO RENT CORP                 COM   285218103         106       8,315  SH     DEFINED     01       5,755           0       2,560
ELECTRO RENT CORP                 COM   285218103       1,150      90,234  SH     DEFINED  01,08      90,234           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    165
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ELECTRO SCIENTIFIC INDS           COM   285229100       1,089      31,005  SH     DEFINED     01      27,377       1,550       2,078
ELECTRO SCIENTIFIC INDS           COM   285229100         144       4,100  SH     DEFINED     04           0           0       4,100
ELECTRO SCIENTIFIC INDS           COM   285229100       1,560      44,424  SH     DEFINED  01,08      44,424           0           0

ELECTROGLAS INC                   COM   285324109         592      34,717  SH     DEFINED     01      32,677           0       2,040
ELECTROGLAS INC                   COM   285324109         724      42,418  SH     DEFINED  01,08      42,418           0           0

ELECTRONIC ARTS INC               COM   285512109      25,825     523,029  SH     DEFINED     01     478,138      18,200      26,691
ELECTRONIC ARTS INC               COM   285512109         645      13,064  SH     OTHER       01           0       2,600      10,464
ELECTRONIC ARTS INC               COM   285512109          22         450  SH     DEFINED     02           0         450           0
ELECTRONIC ARTS INC               COM   285512109          99       2,000  SH     OTHER       02           0       2,000           0
ELECTRONIC ARTS INC               COM   285512109       2,577      52,200  SH     DEFINED     03      20,604      29,536       2,060
ELECTRONIC ARTS INC               COM   285512109         173       3,500  SH     OTHER       03           0       3,500           0
ELECTRONIC ARTS INC               COM   285512109          80       1,612  SH     DEFINED     04       1,612           0           0
ELECTRONIC ARTS INC               COM   285512109          11         220  SH     DEFINED     05         220           0           0
ELECTRONIC ARTS INC               COM   285512109      17,578     356,019  SH     DEFINED  01,08     356,019           0           0
ELECTRONIC ARTS INC               COM   285512109          33         660  SH     DEFINED     10         660           0           0

ELECTRONIC CLEARING HOUSE INC     COM   285562203          23      15,000  SH     DEFINED     01           0      15,000           0
ELECTRONIC CLEARING HOUSE INC     COM   285562203           3       2,293  SH     DEFINED  01,08       2,293           0           0

ELECTRONIC DATA SYS NEW           COM   285661104      35,164     847,325  SH     DEFINED     01     662,851     129,747      54,727
ELECTRONIC DATA SYS NEW           COM   285661104         938      22,608  SH     OTHER       01       1,072       4,036      17,500
ELECTRONIC DATA SYS NEW           COM   285661104         200       4,820  SH     DEFINED     02       4,820           0           0
ELECTRONIC DATA SYS NEW           COM   285661104          39         928  SH     OTHER       02         104         520         304
ELECTRONIC DATA SYS NEW           COM   285661104         245       5,899  SH     DEFINED     03       2,115       2,609       1,175
ELECTRONIC DATA SYS NEW           COM   285661104         109       2,622  SH     OTHER       03       1,122       1,500           0
ELECTRONIC DATA SYS NEW           COM   285661104       1,883      45,374  SH     DEFINED     04      32,916           0      12,458
ELECTRONIC DATA SYS NEW           COM   285661104       2,217      53,427  SH     OTHER       04      50,629           0       2,798
ELECTRONIC DATA SYS NEW           COM   285661104           4         100  SH     DEFINED     05         100           0           0
ELECTRONIC DATA SYS NEW           COM   285661104      30,404     732,635  SH     DEFINED  01,08     732,635           0           0
ELECTRONIC DATA SYS NEW           COM   285661104         255       6,134  SH     DEFINED     10       4,450       1,684           0
ELECTRONIC DATA SYS NEW           COM   285661104         223       5,374  SH     OTHER       10       1,106       4,268           0

ELECTRONICS BOUTIQUE HLDGS CP     COM   286045109         112       5,218  SH     DEFINED     01       4,881           0         337
ELECTRONICS BOUTIQUE HLDGS CP     COM   286045109         429      19,954  SH     DEFINED  01,08      19,954           0           0

ELECTRONICS FOR IMAGING INC       COM   286082102         154       6,098  SH     DEFINED     01       4,360         300       1,438
ELECTRONICS FOR IMAGING INC       COM   286082102           5         200  SH     OTHER       01           0           0         200
ELECTRONICS FOR IMAGING INC       COM   286082102          23         900  SH     DEFINED     04         900           0           0
ELECTRONICS FOR IMAGING INC       COM   286082102          13         500  SH     OTHER       04         500           0           0
ELECTRONICS FOR IMAGING INC       COM   286082102       1,553      61,515  SH     DEFINED  01,08      61,515           0           0
ELECTRONICS FOR IMAGING INC       COM   286082102           4         153  SH     DEFINED     10         153           0           0

ELECTROSOURCE INC                 COM   286150206          80      18,251  SH     DEFINED  01,08      18,251           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    166
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ELITE INFORMATION GROUP INC       COM   28659M106           6         900  SH     DEFINED     01         900           0           0
ELITE INFORMATION GROUP INC       COM   28659M106          79      11,700  SH     DEFINED  01,08      11,700           0           0

ELLIS PERRY INTL INC              COM   288853104          26       3,300  SH     DEFINED     01       3,300           0           0
ELLIS PERRY INTL INC              COM   288853104          75       9,350  SH     DEFINED  01,08       9,350           0           0

ELOQUENT INC                      COM   290140102          59      21,129  SH     DEFINED  01,08      21,129           0           0

ELOT INC                          COM   290143106           5       3,000  SH     OTHER       02           0       3,000           0
ELOT INC                          COM   290143106           2       1,000  SH     DEFINED     04       1,000           0           0
ELOT INC                          COM   290143106           1         500  SH     OTHER       04         500           0           0
ELOT INC                          COM   290143106         185     113,785  SH     DEFINED  01,08     113,785           0           0

ELOYALTY CORP                     COM   290151109       1,015      79,644  SH     DEFINED     01      73,202       2,800       3,642
ELOYALTY CORP                     COM   290151109           6         450  SH     DEFINED     04         450           0           0
ELOYALTY CORP                     COM   290151109         992      77,826  SH     DEFINED  01,08      77,826           0           0

ELTRAX SYS INC                    COM   290375104         156      31,938  SH     DEFINED  01,08      31,938           0           0

EMAGIN CORP                       COM   29076N107         257      23,898  SH     DEFINED     01      23,111           0         787
EMAGIN CORP                       COM   29076N107           4         400  SH     DEFINED     04         400           0           0
EMAGIN CORP                       COM   29076N107         128      11,892  SH     DEFINED  01,08      11,892           0           0

E MACHINES INC                    COM   29076P102          19      18,501  SH     DEFINED     01      17,322           0       1,179
E MACHINES INC                    COM   29076P102         110     106,954  SH     DEFINED  01,08     106,954           0           0

EMBARCADERO TECHNOLOGIES INC      COM   290787100         224       4,361  SH     DEFINED     01       4,288           0          73
EMBARCADERO TECHNOLOGIES INC      COM   290787100       1,846      35,940  SH     DEFINED  01,08      35,940           0           0

EMBREX INC                        COM   290817105         155      11,700  SH     DEFINED  01,08      11,700           0           0

EMCOR GROUP INC                   COM   29084Q100         168       6,464  SH     DEFINED     01       4,799           0       1,665
EMCOR GROUP INC                   COM   29084Q100         399      15,349  SH     DEFINED  01,08      15,349           0           0

EMCORE CORP                       COM   290846104       1,062      25,552  SH     DEFINED     01      24,720           0         832
EMCORE CORP                       COM   290846104       8,342     200,632  SH     DEFINED  01,08     200,632           0           0

EMERGE INTERACTIVE INC            COM   29088W103         109       6,870  SH     DEFINED     01       6,742           0         128
EMERGE INTERACTIVE INC            COM   29088W103           1          70  SH     DEFINED     04          70           0           0
EMERGE INTERACTIVE INC            COM   29088W103           5         300  SH     OTHER       04         300           0           0
EMERGE INTERACTIVE INC            COM   29088W103         601      37,864  SH     DEFINED  01,08      37,864           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    167
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EMERSON ELEC CO                   COM   291011104     111,259   1,660,588  SH     DEFINED     01   1,257,954     305,116      97,518
EMERSON ELEC CO                   COM   291011104      21,681     323,596  SH     OTHER       01     182,490     126,256      14,850
EMERSON ELEC CO                   COM   291011104       3,887      58,017  SH     DEFINED     02      40,958      11,519       5,540
EMERSON ELEC CO                   COM   291011104       1,915      28,575  SH     OTHER       02      19,275       7,200       2,100
EMERSON ELEC CO                   COM   291011104       6,629      98,947  SH     DEFINED     03      48,400      33,638      16,909
EMERSON ELEC CO                   COM   291011104       4,079      60,879  SH     OTHER       03      43,564      14,315       3,000
EMERSON ELEC CO                   COM   291011104      12,981     193,739  SH     DEFINED     04     187,389           0       6,350
EMERSON ELEC CO                   COM   291011104       9,992     149,135  SH     OTHER       04     138,787           0      10,348
EMERSON ELEC CO                   COM   291011104       3,431      51,215  SH     DEFINED     05      36,065      12,550       2,600
EMERSON ELEC CO                   COM   291011104         585       8,725  SH     OTHER       05       3,425       5,300           0
EMERSON ELEC CO                   COM   291011104      49,987     746,076  SH     DEFINED  01,08     674,841      42,805      28,430
EMERSON ELEC CO                   COM   291011104         114       1,700  SH     DEFINED     09       1,700           0           0
EMERSON ELEC CO                   COM   291011104         153       2,285  SH     OTHER       09         400       1,885           0
EMERSON ELEC CO                   COM   291011104       3,715      55,445  SH     DEFINED     10      22,905      32,540           0
EMERSON ELEC CO                   COM   291011104         701      10,470  SH     OTHER       10         950       9,520           0

EMERSON RADIO CORP                COM   291087203         118      57,000  SH     DEFINED  01,08      57,000           0           0

EMISPHERE TECHNOLOGIES INC        COM   291345106         442      14,765  SH     DEFINED     01      14,509           0         256
EMISPHERE TECHNOLOGIES INC        COM   291345106         806      26,929  SH     DEFINED  01,08      26,929           0           0

EMMIS COMMUNICATIONS CORP         COM   291525103         127       5,129  SH     DEFINED     01       2,613       1,325       1,191
EMMIS COMMUNICATIONS CORP         COM   291525103          40       1,600  SH     OTHER       01       1,600           0           0
EMMIS COMMUNICATIONS CORP         COM   291525103          50       2,000  SH     DEFINED     04           0           0       2,000
EMMIS COMMUNICATIONS CORP         COM   291525103          59       2,400  SH     OTHER       04       2,400           0           0
EMMIS COMMUNICATIONS CORP         COM   291525103       1,528      61,719  SH     DEFINED  01,08      61,719           0           0

EMPIRE DIST ELEC CO               COM   291641108         398      15,160  SH     DEFINED     01      11,847           0       3,313
EMPIRE DIST ELEC CO               COM   291641108         913      34,783  SH     DEFINED  01,08      34,783           0           0

EMULEX CORP                       COM   292475209       2,279      18,604  SH     DEFINED     01       9,556       7,500       1,548
EMULEX CORP                       COM   292475209          98         800  SH     DEFINED     04         800           0           0
EMULEX CORP                       COM   292475209          61         500  SH     OTHER       04         500           0           0
EMULEX CORP                       COM   292475209       6,495      53,024  SH     DEFINED  01,08      53,024           0           0

EMUSIC COM INC                    COM   292476108           3       2,000  SH     DEFINED     02           0       2,000           0
EMUSIC COM INC                    COM   292476108          20      12,744  SH     DEFINED  01,08      12,744           0           0

ENCAD INC                         COM   292503109          37      16,300  SH     DEFINED  01,08      16,300           0           0

ENCOMPASS SVCS CORP               COM   29255U104         518      63,766  SH     DEFINED     01      52,789         708      10,269
ENCOMPASS SVCS CORP               COM   29255U104         146      17,985  SH     DEFINED     04       7,100           0      10,885
ENCOMPASS SVCS CORP               COM   29255U104         803      98,802  SH     DEFINED  01,08      98,802           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    168
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ENCORE MED CORP                   COM   29256E109          56      25,000  SH     DEFINED     04      25,000           0           0
ENCORE MED CORP                   COM   29256E109          22       9,910  SH     DEFINED  01,08       9,910           0           0

ENCORE WIRE CORP                  COM   292562105          88      12,300  SH     DEFINED     01      12,300           0           0
ENCORE WIRE CORP                  COM   292562105         141      19,750  SH     DEFINED  01,08      19,750           0           0

ENDESA S A                        COM   29258N107          48       2,540  SH     OTHER       01           0       2,540           0
ENDESA S A                        COM   29258N107           3         175  SH     DEFINED     03          40         135           0
ENDESA S A                        COM   29258N107          38       2,000  SH     OTHER       03           0       2,000           0
ENDESA S A                        COM   29258N107         188      10,000  SH     DEFINED     04       4,000           0       6,000
ENDESA S A                        COM   29258N107          38       2,000  SH     OTHER       04       2,000           0           0

ENDO PHARMACEUTICALS HLDGS INC    WT    29264F114           3       1,122         DEFINED     01         708           0         414
ENDO PHARMACEUTICALS HLDGS INC    WT    29264F114          58      23,195         DEFINED  01,08      23,195           0           0

ENDO PHARMACEUTICALS HLDGS INC    COM   29264F205           7         664  SH     DEFINED     01         450           0         214
ENDO PHARMACEUTICALS HLDGS INC    COM   29264F205         614      62,603  SH     DEFINED  01,08      62,603           0           0

ENDOSONICS CORP                   COM   29264K105         275      25,100  SH     DEFINED     01      25,100           0           0

ENDOCARE INC                      COM   29264P104         201      10,195  SH     DEFINED     01      10,016           0         179
ENDOCARE INC                      COM   29264P104         215      10,902  SH     DEFINED  01,08      10,902           0           0

ENERGEN CORP                      COM   29265N108       1,713      57,575  SH     DEFINED     01      47,391       3,600       6,584
ENERGEN CORP                      COM   29265N108          68       2,300  SH     OTHER       02       1,800           0         500
ENERGEN CORP                      COM   29265N108           6         200  SH     DEFINED     04         200           0           0
ENERGEN CORP                      COM   29265N108       1,672      56,202  SH     DEFINED  01,08      56,202           0           0

ENERGY CONVERSION DEVICES INC     COM   292659109         446      11,988  SH     DEFINED     01      11,767           0         221
ENERGY CONVERSION DEVICES INC     COM   292659109          33         900  SH     DEFINED     03           0         900           0
ENERGY CONVERSION DEVICES INC     COM   292659109         802      21,563  SH     DEFINED  01,08      21,563           0           0
ENERGY CONVERSION DEVICES INC     COM   292659109           9         250  SH     DEFINED     10         250           0           0

ENERGY EAST CORP                  COM   29266M109       2,247      99,310  SH     DEFINED     01      82,803       8,163       8,344
ENERGY EAST CORP                  COM   29266M109          23       1,020  SH     OTHER       01       1,000          20           0
ENERGY EAST CORP                  COM   29266M109         119       5,276  SH     DEFINED     04       5,276           0           0
ENERGY EAST CORP                  COM   29266M109          95       4,210  SH     OTHER       04       4,210           0           0
ENERGY EAST CORP                  COM   29266M109       8,170     361,106  SH     DEFINED  01,08     361,106           0           0
ENERGY EAST CORP                  COM   29266M109           9         400  SH     DEFINED     10         400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    169
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ENERGIZER HLDGS INC               COM   29266R108       2,318      94,609  SH     DEFINED     01      68,815      16,716       9,078
ENERGIZER HLDGS INC               COM   29266R108          47       1,917  SH     OTHER       01           0       1,917           0
ENERGIZER HLDGS INC               COM   29266R108          27       1,091  SH     OTHER       02       1,091           0           0
ENERGIZER HLDGS INC               COM   29266R108          12         497  SH     DEFINED     03         497           0           0
ENERGIZER HLDGS INC               COM   29266R108          41       1,666  SH     OTHER       03       1,666           0           0
ENERGIZER HLDGS INC               COM   29266R108         102       4,170  SH     DEFINED     04       4,170           0           0
ENERGIZER HLDGS INC               COM   29266R108          24         996  SH     OTHER       04         225           0         771
ENERGIZER HLDGS INC               COM   29266R108       7,937     323,961  SH     DEFINED  01,08     323,961           0           0

ENGAGE INC                        COM   292827102          27       3,268  SH     DEFINED     01       1,436         800       1,032
ENGAGE INC                        COM   292827102         226      27,837  SH     OTHER       01           0           0      27,837
ENGAGE INC                        COM   292827102           2         200  SH     OTHER       04         200           0           0
ENGAGE INC                        COM   292827102       1,679     206,656  SH     DEFINED  01,08     206,656           0           0

ENGELHARD CORP                    COM   292845104       4,104     252,556  SH     DEFINED     01     185,842      40,941      25,773
ENGELHARD CORP                    COM   292845104         228      14,000  SH     OTHER       01           0      14,000           0
ENGELHARD CORP                    COM   292845104          33       2,025  SH     DEFINED     02       2,025           0           0
ENGELHARD CORP                    COM   292845104          18       1,125  SH     DEFINED     03           0       1,125           0
ENGELHARD CORP                    COM   292845104       3,132     192,712  SH     DEFINED  01,08     192,712           0           0

ENGINEERED SUPPORT SYS INC        COM   292866100         107       5,600  SH     DEFINED     04           0           0       5,600
ENGINEERED SUPPORT SYS INC        COM   292866100         321      16,798  SH     DEFINED  01,08      16,798           0           0

ENGINEERING ANIMATION INC         COM   292872108           7         500  SH     OTHER       04           0           0         500
ENGINEERING ANIMATION INC         COM   292872108         263      19,426  SH     DEFINED  01,08      19,426           0           0

ENGINEERING MEASUREMENTS CO       COM   292880101          97      15,429  SH     DEFINED  01,08      15,429           0           0

ENGLE HOMES INC                   COM   292896107         275      17,700  SH     DEFINED     01      17,700           0           0
ENGLE HOMES INC                   COM   292896107         112       7,200  SH     DEFINED  01,08       7,200           0           0

ENERGYNORTH INC                   COM   292925104         269       4,432  SH     DEFINED     01       4,372           0          60
ENERGYNORTH INC                   COM   292925104         121       2,000  SH     DEFINED     04       2,000           0           0
ENERGYNORTH INC                   COM   292925104         530       8,728  SH     DEFINED  01,08       8,728           0           0

ENDOCARDIAL SOLUTIONS INC         COM   292962107           7       1,000  SH     DEFINED     01       1,000           0           0
ENDOCARDIAL SOLUTIONS INC         COM   292962107          84      12,700  SH     DEFINED  01,08      12,700           0           0

ENERGYSOUTH INC                   COM   292970100         255      12,734  SH     DEFINED  01,08      12,734           0           0

ENESCO GROUP INC                  COM   292973104           1         100  SH     DEFINED     01           0           0         100
ENESCO GROUP INC                  COM   292973104         470      80,000  SH     DEFINED     04      80,000           0           0
ENESCO GROUP INC                  COM   292973104         124      21,109  SH     DEFINED  01,08      21,109           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    170
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ENHANCE FINL SVCS GROUP INC       COM   293310108         356      27,374  SH     DEFINED     01      10,987      10,000       6,387
ENHANCE FINL SVCS GROUP INC       COM   293310108       1,077      82,876  SH     DEFINED  01,08      82,876           0           0

ENNIS BUSINESS FORMS INC          COM   293389102          24       3,200  SH     DEFINED     01       3,200           0           0
ENNIS BUSINESS FORMS INC          COM   293389102         156      20,601  SH     DEFINED  01,08      20,601           0           0

ENRON CORP                        COM   293561106     364,819   4,163,415  SH     DEFINED     01   3,207,084     785,446     170,885
ENRON CORP                        COM   293561106      94,655   1,080,231  SH     OTHER       01     459,881     558,750      61,600
ENRON CORP                        COM   293561106      20,002     228,265  SH     DEFINED     02     137,452      74,354      16,459
ENRON CORP                        COM   293561106       7,387      84,307  SH     OTHER       02      51,208      20,774      12,325
ENRON CORP                        COM   293561106      48,783     556,727  SH     DEFINED     03     260,956     259,284      36,487
ENRON CORP                        COM   293561106      11,842     135,149  SH     OTHER       03      82,407      45,817       6,925
ENRON CORP                        COM   293561106     169,114   1,929,976  SH     DEFINED     04   1,862,464           0      67,512
ENRON CORP                        COM   293561106      77,414     883,464  SH     OTHER       04     841,006           0      42,458
ENRON CORP                        COM   293561106      11,154     127,290  SH     DEFINED     05      82,610      31,830      12,850
ENRON CORP                        COM   293561106       3,409      38,900  SH     OTHER       05      24,600      14,300           0
ENRON CORP                        COM   293561106      98,293   1,121,751  SH     DEFINED  01,08   1,106,899      14,852           0
ENRON CORP                        COM   293561106         594       6,775  SH     DEFINED     09       6,775           0           0
ENRON CORP                        COM   293561106         245       2,800  SH     OTHER       09       2,800           0           0
ENRON CORP                        COM   293561106      13,598     155,185  SH     DEFINED     10      84,735      67,750       2,700
ENRON CORP                        COM   293561106       1,638      18,688  SH     OTHER       10       3,440      14,898         350

ENRON CORP                     CONV PFD 293561601         190         100         OTHER       01           0         100           0
ENRON CORP                     CONV PFD 293561601         329         173         DEFINED     02           0         173           0
ENRON CORP                     CONV PFD 293561601         380         200         OTHER       04         200           0           0

ENTEGRIS INC                      COM   29362U104         725      75,800  SH     DEFINED  01,08      75,800           0           0

ENTERCOM COMMUNICATIONS CORP      COM   293639100         104       3,489  SH     DEFINED     01       2,495           0         994
ENTERCOM COMMUNICATIONS CORP      COM   293639100       1,261      42,115  SH     DEFINED  01,08      42,115           0           0

ENTERGY CORP NEW                  COM   29364G103      15,046     403,922  SH     DEFINED     01     325,692      58,584      19,646
ENTERGY CORP NEW                  COM   29364G103          90       2,427  SH     OTHER       01       2,000         427           0
ENTERGY CORP NEW                  COM   29364G103          28         752  SH     DEFINED     02         252         500           0
ENTERGY CORP NEW                  COM   29364G103          50       1,342  SH     OTHER       02       1,250          92           0
ENTERGY CORP NEW                  COM   29364G103         106       2,852  SH     DEFINED     03         100       1,752       1,000
ENTERGY CORP NEW                  COM   29364G103          15         400  SH     OTHER       03         400           0           0
ENTERGY CORP NEW                  COM   29364G103           7         200  SH     DEFINED     04         200           0           0
ENTERGY CORP NEW                  COM   29364G103         170       4,563  SH     OTHER       04       4,563           0           0
ENTERGY CORP NEW                  COM   29364G103      12,807     343,815  SH     DEFINED  01,08     343,815           0           0

ENTERPRISE PRODS PARTNERS L P     COM   293792107         663      22,900  SH     DEFINED     01      22,900           0           0
ENTERPRISE PRODS PARTNERS L P     COM   293792107          26         900  SH     DEFINED     04         900           0           0
ENTERPRISE PRODS PARTNERS L P     COM   293792107       1,087      37,564  SH     DEFINED  01,08      37,564           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    171
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ENTERTAINMENT PPTYS TR            COM   29380T105          91       8,595  SH     DEFINED     01       5,925           0       2,670
ENTERTAINMENT PPTYS TR            COM   29380T105          38       3,601  SH     DEFINED  01,08       3,601           0           0

ENTREMED INC                      COM   29382F103         423      15,162  SH     DEFINED     01      14,707           0         455
ENTREMED INC                      COM   29382F103          14         500  SH     DEFINED     03         500           0           0
ENTREMED INC                      COM   29382F103         100       3,600  SH     DEFINED     04       3,200           0         400
ENTREMED INC                      COM   29382F103         415      14,890  SH     DEFINED  01,08      14,890           0           0

ENTRADE INC                       COM   29382L100           2         500  SH     DEFINED     04         500           0           0
ENTRADE INC                       COM   29382L100          86      22,674  SH     DEFINED  01,08      22,674           0           0

ENTRAVISION COMMUNICATIONS CP     COM   29382R107         259      14,900  SH     DEFINED     01           0      14,900           0
ENTRAVISION COMMUNICATIONS CP     COM   29382R107       1,039      59,800  SH     DEFINED  01,08      59,800           0           0

ENTRUST TECHNOLOGIES INC          COM   293848107          90       3,245  SH     DEFINED     01       1,890           0       1,355
ENTRUST TECHNOLOGIES INC          COM   293848107          13         480  SH     DEFINED     04         480           0           0
ENTRUST TECHNOLOGIES INC          COM   293848107       1,905      68,970  SH     DEFINED  01,08      68,970           0           0

ENZON INC                         COM   293904108       2,786      42,206  SH     DEFINED     01      40,778           0       1,428
ENZON INC                         COM   293904108          99       1,500  SH     OTHER       02           0       1,500           0
ENZON INC                         COM   293904108          17         250  SH     DEFINED     04         250           0           0
ENZON INC                         COM   293904108          79       1,200  SH     OTHER       04       1,200           0           0
ENZON INC                         COM   293904108       4,875      73,869  SH     DEFINED  01,08      73,869           0           0

ENVIROGEN INC                     COM   294040308           3       1,417  SH     DEFINED  01,08       1,417           0           0
ENVIROGEN INC                     COM   294040308         371     174,604  SH     DEFINED     10     174,604           0           0

ENVISION DEV CORP                 COM   29410N102          33       3,021  SH     DEFINED     01       2,966           0          55
ENVISION DEV CORP                 COM   29410N102         131      11,940  SH     DEFINED  01,08      11,940           0           0

ENZO BIOCHEM INC                  COM   294100102       1,211      24,973  SH     DEFINED     01      22,673         200       2,100
ENZO BIOCHEM INC                  COM   294100102          10         200  SH     OTHER       01         200           0           0
ENZO BIOCHEM INC                  COM   294100102         156       3,215  SH     DEFINED     04       3,215           0           0
ENZO BIOCHEM INC                  COM   294100102          49       1,000  SH     OTHER       04       1,000           0           0
ENZO BIOCHEM INC                  COM   294100102       3,069      63,285  SH     DEFINED  01,08      63,285           0           0

EOTT ENERGY PARTNERS L P          COM   294103106         578      38,500  SH     DEFINED     01      38,500           0           0

EPICOR SOFTWARE CORP              COM   29426L108           4       1,001  SH     DEFINED     04           1           0       1,000
EPICOR SOFTWARE CORP              COM   29426L108         531     151,827  SH     DEFINED  01,08     151,827           0           0

EPICEDGE INC                      COM   29426X102          26       9,366  SH     DEFINED     01       9,200           0         166
EPICEDGE INC                      COM   29426X102           0           5  SH     OTHER       03           5           0           0
EPICEDGE INC                      COM   29426X102           6       2,280  SH     DEFINED  01,08       2,280           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    172
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EPITOPE INC                       COM   294261102           9         700  SH     DEFINED     01         700           0           0
EPITOPE INC                       COM   294261102         377      28,612  SH     DEFINED  01,08      28,612           0           0

EPLUS INC                         COM   294268107         105       5,099  SH     DEFINED     01       5,009           0          90
EPLUS INC                         COM   294268107         113       5,502  SH     DEFINED  01,08       5,502           0           0

EPRESENCE INC                     COM   294348107          92      13,622  SH     DEFINED     01       9,404           0       4,218
EPRESENCE INC                     COM   294348107         315      46,735  SH     DEFINED  01,08      46,735           0           0

EPRISE CORP                       COM   294352109          35       4,069  SH     DEFINED     01       3,992           0          77
EPRISE CORP                       COM   294352109         185      21,415  SH     DEFINED  01,08      21,415           0           0

EQUIFAX INC                       COM   294429105       5,626     208,875  SH     DEFINED     01     193,916       3,349      11,610
EQUIFAX INC                       COM   294429105         159       5,900  SH     DEFINED     02       5,500           0         400
EQUIFAX INC                       COM   294429105          51       1,900  SH     OTHER       02       1,300           0         600
EQUIFAX INC                       COM   294429105          19         700  SH     DEFINED     03         700           0           0
EQUIFAX INC                       COM   294429105         408      15,150  SH     DEFINED     04      15,150           0           0
EQUIFAX INC                       COM   294429105         859      31,900  SH     OTHER       04      31,800           0         100
EQUIFAX INC                       COM   294429105          21         796  SH     DEFINED     05         796           0           0
EQUIFAX INC                       COM   294429105       5,631     209,061  SH     DEFINED  01,08     209,061           0           0
EQUIFAX INC                       COM   294429105         119       4,400  SH     DEFINED     10         400       4,000           0

EQUINOX SYS INC                   COM   294436100           5         750  SH     DEFINED     04         750           0           0
EQUINOX SYS INC                   COM   294436100          77      11,849  SH     DEFINED  01,08      11,849           0           0

EQUINIX INC                       COM   29444U106         533      60,000  SH     DEFINED  01,08      60,000           0           0

EQUITABLE RES INC                 COM   294549100         640      10,092  SH     DEFINED     01       8,161         441       1,490
EQUITABLE RES INC                 COM   294549100          24         375  SH     DEFINED     03         188           0         187
EQUITABLE RES INC                 COM   294549100         198       3,125  SH     DEFINED     04       3,125           0           0
EQUITABLE RES INC                 COM   294549100         351       5,537  SH     OTHER       04       5,537           0           0
EQUITABLE RES INC                 COM   294549100       3,072      48,480  SH     DEFINED  01,08      48,480           0           0
EQUITABLE RES INC                 COM   294549100          60         950  SH     DEFINED     10         800         150           0

EQUITEX INC                       COM   294592308       1,050     164,700  SH     DEFINED     04     164,700           0           0
EQUITEX INC                       COM   294592308          23       3,664  SH     DEFINED  01,08       3,664           0           0

EQUITY INCOME FD                  COM   294700703         142         910  SH     DEFINED     01         360         550           0
EQUITY INCOME FD                  COM   294700703       1,818      11,664  SH     OTHER       01           0      11,664           0
EQUITY INCOME FD                  COM   294700703         213       1,365  SH     DEFINED     02         500         100         765
EQUITY INCOME FD                  COM   294700703         568       3,644  SH     OTHER       02       3,644           0           0
EQUITY INCOME FD                  COM   294700703         990       6,350  SH     DEFINED     03         300       3,850       2,200
EQUITY INCOME FD                  COM   294700703         161       1,036  SH     OTHER       03           0       1,036           0
EQUITY INCOME FD                  COM   294700703       1,012       6,490  SH     DEFINED     04       6,490           0           0
EQUITY INCOME FD                  COM   294700703       3,657      23,459  SH     OTHER       04      23,309           0         150
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    173
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EQUITY INNS INC                   COM   294703103         143      21,551  SH     DEFINED     01      14,793           0       6,758
EQUITY INNS INC                   COM   294703103          20       3,000  SH     OTHER       04       3,000           0           0
EQUITY INNS INC                   COM   294703103          60       9,106  SH     DEFINED  01,08       9,106           0           0

EQUITY OFFICE PROPERTIES TRUST    COM   294741103       1,677      53,995  SH     DEFINED     01      43,727       1,300       8,968
EQUITY OFFICE PROPERTIES TRUST    COM   294741103          73       2,345  SH     OTHER       01         145       1,800         400
EQUITY OFFICE PROPERTIES TRUST    COM   294741103           8         250  SH     OTHER       02         250           0           0
EQUITY OFFICE PROPERTIES TRUST    COM   294741103         329      10,602  SH     DEFINED     03       6,442       1,535       2,625
EQUITY OFFICE PROPERTIES TRUST    COM   294741103         120       3,850  SH     OTHER       03       1,800       2,050           0
EQUITY OFFICE PROPERTIES TRUST    COM   294741103       1,011      32,552  SH     DEFINED     04      32,252           0         300
EQUITY OFFICE PROPERTIES TRUST    COM   294741103          54       1,728  SH     OTHER       04         900           0         828
EQUITY OFFICE PROPERTIES TRUST    COM   294741103       1,635      52,651  SH     DEFINED  01,08      52,651           0           0
EQUITY OFFICE PROPERTIES TRUST    COM   294741103          51       1,650  SH     DEFINED     09       1,650           0           0
EQUITY OFFICE PROPERTIES TRUST    COM   294741103          30         962  SH     DEFINED     10         962           0           0

EQUITY OIL CO                     COM   294749106         128      42,360  SH     DEFINED  01,08      42,360           0           0

EQUITY RESIDENTIAL PPTYS TR       COM   29476L107       2,964      61,740  SH     DEFINED     01      34,273         668      26,799
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107         145       3,025  SH     OTHER       01         225       2,800           0
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107         142       2,950  SH     DEFINED     02       2,250         500         200
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107          56       1,160  SH     OTHER       02         160           0       1,000
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107         359       7,475  SH     DEFINED     03       5,775       1,600         100
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107       1,186      24,703  SH     DEFINED     04      24,503           0         200
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107         110       2,300  SH     OTHER       04       2,100           0         200
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107         719      14,975  SH     DEFINED  01,08      14,975           0           0
EQUITY RESIDENTIAL PPTYS TR       COM   29476L107          10         200  SH     DEFINED     09         200           0           0

EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859          17         750         OTHER       01           0         750           0
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859          97       4,300         DEFINED     02       2,800           0       1,500
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859          75       3,300         OTHER       02       2,000       1,300           0
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859          23       1,000         DEFINED     03           0       1,000           0
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859          88       3,900         OTHER       03       2,900           0       1,000
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859         312      13,775         DEFINED     04      13,075           0         700
EQUITY RESIDENTIAL PPTYS TR    CONV PFD 29476L859         109       4,800         OTHER       04       4,800           0           0

ERGO SCIENCE CORP                 COM   29481E106          14      12,400  SH     DEFINED  01,08      12,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    174
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ERICSSON L M TEL CO               COM   294821400      33,182   2,240,219  SH     DEFINED     01   1,625,966     587,373      26,880
ERICSSON L M TEL CO               COM   294821400      11,897     803,184  SH     OTHER       01     431,540     276,044      95,600
ERICSSON L M TEL CO               COM   294821400       3,009     203,160  SH     DEFINED     02      89,700      88,540      24,920
ERICSSON L M TEL CO               COM   294821400       1,454      98,160  SH     OTHER       02      37,600      55,660       4,900
ERICSSON L M TEL CO               COM   294821400      18,593   1,255,245  SH     DEFINED     03     548,280     631,837      75,128
ERICSSON L M TEL CO               COM   294821400       7,992     539,566  SH     OTHER       03     327,587     207,569       4,410
ERICSSON L M TEL CO               COM   294821400      65,546   4,425,178  SH     DEFINED     04   4,230,581           0     194,597
ERICSSON L M TEL CO               COM   294821400      53,637   3,621,207  SH     OTHER       04   3,425,627           0     195,580
ERICSSON L M TEL CO               COM   294821400       2,889     195,020  SH     DEFINED     05     144,120      41,900       9,000
ERICSSON L M TEL CO               COM   294821400         655      44,200  SH     OTHER       05      22,600      21,600           0
ERICSSON L M TEL CO               COM   294821400         138       9,300  SH     DEFINED     09       9,300           0           0
ERICSSON L M TEL CO               COM   294821400          21       1,440  SH     OTHER       09       1,440           0           0
ERICSSON L M TEL CO               COM   294821400       1,213      81,868  SH     DEFINED     10      60,368      21,500           0
ERICSSON L M TEL CO               COM   294821400          95       6,400  SH     OTHER       10       1,600       4,800           0

ERIE INDTY CO                     COM   29530P102         231       7,863  SH     DEFINED     01       6,001           0       1,862
ERIE INDTY CO                     COM   29530P102       2,982     101,525  SH     DEFINED  01,08     101,525           0           0

ESCALADE INC                      COM   296056104         233      12,185  SH     DEFINED  01,08      12,185           0           0

ESCO TECHNOLOGIES INC             COM   296315104         143       8,236  SH     DEFINED     01       5,620         886       1,730
ESCO TECHNOLOGIES INC             COM   296315104           1          85  SH     OTHER       01          85           0           0
ESCO TECHNOLOGIES INC             COM   296315104           4         240  SH     DEFINED     02         240           0           0
ESCO TECHNOLOGIES INC             COM   296315104         530      30,505  SH     DEFINED  01,08      30,505           0           0

ESHARE COMMUNICATIONS INC GA      COM   296428105          59      22,571  SH     DEFINED  01,08      22,571           0           0

ESPEED INC                        COM   296643109         255       8,957  SH     DEFINED     01       8,759           0         198
ESPEED INC                        COM   296643109           1          40  SH     DEFINED     04          40           0           0
ESPEED INC                        COM   296643109         326      11,459  SH     DEFINED  01,08      11,459           0           0

ESOFT INC                         COM   296904105          88      15,051  SH     DEFINED  01,08      15,051           0           0

ESSEX PPTY TR INC                 COM   297178105         612      11,060  SH     DEFINED     01       7,591           0       3,469
ESSEX PPTY TR INC                 COM   297178105         257       4,644  SH     DEFINED  01,08       4,644           0           0

ESTERLINE TECHNOLOGIES CORP       COM   297425100         206      10,486  SH     DEFINED     01       7,075           0       3,411
ESTERLINE TECHNOLOGIES CORP       COM   297425100         987      50,140  SH     DEFINED  01,08      50,140           0           0

ETHAN ALLEN INTERIORS INC         COM   297602104         881      31,114  SH     DEFINED     01      24,064           0       7,050
ETHAN ALLEN INTERIORS INC         COM   297602104       2,502      88,376  SH     DEFINED  01,08      88,376           0           0

ETHYL CORP                        COM   297659104         176     122,566  SH     DEFINED     01     111,748           0      10,818
ETHYL CORP                        COM   297659104         249     173,589  SH     DEFINED  01,08     173,589           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    175
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

ETOYS INC                         COM   297862104         324      60,571  SH     DEFINED     01      59,441         100       1,030
ETOYS INC                         COM   297862104           0          10  SH     DEFINED     02           0          10           0
ETOYS INC                         COM   297862104         136      25,379  SH     DEFINED     04      25,379           0           0
ETOYS INC                         COM   297862104         673     125,964  SH     DEFINED  01,08     125,964           0           0

EVANS & SUTHERLAND COMPUTER CP    COM   299096107          69      12,600  SH     DEFINED     01      12,600           0           0
EVANS & SUTHERLAND COMPUTER CP    COM   299096107         121      22,340  SH     DEFINED  01,08      22,340           0           0

EVERCEL INC                       COM   299759100           0           1  SH     DEFINED     04           1           0           0
EVERCEL INC                       COM   299759100         201       9,366  SH     DEFINED  01,08       9,366           0           0

EVERGREEN RES INC                 COM   299900308         389      11,201  SH     DEFINED     01      10,128           0       1,073
EVERGREEN RES INC                 COM   299900308         278       8,000  SH     DEFINED     04           0           0       8,000
EVERGREEN RES INC                 COM   299900308         174       5,000  SH     OTHER       04       5,000           0           0
EVERGREEN RES INC                 COM   299900308         794      22,845  SH     DEFINED  01,08      22,845           0           0

EVOKE COMMUNICATIONS INC          COM   30048Q202          91      13,800  SH     DEFINED  01,08      13,800           0           0

EVOLVE SOFTWARE INC               COM   30049P104         214       8,900  SH     DEFINED  01,08       8,900           0           0

EVOLVING SYS INC                  COM   30049R100         194      29,786  SH     DEFINED  01,08      29,786           0           0

EXABYTE CORP                      COM   300615101         218      19,350  SH     DEFINED     01      19,350           0           0
EXABYTE CORP                      COM   300615101         420      37,306  SH     DEFINED  01,08      37,306           0           0

EXAR CORP                         COM   300645108      15,720     129,917  SH     DEFINED     01     119,583           0      10,334
EXAR CORP                         COM   300645108       4,010      33,140  SH     DEFINED  01,08      33,140           0           0

EXCALIBUR TECHNOLOGIES CORP       COM   300651205         788      11,734  SH     DEFINED     01      11,337           0         397
EXCALIBUR TECHNOLOGIES CORP       COM   300651205       1,737      25,856  SH     DEFINED  01,08      25,856           0           0

EXCEL LEGACY CORP                 COM   300665106          14       6,000  SH     DEFINED     01           0       6,000           0
EXCEL LEGACY CORP                 COM   300665106          30      12,444  SH     DEFINED  01,08      12,444           0           0

EXCEL TECHNOLOGY INC              COM   30067T103         297       9,253  SH     DEFINED     01       9,093           0         160
EXCEL TECHNOLOGY INC              COM   30067T103           4         130  SH     DEFINED     03         130           0           0
EXCEL TECHNOLOGY INC              COM   30067T103         109       3,400  SH     DEFINED     04           0           0       3,400
EXCEL TECHNOLOGY INC              COM   30067T103           6         200  SH     OTHER       04         200           0           0
EXCEL TECHNOLOGY INC              COM   30067T103         577      18,012  SH     DEFINED  01,08      18,012           0           0

EXCELON CORP                      COM   300691102         326      26,314  SH     DEFINED     01      25,550         308         456
EXCELON CORP                      COM   300691102         545      44,002  SH     DEFINED  01,08      44,002           0           0

EXCHANGE APPLICATIONS             COM   300867108         122      26,827  SH     DEFINED     01      26,007           0         820
EXCHANGE APPLICATIONS             COM   300867108         179      39,493  SH     DEFINED  01,08      39,493           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    176
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EXE TECHNOLOGIES INC              COM   301504106          15       1,000  SH     DEFINED     04       1,000           0           0
EXE TECHNOLOGIES INC              COM   301504106         153      10,200  SH     DEFINED  01,08      10,200           0           0

EXELIXIS INC                      COM   30161Q104         287       9,155  SH     DEFINED     01       8,878           0         277
EXELIXIS INC                      COM   30161Q104       1,392      44,375  SH     DEFINED  01,08      44,375           0           0

EXTENDED SYSTEMS INC              COM   301973103         403       7,489  SH     DEFINED     01       7,358           0         131
EXTENDED SYSTEMS INC              COM   301973103         783      14,562  SH     DEFINED  01,08      14,562           0           0

EXFO ELECTRO OPTICAL ENGR INC     COM   302043104          58       1,328  SH     DEFINED     01           0           0       1,328
EXFO ELECTRO OPTICAL ENGR INC     COM   302043104         266       6,110  SH     OTHER       01           0           0       6,110
EXFO ELECTRO OPTICAL ENGR INC     COM   302043104          12         275  SH     OTHER       04           0           0         275

EXIDE CORP                        COM   302051107         310      34,161  SH     DEFINED     01      29,992           0       4,169
EXIDE CORP                        COM   302051107         115      12,700  SH     DEFINED     04           0           0      12,700
EXIDE CORP                        COM   302051107         298      32,892  SH     DEFINED  01,08      32,892           0           0

EXODUS COMMUNICATIONS INC         COM   302088109      73,823   1,495,142  SH     DEFINED     01   1,148,537     275,459      71,146
EXODUS COMMUNICATIONS INC         COM   302088109       6,684     135,371  SH     OTHER       01      29,140      35,885      70,346
EXODUS COMMUNICATIONS INC         COM   302088109       2,019      40,900  SH     DEFINED     02      13,800      22,200       4,900
EXODUS COMMUNICATIONS INC         COM   302088109         461       9,340  SH     OTHER       02       3,220       5,300         820
EXODUS COMMUNICATIONS INC         COM   302088109       2,968      60,121  SH     DEFINED     03      21,305      37,240       1,576
EXODUS COMMUNICATIONS INC         COM   302088109         346       7,010  SH     OTHER       03       3,630       3,250         130
EXODUS COMMUNICATIONS INC         COM   302088109      36,841     746,151  SH     DEFINED     04     723,946           0      22,205
EXODUS COMMUNICATIONS INC         COM   302088109      11,772     238,425  SH     OTHER       04     227,475           0      10,950
EXODUS COMMUNICATIONS INC         COM   302088109         160       3,250  SH     DEFINED     05       2,700           0         550
EXODUS COMMUNICATIONS INC         COM   302088109      23,304     471,986  SH     DEFINED  01,08     471,986           0           0
EXODUS COMMUNICATIONS INC         COM   302088109          12         240  SH     DEFINED     09         240           0           0
EXODUS COMMUNICATIONS INC         COM   302088109          12         248  SH     DEFINED     10          48         200           0

EXPEDIA INC                       COM   302125109         328      25,238  SH     DEFINED     01      24,805           0         433
EXPEDIA INC                       COM   302125109         610      46,915  SH     DEFINED  01,08      46,915           0           0

EXPEDITORS INTL WASH INC          COM   302130109         372       8,262  SH     DEFINED     01       2,518       1,700       4,044
EXPEDITORS INTL WASH INC          COM   302130109       3,919      86,976  SH     DEFINED  01,08      86,976           0           0
EXPEDITORS INTL WASH INC          COM   302130109           9         200  SH     DEFINED     10         200           0           0

EXPONENT INC                      COM   30214U102           9       1,100  SH     DEFINED     01       1,100           0           0
EXPONENT INC                      COM   30214U102          94      11,000  SH     DEFINED  01,08      11,000           0           0

EXPRESS SCRIPTS INC               COM   302182100       1,883      26,057  SH     DEFINED     01      25,153           0         904
EXPRESS SCRIPTS INC               COM   302182100           2          25  SH     OTHER       04          25           0           0
EXPRESS SCRIPTS INC               COM   302182100       7,587     105,011  SH     DEFINED  01,08     105,011           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    177
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

EXTENDED STAY AMER INC            COM   30224P101       1,740     131,304  SH     DEFINED     01     113,150       6,000      12,154
EXTENDED STAY AMER INC            COM   30224P101          15       1,100  SH     OTHER       01           0           0       1,100
EXTENDED STAY AMER INC            COM   30224P101       2,051     154,789  SH     DEFINED  01,08     154,789           0           0

EXTENSITY INC                     COM   302255104          85       4,063  SH     DEFINED     01       3,989           0          74
EXTENSITY INC                     COM   302255104         472      22,495  SH     DEFINED  01,08      22,495           0           0

EXTREME NETWORKS INC              COM   30226D106      70,422     615,043  SH     DEFINED     01     592,652       5,050      17,341
EXTREME NETWORKS INC              COM   30226D106         618       5,400  SH     OTHER       01           0           0       5,400
EXTREME NETWORKS INC              COM   30226D106          11         100  SH     OTHER       02         100           0           0
EXTREME NETWORKS INC              COM   30226D106       1,145      10,000  SH     DEFINED     03           0      10,000           0
EXTREME NETWORKS INC              COM   30226D106      15,093     131,817  SH     DEFINED  01,08     131,817           0           0

EZCORP INC                        COM   302301106          13      10,548  SH     DEFINED  01,08      10,548           0           0

EXXON MOBIL CORP                  COM   30231G102     883,171   9,909,355  SH     DEFINED     01   7,476,996   1,888,434     543,925
EXXON MOBIL CORP                  COM   30231G102     115,296   1,293,647  SH     OTHER       01     649,900     549,110      94,637
EXXON MOBIL CORP                  COM   30231G102      34,850     391,018  SH     DEFINED     02     233,073     129,182      28,763
EXXON MOBIL CORP                  COM   30231G102      23,301     261,438  SH     OTHER       02     145,368      86,332      29,738
EXXON MOBIL CORP                  COM   30231G102      71,462     801,822  SH     DEFINED     03     387,811     366,449      47,562
EXXON MOBIL CORP                  COM   30231G102      39,816     446,738  SH     OTHER       03     354,437      72,916      19,385
EXXON MOBIL CORP                  COM   30231G102     248,771   2,791,255  SH     DEFINED     04   2,671,354           0     119,901
EXXON MOBIL CORP                  COM   30231G102     222,902   2,501,000  SH     OTHER       04   2,278,710           0     222,290
EXXON MOBIL CORP                  COM   30231G102      20,774     233,089  SH     DEFINED     05     175,672      42,295      15,122
EXXON MOBIL CORP                  COM   30231G102       6,623      74,308  SH     OTHER       05      35,430      38,278         600
EXXON MOBIL CORP                  COM   30231G102     483,379   5,423,611  SH     DEFINED  01,08   5,391,147      32,464           0
EXXON MOBIL CORP                  COM   30231G102       2,152      24,146  SH     DEFINED     09      24,146           0           0
EXXON MOBIL CORP                  COM   30231G102         150       1,685  SH     OTHER       09       1,189         496           0
EXXON MOBIL CORP                  COM   30231G102      28,574     320,611  SH     DEFINED     10     154,294     162,053       4,264
EXXON MOBIL CORP                  COM   30231G102       7,531      84,499  SH     OTHER       10      25,993      58,206         300

EZENIA INC                        COM   302311105          44      18,083  SH     DEFINED  01,08      18,083           0           0

F&M BANCORP MD                    COM   302367107         144       7,265  SH     DEFINED     01       5,441           0       1,824
F&M BANCORP MD                    COM   302367107         338      17,043  SH     DEFINED  01,08      17,043           0           0

F & M NATL CORP                   COM   302374103         355      14,545  SH     DEFINED     01      10,178           0       4,367
F & M NATL CORP                   COM   302374103       1,510      61,784  SH     DEFINED  01,08      61,784           0           0

FBL FINL GROUP INC                COM   30239F106         578      35,568  SH     DEFINED     01      33,556           0       2,012
FBL FINL GROUP INC                COM   30239F106          98       6,000  SH     DEFINED     04       6,000           0           0
FBL FINL GROUP INC                COM   30239F106         521      32,063  SH     DEFINED  01,08      32,063           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    178
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FEI CO                            COM   30241L109         309      14,253  SH     DEFINED     01      14,002           0         251
FEI CO                            COM   30241L109         254      11,700  SH     DEFINED     04           0           0      11,700
FEI CO                            COM   30241L109         690      31,813  SH     DEFINED  01,08      31,813           0           0

FFY FINL CORP                     COM   30242U108          29       2,400  SH     DEFINED     01       2,400           0           0
FFY FINL CORP                     COM   30242U108         113       9,400  SH     DEFINED  01,08       9,400           0           0

FLIR SYS INC                      COM   302445101          30       5,000  SH     DEFINED     04           0           0       5,000
FLIR SYS INC                      COM   302445101         105      17,497  SH     DEFINED  01,08      17,497           0           0

F M C CORP                        COM   302491303       4,299      64,106  SH     DEFINED     01      54,717       7,711       1,678
F M C CORP                        COM   302491303           3          47  SH     DEFINED     02          20          27           0
F M C CORP                        COM   302491303          15         220  SH     OTHER       04         220           0           0
F M C CORP                        COM   302491303       3,126      46,620  SH     DEFINED  01,08      46,620           0           0

FNB CORP PA                       COM   302520101         704      32,944  SH     DEFINED     01      29,091           0       3,853
FNB CORP PA                       COM   302520101         181       8,468  SH     DEFINED     04       5,830           0       2,638
FNB CORP PA                       COM   302520101         197       9,213  SH     OTHER       04       9,213           0           0
FNB CORP PA                       COM   302520101         737      34,487  SH     DEFINED  01,08      34,487           0           0

FPIC INS GROUP INC                COM   302563101           3         200  SH     DEFINED     01         200           0           0
FPIC INS GROUP INC                COM   302563101         705      50,339  SH     DEFINED     04      48,339           0       2,000
FPIC INS GROUP INC                COM   302563101          14       1,000  SH     OTHER       04       1,000           0           0
FPIC INS GROUP INC                COM   302563101         243      17,388  SH     DEFINED  01,08      17,388           0           0

FPL GROUP INC                     COM   302571104      22,909     348,421  SH     DEFINED     01     273,378      57,289      17,754
FPL GROUP INC                     COM   302571104       1,845      28,057  SH     OTHER       01      22,262       3,695       2,100
FPL GROUP INC                     COM   302571104         185       2,819  SH     DEFINED     02       2,619           0         200
FPL GROUP INC                     COM   302571104          33         500  SH     OTHER       02           0         500           0
FPL GROUP INC                     COM   302571104         408       6,209  SH     DEFINED     03       1,500       3,209       1,500
FPL GROUP INC                     COM   302571104       3,258      49,544  SH     DEFINED     04      48,544           0       1,000
FPL GROUP INC                     COM   302571104       5,431      82,602  SH     OTHER       04      78,902           0       3,700
FPL GROUP INC                     COM   302571104      17,925     272,620  SH     DEFINED  01,08     272,620           0           0
FPL GROUP INC                     COM   302571104         529       8,050  SH     DEFINED     10         350       7,700           0
FPL GROUP INC                     COM   302571104         145       2,200  SH     OTHER       10         100       2,000         100

FSI INTL INC                      COM   302633102         628      44,093  SH     DEFINED     01      41,770           0       2,323
FSI INTL INC                      COM   302633102          30       2,100  SH     DEFINED     04       2,100           0           0
FSI INTL INC                      COM   302633102         634      44,467  SH     DEFINED  01,08      44,467           0           0

FVC COM INC                       COM   30266P100           5       1,000  SH     OTHER       02           0       1,000           0
FVC COM INC                       COM   30266P100         113      22,652  SH     DEFINED  01,08      22,652           0           0

FX ENERGY INC                     COM   302695101          63      19,340  SH     DEFINED  01,08      19,340           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    179
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

F Y I INC                         COM   302712104         523      13,988  SH     DEFINED     01      12,173         700       1,115
F Y I INC                         COM   302712104         306       8,200  SH     DEFINED     04           0           0       8,200
F Y I INC                         COM   302712104       1,228      32,858  SH     DEFINED  01,08      32,858           0           0

FAB INDS INC                      COM   302747100           9         800  SH     DEFINED     01         800           0           0
FAB INDS INC                      COM   302747100         196      18,476  SH     DEFINED  01,08      18,476           0           0

FACTORY 2-U INC                   COM   303072102         394      12,892  SH     DEFINED     01      12,369           0         523
FACTORY 2-U INC                   COM   303072102         452      14,802  SH     DEFINED  01,08      14,802           0           0

FACTSET RESH SYS INC              COM   303075105         861      22,896  SH     DEFINED     01      20,535           0       2,361
FACTSET RESH SYS INC              COM   303075105          43       1,135  SH     OTHER       01           0       1,135           0
FACTSET RESH SYS INC              COM   303075105       1,636      43,514  SH     DEFINED  01,08      43,514           0           0

FAIR ISAAC & CO INC               COM   303250104         549      12,858  SH     DEFINED     01      11,172         500       1,186
FAIR ISAAC & CO INC               COM   303250104          32         745  SH     OTHER       01           0         745           0
FAIR ISAAC & CO INC               COM   303250104           9         200  SH     DEFINED     03           0         200           0
FAIR ISAAC & CO INC               COM   303250104       1,666      39,017  SH     DEFINED  01,08      39,017           0           0

FAIRCHILD CORP                    COM   303698104          46       7,100  SH     DEFINED     04           0           0       7,100
FAIRCHILD CORP                    COM   303698104         411      63,808  SH     DEFINED  01,08      63,808           0           0

FAIRCHILD SEMICONDUCTOR INTL      COM   303726103         125       4,452  SH     DEFINED     01       2,931           0       1,521
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103       1,135      40,350  SH     DEFINED     04      40,350           0           0
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103       3,301     117,363  SH     DEFINED  01,08     117,363           0           0

FAIRFIELD CMNTYS INC              COM   304231301         310      30,625  SH     DEFINED     01      25,547           0       5,078
FAIRFIELD CMNTYS INC              COM   304231301          30       3,000  SH     DEFINED     04       3,000           0           0
FAIRFIELD CMNTYS INC              COM   304231301          10         992  SH     OTHER       04         992           0           0
FAIRFIELD CMNTYS INC              COM   304231301         464      45,814  SH     DEFINED  01,08      45,814           0           0

FAIRMARKET INC                    COM   305158107           0          18  SH     DEFINED     03          18           0           0
FAIRMARKET INC                    COM   305158107          80      24,719  SH     DEFINED  01,08      24,719           0           0

FALCON PRODS INC                  COM   306075102          13       1,400  SH     DEFINED     01       1,400           0           0
FALCON PRODS INC                  COM   306075102         218      23,288  SH     DEFINED  01,08      23,288           0           0

FAMILY DLR STORES INC             COM   307000109       2,616     135,909  SH     DEFINED     01     103,323           0      32,586
FAMILY DLR STORES INC             COM   307000109           3         170  SH     DEFINED     03           0         170           0
FAMILY DLR STORES INC             COM   307000109         166       8,600  SH     DEFINED     04       8,600           0           0
FAMILY DLR STORES INC             COM   307000109         668      34,700  SH     OTHER       04      34,700           0           0
FAMILY DLR STORES INC             COM   307000109       8,967     465,836  SH     DEFINED  01,08     465,836           0           0

FAMOUS DAVES AMER INC             COM   307068106           4       1,000  SH     DEFINED     01       1,000           0           0
FAMOUS DAVES AMER INC             COM   307068106          40      11,400  SH     DEFINED  01,08      11,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    180
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FANSTEEL INC DEL                  COM   307260109          26       7,300  SH     DEFINED     01       7,300           0           0
FANSTEEL INC DEL                  COM   307260109           3         987  SH     OTHER       01           0         987           0
FANSTEEL INC DEL                  COM   307260109          90      25,738  SH     DEFINED  01,08      25,738           0           0

FARGO ELECTRONICS INC             COM   30744P102          86      13,900  SH     DEFINED     04           0           0      13,900
FARGO ELECTRONICS INC             COM   30744P102          98      15,900  SH     DEFINED  01,08      15,900           0           0

FARMER BROS CO                    COM   307675108         195       1,081  SH     DEFINED     01         916           0         165
FARMER BROS CO                    COM   307675108         999       5,550  SH     DEFINED  01,08       5,550           0           0

FARM FAMILY HLDGS INC             COM   307901108         101       3,200  SH     DEFINED     01       3,200           0           0
FARM FAMILY HLDGS INC             COM   307901108          98       3,100  SH     DEFINED     04           0           0       3,100
FARM FAMILY HLDGS INC             COM   307901108          80       2,540  SH     DEFINED  01,08       2,540           0           0

FARMERS CAP BK CORP               COM   309562106         131       3,651  SH     DEFINED     01       2,537           0       1,114
FARMERS CAP BK CORP               COM   309562106         480      13,344  SH     DEFINED  01,08      13,344           0           0

FARREL CORP NEW                   COM   311667109          14      10,300  SH     DEFINED  01,08      10,300           0           0

FATBRAIN COM INC                  COM   311889109          56      14,462  SH     DEFINED  01,08      14,462           0           0

FASTENAL CO                       COM   311900104       1,648      28,607  SH     DEFINED     01      23,688       2,687       2,232
FASTENAL CO                       COM   311900104          35         600  SH     OTHER       01           0           0         600
FASTENAL CO                       COM   311900104       1,016      17,629  SH     DEFINED     02       4,920      12,709           0
FASTENAL CO                       COM   311900104         345       5,993  SH     OTHER       02       1,393       3,400       1,200
FASTENAL CO                       COM   311900104         138       2,395  SH     DEFINED     03           0       2,395           0
FASTENAL CO                       COM   311900104          29         500  SH     OTHER       03         500           0           0
FASTENAL CO                       COM   311900104         164       2,840  SH     DEFINED     04       2,840           0           0
FASTENAL CO                       COM   311900104         142       2,460  SH     OTHER       04       2,400           0          60
FASTENAL CO                       COM   311900104       5,910     102,564  SH     DEFINED  01,08     102,564           0           0
FASTENAL CO                       COM   311900104          17         300  SH     DEFINED     10           0         300           0

FEDDERS CORP                      COM   313135105         163      42,154  SH     DEFINED     01      35,871           0       6,283
FEDDERS CORP                      COM   313135105         240      61,971  SH     DEFINED  01,08      61,971           0           0

FEDDERS CORP                      COM   313135303           7       2,000  SH     OTHER       01           0       2,000           0
FEDDERS CORP                      COM   313135303           2         692  SH     DEFINED     04         692           0           0
FEDDERS CORP                      COM   313135303          59      17,802  SH     DEFINED  01,08      17,802           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    181
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FEDERAL HOME LN MTG CORP          COM   313400301     152,302   2,817,168  SH     DEFINED     01   1,922,659     698,245     196,264
FEDERAL HOME LN MTG CORP          COM   313400301       8,464     156,557  SH     OTHER       01      47,685     101,922       6,950
FEDERAL HOME LN MTG CORP          COM   313400301         309       5,715  SH     DEFINED     02       2,515       1,850       1,350
FEDERAL HOME LN MTG CORP          COM   313400301         342       6,330  SH     OTHER       02       2,500         380       3,450
FEDERAL HOME LN MTG CORP          COM   313400301       7,579     140,200  SH     DEFINED     03      55,297      80,550       4,353
FEDERAL HOME LN MTG CORP          COM   313400301       1,067      19,731  SH     OTHER       03       6,475      10,356       2,900
FEDERAL HOME LN MTG CORP          COM   313400301      13,211     244,372  SH     DEFINED     04     220,869           0      23,503
FEDERAL HOME LN MTG CORP          COM   313400301       7,236     133,843  SH     OTHER       04     130,293           0       3,550
FEDERAL HOME LN MTG CORP          COM   313400301       7,957     147,188  SH     DEFINED     05      88,248      50,870       8,070
FEDERAL HOME LN MTG CORP          COM   313400301         527       9,740  SH     OTHER       05       5,440       4,300           0
FEDERAL HOME LN MTG CORP          COM   313400301      60,391   1,117,075  SH     DEFINED  01,08   1,116,400         675           0
FEDERAL HOME LN MTG CORP          COM   313400301          31         575  SH     DEFINED     09         575           0           0
FEDERAL HOME LN MTG CORP          COM   313400301       5,469     101,168  SH     DEFINED     10      61,283      39,885           0
FEDERAL HOME LN MTG CORP          COM   313400301         152       2,820  SH     OTHER       10       1,470       1,150         200

FEDERAL MOGUL CORP                COM   313549107         436      80,190  SH     DEFINED     01      67,925           0      12,265
FEDERAL MOGUL CORP                COM   313549107          16       3,000  SH     OTHER       01           0       3,000           0
FEDERAL MOGUL CORP                COM   313549107           2         400  SH     DEFINED     04         400           0           0
FEDERAL MOGUL CORP                COM   313549107       1,120     206,030  SH     DEFINED  01,08     206,030           0           0

FEDERAL NATL MTG ASSN             COM   313586109     240,011   3,356,795  SH     DEFINED     01   2,387,843     782,863     186,089
FEDERAL NATL MTG ASSN             COM   313586109      26,868     375,774  SH     OTHER       01     193,456     159,956      22,362
FEDERAL NATL MTG ASSN             COM   313586109      15,858     221,795  SH     DEFINED     02     124,698      87,396       9,701
FEDERAL NATL MTG ASSN             COM   313586109       5,464      76,419  SH     OTHER       02      52,949      16,950       6,520
FEDERAL NATL MTG ASSN             COM   313586109      18,054     252,497  SH     DEFINED     03     131,515     109,777      11,205
FEDERAL NATL MTG ASSN             COM   313586109       7,698     107,667  SH     OTHER       03      57,422      47,050       3,195
FEDERAL NATL MTG ASSN             COM   313586109     131,031   1,832,608  SH     DEFINED     04   1,769,993           0      62,615
FEDERAL NATL MTG ASSN             COM   313586109      85,781   1,199,734  SH     OTHER       04   1,134,520           0      65,214
FEDERAL NATL MTG ASSN             COM   313586109       3,567      49,884  SH     DEFINED     05      31,434      16,955       1,495
FEDERAL NATL MTG ASSN             COM   313586109       2,713      37,950  SH     OTHER       05       8,750      18,400      10,800
FEDERAL NATL MTG ASSN             COM   313586109     113,163   1,582,698  SH     DEFINED  01,08   1,571,973      10,725           0
FEDERAL NATL MTG ASSN             COM   313586109         554       7,754  SH     DEFINED     09       7,754           0           0
FEDERAL NATL MTG ASSN             COM   313586109         169       2,370  SH     OTHER       09           0       2,370           0
FEDERAL NATL MTG ASSN             COM   313586109       1,389      19,424  SH     DEFINED     10      16,094       3,330           0
FEDERAL NATL MTG ASSN             COM   313586109         715      10,003  SH     OTHER       10       7,900       2,103           0

FEDERAL REALTY INVT TR            COM   313747206         504      26,357  SH     DEFINED     01      20,568           0       5,789
FEDERAL REALTY INVT TR            COM   313747206          29       1,500  SH     DEFINED     04       1,500           0           0
FEDERAL REALTY INVT TR            COM   313747206          44       2,300  SH     OTHER       04       2,300           0           0
FEDERAL REALTY INVT TR            COM   313747206         192      10,062  SH     DEFINED  01,08      10,062           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    182
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FEDERAL SIGNAL CORP               COM   313855108       2,763     139,011  SH     DEFINED     01      99,413       3,924      35,674
FEDERAL SIGNAL CORP               COM   313855108       1,519      76,429  SH     OTHER       01      37,732      13,897      24,800
FEDERAL SIGNAL CORP               COM   313855108         101       5,066  SH     DEFINED     02       5,066           0           0
FEDERAL SIGNAL CORP               COM   313855108           2         120  SH     DEFINED     03           0         120           0
FEDERAL SIGNAL CORP               COM   313855108          32       1,600  SH     OTHER       03           0       1,600           0
FEDERAL SIGNAL CORP               COM   313855108       1,237      62,215  SH     DEFINED     04       5,017           0      57,198
FEDERAL SIGNAL CORP               COM   313855108       1,284      64,600  SH     OTHER       04      64,600           0           0
FEDERAL SIGNAL CORP               COM   313855108           1          50  SH     OTHER       05          50           0           0
FEDERAL SIGNAL CORP               COM   313855108       3,043     153,129  SH     DEFINED  01,08     153,129           0           0
FEDERAL SIGNAL CORP               COM   313855108          30       1,500  SH     DEFINED     10       1,500           0           0

FEDERATED DEPT STORES INC DEL     COM   31410H101      10,069     385,409  SH     DEFINED     01     298,775      73,072      13,562
FEDERATED DEPT STORES INC DEL     COM   31410H101         418      16,000  SH     OTHER       01      16,000           0           0
FEDERATED DEPT STORES INC DEL     COM   31410H101           2          60  SH     DEFINED     03           0          60           0
FEDERATED DEPT STORES INC DEL     COM   31410H101         227       8,680  SH     DEFINED     04       8,680           0           0
FEDERATED DEPT STORES INC DEL     COM   31410H101          89       3,400  SH     OTHER       04       3,400           0           0
FEDERATED DEPT STORES INC DEL     COM   31410H101          20         750  SH     DEFINED     05         350           0         400
FEDERATED DEPT STORES INC DEL     COM   31410H101           0           3  SH     OTHER       05           0           3           0
FEDERATED DEPT STORES INC DEL     COM   31410H101       9,647     369,269  SH     DEFINED  01,08     369,269           0           0
FEDERATED DEPT STORES INC DEL     COM   31410H101           7         270  SH     DEFINED     09         270           0           0
FEDERATED DEPT STORES INC DEL     COM   31410H101           4         160  SH     DEFINED     10         160           0           0

FEDERATED DEPT STORES INC DEL     WT    31410H127         123      27,000         OTHER       04      27,000           0           0

FEDERATED INVS INC PA             COM   314211103         162       6,558  SH     DEFINED     01       4,263           0       2,295
FEDERATED INVS INC PA             COM   314211103          19         750  SH     OTHER       04           0           0         750
FEDERATED INVS INC PA             COM   314211103       4,427     178,849  SH     DEFINED  01,08     178,849           0           0

FEDEX CORP                        COM   31428X106      24,080     543,083  SH     DEFINED     01     422,092      91,044      29,947
FEDEX CORP                        COM   31428X106         851      19,200  SH     OTHER       01      19,000           0         200
FEDEX CORP                        COM   31428X106           7         150  SH     DEFINED     02         150           0           0
FEDEX CORP                        COM   31428X106           6         140  SH     OTHER       02         140           0           0
FEDEX CORP                        COM   31428X106         234       5,280  SH     DEFINED     03       1,880       3,200         200
FEDEX CORP                        COM   31428X106          22         500  SH     OTHER       03         200         300           0
FEDEX CORP                        COM   31428X106         323       7,280  SH     DEFINED     04       3,280           0       4,000
FEDEX CORP                        COM   31428X106         468      10,550  SH     OTHER       04      10,350           0         200
FEDEX CORP                        COM   31428X106      19,917     449,186  SH     DEFINED  01,08     449,186           0           0
FEDEX CORP                        COM   31428X106          54       1,210  SH     DEFINED     10       1,210           0           0

FELCOR LODGING TR INC             COM   31430F101         737      31,866  SH     DEFINED     01      23,120           0       8,746
FELCOR LODGING TR INC             COM   31430F101          51       2,200  SH     DEFINED     04       2,200           0           0
FELCOR LODGING TR INC             COM   31430F101         278      12,000  SH     DEFINED  01,08      12,000           0           0

FERRO CORP                        COM   315405100         840      44,072  SH     DEFINED     01      38,927           0       5,145
FERRO CORP                        COM   315405100       1,926     101,027  SH     DEFINED  01,08     101,027           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    183
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

F5 NETWORKS INC                   COM   315616102         801      23,564  SH     DEFINED     01      23,263           0         301
F5 NETWORKS INC                   COM   315616102           5         150  SH     OTHER       01           0         150           0
F5 NETWORKS INC                   COM   315616102           3         100  SH     OTHER       02         100           0           0
F5 NETWORKS INC                   COM   315616102           3         100  SH     OTHER       04           0           0         100
F5 NETWORKS INC                   COM   315616102         945      27,784  SH     DEFINED  01,08      27,784           0           0

FIBERMARK INC                     COM   315646109          85       8,300  SH     DEFINED     04           0           0       8,300
FIBERMARK INC                     COM   315646109          96       9,400  SH     DEFINED  01,08       9,400           0           0

FIBERNET TELECOM GRP INC          COM   315653105         153       9,007  SH     DEFINED     01       8,600           0         407
FIBERNET TELECOM GRP INC          COM   315653105         416      24,542  SH     DEFINED  01,08      24,542           0           0

FIDELITY NATL CORP GA             COM   316320100          51       7,000  SH     DEFINED     01       4,500       2,500           0
FIDELITY NATL CORP GA             COM   316320100         103      14,150  SH     DEFINED  01,08      14,150           0           0

FIDELITY NATL FINL INC            COM   316326107      10,744     434,096  SH     DEFINED     01     391,266       2,100      40,730
FIDELITY NATL FINL INC            COM   316326107       5,355     216,346  SH     DEFINED  01,08     216,346           0           0

FIFTH THIRD BANCORP               COM   316773100      70,136   1,301,828  SH     DEFINED     01     947,786     301,043      52,999
FIFTH THIRD BANCORP               COM   316773100      20,903     387,989  SH     OTHER       01      95,547     267,530      24,912
FIFTH THIRD BANCORP               COM   316773100       2,366      43,920  SH     DEFINED     02      33,071       9,492       1,357
FIFTH THIRD BANCORP               COM   316773100       2,197      40,782  SH     OTHER       02      31,450       8,320       1,012
FIFTH THIRD BANCORP               COM   316773100      10,345     192,021  SH     DEFINED     03     109,117      80,613       2,291
FIFTH THIRD BANCORP               COM   316773100       2,298      42,660  SH     OTHER       03      23,447      15,689       3,524
FIFTH THIRD BANCORP               COM   316773100      15,289     283,779  SH     DEFINED     04     280,052           0       3,727
FIFTH THIRD BANCORP               COM   316773100      10,817     200,771  SH     OTHER       04     186,639           0      14,132
FIFTH THIRD BANCORP               COM   316773100         839      15,581  SH     DEFINED     05       8,718       3,463       3,400
FIFTH THIRD BANCORP               COM   316773100         248       4,612  SH     OTHER       05       1,612       3,000           0
FIFTH THIRD BANCORP               COM   316773100      36,470     676,941  SH     DEFINED  01,08     676,941           0           0
FIFTH THIRD BANCORP               COM   316773100         404       7,500  SH     DEFINED     09       7,500           0           0
FIFTH THIRD BANCORP               COM   316773100       1,507      27,971  SH     DEFINED     10      12,693      15,278           0
FIFTH THIRD BANCORP               COM   316773100         286       5,305  SH     OTHER       10       3,805       1,500           0

FILENET CORP                      COM   316869106         701      38,545  SH     DEFINED     01      34,535       1,300       2,710
FILENET CORP                      COM   316869106         127       7,000  SH     DEFINED     04           0           0       7,000
FILENET CORP                      COM   316869106       1,537      84,493  SH     DEFINED  01,08      84,493           0           0

FINANCIAL FED CORP                COM   317492106         183       7,578  SH     DEFINED     01       6,190           0       1,388
FINANCIAL FED CORP                COM   317492106         574      23,738  SH     DEFINED  01,08      23,738           0           0

FINISAR                           COM   31787A101       4,640      95,925  SH     DEFINED     01      73,629      12,900       9,396
FINISAR                           COM   31787A101          29         592  SH     OTHER       01           0           0         592
FINISAR                           COM   31787A101          10         200  SH     DEFINED     03           0         200           0
FINISAR                           COM   31787A101       6,144     127,014  SH     DEFINED  01,08     127,014           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    184
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FINLAY ENTERPRISES INC            COM   317884203         116       8,300  SH     DEFINED     04           0           0       8,300
FINLAY ENTERPRISES INC            COM   317884203         191      13,648  SH     DEFINED  01,08      13,648           0           0

FINET COM INC                     COM   317922300          14      30,800  SH     DEFINED  01,08      30,800           0           0

FINISH LINE INC                   COM   317923100         173      23,641  SH     DEFINED  01,08      23,641           0           0

FINOVA GROUP INC                  COM   317928109         880     121,322  SH     DEFINED     01     108,472       2,250      10,600
FINOVA GROUP INC                  COM   317928109          27       3,750  SH     OTHER       01       3,750           0           0
FINOVA GROUP INC                  COM   317928109          34       4,680  SH     DEFINED     02       1,880       2,800           0
FINOVA GROUP INC                  COM   317928109          33       4,500  SH     OTHER       02       1,200       3,300           0
FINOVA GROUP INC                  COM   317928109           1         140  SH     OTHER       03         140           0           0
FINOVA GROUP INC                  COM   317928109           2         230  SH     OTHER       04         230           0           0
FINOVA GROUP INC                  COM   317928109          38       5,180  SH     DEFINED     05       4,530           0         650
FINOVA GROUP INC                  COM   317928109           5         700  SH     OTHER       05         700           0           0
FINOVA GROUP INC                  COM   317928109       1,304     179,903  SH     DEFINED  01,08     179,903           0           0
FINOVA GROUP INC                  COM   317928109          10       1,400  SH     DEFINED     10       1,400           0           0

FIREPOND INC                      COM   318224102         622      42,892  SH     DEFINED     01      42,805           0          87
FIREPOND INC                      COM   318224102         519      35,785  SH     DEFINED  01,08      35,785           0           0

FIRST ALBANY COS INC              COM   318465101          29       1,874  SH     DEFINED     01       1,874           0           0
FIRST ALBANY COS INC              COM   318465101         179      11,692  SH     DEFINED  01,08      11,692           0           0

FIRST AMERN CORP CALIF            COM   318522307         752      36,015  SH     DEFINED     01      22,331           0      13,684
FIRST AMERN CORP CALIF            COM   318522307       4,324     207,160  SH     DEFINED  01,08     207,160           0           0

FIRST AUSTRALIA PRIME INCOME   UNDEFIND 318653102           0       5,480         DEFINED     01       5,480           0           0
FIRST AUSTRALIA PRIME INCOME   UNDEFIND 318653102           0       5,580         DEFINED     02       2,000       3,580           0
FIRST AUSTRALIA PRIME INCOME   UNDEFIND 318653102         184      43,746         DEFINED     04      43,746           0           0
FIRST AUSTRALIA PRIME INCOME   UNDEFIND 318653102          44      10,472         OTHER       04      10,472           0           0

FIRST BANCORP P R                 COM   318672102         438      17,941  SH     DEFINED     01      14,366           0       3,575
FIRST BANCORP P R                 COM   318672102       1,381      56,512  SH     DEFINED  01,08      56,512           0           0

FIRST BANCORP N C                 COM   318910106          12         748  SH     DEFINED     01         748           0           0
FIRST BANCORP N C                 COM   318910106         187      12,061  SH     DEFINED  01,08      12,061           0           0

FIRST BUSEY CORP                  COM   319383105         169       9,159  SH     DEFINED     01       8,996           0         163
FIRST BUSEY CORP                  COM   319383105         148       7,996  SH     DEFINED  01,08       7,996           0           0

FIRST CASH FINL SVCS INC          COM   31942D107          26      10,703  SH     DEFINED  01,08      10,703           0           0

FIRST CHARTER CORP                COM   319439105         598      41,387  SH     DEFINED     01      35,724           0       5,663
FIRST CHARTER CORP                COM   319439105         456      31,577  SH     DEFINED  01,08      31,577           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    185
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FIRST CTZNS BANCSHARES INC N C    COM   31946M103         239       3,336  SH     DEFINED     01       2,329           0       1,007
FIRST CTZNS BANCSHARES INC N C    COM   31946M103       1,725      24,110  SH     DEFINED  01,08      24,110           0           0

FIRST COMWLTH FINL CORP PA        COM   319829107         341      35,198  SH     DEFINED     01      25,722           0       9,476
FIRST COMWLTH FINL CORP PA        COM   319829107       1,059     109,279  SH     DEFINED  01,08     109,279           0           0

FIRST CONSULTING GROUP INC        COM   31986R103          86      15,517  SH     DEFINED     01      13,965         231       1,321
FIRST CONSULTING GROUP INC        COM   31986R103          46       8,200  SH     DEFINED     04           0           0       8,200
FIRST CONSULTING GROUP INC        COM   31986R103         178      32,086  SH     DEFINED  01,08      32,086           0           0

FIRST FED CAP CORP                COM   319960100         127      10,349  SH     DEFINED     01       7,482           0       2,867
FIRST FED CAP CORP                COM   319960100         362      29,380  SH     DEFINED  01,08      29,380           0           0

FIRST DATA CORP                   COM   319963104      75,942   1,944,151  SH     DEFINED     01   1,274,434     506,390     163,327
FIRST DATA CORP                   COM   319963104      11,646     298,139  SH     OTHER       01     109,086     164,340      24,713
FIRST DATA CORP                   COM   319963104       1,460      37,388  SH     DEFINED     02      29,074       8,314           0
FIRST DATA CORP                   COM   319963104         353       9,025  SH     OTHER       02       4,541       3,850         634
FIRST DATA CORP                   COM   319963104       2,622      67,130  SH     DEFINED     03      27,842      38,113       1,175
FIRST DATA CORP                   COM   319963104       1,371      35,104  SH     OTHER       03      19,628      15,476           0
FIRST DATA CORP                   COM   319963104       6,036     154,516  SH     DEFINED     04     149,214           0       5,302
FIRST DATA CORP                   COM   319963104       3,377      86,455  SH     OTHER       04      78,519           0       7,936
FIRST DATA CORP                   COM   319963104       1,221      31,270  SH     DEFINED     05      23,511       6,400       1,359
FIRST DATA CORP                   COM   319963104         726      18,584  SH     OTHER       05       5,650       9,934       3,000
FIRST DATA CORP                   COM   319963104      25,640     656,401  SH     DEFINED  01,08     656,401           0           0
FIRST DATA CORP                   COM   319963104          73       1,870  SH     OTHER       09           0       1,870           0
FIRST DATA CORP                   COM   319963104         333       8,517  SH     DEFINED     10       7,217       1,300           0
FIRST DATA CORP                   COM   319963104          39       1,000  SH     OTHER       10         400         600           0

FIRST DEFIANCE FINL CORP          COM   32006W106          21       2,300  SH     DEFINED     01       2,300           0           0
FIRST DEFIANCE FINL CORP          COM   32006W106          92      10,200  SH     DEFINED  01,08      10,200           0           0

FIRST ESSEX BANCORP INC           COM   320103104         129       6,100  SH     DEFINED     01       6,100           0           0
FIRST ESSEX BANCORP INC           COM   320103104         210       9,962  SH     DEFINED  01,08       9,962           0           0

FIRST FINL BANKSHARES             COM   32020R109         183       5,698  SH     DEFINED     01       4,019           0       1,679
FIRST FINL BANKSHARES             COM   32020R109         463      14,428  SH     DEFINED  01,08      14,428           0           0

FIRST FINL BANCORP OH             COM   320209109         374      23,726  SH     DEFINED     01      18,634           0       5,092
FIRST FINL BANCORP OH             COM   320209109          31       1,955  SH     OTHER       04           0           0       1,955
FIRST FINL BANCORP OH             COM   320209109       1,275      80,977  SH     DEFINED  01,08      80,977           0           0

FIRST FINL CORP IND               COM   320218100         118       3,872  SH     DEFINED     01       2,751           0       1,121
FIRST FINL CORP IND               COM   320218100         306      10,019  SH     DEFINED  01,08      10,019           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    186
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FIRST FINL HLDGS INC              COM   320239106         117       7,629  SH     DEFINED     01       5,289           0       2,340
FIRST FINL HLDGS INC              COM   320239106         334      21,804  SH     DEFINED  01,08      21,804           0           0

FIRST INDUSTRIAL REALTY TRUST     COM   32054K103         708      23,033  SH     DEFINED     01      15,638           0       7,395
FIRST INDUSTRIAL REALTY TRUST     COM   32054K103          28         900  SH     OTHER       01         900           0           0
FIRST INDUSTRIAL REALTY TRUST     COM   32054K103           6         200  SH     DEFINED     02         200           0           0
FIRST INDUSTRIAL REALTY TRUST     COM   32054K103          92       3,000  SH     OTHER       04       2,000           0       1,000
FIRST INDUSTRIAL REALTY TRUST     COM   32054K103         308      10,024  SH     DEFINED  01,08      10,024           0           0

FIRST IND CORP                    COM   32054R108         737      28,263  SH     DEFINED     01      26,596           0       1,667
FIRST IND CORP                    COM   32054R108         762      29,243  SH     OTHER       01      29,243           0           0
FIRST IND CORP                    COM   32054R108          31       1,197  SH     DEFINED     02       1,197           0           0
FIRST IND CORP                    COM   32054R108       1,032      39,601  SH     DEFINED  01,08      39,601           0           0

FIRST MERCHANTS CORP              COM   320817109         254      11,461  SH     DEFINED     01       9,452           0       2,009
FIRST MERCHANTS CORP              COM   320817109         259      11,714  SH     DEFINED  01,08      11,714           0           0

FIRST MIDWEST BANCORP DEL         COM   320867104       1,068      40,120  SH     DEFINED     01      29,538       2,152       8,430
FIRST MIDWEST BANCORP DEL         COM   320867104       1,453      54,583  SH     OTHER       01      54,583           0           0
FIRST MIDWEST BANCORP DEL         COM   320867104         214       8,042  SH     OTHER       02       8,042           0           0
FIRST MIDWEST BANCORP DEL         COM   320867104         183       6,878  SH     DEFINED     04       6,878           0           0
FIRST MIDWEST BANCORP DEL         COM   320867104         250       9,400  SH     OTHER       04       9,400           0           0
FIRST MIDWEST BANCORP DEL         COM   320867104       2,207      82,904  SH     DEFINED  01,08      82,904           0           0

FIRST HEALTH GROUP CORP           COM   320960107       1,049      32,520  SH     DEFINED     01      29,924           0       2,596
FIRST HEALTH GROUP CORP           COM   320960107       4,275     132,565  SH     DEFINED  01,08     132,565           0           0

FIRST MUTUAL BANCSHARES INC       COM   32190E102         165      16,680  SH     DEFINED  01,08      16,680           0           0

FIRST NIAGARA FINL GROUP INC      COM   33582U100          66       7,086  SH     DEFINED     01       4,866           0       2,220
FIRST NIAGARA FINL GROUP INC      COM   33582U100         351      37,986  SH     DEFINED  01,08      37,986           0           0

FIRST NORTHN CAP CORP             COM   335832101         107       7,300  SH     DEFINED     01       7,300           0           0
FIRST NORTHN CAP CORP             COM   335832101         218      14,900  SH     DEFINED  01,08      14,900           0           0

FIRST OAK BROOK BANCSHARES INC    COM   335847208         165      10,600  SH     DEFINED  01,08      10,600           0           0

FIRST PL FINL CORP                COM   33610T109         269      24,458  SH     DEFINED  01,08      24,458           0           0

FIRST REP BK SAN FRANCISCO        COM   336158100         259       8,600  SH     DEFINED     01       8,600           0           0
FIRST REP BK SAN FRANCISCO        COM   336158100         346      11,500  SH     DEFINED     04           0           0      11,500
FIRST REP BK SAN FRANCISCO        COM   336158100         442      14,658  SH     DEFINED  01,08      14,658           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    187
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FIRST SEC CORP DEL                COM   336294103       2,227     136,541  SH     DEFINED     01     127,047           0       9,494
FIRST SEC CORP DEL                COM   336294103          55       3,375  SH     OTHER       01           0       3,375           0
FIRST SEC CORP DEL                COM   336294103          97       5,922  SH     DEFINED     02         979           0       4,943
FIRST SEC CORP DEL                COM   336294103          75       4,582  SH     OTHER       02       2,650           0       1,932
FIRST SEC CORP DEL                COM   336294103       9,029     553,524  SH     DEFINED  01,08     553,524           0           0
FIRST SEC CORP DEL                COM   336294103          24       1,450  SH     DEFINED     10       1,450           0           0

FIRST SENTINEL BANCORP INC        COM   33640T103         498      52,287  SH     DEFINED     01      46,140           0       6,147
FIRST SENTINEL BANCORP INC        COM   33640T103         420      44,089  SH     DEFINED  01,08      44,089           0           0

1ST SOURCE CORP                   COM   336901103         146       6,951  SH     DEFINED     01       4,607         307       2,037
1ST SOURCE CORP                   COM   336901103         226      10,779  SH     OTHER       02      10,779           0           0
1ST SOURCE CORP                   COM   336901103       1,601      76,253  SH     DEFINED  01,08      76,253           0           0

FIRST TEAM SPORTS INC             COM   337157101          14       8,000  SH     OTHER       01       8,000           0           0
FIRST TEAM SPORTS INC             COM   337157101          16       9,200  SH     DEFINED  01,08       9,200           0           0

FIRST TENN NATL CORP              COM   337162101       2,245     109,851  SH     DEFINED     01      83,812      19,000       7,039
FIRST TENN NATL CORP              COM   337162101          57       2,800  SH     OTHER       03       2,800           0           0
FIRST TENN NATL CORP              COM   337162101         130       6,350  SH     DEFINED     04       6,350           0           0
FIRST TENN NATL CORP              COM   337162101         493      24,140  SH     OTHER       04      24,140           0           0
FIRST TENN NATL CORP              COM   337162101       7,599     371,843  SH     DEFINED  01,08     371,843           0           0

FIRST UN CORP                     COM   337358105      57,980   1,801,343  SH     DEFINED     01   1,448,849     263,262      89,232
FIRST UN CORP                     COM   337358105         264       8,208  SH     OTHER       01       3,301       4,283         624
FIRST UN CORP                     COM   337358105          26         800  SH     DEFINED     02         800           0           0
FIRST UN CORP                     COM   337358105           5         170  SH     OTHER       02           0         170           0
FIRST UN CORP                     COM   337358105         143       4,456  SH     DEFINED     03       1,800       2,656           0
FIRST UN CORP                     COM   337358105         133       4,122  SH     OTHER       03         162       3,960           0
FIRST UN CORP                     COM   337358105      10,998     341,682  SH     DEFINED     04     237,766           0     103,916
FIRST UN CORP                     COM   337358105       2,943      91,446  SH     OTHER       04      81,591           0       9,855
FIRST UN CORP                     COM   337358105      62,175   1,931,681  SH     DEFINED  01,08   1,534,342     397,339           0
FIRST UN CORP                     COM   337358105          45       1,400  SH     DEFINED     10         400       1,000           0
FIRST UN CORP                     COM   337358105          40       1,240  SH     OTHER       10         440         800           0

FIRST VA BANKS INC                COM   337477103       1,386      32,511  SH     DEFINED     01      30,151           0       2,360
FIRST VA BANKS INC                COM   337477103         340       7,980  SH     DEFINED     02         900       7,080           0
FIRST VA BANKS INC                COM   337477103         173       4,050  SH     DEFINED     04       4,050           0           0
FIRST VA BANKS INC                COM   337477103       1,961      46,008  SH     OTHER       04      46,008           0           0
FIRST VA BANKS INC                COM   337477103       5,468     128,287  SH     DEFINED  01,08     128,287           0           0

FIRST WASH BANCORP INC WASH       COM   33748T104         103       6,560  SH     DEFINED     01       6,560           0           0
FIRST WASH BANCORP INC WASH       COM   33748T104          69       4,380  SH     DEFINED  01,08       4,380           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    188
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FIRST WASH RLTY TR INC            COM   337489504         247       9,720  SH     DEFINED     01       3,275       5,000       1,445
FIRST WASH RLTY TR INC            COM   337489504          52       2,055  SH     DEFINED  01,08       2,055           0           0

FIRST YRS INC                     COM   337610109         254      28,999  SH     DEFINED  01,08      28,999           0           0

FIRSTWORLD COMMUNICATIONS INC     COM   337625305          20       9,695  SH     DEFINED     01       9,459           0         236
FIRSTWORLD COMMUNICATIONS INC     COM   337625305          21      10,662  SH     DEFINED  01,08      10,662           0           0
FIRSTWORLD COMMUNICATIONS INC     COM   337625305           2       1,000  SH     DEFINED     09       1,000           0           0

FIRSTAR CORP NEW WIS              COM   33763V109      45,962   2,054,189  SH     DEFINED     01   1,600,617     370,424      83,148
FIRSTAR CORP NEW WIS              COM   33763V109       2,251     100,584  SH     OTHER       01       2,000      88,964       9,620
FIRSTAR CORP NEW WIS              COM   33763V109          14         640  SH     DEFINED     02         640           0           0
FIRSTAR CORP NEW WIS              COM   33763V109       1,263      56,435  SH     OTHER       02      17,028           0      39,407
FIRSTAR CORP NEW WIS              COM   33763V109           6         250  SH     DEFINED     03         200          50           0
FIRSTAR CORP NEW WIS              COM   33763V109         593      26,522  SH     OTHER       03           0      26,522           0
FIRSTAR CORP NEW WIS              COM   33763V109      12,061     539,048  SH     DEFINED     04     535,146           0       3,902
FIRSTAR CORP NEW WIS              COM   33763V109       4,229     189,026  SH     OTHER       04     156,408           0      32,618
FIRSTAR CORP NEW WIS              COM   33763V109           2          72  SH     DEFINED     05          72           0           0
FIRSTAR CORP NEW WIS              COM   33763V109      32,429   1,449,321  SH     DEFINED  01,08   1,449,321           0           0
FIRSTAR CORP NEW WIS              COM   33763V109         277      12,381  SH     DEFINED     10      10,500       1,881           0

FISCHER IMAGING CORP              COM   337719108          33      10,200  SH     DEFINED  01,08      10,200           0           0

FISERV INC                        COM   337738108      40,981     684,441  SH     DEFINED     01     525,784     124,361      34,296
FISERV INC                        COM   337738108       3,710      61,961  SH     OTHER       01      24,952      21,784      15,225
FISERV INC                        COM   337738108          27         450  SH     DEFINED     02         450           0           0
FISERV INC                        COM   337738108         135       2,250  SH     OTHER       02           0       1,125       1,125
FISERV INC                        COM   337738108          34         570  SH     DEFINED     03         400         170           0
FISERV INC                        COM   337738108      39,408     658,178  SH     DEFINED     04     626,544           0      31,634
FISERV INC                        COM   337738108      20,353     339,927  SH     OTHER       04     321,587           0      18,340
FISERV INC                        COM   337738108      20,604     344,120  SH     DEFINED  01,08     344,120           0           0
FISERV INC                        COM   337738108          22         375  SH     DEFINED     09         375           0           0
FISERV INC                        COM   337738108         230       3,840  SH     OTHER       09           0       3,840           0
FISERV INC                        COM   337738108           6         100  SH     DEFINED     10         100           0           0

FIRSTFED FINL CORP                COM   337907109         808      35,131  SH     DEFINED     01      27,222       4,900       3,009
FIRSTFED FINL CORP                COM   337907109       1,511      65,675  SH     DEFINED  01,08      65,675           0           0

FIRSTMERIT CORP                   COM   337915102       1,455      63,421  SH     DEFINED     01      59,708         768       2,945
FIRSTMERIT CORP                   COM   337915102         243      10,582  SH     OTHER       01      10,582           0           0
FIRSTMERIT CORP                   COM   337915102         236      10,300  SH     DEFINED     04       8,300           0       2,000
FIRSTMERIT CORP                   COM   337915102         156       6,790  SH     OTHER       04       6,790           0           0
FIRSTMERIT CORP                   COM   337915102       5,729     249,754  SH     DEFINED  01,08     249,754           0           0

FLAGSTAR BANCORP INC              COM   337930101         196      16,000  SH     DEFINED  01,08      16,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    189
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FIRSTENERGY CORP                  COM   337932107      11,031     409,511  SH     DEFINED     01     330,292      58,536      20,683
FIRSTENERGY CORP                  COM   337932107          34       1,274  SH     OTHER       01           0         374         900
FIRSTENERGY CORP                  COM   337932107          19         691  SH     DEFINED     02         691           0           0
FIRSTENERGY CORP                  COM   337932107           3         100  SH     OTHER       02         100           0           0
FIRSTENERGY CORP                  COM   337932107          44       1,650  SH     DEFINED     03           0         650       1,000
FIRSTENERGY CORP                  COM   337932107         183       6,781  SH     OTHER       03       6,781           0           0
FIRSTENERGY CORP                  COM   337932107         244       9,046  SH     DEFINED     04       9,046           0           0
FIRSTENERGY CORP                  COM   337932107         162       5,997  SH     OTHER       04       5,997           0           0
FIRSTENERGY CORP                  COM   337932107       9,477     351,816  SH     DEFINED  01,08     351,816           0           0
FIRSTENERGY CORP                  COM   337932107           9         350  SH     DEFINED     10         350           0           0
FIRSTENERGY CORP                  COM   337932107           1          54  SH     OTHER       10          54           0           0

FISHER SCIENTIFIC INTL INC        COM   338032204       1,096      32,486  SH     DEFINED     01      27,855           0       4,631
FISHER SCIENTIFIC INTL INC        COM   338032204       1,566      46,393  SH     DEFINED  01,08      46,393           0           0

FLANDERS CORP                     COM   338494107          73      32,083  SH     DEFINED  01,08      32,083           0           0

FLEETBOSTON FINL CORP             COM   339030108      97,459   2,498,956  SH     DEFINED     01   1,998,922     391,364     108,670
FLEETBOSTON FINL CORP             COM   339030108       5,406     138,613  SH     OTHER       01     101,273      25,590      11,750
FLEETBOSTON FINL CORP             COM   339030108       1,781      45,665  SH     DEFINED     02      24,720      15,320       5,625
FLEETBOSTON FINL CORP             COM   339030108         706      18,094  SH     OTHER       02      13,739       3,425         930
FLEETBOSTON FINL CORP             COM   339030108       4,497     115,302  SH     DEFINED     03      45,564      61,858       7,880
FLEETBOSTON FINL CORP             COM   339030108       1,166      29,906  SH     OTHER       03       8,320      16,786       4,800
FLEETBOSTON FINL CORP             COM   339030108      10,638     272,767  SH     DEFINED     04     267,136           0       5,631
FLEETBOSTON FINL CORP             COM   339030108       6,297     161,455  SH     OTHER       04     151,601           0       9,854
FLEETBOSTON FINL CORP             COM   339030108         171       4,375  SH     DEFINED     05       2,900       1,225         250
FLEETBOSTON FINL CORP             COM   339030108          86       2,200  SH     OTHER       05         150         750       1,300
FLEETBOSTON FINL CORP             COM   339030108      62,061   1,591,302  SH     DEFINED  01,08   1,468,532      58,620      64,150
FLEETBOSTON FINL CORP             COM   339030108         444      11,375  SH     DEFINED     09      11,375           0           0
FLEETBOSTON FINL CORP             COM   339030108       1,934      49,577  SH     DEFINED     10      35,102      14,475           0
FLEETBOSTON FINL CORP             COM   339030108         140       3,600  SH     OTHER       10         800       2,800           0

FLEETWOOD ENTERPRISES INC         COM   339099103         293      21,635  SH     DEFINED     01      14,426          11       7,198
FLEETWOOD ENTERPRISES INC         COM   339099103         654      48,201  SH     DEFINED  01,08      48,201           0           0

FLEMING COS INC                   COM   339130106         901      68,953  SH     DEFINED     01      37,449      22,000       9,504
FLEMING COS INC                   COM   339130106         823      63,021  SH     DEFINED  01,08      63,021           0           0

FLEXSTEEL INDS INC                COM   339382103          75       6,100  SH     DEFINED     01       6,100           0           0
FLEXSTEEL INDS INC                COM   339382103         257      20,980  SH     DEFINED  01,08      20,980           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    190
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FLORIDA EAST COAST INDS           COM   340632108         177       4,329  SH     DEFINED     01       2,872           0       1,457
FLORIDA EAST COAST INDS           COM   340632108           8         200  SH     OTHER       02           0         200           0
FLORIDA EAST COAST INDS           COM   340632108         653      15,938  SH     DEFINED     04      15,938           0           0
FLORIDA EAST COAST INDS           COM   340632108          82       2,000  SH     OTHER       04       2,000           0           0
FLORIDA EAST COAST INDS           COM   340632108       2,544      62,045  SH     DEFINED  01,08      62,045           0           0

FLORIDA PROGRESS CORP             COM   341109106       9,609     181,515  SH     DEFINED     01     144,577      28,268       8,670
FLORIDA PROGRESS CORP             COM   341109106         265       5,002  SH     OTHER       01       3,575       1,427           0
FLORIDA PROGRESS CORP             COM   341109106          16         300  SH     DEFINED     02         300           0           0
FLORIDA PROGRESS CORP             COM   341109106          79       1,500  SH     OTHER       02         300       1,200           0
FLORIDA PROGRESS CORP             COM   341109106          64       1,200  SH     DEFINED     03         750           0         450
FLORIDA PROGRESS CORP             COM   341109106          28         525  SH     OTHER       03         525           0           0
FLORIDA PROGRESS CORP             COM   341109106       8,578     162,033  SH     DEFINED     04     161,583           0         450
FLORIDA PROGRESS CORP             COM   341109106       9,115     172,191  SH     OTHER       04     166,697           0       5,494
FLORIDA PROGRESS CORP             COM   341109106       8,015     151,399  SH     DEFINED  01,08     151,399           0           0
FLORIDA PROGRESS CORP             COM   341109106         204       3,850  SH     DEFINED     10       1,950       1,300         600

FLORIDA ROCK INDS INC             COM   341140101       1,367      34,669  SH     DEFINED     01      30,545         446       3,678
FLORIDA ROCK INDS INC             COM   341140101       2,092      53,048  SH     DEFINED  01,08      53,048           0           0

FLORSHEIM GROUP INC               COM   343302105          14       9,900  SH     DEFINED     01       9,900           0           0
FLORSHEIM GROUP INC               COM   343302105          14      10,000  SH     DEFINED     04      10,000           0           0
FLORSHEIM GROUP INC               COM   343302105           1         933  SH     DEFINED  01,08         933           0           0

FLOW INTL CORP                    COM   343468104           9         800  SH     DEFINED     01           0           0         800
FLOW INTL CORP                    COM   343468104         415      38,189  SH     DEFINED  01,08      38,189           0           0

FLOWERS INDS INC                  COM   343496105       1,478      75,798  SH     DEFINED     01      70,827         150       4,821
FLOWERS INDS INC                  COM   343496105          41       2,125  SH     DEFINED     04       2,125           0           0
FLOWERS INDS INC                  COM   343496105          13         675  SH     OTHER       04         675           0           0
FLOWERS INDS INC                  COM   343496105       5,401     276,989  SH     DEFINED  01,08     276,989           0           0

FLOWSERVE CORP                    COM   34354P105         774      47,107  SH     DEFINED     01      37,576       3,060       6,471
FLOWSERVE CORP                    COM   34354P105          15         900  SH     OTHER       04         900           0           0
FLOWSERVE CORP                    COM   34354P105       1,780     108,274  SH     DEFINED  01,08     108,274           0           0

FLUOR CORP                        COM   343861100       3,996     133,214  SH     DEFINED     01     111,225      19,077       2,912
FLUOR CORP                        COM   343861100         142       4,725  SH     OTHER       01       4,525         200           0
FLUOR CORP                        COM   343861100           3         116  SH     DEFINED     02         116           0           0
FLUOR CORP                        COM   343861100         990      33,000  SH     DEFINED     04      33,000           0           0
FLUOR CORP                        COM   343861100          68       2,260  SH     OTHER       04       2,160           0         100
FLUOR CORP                        COM   343861100          78       2,600  SH     OTHER       05           0         600       2,000
FLUOR CORP                        COM   343861100       3,390     112,993  SH     DEFINED  01,08     112,993           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    191
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FLUSHING FINL CORP                COM   343873105          65       4,100  SH     DEFINED     01       4,100           0           0
FLUSHING FINL CORP                COM   343873105         201      12,671  SH     DEFINED  01,08      12,671           0           0

FOCAL INC                         COM   343909107          23       8,982  SH     OTHER       01           0       1,500       7,482
FOCAL INC                         COM   343909107         364     142,208  SH     DEFINED  01,08     142,208           0           0

FOAMEX INTL INC                   COM   344123104         256      40,894  SH     DEFINED  01,08      40,894           0           0

FOCAL COMMUNICATIONS CORP         COM   344155106          15         996  SH     DEFINED     01         726           0         270
FOCAL COMMUNICATIONS CORP         COM   344155106       2,013     130,378  SH     DEFINED  01,08     130,378           0           0

FONAR CORP                        COM   344437108           0          96  SH     DEFINED     02          96           0           0
FONAR CORP                        COM   344437108           3       1,500  SH     DEFINED     04       1,500           0           0
FONAR CORP                        COM   344437108         230     115,028  SH     DEFINED  01,08     115,028           0           0

FOOD TECHNOLOGY SERVICE INC       COM   344798103           1         300  SH     DEFINED     04         300           0           0
FOOD TECHNOLOGY SERVICE INC       COM   344798103          36      11,835  SH     DEFINED  01,08      11,835           0           0

FOOTSTAR INC                      COM   344912100       1,078      33,356  SH     DEFINED     01      27,927       1,230       4,199
FOOTSTAR INC                      COM   344912100           3          86  SH     OTHER       01          86           0           0
FOOTSTAR INC                      COM   344912100          24         748  SH     OTHER       04         748           0           0
FOOTSTAR INC                      COM   344912100       1,255      38,855  SH     DEFINED  01,08      38,855           0           0
FOOTSTAR INC                      COM   344912100           7         230  SH     DEFINED     10         230           0           0

FORCENERGY INC                    COM   345206205         228       8,719  SH     DEFINED     01       6,724           0       1,995
FORCENERGY INC                    COM   345206205          21         798  SH     OTHER       04           0           0         798
FORCENERGY INC                    COM   345206205         490      18,750  SH     DEFINED  01,08      18,750           0           0

FORD MTR CO DEL                   COM   345370860      91,691   3,622,435  SH     DEFINED     01   2,864,329     554,889     203,217
FORD MTR CO DEL                   COM   345370860       2,358      93,143  SH     OTHER       01      53,293      37,927       1,923
FORD MTR CO DEL                   COM   345370860         467      18,464  SH     DEFINED     02       5,619      12,844           0
FORD MTR CO DEL                   COM   345370860       1,551      61,287  SH     OTHER       02      38,686      22,251         350
FORD MTR CO DEL                   COM   345370860         891      35,182  SH     DEFINED     03      13,860      20,796         526
FORD MTR CO DEL                   COM   345370860         902      35,641  SH     OTHER       03      28,068       7,573           0
FORD MTR CO DEL                   COM   345370860       3,310     130,769  SH     DEFINED     04     126,272           0       4,496
FORD MTR CO DEL                   COM   345370860       2,538     100,287  SH     OTHER       04     100,017           0         270
FORD MTR CO DEL                   COM   345370860          37       1,479  SH     DEFINED     05       1,479           0           0
FORD MTR CO DEL                   COM   345370860         566      22,350  SH     OTHER       05           0      18,854       3,496
FORD MTR CO DEL                   COM   345370860      99,029   3,912,328  SH     DEFINED  01,08   2,912,733     831,409     168,186
FORD MTR CO DEL                   COM   345370860         451      17,825  SH     DEFINED     10       8,834       8,991           0
FORD MTR CO DEL                   COM   345370860         939      37,101  SH     OTHER       10      21,272      15,829           0

FOREST CITY ENTERPRISES INC       COM   345550107         411      11,426  SH     DEFINED     01       9,083           0       2,343
FOREST CITY ENTERPRISES INC       COM   345550107          16         450  SH     DEFINED     04         450           0           0
FOREST CITY ENTERPRISES INC       COM   345550107       2,014      55,950  SH     DEFINED  01,08      55,950           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    192
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FOREST CITY ENTERPRISES INC    CONV PFD 345550305          17         450         DEFINED     04         450           0           0
FOREST CITY ENTERPRISES INC    CONV PFD 345550305       1,122      30,530         DEFINED  01,08      30,530           0           0

FOREST LABS INC                   COM   345838106      39,095     340,881  SH     DEFINED     01     297,072      22,755      21,054
FOREST LABS INC                   COM   345838106         419       3,650  SH     OTHER       01       2,650         800         200
FOREST LABS INC                   COM   345838106         126       1,100  SH     DEFINED     02       1,100           0           0
FOREST LABS INC                   COM   345838106       3,054      26,625  SH     DEFINED     03      14,635      10,090       1,900
FOREST LABS INC                   COM   345838106         544       4,740  SH     OTHER       03           0         100       4,640
FOREST LABS INC                   COM   345838106       2,955      25,768  SH     DEFINED     04      25,168           0         600
FOREST LABS INC                   COM   345838106       1,181      10,300  SH     OTHER       04      10,300           0           0
FOREST LABS INC                   COM   345838106         416       3,625  SH     DEFINED     05       1,625       2,000           0
FOREST LABS INC                   COM   345838106      31,675     276,190  SH     DEFINED  01,08     276,190           0           0
FOREST LABS INC                   COM   345838106          54         475  SH     DEFINED     10         475           0           0

FOREST OIL CORP                   COM   346091606         466      28,792  SH     DEFINED     01      25,295           0       3,497
FOREST OIL CORP                   COM   346091606         230      14,200  SH     DEFINED     04         300           0      13,900
FOREST OIL CORP                   COM   346091606       1,320      81,531  SH     DEFINED  01,08      81,531           0           0

FORRESTER RESH INC                COM   346563109         831      13,033  SH     DEFINED     01      11,337       1,400         296
FORRESTER RESH INC                COM   346563109       1,034      16,224  SH     DEFINED  01,08      16,224           0           0

FORT JAMES CORP                   COM   347471104      11,128     364,117  SH     DEFINED     01     294,295      52,376      17,446
FORT JAMES CORP                   COM   347471104           3         100  SH     OTHER       01           0           0         100
FORT JAMES CORP                   COM   347471104          20         640  SH     OTHER       02         640           0           0
FORT JAMES CORP                   COM   347471104           3         100  SH     DEFINED     04         100           0           0
FORT JAMES CORP                   COM   347471104           9         300  SH     OTHER       04         300           0           0
FORT JAMES CORP                   COM   347471104       9,750     319,019  SH     DEFINED  01,08     319,019           0           0

FORTEL INC CALIF                  COM   349550103          51      47,637  SH     DEFINED  01,08      47,637           0           0

FORTUNE BRANDS INC                COM   349631101       7,430     280,378  SH     DEFINED     01     229,461      39,257      11,660
FORTUNE BRANDS INC                COM   349631101         476      17,950  SH     OTHER       01      10,050       7,900           0
FORTUNE BRANDS INC                COM   349631101       1,085      40,930  SH     DEFINED     02      39,650       1,280           0
FORTUNE BRANDS INC                COM   349631101         375      14,165  SH     OTHER       02       8,365       3,100       2,700
FORTUNE BRANDS INC                COM   349631101         339      12,776  SH     DEFINED     03      10,776           0       2,000
FORTUNE BRANDS INC                COM   349631101          53       2,000  SH     OTHER       03       2,000           0           0
FORTUNE BRANDS INC                COM   349631101         257       9,690  SH     DEFINED     04       9,290           0         400
FORTUNE BRANDS INC                COM   349631101       2,001      75,508  SH     OTHER       04      75,508           0           0
FORTUNE BRANDS INC                COM   349631101       5,714     215,615  SH     DEFINED  01,08     215,615           0           0
FORTUNE BRANDS INC                COM   349631101          27       1,000  SH     OTHER       10           0       1,000           0

FORTUNE FINL INC                  COM   34965T108          28      10,139  SH     DEFINED     04      10,139           0           0
FORTUNE FINL INC                  COM   34965T108          33      11,940  SH     DEFINED  01,08      11,940           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    193
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FORWARD AIR CORP                  COM   349853101         579      16,441  SH     DEFINED     01      13,996       1,000       1,445
FORWARD AIR CORP                  COM   349853101          16         450  SH     DEFINED     02         450           0           0
FORWARD AIR CORP                  COM   349853101       1,009      28,683  SH     DEFINED  01,08      28,683           0           0

FOSSIL INC                        COM   349882100         211      15,862  SH     DEFINED     01      14,107           0       1,755
FOSSIL INC                        COM   349882100          22       1,662  SH     OTHER       04       1,662           0           0
FOSSIL INC                        COM   349882100         607      45,585  SH     DEFINED  01,08      45,585           0           0

FOSTER L B CO                     COM   350060109          18       5,200  SH     DEFINED     04           0           0       5,200
FOSTER L B CO                     COM   350060109          98      28,459  SH     DEFINED  01,08      28,459           0           0

FOSTER WHEELER CORP               COM   350244109         395      54,531  SH     DEFINED     01      45,634         309       8,588
FOSTER WHEELER CORP               COM   350244109         551      75,965  SH     DEFINED  01,08      75,965           0           0

FOUNDATION HEALTH SYS INC         COM   350404109       2,555     153,682  SH     DEFINED     01     113,477      20,100      20,105
FOUNDATION HEALTH SYS INC         COM   350404109         748      45,000  SH     OTHER       01           0           0      45,000
FOUNDATION HEALTH SYS INC         COM   350404109          10         619  SH     OTHER       02         619           0           0
FOUNDATION HEALTH SYS INC         COM   350404109         304      18,260  SH     DEFINED     03         260           0      18,000
FOUNDATION HEALTH SYS INC         COM   350404109          50       3,000  SH     DEFINED     04       3,000           0           0
FOUNDATION HEALTH SYS INC         COM   350404109       5,849     351,794  SH     DEFINED  01,08     351,794           0           0

FOUNDRY NETWORKS INC              COM   35063R100         451       6,733  SH     DEFINED     01       4,302         600       1,831
FOUNDRY NETWORKS INC              COM   35063R100           7         100  SH     DEFINED     04         100           0           0
FOUNDRY NETWORKS INC              COM   35063R100       6,207      92,727  SH     DEFINED  01,08      92,727           0           0

4 KIDS ENTMT INC                  COM   350865101         153       9,053  SH     DEFINED     01       8,893           0         160
4 KIDS ENTMT INC                  COM   350865101         655      38,799  SH     DEFINED  01,08      38,799           0           0

FOUR SEASONS HOTEL INC            COM   35100E104       6,067      82,900  SH     DEFINED     01      75,000           0       7,900
FOUR SEASONS HOTEL INC            COM   35100E104           7         100  SH     OTHER       02         100           0           0
FOUR SEASONS HOTEL INC            COM   35100E104           7         100  SH     DEFINED     04         100           0           0

4FRONT TECHNOLOGIES INC           COM   351042106         196      10,771  SH     DEFINED  01,08      10,771           0           0

FOURTH SHIFT CORP                 COM   351128103          31      14,800  SH     DEFINED     04           0           0      14,800
FOURTH SHIFT CORP                 COM   351128103          31      14,700  SH     DEFINED  01,08      14,700           0           0

FOX ENTMT GROUP INC               COM   35138T107         302      11,383  SH     DEFINED     01       7,609           0       3,774
FOX ENTMT GROUP INC               COM   35138T107         310      11,700  SH     OTHER       01           0      11,700           0
FOX ENTMT GROUP INC               COM   35138T107          30       1,150  SH     DEFINED     04       1,150           0           0
FOX ENTMT GROUP INC               COM   35138T107          53       2,000  SH     OTHER       04       2,000           0           0
FOX ENTMT GROUP INC               COM   35138T107       3,844     145,055  SH     DEFINED  01,08     145,055           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    194
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FRANCHISE FIN CORP AMER           COM   351807102         748      33,229  SH     DEFINED     01      22,918           0      10,311
FRANCHISE FIN CORP AMER           COM   351807102          34       1,513  SH     DEFINED     02       1,513           0           0
FRANCHISE FIN CORP AMER           COM   351807102          11         500  SH     DEFINED     04         500           0           0
FRANCHISE FIN CORP AMER           COM   351807102          10         454  SH     OTHER       04         454           0           0
FRANCHISE FIN CORP AMER           COM   351807102         326      14,472  SH     DEFINED  01,08      14,472           0           0

FRANKLIN COVEY CO                 COM   353469109         136      18,550  SH     DEFINED     01      18,550           0           0
FRANKLIN COVEY CO                 COM   353469109         296      40,541  SH     DEFINED  01,08      40,541           0           0

FRANKLIN ELEC INC                 COM   353514102         313       4,538  SH     DEFINED     01       4,361           0         177
FRANKLIN ELEC INC                 COM   353514102           7         100  SH     DEFINED     04         100           0           0
FRANKLIN ELEC INC                 COM   353514102         588       8,519  SH     DEFINED  01,08       8,519           0           0
FRANKLIN ELEC INC                 COM   353514102          69       1,000  SH     DEFINED     10       1,000           0           0

FRANKLIN ELECTR PUBLISHERS INC    COM   353515109           3         250  SH     DEFINED     04         250           0           0
FRANKLIN ELECTR PUBLISHERS INC    COM   353515109         252      21,131  SH     DEFINED  01,08      21,131           0           0

FRANKLIN RES INC                  COM   354613101      20,052     451,317  SH     DEFINED     01     346,384      80,487      24,446
FRANKLIN RES INC                  COM   354613101          62       1,398  SH     OTHER       01           0       1,398           0
FRANKLIN RES INC                  COM   354613101         189       4,250  SH     DEFINED     02       1,400       2,850           0
FRANKLIN RES INC                  COM   354613101          22         500  SH     OTHER       02           0         500           0
FRANKLIN RES INC                  COM   354613101         169       3,800  SH     DEFINED     03         300       3,400         100
FRANKLIN RES INC                  COM   354613101          27         600  SH     OTHER       03           0         600           0
FRANKLIN RES INC                  COM   354613101         694      15,625  SH     DEFINED     04      15,625           0           0
FRANKLIN RES INC                  COM   354613101         923      20,766  SH     OTHER       04      20,766           0           0
FRANKLIN RES INC                  COM   354613101       1,386      31,198  SH     DEFINED     05      16,848      13,450         900
FRANKLIN RES INC                  COM   354613101         449      10,100  SH     OTHER       05       7,000       3,100           0
FRANKLIN RES INC                  COM   354613101      16,482     370,976  SH     DEFINED  01,08     370,976           0           0
FRANKLIN RES INC                  COM   354613101         165       3,715  SH     OTHER       09           0       3,715           0

FRANKLIN UNVL TR                  COM   355145103          97      12,776  SH     DEFINED     01           0      12,776           0
FRANKLIN UNVL TR                  COM   355145103          10       1,300  SH     DEFINED     03       1,300           0           0

FREDS INC                         COM   356108100         113       5,048  SH     DEFINED     01       3,490           0       1,558
FREDS INC                         COM   356108100         119       5,300  SH     DEFINED     04           0           0       5,300
FREDS INC                         COM   356108100         402      17,924  SH     DEFINED  01,08      17,924           0           0

FREEMARKETS INC                   COM   356602102          87       1,520  SH     DEFINED     01         423       1,030          67
FREEMARKETS INC                   COM   356602102          11         200  SH     OTHER       01           0         200           0
FREEMARKETS INC                   COM   356602102       1,147      20,075  SH     DEFINED     04      20,075           0           0
FREEMARKETS INC                   COM   356602102       1,665      29,150  SH     DEFINED  01,08      29,150           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    195
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FREEPORT-MCMORAN COPPER & GOLD    COM   35671D857       2,971     337,142  SH     DEFINED     01     329,193         856       7,093
FREEPORT-MCMORAN COPPER & GOLD    COM   35671D857          20       2,266  SH     DEFINED     03       2,266           0           0
FREEPORT-MCMORAN COPPER & GOLD    COM   35671D857          15       1,709  SH     OTHER       04       1,709           0           0
FREEPORT-MCMORAN COPPER & GOLD    COM   35671D857       2,200     249,622  SH     DEFINED  01,08     249,622           0           0

FREESHOP COM INC                  COM   356873109          56      19,832  SH     DEFINED  01,08      19,832           0           0

FREMONT GEN CORP                  COM   357288109         114      33,300  SH     DEFINED     01      23,157           0      10,143
FREMONT GEN CORP                  COM   357288109           9       2,500  SH     DEFINED     02           0           0       2,500
FREMONT GEN CORP                  COM   357288109          10       3,000  SH     DEFINED     03           0       3,000           0
FREMONT GEN CORP                  COM   357288109         445     129,559  SH     DEFINED  01,08     129,559           0           0

FRENCH FRAGRANCES INC             COM   357658103          25       3,000  SH     DEFINED     04           0           0       3,000
FRENCH FRAGRANCES INC             COM   357658103         173      20,656  SH     DEFINED  01,08      20,656           0           0

FREQUENCY ELECTRS INC             COM   358010106         754      32,853  SH     DEFINED  01,08      32,853           0           0

FRESENIUS MED CARE AG             COM   358029106          75       2,517  SH     DEFINED     01       2,517           0           0
FRESENIUS MED CARE AG             COM   358029106          90       3,000  SH     OTHER       01           0       3,000           0
FRESENIUS MED CARE AG             COM   358029106          51       1,710  SH     DEFINED     04       1,710           0           0

FRESH CHOICE INC                  COM   358032100          35      12,700  SH     DEFINED  01,08      12,700           0           0

FRIEDE GOLDMAN HALTER INC         COM   358430106         163      23,119  SH     DEFINED     01      13,454       3,697       5,968
FRIEDE GOLDMAN HALTER INC         COM   358430106         430      60,879  SH     DEFINED  01,08      60,879           0           0

FRIEDMAN BILLINGS RAMSEY GROUP    COM   358433100         161      17,242  SH     DEFINED     01      12,615           0       4,627
FRIEDMAN BILLINGS RAMSEY GROUP    COM   358433100           9       1,000  SH     OTHER       04       1,000           0           0
FRIEDMAN BILLINGS RAMSEY GROUP    COM   358433100         230      24,729  SH     DEFINED  01,08      24,729           0           0

FRIEDMAN INDS INC                 COM   358435105          88      22,650  SH     DEFINED  01,08      22,650           0           0

FRIEDMANS INC                     COM   358438109          24       4,700  SH     DEFINED     04           0           0       4,700
FRIEDMANS INC                     COM   358438109          95      19,000  SH     DEFINED  01,08      19,000           0           0

FRISCHS RESTAURANTS INC           COM   358748101         241      23,334  SH     DEFINED  01,08      23,334           0           0

FRITZ COS INC                     COM   358846103         564      46,984  SH     DEFINED     01      43,134           0       3,850
FRITZ COS INC                     COM   358846103         111       9,250  SH     DEFINED     04       9,250           0           0
FRITZ COS INC                     COM   358846103         911      75,898  SH     DEFINED  01,08      75,898           0           0

FRONTIER AIRLINES INC NEW         COM   359065109         361      18,595  SH     DEFINED     01      17,980           0         615
FRONTIER AIRLINES INC NEW         COM   359065109         534      27,496  SH     DEFINED  01,08      27,496           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    196
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

FRONTIER FINL CORP WASH           COM   35907K105         169       8,980  SH     DEFINED     01       6,635           0       2,345
FRONTIER FINL CORP WASH           COM   35907K105         218      11,567  SH     DEFINED  01,08      11,567           0           0

FRONTIER INS GROUP INC NEW        COM   359081106          18      28,100  SH     DEFINED     01      28,100           0           0
FRONTIER INS GROUP INC NEW        COM   359081106          40      64,449  SH     DEFINED  01,08      64,449           0           0

FRONTIER OIL CORP                 COM   35914P105         207      28,088  SH     DEFINED     01      27,595           0         493
FRONTIER OIL CORP                 COM   35914P105         480      65,070  SH     DEFINED  01,08      65,070           0           0

FRONTLINE CAP GROUP               COM   35921N101         425      25,859  SH     DEFINED     01      25,424           0         435
FRONTLINE CAP GROUP               COM   35921N101          16         960  SH     OTHER       01         960           0           0
FRONTLINE CAP GROUP               COM   35921N101           3         200  SH     DEFINED     03         200           0           0
FRONTLINE CAP GROUP               COM   35921N101         870      52,925  SH     DEFINED  01,08      52,925           0           0

FROZEN FOOD EXPRESS INDS INC      COM   359360104          37      14,300  SH     DEFINED     01      14,300           0           0
FROZEN FOOD EXPRESS INDS INC      COM   359360104         133      51,820  SH     DEFINED  01,08      51,820           0           0

FUELCELL ENERGY INC               COM   35952H106       1,005      10,440  SH     DEFINED     01      10,286           0         154
FUELCELL ENERGY INC               COM   35952H106       2,407      25,012  SH     DEFINED  01,08      25,012           0           0

FUEL-TECH N V                     COM   359523107          21      10,000  SH     DEFINED     01           0      10,000           0

FULL HOUSE RESORTS INC            COM   359678109          23      19,500  SH     DEFINED  01,08      19,500           0           0

FULLER H B CO                     COM   359694106         452      15,727  SH     DEFINED     01      13,188           0       2,539
FULLER H B CO                     COM   359694106          26         900  SH     OTHER       02         900           0           0
FULLER H B CO                     COM   359694106       1,513      52,623  SH     DEFINED  01,08      52,623           0           0

FULTON FINL CORP PA               COM   360271100       1,095      55,248  SH     DEFINED     01      46,032           0       9,216
FULTON FINL CORP PA               COM   360271100          50       2,512  SH     DEFINED     02       2,512           0           0
FULTON FINL CORP PA               COM   360271100       1,223      61,717  SH     DEFINED     04      61,717           0           0
FULTON FINL CORP PA               COM   360271100         122       6,182  SH     OTHER       04       6,182           0           0
FULTON FINL CORP PA               COM   360271100       3,777     190,640  SH     DEFINED  01,08     190,640           0           0

FURNITURE BRANDS INTL INC         COM   360921100         966      58,079  SH     DEFINED     01      50,118           0       7,961
FURNITURE BRANDS INTL INC         COM   360921100       2,395     144,073  SH     DEFINED  01,08     144,073           0           0

FUSION MED TECHNOLOGIES INC       COM   361128101         125      12,709  SH     DEFINED  01,08      12,709           0           0

FUTURELINK CORP                   COM   36114Q208          76      24,698  SH     DEFINED     01      18,495           0       6,203
FUTURELINK CORP                   COM   36114Q208          31       9,965  SH     DEFINED  01,08       9,965           0           0

G & K SVCS INC                    COM   361268105         376      13,412  SH     DEFINED     01       9,203           0       4,209
G & K SVCS INC                    COM   361268105       1,653      58,892  SH     DEFINED  01,08      58,892           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    197
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

GATX CORP                         COM   361448103       1,444      34,486  SH     DEFINED     01      32,231           0       2,255
GATX CORP                         COM   361448103          34         800  SH     OTHER       01         800           0           0
GATX CORP                         COM   361448103          17         400  SH     OTHER       02           0         400           0
GATX CORP                         COM   361448103         683      16,310  SH     DEFINED     03       5,650      10,660           0
GATX CORP                         COM   361448103         195       4,660  SH     OTHER       03       2,631           0       2,029
GATX CORP                         COM   361448103         419      10,000  SH     DEFINED     04      10,000           0           0
GATX CORP                         COM   361448103          79       1,896  SH     OTHER       04           0           0       1,896
GATX CORP                         COM   361448103       5,513     131,663  SH     DEFINED  01,08     131,663           0           0

GBC BANCORP CALIF                 COM   361475106         695      20,394  SH     DEFINED     01      19,001           0       1,393
GBC BANCORP CALIF                 COM   361475106          27         800  SH     DEFINED     04         800           0           0
GBC BANCORP CALIF                 COM   361475106       1,534      45,021  SH     DEFINED  01,08      45,021           0           0

GC COS INC                        COM   36155Q109          10       3,219  SH     DEFINED     01       2,220           0         999
GC COS INC                        COM   36155Q109          38      12,762  SH     DEFINED  01,08      12,762           0           0

GP STRATEGIES CORP                COM   36225V104         114      18,140  SH     DEFINED  01,08      18,140           0           0

GPU INC                           COM   36225X100       7,083     218,367  SH     DEFINED     01     177,270      31,844       9,253
GPU INC                           COM   36225X100          10         300  SH     OTHER       01           0         300           0
GPU INC                           COM   36225X100         168       5,166  SH     DEFINED     04       5,166           0           0
GPU INC                           COM   36225X100          49       1,502  SH     OTHER       04       1,502           0           0
GPU INC                           COM   36225X100       6,027     185,817  SH     DEFINED  01,08     185,817           0           0
GPU INC                           COM   36225X100          32       1,000  SH     DEFINED     10       1,000           0           0

GSE SYS INC                       COM   36227K106          33      13,900  SH     DEFINED     04           0           0      13,900
GSE SYS INC                       COM   36227K106          19       7,900  SH     DEFINED  01,08       7,900           0           0

GTS DURATEK INC                   COM   36237J107         135      17,433  SH     DEFINED  01,08      17,433           0           0

GZA GEOENVIRONMENTAL TECH INC     COM   362386104          85      13,600  SH     DEFINED  01,08      13,600           0           0

GABELLI ASSET MGMT INC            COM   36239Y102         141       4,716  SH     DEFINED     01       4,271           0         445
GABELLI ASSET MGMT INC            COM   36239Y102         260       8,654  SH     DEFINED  01,08       8,654           0           0

GABELLI EQUITY TR INC             COM   362397101          49       4,246  SH     OTHER       02       4,246           0           0
GABELLI EQUITY TR INC             COM   362397101          11         985  SH     DEFINED     03           0         386         599
GABELLI EQUITY TR INC             COM   362397101         306      26,619  SH     DEFINED     04      26,619           0           0
GABELLI EQUITY TR INC             COM   362397101         201      17,500  SH     OTHER       04      11,500           0       6,000

GABLES RESIDENTIAL TR             COM   362418105         399      14,659  SH     DEFINED     01       9,924           0       4,735
GABLES RESIDENTIAL TR             COM   362418105          25         920  SH     DEFINED     04         920           0           0
GABLES RESIDENTIAL TR             COM   362418105         166       6,104  SH     DEFINED  01,08       6,104           0           0

GADZOOKS INC                      COM   362553109         201      11,222  SH     DEFINED  01,08      11,222           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    198
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

GADZOOX NETWORKS INC              COM   362555104          72      10,168  SH     DEFINED     01      10,001           0         167
GADZOOX NETWORKS INC              COM   362555104         233      32,667  SH     DEFINED  01,08      32,667           0           0

GAIAM INC                         COM   36268Q103          49       2,702  SH     DEFINED     01       2,656           0          46
GAIAM INC                         COM   36268Q103         148       8,059  SH     DEFINED  01,08       8,059           0           0

GALAGEN INC                       COM   362913105          15      14,638  SH     DEFINED  01,08      14,638           0           0

GAINSCO INC                       COM   363127101          26       6,300  SH     DEFINED     01       6,300           0           0
GAINSCO INC                       COM   363127101         275      65,711  SH     DEFINED  01,08      65,711           0           0

GALEY & LORD INC                  COM   36352K103          60      15,100  SH     DEFINED  01,08      15,100           0           0

GALILEO INTERNATIONAL INC         COM   363547100         863      55,673  SH     DEFINED     01      54,645           0       1,028
GALILEO INTERNATIONAL INC         COM   363547100          11         700  SH     OTHER       04         700           0           0
GALILEO INTERNATIONAL INC         COM   363547100       3,749     241,854  SH     DEFINED  01,08     241,854           0           0

GALLAGHER ARTHUR J & CO           COM   363576109      14,162     239,533  SH     DEFINED     01     216,434         900      22,199
GALLAGHER ARTHUR J & CO           COM   363576109          32         534  SH     DEFINED     04         534           0           0
GALLAGHER ARTHUR J & CO           COM   363576109       3,628      61,357  SH     DEFINED  01,08      61,357           0           0

GALLAHER GROUP PLC                COM   363595109         117       5,028  SH     DEFINED     01       5,028           0           0
GALLAHER GROUP PLC                COM   363595109         106       4,550  SH     OTHER       01       1,500       2,800         250
GALLAHER GROUP PLC                COM   363595109         176       7,580  SH     DEFINED     02       6,300       1,280           0
GALLAHER GROUP PLC                COM   363595109         279      11,995  SH     OTHER       02       7,495       2,500       2,000
GALLAHER GROUP PLC                COM   363595109         233      10,000  SH     DEFINED     03      10,000           0           0
GALLAHER GROUP PLC                COM   363595109          28       1,200  SH     OTHER       03       1,200           0           0
GALLAHER GROUP PLC                COM   363595109          78       3,373  SH     DEFINED     04       2,090           0       1,283
GALLAHER GROUP PLC                COM   363595109         765      32,915  SH     OTHER       04      32,915           0           0
GALLAHER GROUP PLC                COM   363595109          23       1,000  SH     OTHER       10           0       1,000           0

GAMETECH INTERNATIONAL INC        COM   36466D102          47      10,861  SH     DEFINED  01,08      10,861           0           0

GANNETT INC                       COM   364730101      31,829     600,538  SH     DEFINED     01     445,544     120,402      34,592
GANNETT INC                       COM   364730101       4,922      92,859  SH     OTHER       01      45,169      43,990       3,700
GANNETT INC                       COM   364730101         855      16,136  SH     DEFINED     02      11,150       4,536         450
GANNETT INC                       COM   364730101         922      17,400  SH     OTHER       02      16,600         800           0
GANNETT INC                       COM   364730101       3,767      71,076  SH     DEFINED     03       4,010       5,430      61,636
GANNETT INC                       COM   364730101         167       3,152  SH     OTHER       03       1,952       1,000         200
GANNETT INC                       COM   364730101       5,414     102,160  SH     DEFINED     04     101,560           0         600
GANNETT INC                       COM   364730101       5,466     103,126  SH     OTHER       04      99,896           0       3,230
GANNETT INC                       COM   364730101           5         100  SH     DEFINED     05         100           0           0
GANNETT INC                       COM   364730101      26,578     501,466  SH     DEFINED  01,08     501,466           0           0
GANNETT INC                       COM   364730101         910      17,173  SH     DEFINED     10      13,548       3,625           0
GANNETT INC                       COM   364730101         389       7,348  SH     OTHER       10       2,748       4,600           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    199
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>           <C>            <C>          <C>       <C>           <C>

GAP INC DEL                       COM   364760108      29,389   1,460,311  SH     DEFINED     01   1,310,070      80,079      70,162
GAP INC DEL                       COM   364760108       3,028     150,479  SH     OTHER       01      33,013      90,129      27,337
GAP INC DEL                       COM   364760108          83       4,136  SH     DEFINED     02       3,074       1,062           0
GAP INC DEL                       COM   364760108          30       1,475  SH     OTHER       02       1,250           0         225
GAP INC DEL                       COM   364760108       2,057     102,227  SH     DEFINED     03      52,177      45,352       4,698
GAP INC DEL                       COM   364760108         557      27,677  SH     OTHER       03      15,691      11,986           0
GAP INC DEL                       COM   364760108         206      10,248  SH     DEFINED     04      10,248           0           0
GAP INC DEL                       COM   364760108         373      18,534  SH     OTHER       04      18,534           0           0
GAP INC DEL                       COM   364760108         371      18,456  SH     DEFINED     05      15,844       2,162         450
GAP INC DEL                       COM   364760108         159       7,910  SH     OTHER       05       1,880       6,030           0
GAP INC DEL                       COM   364760108      24,380   1,211,426  SH     DEFINED  01,08   1,211,426           0           0
GAP INC DEL                       COM   364760108          10         500  SH     DEFINED     10         500           0           0

GARAN INC                         COM   364802108          85       3,800  SH     DEFINED     01       3,800           0           0
GARAN INC                         COM   364802108         295      13,244  SH     DEFINED  01,08      13,244           0           0

GARDEN COM INC                    COM   365199108           2       2,000  SH     DEFINED     04       2,000           0           0
GARDEN COM INC                    COM   365199108          18      19,603  SH     DEFINED  01,08      19,603           0           0

GARDENBURGER INC                  COM   365476100           7       2,000  SH     DEFINED     01       2,000           0           0
GARDENBURGER INC                  COM   365476100          45      12,800  SH     DEFINED  01,08      12,800           0           0

GARDNER DENVER INC                COM   365558105         140       8,618  SH     DEFINED     01       5,283           0       3,335
GARDNER DENVER INC                COM   365558105          14         852  SH     OTHER       02           0           0         852
GARDNER DENVER INC                COM   365558105          74       4,566  SH     OTHER       03       4,566           0           0
GARDNER DENVER INC                COM   365558105         451      27,775  SH     DEFINED  01,08      27,775           0           0

GARTNER GROUP INC NEW             COM   366651107       1,198     103,015  SH     DEFINED     01     101,592           0       1,423
GARTNER GROUP INC NEW             COM   366651107           6         500  SH     OTHER       04         400           0         100
GARTNER GROUP INC NEW             COM   366651107         219      18,821  SH     DEFINED  01,08      18,821           0           0

GARTNER GROUP INC NEW             COM   366651206         989      90,956  SH     DEFINED     01      55,583      33,768       1,605
GARTNER GROUP INC NEW             COM   366651206         658      60,540  SH     OTHER       01       8,025      15,003      37,512
GARTNER GROUP INC NEW             COM   366651206           8         754  SH     DEFINED     02         546         208           0
GARTNER GROUP INC NEW             COM   366651206          33       3,045  SH     OTHER       02         962       2,083           0
GARTNER GROUP INC NEW             COM   366651206           3         260  SH     DEFINED     03           0         260           0
GARTNER GROUP INC NEW             COM   366651206           6         527  SH     OTHER       03         410         117           0
GARTNER GROUP INC NEW             COM   366651206          34       3,095  SH     DEFINED     04       3,095           0           0
GARTNER GROUP INC NEW             COM   366651206          34       3,102  SH     OTHER       04       3,076           0          26
GARTNER GROUP INC NEW             COM   366651206           3         286  SH     DEFINED     05         156         130           0
GARTNER GROUP INC NEW             COM   366651206       2,709     249,149  SH     DEFINED  01,08     249,149           0           0
GARTNER GROUP INC NEW             COM   366651206           1          78  SH     OTHER       10          78           0           0

GASONICS INTL CORP                COM   367278108         390      31,816  SH     DEFINED     01      31,582           0         234
GASONICS INTL CORP                COM   367278108         627      51,201  SH     DEFINED  01,08      51,201           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    200
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GATEWAY INC                       COM   367626108      26,236     561,190  SH     DEFINED     01     441,239      90,708      29,243
GATEWAY INC                       COM   367626108           9         200  SH     OTHER       01           0           0         200
GATEWAY INC                       COM   367626108         245       5,241  SH     DEFINED     03         241       5,000           0
GATEWAY INC                       COM   367626108         565      12,090  SH     DEFINED     04       9,890           0       2,200
GATEWAY INC                       COM   367626108          40         860  SH     OTHER       04         800           0          60
GATEWAY INC                       COM   367626108      22,417     479,515  SH     DEFINED  01,08     479,515           0           0
GATEWAY INC                       COM   367626108       1,797      38,442  SH     DEFINED     09      38,442           0           0
GATEWAY INC                       COM   367626108          47       1,000  SH     DEFINED     10       1,000           0           0

GAYLORD ENTMT CO NEW              COM   367905106         653      27,363  SH     DEFINED     01      24,347           0       3,016
GAYLORD ENTMT CO NEW              COM   367905106       1,168      48,905  SH     DEFINED  01,08      48,905           0           0

GAYLORD CONTAINER CORP            COM   368145108          75      44,584  SH     DEFINED     01      39,767           0       4,817
GAYLORD CONTAINER CORP            COM   368145108          93      55,000  SH     DEFINED     04           0           0      55,000
GAYLORD CONTAINER CORP            COM   368145108         153      90,727  SH     DEFINED  01,08      90,727           0           0

GEHL CO                           COM   368483103          66       5,700  SH     DEFINED     01       5,700           0           0
GEHL CO                           COM   368483103         110       9,500  SH     DEFINED  01,08       9,500           0           0

GELTEX PHARMACEUTICALS INC        COM   368538104         783      16,718  SH     DEFINED     01      16,238           0         480
GELTEX PHARMACEUTICALS INC        COM   368538104       1,468      31,367  SH     DEFINED  01,08      31,367           0           0

GEMSTAR-TV GUIDE INTL INC         COM   36866W106      20,319     233,054  SH     DEFINED     01     222,002       5,200       5,852
GEMSTAR-TV GUIDE INTL INC         COM   36866W106          26         300  SH     OTHER       01         300           0           0
GEMSTAR-TV GUIDE INTL INC         COM   36866W106         201       2,300  SH     DEFINED     03       1,760         340         200
GEMSTAR-TV GUIDE INTL INC         COM   36866W106       6,777      77,735  SH     DEFINED     04      72,050           0       5,685
GEMSTAR-TV GUIDE INTL INC         COM   36866W106       1,224      14,037  SH     OTHER       04      13,912           0         125
GEMSTAR-TV GUIDE INTL INC         COM   36866W106      27,497     315,382  SH     DEFINED  01,08     315,382           0           0
GEMSTAR-TV GUIDE INTL INC         COM   36866W106          12         138  SH     DEFINED     10         138           0           0

GENCORP INC                       COM   368682100         172      21,226  SH     DEFINED     01      13,425           0       7,801
GENCORP INC                       COM   368682100           2         264  SH     DEFINED     02           0         264           0
GENCORP INC                       COM   368682100         658      80,953  SH     DEFINED  01,08      80,953           0           0
GENCORP INC                       COM   368682100           8       1,000  SH     DEFINED     10       1,000           0           0

GENE LOGIC INC                    COM   368689105         600      26,107  SH     DEFINED     01      25,650           0         457
GENE LOGIC INC                    COM   368689105           2         100  SH     OTHER       04         100           0           0
GENE LOGIC INC                    COM   368689105       1,082      47,060  SH     DEFINED  01,08      47,060           0           0

GENELABS TECHNOLOGIES INC         COM   368706107         403      67,477  SH     DEFINED  01,08      67,477           0           0

GENENCOR INTL INC                 COM   368709101       2,337      78,900  SH     DEFINED  01,08      78,900           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    201
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GENENTECH INC                     COM   368710406     124,213     668,940  SH     DEFINED     01     406,754     214,147      48,039
GENENTECH INC                     COM   368710406       8,650      46,583  SH     OTHER       01      15,055      26,225       5,303
GENENTECH INC                     COM   368710406      12,395      66,750  SH     DEFINED     02      27,443      34,782       4,525
GENENTECH INC                     COM   368710406       2,507      13,502  SH     OTHER       02       4,712       6,990       1,800
GENENTECH INC                     COM   368710406      27,136     146,137  SH     DEFINED     03      59,420      79,775       6,942
GENENTECH INC                     COM   368710406       3,852      20,747  SH     OTHER       03      11,191       8,606         950
GENENTECH INC                     COM   368710406      52,579     283,158  SH     DEFINED     04     273,898           0       9,260
GENENTECH INC                     COM   368710406      21,650     116,595  SH     OTHER       04     113,545           0       3,050
GENENTECH INC                     COM   368710406       4,120      22,190  SH     DEFINED     05      17,275       4,110         805
GENENTECH INC                     COM   368710406         761       4,100  SH     OTHER       05       2,725       1,075         300
GENENTECH INC                     COM   368710406      16,902      91,025  SH     DEFINED  01,08      91,025           0           0
GENENTECH INC                     COM   368710406          19         100  SH     DEFINED     09         100           0           0
GENENTECH INC                     COM   368710406       1,967      10,595  SH     DEFINED     10       9,445       1,150           0
GENENTECH INC                     COM   368710406         145         780  SH     OTHER       10         265         515           0

GENERAL AMERN INVS INC            COM   368802104         182       4,353  SH     OTHER       01       4,353           0           0
GENERAL AMERN INVS INC            COM   368802104         204       4,880  SH     DEFINED     04       4,880           0           0
GENERAL AMERN INVS INC            COM   368802104         481      11,507  SH     OTHER       04      11,507           0           0
GENERAL AMERN INVS INC            COM   368802104          37         895  SH     DEFINED     09         895           0           0
GENERAL AMERN INVS INC            COM   368802104          26         620  SH     DEFINED     10           0         620           0

GENERAL BINDING CORP              COM   369154109         325      44,078  SH     DEFINED  01,08      44,078           0           0

GENERAL CABLE CORP DEL NEW        COM   369300108         134      17,691  SH     DEFINED     01      11,951           0       5,740
GENERAL CABLE CORP DEL NEW        COM   369300108         387      51,207  SH     DEFINED  01,08      51,207           0           0

GENERAL CHEM GROUP INC            COM   369332101          10      10,270  SH     DEFINED  01,08      10,270           0           0

GENERAL COMMUNICATION INC         COM   369385109         192      26,852  SH     DEFINED     01      16,903           0       9,949
GENERAL COMMUNICATION INC         COM   369385109         665      92,967  SH     DEFINED  01,08      92,967           0           0

GENERAL DATACOMM INDS INC         COM   369487103          11       2,100  SH     DEFINED     01       2,100           0           0
GENERAL DATACOMM INDS INC         COM   369487103         276      53,267  SH     DEFINED  01,08      53,267           0           0

GENERAL DYNAMICS CORP             COM   369550108      29,552     470,478  SH     DEFINED     01     397,989      49,869      22,620
GENERAL DYNAMICS CORP             COM   369550108           6         100  SH     OTHER       01           0           0         100
GENERAL DYNAMICS CORP             COM   369550108          39         617  SH     DEFINED     02           0         617           0
GENERAL DYNAMICS CORP             COM   369550108          62         992  SH     OTHER       02         992           0           0
GENERAL DYNAMICS CORP             COM   369550108          37         596  SH     DEFINED     03         100         496           0
GENERAL DYNAMICS CORP             COM   369550108         154       2,450  SH     DEFINED     04       2,450           0           0
GENERAL DYNAMICS CORP             COM   369550108          63       1,000  SH     OTHER       04         300           0         700
GENERAL DYNAMICS CORP             COM   369550108      17,024     271,037  SH     DEFINED  01,08     271,037           0           0
GENERAL DYNAMICS CORP             COM   369550108          11         180  SH     DEFINED     10           0         180           0
GENERAL DYNAMICS CORP             COM   369550108       1,205      19,180  SH     OTHER       10      19,000           0         180
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    202
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GENERAL ELEC CO                   COM   369604103   1,897,714  32,896,728  SH     DEFINED     01  25,602,696   5,261,317   2,032,715
GENERAL ELEC CO                   COM   369604103     454,916   7,885,931  SH     OTHER       01   3,411,489   3,962,141     512,301
GENERAL ELEC CO                   COM   369604103     113,908   1,974,594  SH     DEFINED     02   1,267,813     569,577     137,204
GENERAL ELEC CO                   COM   369604103      69,412   1,203,253  SH     OTHER       02     730,044     361,964     111,245
GENERAL ELEC CO                   COM   369604103     178,094   3,087,247  SH     DEFINED     03   1,666,988   1,285,766     134,493
GENERAL ELEC CO                   COM   369604103      99,876   1,731,346  SH     OTHER       03   1,246,274     376,327     108,745
GENERAL ELEC CO                   COM   369604103     616,985  10,695,394  SH     DEFINED     04  10,202,715           0     492,679
GENERAL ELEC CO                   COM   369604103     584,563  10,133,354  SH     OTHER       04   9,553,139           0     580,215
GENERAL ELEC CO                   COM   369604103      39,019     676,388  SH     DEFINED     05     472,089     152,744      51,555
GENERAL ELEC CO                   COM   369604103      15,240     264,181  SH     OTHER       05     111,101     139,805      13,275
GENERAL ELEC CO                   COM   369604103         692      12,000  SH     OTHER    04,07           0           0      12,000
GENERAL ELEC CO                   COM   369604103     840,476  14,569,598  SH     DEFINED  01,08  14,562,208       7,390           0
GENERAL ELEC CO                   COM   369604103       2,409      41,768  SH     DEFINED     09      41,768           0           0
GENERAL ELEC CO                   COM   369604103         631      10,941  SH     OTHER       09       9,741       1,200           0
GENERAL ELEC CO                   COM   369604103      54,329     941,781  SH     DEFINED     10     462,637     471,544       7,600
GENERAL ELEC CO                   COM   369604103      14,657     254,071  SH     OTHER       10      87,140     165,431       1,500

GENERAL GROWTH PPTYS INC          COM   370021107         205       6,356  SH     DEFINED     01       4,924           0       1,432
GENERAL GROWTH PPTYS INC          COM   370021107         290       9,000  SH     DEFINED     04       1,000           0       8,000
GENERAL GROWTH PPTYS INC          COM   370021107         186       5,789  SH     DEFINED  01,08       5,789           0           0

GENERAL MAGIC INC                 COM   370253106          34       5,800  SH     DEFINED     01           0       5,800           0
GENERAL MAGIC INC                 COM   370253106           6       1,000  SH     DEFINED     04       1,000           0           0
GENERAL MAGIC INC                 COM   370253106         319      54,262  SH     DEFINED  01,08      54,262           0           0

GENERAL MLS INC                   COM   370334104      25,469     717,432  SH     DEFINED     01     622,660      63,096      31,676
GENERAL MLS INC                   COM   370334104       6,262     176,408  SH     OTHER       01      68,800      94,108      13,500
GENERAL MLS INC                   COM   370334104       1,052      29,637  SH     DEFINED     02      23,064       5,273       1,300
GENERAL MLS INC                   COM   370334104       1,034      29,138  SH     OTHER       02      23,274       3,860       2,004
GENERAL MLS INC                   COM   370334104       1,946      54,813  SH     DEFINED     03      33,993      19,637       1,183
GENERAL MLS INC                   COM   370334104         440      12,400  SH     OTHER       03      12,400           0           0
GENERAL MLS INC                   COM   370334104       1,763      49,652  SH     DEFINED     04      49,652           0           0
GENERAL MLS INC                   COM   370334104       3,664     103,208  SH     OTHER       04      93,608           0       9,600
GENERAL MLS INC                   COM   370334104       1,719      48,412  SH     DEFINED     05         412           0      48,000
GENERAL MLS INC                   COM   370334104          71       2,000  SH     OTHER       05           0       2,000           0
GENERAL MLS INC                   COM   370334104      44,086   1,241,856  SH     DEFINED  01,08     416,553     678,773     146,530
GENERAL MLS INC                   COM   370334104          36       1,000  SH     DEFINED     09       1,000           0           0
GENERAL MLS INC                   COM   370334104         202       5,700  SH     DEFINED     10       1,700       3,400         600
GENERAL MLS INC                   COM   370334104         232       6,536  SH     OTHER       10       4,536       2,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    203
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GENERAL MTRS CORP                 COM   370442105      70,473   1,084,198  SH     DEFINED     01     865,148     153,738      65,312
GENERAL MTRS CORP                 COM   370442105       4,479      68,914  SH     OTHER       01      57,346      10,512       1,056
GENERAL MTRS CORP                 COM   370442105         368       5,665  SH     DEFINED     02       4,108       1,421         136
GENERAL MTRS CORP                 COM   370442105         538       8,271  SH     OTHER       02       2,319       3,688       2,264
GENERAL MTRS CORP                 COM   370442105         733      11,275  SH     DEFINED     03       5,525       4,948         802
GENERAL MTRS CORP                 COM   370442105         807      12,419  SH     OTHER       03       8,890       3,454          75
GENERAL MTRS CORP                 COM   370442105       2,713      41,734  SH     DEFINED     04      40,730           0       1,003
GENERAL MTRS CORP                 COM   370442105       3,372      51,875  SH     OTHER       04      36,035           0      15,840
GENERAL MTRS CORP                 COM   370442105          65       1,000  SH     OTHER       05           0       1,000           0
GENERAL MTRS CORP                 COM   370442105      57,710     887,840  SH     DEFINED  01,08     837,091      50,749           0
GENERAL MTRS CORP                 COM   370442105         343       5,281  SH     DEFINED     10       3,156       2,125           0
GENERAL MTRS CORP                 COM   370442105         362       5,570  SH     OTHER       10       2,168       3,402           0

GENERAL MTRS CORP                 COM   370442832      92,842   2,497,106  SH     DEFINED     01   1,640,328     586,684     270,094
GENERAL MTRS CORP                 COM   370442832       5,912     159,005  SH     OTHER       01      77,872      49,523      31,610
GENERAL MTRS CORP                 COM   370442832       1,259      33,871  SH     DEFINED     02       5,592      27,379         900
GENERAL MTRS CORP                 COM   370442832         297       7,985  SH     OTHER       02       5,778         902       1,305
GENERAL MTRS CORP                 COM   370442832      11,044     297,034  SH     DEFINED     03      97,109     182,445      17,480
GENERAL MTRS CORP                 COM   370442832       2,268      60,988  SH     OTHER       03      35,599      24,111       1,278
GENERAL MTRS CORP                 COM   370442832       1,147      30,838  SH     DEFINED     04      30,144           0         694
GENERAL MTRS CORP                 COM   370442832       1,778      47,810  SH     OTHER       04      40,224           0       7,586
GENERAL MTRS CORP                 COM   370442832         983      26,450  SH     DEFINED     05      17,575       6,075       2,800
GENERAL MTRS CORP                 COM   370442832          78       2,100  SH     OTHER       05           0       2,100           0
GENERAL MTRS CORP                 COM   370442832      28,555     768,032  SH     DEFINED  01,08     768,032           0           0
GENERAL MTRS CORP                 COM   370442832       1,688      45,413  SH     DEFINED     10      35,573       9,840           0
GENERAL MTRS CORP                 COM   370442832          74       2,003  SH     OTHER       10         360       1,643           0

GENERAL SEMICONDUCTOR INC         COM   370787103         929      76,195  SH     DEFINED     01      35,363      37,800       3,032
GENERAL SEMICONDUCTOR INC         COM   370787103           0           2  SH     DEFINED     04           2           0           0
GENERAL SEMICONDUCTOR INC         COM   370787103         688      56,468  SH     DEFINED  01,08      56,468           0           0

GENESCO INC                       COM   371532102         380      22,454  SH     DEFINED     01      21,667           0         787
GENESCO INC                       COM   371532102           3         200  SH     OTHER       04         200           0           0
GENESCO INC                       COM   371532102         586      34,582  SH     DEFINED  01,08      34,582           0           0

GENESEE CORP                      COM   371601204         241       5,987  SH     DEFINED  01,08       5,987           0           0

GENTEX CORP                       COM   371901109       1,287      51,496  SH     DEFINED     01       4,672      40,800       6,024
GENTEX CORP                       COM   371901109          53       2,100  SH     OTHER       01           0         700       1,400
GENTEX CORP                       COM   371901109          13         500  SH     OTHER       04         500           0           0
GENTEX CORP                       COM   371901109       3,333     133,326  SH     DEFINED  01,08     133,326           0           0
GENTEX CORP                       COM   371901109         106       4,225  SH     OTHER       09           0       4,225           0
GENTEX CORP                       COM   371901109         125       5,000  SH     DEFINED     10       5,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    204
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GENESIS ENERGY L P                COM   371927104         347      51,000  SH     DEFINED     01      51,000           0           0
GENESIS ENERGY L P                COM   371927104           7       1,000  SH     DEFINED     04       1,000           0           0

GENLYTE GROUP INC                 COM   372302109         577      22,579  SH     DEFINED     01      20,562           0       2,017
GENLYTE GROUP INC                 COM   372302109         802      31,376  SH     DEFINED  01,08      31,376           0           0

GENOMIC SOLUTIONS INC             COM   37243R109          20       1,148  SH     DEFINED     01       1,126           0          22
GENOMIC SOLUTIONS INC             COM   37243R109         268      15,572  SH     DEFINED  01,08      15,572           0           0

GENOME THERAPEUTICS CORP          COM   372430108         584      28,416  SH     DEFINED     01      28,046           0         370
GENOME THERAPEUTICS CORP          COM   372430108           4         200  SH     DEFINED     04         200           0           0
GENOME THERAPEUTICS CORP          COM   372430108         218      10,600  SH     OTHER       04      10,600           0           0
GENOME THERAPEUTICS CORP          COM   372430108       1,095      53,273  SH     DEFINED  01,08      53,273           0           0

GENRAD INC                        COM   372447102         171      15,565  SH     DEFINED     01      10,882           0       4,683
GENRAD INC                        COM   372447102           8         695  SH     OTHER       02           0         695           0
GENRAD INC                        COM   372447102         773      70,286  SH     DEFINED  01,08      70,286           0           0

GENTA INC                         COM   37245M207         172      17,961  SH     DEFINED     01      17,752           0         209
GENTA INC                         COM   37245M207           5         484  SH     OTHER       01           0           0         484
GENTA INC                         COM   37245M207         107      11,188  SH     DEFINED  01,08      11,188           0           0

GENSYM CORP                       COM   37245R107          33      10,941  SH     DEFINED  01,08      10,941           0           0

GENTEK INC                        COM   37245X104         100       6,531  SH     DEFINED     01       6,417           0         114
GENTEK INC                        COM   37245X104         300      19,686  SH     DEFINED  01,08      19,686           0           0

GENZYME TRANSGENICS CORP          COM   37246E105       1,027      29,136  SH     DEFINED     01      28,802           0         334
GENZYME TRANSGENICS CORP          COM   37246E105           4         100  SH     DEFINED     04         100           0           0
GENZYME TRANSGENICS CORP          COM   37246E105       1,504      42,667  SH     DEFINED  01,08      42,667           0           0

GENUINE PARTS CO                  COM   372460105      14,724     772,405  SH     DEFINED     01     316,730      62,993     392,682
GENUINE PARTS CO                  COM   372460105       1,394      73,122  SH     OTHER       01      28,650      20,629      23,843
GENUINE PARTS CO                  COM   372460105         159       8,337  SH     DEFINED     02       5,362       2,975           0
GENUINE PARTS CO                  COM   372460105         334      17,524  SH     OTHER       02      17,524           0           0
GENUINE PARTS CO                  COM   372460105          14         725  SH     DEFINED     03           0         725           0
GENUINE PARTS CO                  COM   372460105          35       1,860  SH     OTHER       03         810       1,050           0
GENUINE PARTS CO                  COM   372460105       1,492      78,261  SH     DEFINED     04      78,261           0           0
GENUINE PARTS CO                  COM   372460105         249      13,074  SH     OTHER       04      11,724           0       1,350
GENUINE PARTS CO                  COM   372460105       4,964     260,431  SH     DEFINED  01,08     260,431           0           0
GENUINE PARTS CO                  COM   372460105          20       1,038  SH     DEFINED     10       1,038           0           0

GENUS INC                         COM   372461103         102      26,734  SH     DEFINED  01,08      26,734           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    205
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GENTIVA HEALTH SERVICES INC       COM   37247A102         398      31,250  SH     DEFINED     01      30,590           0         660
GENTIVA HEALTH SERVICES INC       COM   37247A102           2         131  SH     OTHER       01         131           0           0
GENTIVA HEALTH SERVICES INC       COM   37247A102           4         295  SH     OTHER       04         295           0           0
GENTIVA HEALTH SERVICES INC       COM   37247A102         388      30,447  SH     DEFINED  01,08      30,447           0           0

GENUITY INC                       COM   37248E103           3         400  SH     DEFINED     04         400           0           0
GENUITY INC                       COM   37248E103       1,362     208,500  SH     DEFINED  01,08     208,500           0           0

GENZYME CORP                      COM   372917104       4,247      62,285  SH     DEFINED     01      54,134       4,030       4,121
GENZYME CORP                      COM   372917104         150       2,199  SH     OTHER       01         122       1,000       1,077
GENZYME CORP                      COM   372917104          10         150  SH     DEFINED     02         150           0           0
GENZYME CORP                      COM   372917104           3          45  SH     DEFINED     03          45           0           0
GENZYME CORP                      COM   372917104         177       2,600  SH     OTHER       03           0           0       2,600
GENZYME CORP                      COM   372917104         131       1,924  SH     DEFINED     04       1,624           0         300
GENZYME CORP                      COM   372917104          50         727  SH     OTHER       04         600           0         127
GENZYME CORP                      COM   372917104          34         500  SH     DEFINED     05           0           0         500
GENZYME CORP                      COM   372917104      16,428     240,932  SH     DEFINED  01,08     240,932           0           0
GENZYME CORP                      COM   372917104          27         400  SH     DEFINED     10           0         400           0

GENZYME CORP                      COM   372917401           0          30  SH     OTHER       01           0           0          30
GENZYME CORP                      COM   372917401           1         253  SH     OTHER       03           0           0         253
GENZYME CORP                      COM   372917401          10       2,500  SH     OTHER       04           0           0       2,500
GENZYME CORP                      COM   372917401          45      10,900  SH     DEFINED  01,08      10,900           0           0

GENZYME CORP                      COM   372917500           2         116  SH     OTHER       01           0           0         116
GENZYME CORP                      COM   372917500           0          16  SH     DEFINED     02          16           0           0
GENZYME CORP                      COM   372917500          49       3,500  SH     OTHER       04           0           0       3,500
GENZYME CORP                      COM   372917500         244      17,607  SH     DEFINED  01,08      17,607           0           0

GEORGIA GULF CORP                 COM   373200203         491      42,940  SH     DEFINED     01      40,079           0       2,861
GEORGIA GULF CORP                 COM   373200203           2         200  SH     DEFINED     02         200           0           0
GEORGIA GULF CORP                 COM   373200203       1,040      90,946  SH     DEFINED  01,08      90,946           0           0

GEORGIA PAC CORP                  COM   373298108      12,051     512,820  SH     DEFINED     01     457,654      43,059      12,107
GEORGIA PAC CORP                  COM   373298108         491      20,914  SH     OTHER       01       9,090       4,624       7,200
GEORGIA PAC CORP                  COM   373298108          59       2,500  SH     DEFINED     02       2,400         100           0
GEORGIA PAC CORP                  COM   373298108          94       4,014  SH     OTHER       02       1,500       2,314         200
GEORGIA PAC CORP                  COM   373298108          24       1,035  SH     DEFINED     03       1,000          35           0
GEORGIA PAC CORP                  COM   373298108         104       4,440  SH     OTHER       03       1,200       3,240           0
GEORGIA PAC CORP                  COM   373298108         302      12,842  SH     DEFINED     04      12,842           0           0
GEORGIA PAC CORP                  COM   373298108         675      28,736  SH     OTHER       04      28,736           0           0
GEORGIA PAC CORP                  COM   373298108       6,011     255,767  SH     DEFINED  01,08     255,767           0           0
GEORGIA PAC CORP                  COM   373298108          20         850  SH     DEFINED     10         850           0           0
GEORGIA PAC CORP                  COM   373298108          68       2,879  SH     OTHER       10       2,062         817           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    206
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GEORGIA PAC CORP                  COM   373298702       1,872      69,660  SH     DEFINED     01      66,120           0       3,540
GEORGIA PAC CORP                  COM   373298702         238       8,862  SH     OTHER       01       3,362       2,000       3,500
GEORGIA PAC CORP                  COM   373298702          32       1,200  SH     DEFINED     02       1,200           0           0
GEORGIA PAC CORP                  COM   373298702          69       2,582  SH     OTHER       02         700       1,882           0
GEORGIA PAC CORP                  COM   373298702         103       3,819  SH     OTHER       03         600       3,219           0
GEORGIA PAC CORP                  COM   373298702          53       1,955  SH     DEFINED     04       1,955           0           0
GEORGIA PAC CORP                  COM   373298702         288      10,734  SH     OTHER       04      10,734           0           0
GEORGIA PAC CORP                  COM   373298702       5,933     220,769  SH     DEFINED  01,08     220,769           0           0
GEORGIA PAC CORP                  COM   373298702          18         676  SH     OTHER       10           0         676           0

GERALD STEVENS INC                COM   37369G101           1       2,000  SH     OTHER       04       2,000           0           0
GERALD STEVENS INC                COM   37369G101          29      43,729  SH     DEFINED  01,08      43,729           0           0

GEOWORKS CORP                     COM   373692102         110      14,977  SH     DEFINED     01      14,761           0         216
GEOWORKS CORP                     COM   373692102           4         500  SH     DEFINED     03           0         500           0
GEOWORKS CORP                     COM   373692102           4         500  SH     DEFINED     04         500           0           0
GEOWORKS CORP                     COM   373692102         206      27,915  SH     DEFINED  01,08      27,915           0           0

GERBER SCIENTIFIC INC             COM   373730100         372      43,074  SH     DEFINED     01      39,723           0       3,351
GERBER SCIENTIFIC INC             COM   373730100           3         300  SH     DEFINED     04           0           0         300
GERBER SCIENTIFIC INC             COM   373730100         791      91,740  SH     DEFINED  01,08      91,740           0           0

GERON CORP                        COM   374163103         637      22,447  SH     DEFINED     01      22,063           0         384
GERON CORP                        COM   374163103          14         500  SH     OTHER       04         500           0           0
GERON CORP                        COM   374163103         669      23,585  SH     DEFINED  01,08      23,585           0           0

GETTHERE INC                      COM   374266104          89       5,047  SH     DEFINED     01       4,342           0         705
GETTHERE INC                      COM   374266104         839      47,458  SH     DEFINED  01,08      47,458           0           0

GETTY IMAGES INC                  COM   374276103         600      19,727  SH     DEFINED     01      18,280           0       1,447
GETTY IMAGES INC                  COM   374276103       2,014      66,164  SH     DEFINED  01,08      66,164           0           0

GETTY RLTY CORP NEW               COM   374297109         176      15,600  SH     DEFINED     01      15,600           0           0
GETTY RLTY CORP NEW               COM   374297109         426      37,910  SH     DEFINED  01,08      37,910           0           0

GIANT INDS INC                    COM   374508109          48       9,100  SH     DEFINED     01       9,100           0           0
GIANT INDS INC                    COM   374508109          80      15,220  SH     DEFINED  01,08      15,220           0           0

GIBRALTAR STL CORP                COM   37476F103         320      19,398  SH     DEFINED     01      18,112           0       1,286
GIBRALTAR STL CORP                COM   37476F103         300      18,204  SH     DEFINED  01,08      18,204           0           0

GIGA TRONICS INC                  COM   375175106          88      13,020  SH     DEFINED  01,08      13,020           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    207
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GILEAD SCIENCES INC               COM   375558103       3,444      31,395  SH     DEFINED     01      29,460           0       1,935
GILEAD SCIENCES INC               COM   375558103         234       2,131  SH     OTHER       01           0       2,131           0
GILEAD SCIENCES INC               COM   375558103          11         100  SH     DEFINED     04         100           0           0
GILEAD SCIENCES INC               COM   375558103      14,075     128,318  SH     DEFINED  01,08     128,318           0           0

GILLETTE CO                       COM   375766102      76,325   2,472,057  SH     DEFINED     01   1,964,901     399,583     107,573
GILLETTE CO                       COM   375766102      22,005     712,704  SH     OTHER       01     305,461     388,393      18,850
GILLETTE CO                       COM   375766102       5,949     192,680  SH     DEFINED     02     116,792      65,298      10,590
GILLETTE CO                       COM   375766102       2,999      97,123  SH     OTHER       02      76,093      17,280       3,750
GILLETTE CO                       COM   375766102       4,179     135,337  SH     DEFINED     03      71,086      61,471       2,780
GILLETTE CO                       COM   375766102       2,542      82,329  SH     OTHER       03      57,547      24,332         450
GILLETTE CO                       COM   375766102      13,536     438,428  SH     DEFINED     04     404,868           0      33,560
GILLETTE CO                       COM   375766102      15,571     504,327  SH     OTHER       04     484,675           0      19,652
GILLETTE CO                       COM   375766102       2,026      65,633  SH     DEFINED     05      47,831      14,602       3,200
GILLETTE CO                       COM   375766102       1,309      42,394  SH     OTHER       05      17,560      23,834       1,000
GILLETTE CO                       COM   375766102         266       8,600  SH     OTHER    04,07           0           0       8,600
GILLETTE CO                       COM   375766102      49,023   1,587,793  SH     DEFINED  01,08   1,587,793           0           0
GILLETTE CO                       COM   375766102          84       2,735  SH     DEFINED     09       2,735           0           0
GILLETTE CO                       COM   375766102           6         200  SH     OTHER       09           0         200           0
GILLETTE CO                       COM   375766102       1,007      32,601  SH     DEFINED     10      11,351      21,250           0
GILLETTE CO                       COM   375766102         144       4,662  SH     OTHER       10       1,980       2,682           0

GISH BIOMEDICAL INC               COM   376360103          31      13,900  SH     DEFINED  01,08      13,900           0           0

GLACIER BANCORP INC NEW           COM   37637Q105          15       1,320  SH     OTHER       04       1,320           0           0
GLACIER BANCORP INC NEW           COM   37637Q105         120      10,780  SH     DEFINED  01,08      10,780           0           0

GLAMIS GOLD LTD                   COM   376775102           3       2,000  SH     DEFINED     03           0       1,000       1,000
GLAMIS GOLD LTD                   COM   376775102           2       1,000  SH     OTHER       04       1,000           0           0
GLAMIS GOLD LTD                   COM   376775102          38      25,300  SH     DEFINED  01,08      25,300           0           0

GLATFELTER P H CO                 COM   377316104         467      38,521  SH     DEFINED     01      33,958           0       4,563
GLATFELTER P H CO                 COM   377316104       1,167      96,263  SH     DEFINED  01,08      96,263           0           0

GLAXO WELLCOME PLC                COM   37733W105       2,966      49,081  SH     DEFINED     01      41,590       5,291       2,200
GLAXO WELLCOME PLC                COM   37733W105       2,820      46,652  SH     OTHER       01      20,700      25,330         622
GLAXO WELLCOME PLC                COM   37733W105         412       6,817  SH     DEFINED     02       2,417       4,400           0
GLAXO WELLCOME PLC                COM   37733W105         535       8,850  SH     OTHER       02       7,850       1,000           0
GLAXO WELLCOME PLC                COM   37733W105         371       6,131  SH     DEFINED     03       1,681       4,450           0
GLAXO WELLCOME PLC                COM   37733W105          85       1,400  SH     OTHER       03       1,100         200         100
GLAXO WELLCOME PLC                COM   37733W105         830      13,732  SH     DEFINED     04      13,132           0         600
GLAXO WELLCOME PLC                COM   37733W105       8,188     135,478  SH     OTHER       04     134,398           0       1,080
GLAXO WELLCOME PLC                COM   37733W105      25,226     417,395  SH     DEFINED  01,08           0     383,568      33,827
GLAXO WELLCOME PLC                COM   37733W105          48         800  SH     OTHER       09         800           0           0
GLAXO WELLCOME PLC                COM   37733W105         269       4,450  SH     DEFINED     10       2,100       2,350           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    208
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GLENAYRE TECHNOLOGIES INC         COM   377899109         909      83,591  SH     DEFINED     01      72,151           0      11,440
GLENAYRE TECHNOLOGIES INC         COM   377899109           3         250  SH     DEFINED     04         250           0           0
GLENAYRE TECHNOLOGIES INC         COM   377899109       1,265     116,341  SH     DEFINED  01,08     116,341           0           0

GLENBOROUGH RLTY TR INC           COM   37803P105         313      17,410  SH     DEFINED     01      11,834           0       5,576
GLENBOROUGH RLTY TR INC           COM   37803P105          45       2,500  SH     DEFINED     02       2,500           0           0
GLENBOROUGH RLTY TR INC           COM   37803P105          18       1,025  SH     DEFINED     04       1,025           0           0
GLENBOROUGH RLTY TR INC           COM   37803P105         135       7,478  SH     DEFINED  01,08       7,478           0           0

GLOBAL TECHNOLOGIES LTD           COM   378949101          67      15,571  SH     DEFINED  01,08      15,571           0           0

GLIATECH INC                      COM   37929C103          56       9,000  SH     DEFINED     01       8,906           0          94
GLIATECH INC                      COM   37929C103          54       8,638  SH     OTHER       01           0           0       8,638
GLIATECH INC                      COM   37929C103          99      15,777  SH     DEFINED  01,08      15,777           0           0

GLIMCHER RLTY TR                  COM   379302102         207      13,841  SH     DEFINED     01       9,714           0       4,127
GLIMCHER RLTY TR                  COM   379302102          89       5,960  SH     DEFINED  01,08       5,960           0           0

GLOBAL CAP PARTNERS INC           COM   37931J104          74      11,284  SH     DEFINED  01,08      11,284           0           0

GLOBAL INDS LTD                   COM   379336100         155      12,387  SH     DEFINED     01       5,914       4,200       2,273
GLOBAL INDS LTD                   COM   379336100       1,781     142,479  SH     DEFINED  01,08     142,479           0           0

GLOBAL IMAGING SYSTEMS            COM   37934A100           2         300  SH     DEFINED     04         300           0           0
GLOBAL IMAGING SYSTEMS            COM   37934A100          63      10,641  SH     DEFINED  01,08      10,641           0           0

GLOBAL PARTNERS INCOME FD INC  UNDEFIND 37935R102           2      13,725         DEFINED     03           0      13,725           0

GLOBAL MARINE INC                 COM   379352404       3,722     120,550  SH     DEFINED     01     112,227           0       8,323
GLOBAL MARINE INC                 COM   379352404         130       4,200  SH     OTHER       01       4,200           0           0
GLOBAL MARINE INC                 COM   379352404         123       3,993  SH     DEFINED     02       3,993           0           0
GLOBAL MARINE INC                 COM   379352404           6         200  SH     OTHER       02           0         200           0
GLOBAL MARINE INC                 COM   379352404         154       5,000  SH     DEFINED     04       5,000           0           0
GLOBAL MARINE INC                 COM   379352404           9         300  SH     OTHER       04         300           0           0
GLOBAL MARINE INC                 COM   379352404          15         500  SH     OTHER       05         500           0           0
GLOBAL MARINE INC                 COM   379352404      14,885     482,095  SH     DEFINED  01,08     482,095           0           0

GLOBAL TELESYSTEMS INC            COM   37936U104          61      13,277  SH     DEFINED     01       9,751           0       3,526
GLOBAL TELESYSTEMS INC            COM   37936U104       1,269     278,197  SH     DEFINED  01,08     278,197           0           0

GLOBALNET FINANCIAL COM INC       COM   37937R209         104      16,460  SH     DEFINED     01      14,120           0       2,340
GLOBALNET FINANCIAL COM INC       COM   37937R209           6       1,000  SH     DEFINED     04       1,000           0           0
GLOBALNET FINANCIAL COM INC       COM   37937R209          59       9,335  SH     DEFINED  01,08       9,335           0           0

GLOBECOMM SYSTEMS INC             COM   37956X103         176      13,700  SH     DEFINED  01,08      13,700           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    209
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GLOBIX CORP                       COM   37957F101         435      18,660  SH     DEFINED     01      17,961           0         699
GLOBIX CORP                       COM   37957F101          19         800  SH     DEFINED     03         800           0           0
GLOBIX CORP                       COM   37957F101         699      30,000  SH     DEFINED     04      30,000           0           0
GLOBIX CORP                       COM   37957F101       1,187      50,904  SH     DEFINED  01,08      50,904           0           0

GLOBESPAN INC                     COM   379571102       1,241      10,175  SH     DEFINED     01       1,670       7,900         605
GLOBESPAN INC                     COM   379571102           8          68  SH     OTHER       03          68           0           0
GLOBESPAN INC                     COM   379571102          49         400  SH     OTHER       04         400           0           0
GLOBESPAN INC                     COM   379571102       6,838      56,051  SH     DEFINED  01,08      56,051           0           0

GOLD BANC CORP INC                COM   379907108          90      17,567  SH     DEFINED     01      12,735           0       4,832
GOLD BANC CORP INC                COM   379907108          43       8,324  SH     DEFINED     04       8,324           0           0
GOLD BANC CORP INC                COM   379907108          31       6,073  SH     OTHER       04       6,073           0           0
GOLD BANC CORP INC                COM   379907108         157      30,653  SH     DEFINED  01,08      30,653           0           0

GOAMERICA INC                     COM   38020R106         119      13,492  SH     DEFINED     01       9,375       3,600         517
GOAMERICA INC                     COM   38020R106         347      39,291  SH     DEFINED  01,08      39,291           0           0

GOLDEN ENTERPRISES INC            COM   381010107         128      35,383  SH     DEFINED  01,08      35,383           0           0

GOLDEN STAR RES LTD CDA           COM   38119T104          21      25,900  SH     DEFINED  01,08      25,900           0           0

GOLDEN ST BANCORP INC             COM   381197102         212       8,974  SH     DEFINED     01       6,420         589       1,965
GOLDEN ST BANCORP INC             COM   381197102           0           1  SH     DEFINED     03           1           0           0
GOLDEN ST BANCORP INC             COM   381197102           1          32  SH     OTHER       03           0          32           0
GOLDEN ST BANCORP INC             COM   381197102         188       7,961  SH     DEFINED     04       7,000           0         961
GOLDEN ST BANCORP INC             COM   381197102          71       3,000  SH     OTHER       04       3,000           0           0
GOLDEN ST BANCORP INC             COM   381197102       2,334      98,783  SH     DEFINED  01,08      98,783           0           0

GOLDEN ST BANCORP INC             WT    381197136           1         541         DEFINED     01           0         241         300
GOLDEN ST BANCORP INC             WT    381197136           0           5         DEFINED     03           5           0           0
GOLDEN ST BANCORP INC             WT    381197136           0          32         OTHER       03           0          32           0
GOLDEN ST BANCORP INC             WT    381197136          66      54,000         DEFINED     04      54,000           0           0
GOLDEN ST BANCORP INC             WT    381197136           1         700         OTHER       04           0           0         700
GOLDEN ST BANCORP INC             WT    381197136          13      10,434         DEFINED  01,08      10,434           0           0

GOLDEN WEST FINL CORP DEL         COM   381317106      15,892     296,346  SH     DEFINED     01     230,422      47,057      18,867
GOLDEN WEST FINL CORP DEL         COM   381317106         391       7,300  SH     OTHER       01       7,000           0         300
GOLDEN WEST FINL CORP DEL         COM   381317106           4          75  SH     DEFINED     02           0          75           0
GOLDEN WEST FINL CORP DEL         COM   381317106          29         550  SH     DEFINED     03           0         550           0
GOLDEN WEST FINL CORP DEL         COM   381317106          48         900  SH     OTHER       03         900           0           0
GOLDEN WEST FINL CORP DEL         COM   381317106          48         900  SH     DEFINED     04         900           0           0
GOLDEN WEST FINL CORP DEL         COM   381317106          22         402  SH     OTHER       04         402           0           0
GOLDEN WEST FINL CORP DEL         COM   381317106      12,980     242,046  SH     DEFINED  01,08     242,046           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    210
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GOLDFIELD CORP                    COM   381370105          91     103,700  SH     DEFINED  01,08     103,700           0           0

GOLDMAN SACHS GROUP INC           COM   38141G104      39,373     345,569  SH     DEFINED     01     209,832     108,660      27,077
GOLDMAN SACHS GROUP INC           COM   38141G104       4,335      38,046  SH     OTHER       01      17,109      16,836       4,101
GOLDMAN SACHS GROUP INC           COM   38141G104       3,796      33,315  SH     DEFINED     02      15,300      13,330       4,685
GOLDMAN SACHS GROUP INC           COM   38141G104         661       5,800  SH     OTHER       02       1,650       3,300         850
GOLDMAN SACHS GROUP INC           COM   38141G104      13,427     117,845  SH     DEFINED     03      51,796      56,191       9,858
GOLDMAN SACHS GROUP INC           COM   38141G104       2,122      18,626  SH     OTHER       03      12,820       5,481         325
GOLDMAN SACHS GROUP INC           COM   38141G104      50,077     439,519  SH     DEFINED     04     430,394           0       9,125
GOLDMAN SACHS GROUP INC           COM   38141G104      10,921      95,854  SH     OTHER       04      91,834           0       4,020
GOLDMAN SACHS GROUP INC           COM   38141G104      12,873     112,980  SH     DEFINED     05      74,895      28,804       9,281
GOLDMAN SACHS GROUP INC           COM   38141G104         917       8,051  SH     OTHER       05       5,373       2,678           0
GOLDMAN SACHS GROUP INC           COM   38141G104      13,622     119,559  SH     DEFINED  01,08     119,559           0           0
GOLDMAN SACHS GROUP INC           COM   38141G104          85         750  SH     DEFINED     10         750           0           0
GOLDMAN SACHS GROUP INC           COM   38141G104          94         825  SH     OTHER       10           0         825           0

GOOD GUYS INC                     COM   382091106         193      27,500  SH     DEFINED     01           0      27,500           0
GOOD GUYS INC                     COM   382091106         282      40,348  SH     DEFINED  01,08      40,348           0           0

GOODRICH B F CO                   COM   382388106      10,037     256,142  SH     DEFINED     01     220,268      27,156       8,718
GOODRICH B F CO                   COM   382388106         129       3,297  SH     DEFINED     03           0       3,297           0
GOODRICH B F CO                   COM   382388106          16         400  SH     DEFINED     04         400           0           0
GOODRICH B F CO                   COM   382388106          78       2,003  SH     OTHER       04       2,003           0           0
GOODRICH B F CO                   COM   382388106       6,171     157,478  SH     DEFINED  01,08     157,478           0           0

GOODYEAR TIRE & RUBR CO           COM   382550101       4,942     274,579  SH     DEFINED     01     223,231      41,000      10,348
GOODYEAR TIRE & RUBR CO           COM   382550101          57       3,156  SH     OTHER       01       3,156           0           0
GOODYEAR TIRE & RUBR CO           COM   382550101          20       1,085  SH     DEFINED     02         875         210           0
GOODYEAR TIRE & RUBR CO           COM   382550101           7         400  SH     DEFINED     03           0         400           0
GOODYEAR TIRE & RUBR CO           COM   382550101          44       2,450  SH     DEFINED     04       2,450           0           0
GOODYEAR TIRE & RUBR CO           COM   382550101         100       5,552  SH     OTHER       04       5,552           0           0
GOODYEAR TIRE & RUBR CO           COM   382550101       4,568     253,772  SH     DEFINED  01,08     253,772           0           0

GOODYS FAMILY CLOTHING INC        COM   382588101         256      65,000  SH     OTHER       04      65,000           0           0
GOODYS FAMILY CLOTHING INC        COM   382588101         235      59,617  SH     DEFINED  01,08      59,617           0           0

GORMAN RUPP CO                    COM   383082104         388      23,593  SH     DEFINED  01,08      23,593           0           0

GOTO COM INC                      COM   38348T107         470      28,497  SH     DEFINED     01      28,055           0         442
GOTO COM INC                      COM   38348T107           3         200  SH     OTHER       04         200           0           0
GOTO COM INC                      COM   38348T107       1,107      67,082  SH     DEFINED  01,08      67,082           0           0

GOTTSCHALKS INC                   COM   383485109          66      10,800  SH     DEFINED     01      10,700           0         100
GOTTSCHALKS INC                   COM   383485109         216      35,220  SH     DEFINED  01,08      35,220           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    211
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>

GO2NET INC                        COM   383486107       1,535      28,279  SH     DEFINED     01      27,490           0         789
GO2NET INC                        COM   383486107          76       1,400  SH     OTHER       01       1,400           0           0
GO2NET INC                        COM   383486107          22         400  SH     OTHER       03           0         400           0
GO2NET INC                        COM   383486107          24         450  SH     OTHER       04         450           0           0
GO2NET INC                        COM   383486107       2,618      48,241  SH     DEFINED  01,08      48,241           0           0
GO2NET INC                        COM   383486107          11         200  SH     DEFINED     10         200           0           0

GRACE W R & CO DEL NEW            COM   38388F108       1,055     153,383  SH     DEFINED     01     124,841      17,222      11,320
GRACE W R & CO DEL NEW            COM   38388F108          28       4,000  SH     OTHER       01           0       4,000           0
GRACE W R & CO DEL NEW            COM   38388F108          98      14,215  SH     DEFINED     04      14,215           0           0
GRACE W R & CO DEL NEW            COM   38388F108          57       8,276  SH     OTHER       04       6,450           0       1,826
GRACE W R & CO DEL NEW            COM   38388F108         813     118,316  SH     DEFINED  01,08     118,316           0           0

GRACO INC                         COM   384109104         716      22,203  SH     DEFINED     01      20,439           0       1,764
GRACO INC                         COM   384109104          15         450  SH     OTHER       04         450           0           0
GRACO INC                         COM   384109104       1,778      55,136  SH     DEFINED  01,08      55,136           0           0

GRADCO SYS INC                    COM   384111100          41      28,741  SH     DEFINED  01,08      28,741           0           0

GRAINGER W W INC                  COM   384802104      12,101     459,889  SH     DEFINED     01     280,337     131,470      48,082
GRAINGER W W INC                  COM   384802104       4,836     183,807  SH     OTHER       01      67,066      61,199      55,542
GRAINGER W W INC                  COM   384802104         228       8,650  SH     DEFINED     02       7,300         800         550
GRAINGER W W INC                  COM   384802104         113       4,300  SH     OTHER       02       3,500           0         800
GRAINGER W W INC                  COM   384802104         256       9,732  SH     DEFINED     03       1,500       7,800         432
GRAINGER W W INC                  COM   384802104         499      18,950  SH     OTHER       03      15,450       2,000       1,500
GRAINGER W W INC                  COM   384802104         575      21,850  SH     DEFINED     04      20,250           0       1,600
GRAINGER W W INC                  COM   384802104         473      17,975  SH     OTHER       04      17,975           0           0
GRAINGER W W INC                  COM   384802104          21         800  SH     DEFINED     05         800           0           0
GRAINGER W W INC                  COM   384802104          42       1,600  SH     OTHER       05         800         800           0
GRAINGER W W INC                  COM   384802104       3,666     139,330  SH     DEFINED  01,08     139,330           0           0
GRAINGER W W INC                  COM   384802104          21         816  SH     DEFINED     10         816           0           0

GRANITE BROADCASTING CORP         COM   387241102           5       1,000  SH     DEFINED     04       1,000           0           0
GRANITE BROADCASTING CORP         COM   387241102         105      22,893  SH     DEFINED  01,08      22,893           0           0

GRANITE CONSTR INC                COM   387328107       1,019      42,002  SH     DEFINED     01      37,661           0       4,341
GRANITE CONSTR INC                COM   387328107          11         450  SH     OTHER       02         450           0           0
GRANITE CONSTR INC                COM   387328107          60       2,472  SH     DEFINED     03       2,472           0           0
GRANITE CONSTR INC                COM   387328107       1,878      77,432  SH     DEFINED  01,08      77,432           0           0

GRANT PRIDECO INC                 COM   38821G101       2,438     111,150  SH     DEFINED     01      94,719         190      16,241
GRANT PRIDECO INC                 COM   38821G101          94       4,300  SH     OTHER       01           0           0       4,300
GRANT PRIDECO INC                 COM   38821G101           1          50  SH     DEFINED     03          50           0           0
GRANT PRIDECO INC                 COM   38821G101         103       4,700  SH     DEFINED     04           0           0       4,700
GRANT PRIDECO INC                 COM   38821G101       6,566     299,294  SH     DEFINED  01,08     299,294           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    212
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GRAPHIC PACKAGING INTL CORP       COM   388690109          16       7,487  SH     DEFINED     01       7,487           0           0
GRAPHIC PACKAGING INTL CORP       COM   388690109           0          66  SH     OTHER       02           0          66           0
GRAPHIC PACKAGING INTL CORP       COM   388690109          92      43,280  SH     DEFINED  01,08      43,280           0           0

GRAPHON CORP                      COM   388707101           2         500  SH     OTHER       04           0           0         500
GRAPHON CORP                      COM   388707101          65      15,651  SH     DEFINED  01,08      15,651           0           0

GRAY COMMUNICATIONS SYS INC       COM   389190208         642      61,498  SH     DEFINED  01,08      61,498           0           0

GREAT AMERN FINL RES INC          COM   389915109          74       4,068  SH     DEFINED     01       2,839           0       1,229
GREAT AMERN FINL RES INC          COM   389915109           0          23  SH     OTHER       04           0           0          23
GREAT AMERN FINL RES INC          COM   389915109       1,421      77,582  SH     DEFINED  01,08      77,582           0           0

GREAT ATLANTIC & PAC TEA INC      COM   390064103         361      32,615  SH     DEFINED     01      28,792         213       3,610
GREAT ATLANTIC & PAC TEA INC      COM   390064103           1         100  SH     DEFINED     04         100           0           0
GREAT ATLANTIC & PAC TEA INC      COM   390064103           0           2  SH     OTHER       04           2           0           0
GREAT ATLANTIC & PAC TEA INC      COM   390064103         496      44,799  SH     DEFINED  01,08      44,799           0           0

GREAT LAKES CHEM CORP             COM   390568103       3,761     128,323  SH     DEFINED     01      94,001      16,020      18,302
GREAT LAKES CHEM CORP             COM   390568103          45       1,550  SH     OTHER       01       1,550           0           0
GREAT LAKES CHEM CORP             COM   390568103          47       1,600  SH     DEFINED     03           0       1,600           0
GREAT LAKES CHEM CORP             COM   390568103           6         200  SH     OTHER       03         200           0           0
GREAT LAKES CHEM CORP             COM   390568103           5         160  SH     DEFINED     04         160           0           0
GREAT LAKES CHEM CORP             COM   390568103         141       4,799  SH     OTHER       04       4,799           0           0
GREAT LAKES CHEM CORP             COM   390568103       2,558      87,283  SH     DEFINED  01,08      87,283           0           0

GREAT LAKES REIT INC              COM   390752103         175      10,049  SH     DEFINED     01       6,855           0       3,194
GREAT LAKES REIT INC              COM   390752103          26       1,500  SH     OTHER       04       1,500           0           0
GREAT LAKES REIT INC              COM   390752103          75       4,314  SH     DEFINED  01,08       4,314           0           0

GREAT SOUTHN BANCORP INC          COM   390905107         228      15,000  SH     OTHER       03           0      15,000           0
GREAT SOUTHN BANCORP INC          COM   390905107         144       9,480  SH     DEFINED  01,08       9,480           0           0

GREAT PLAINS SOFTWARE             COM   39119E105         392      13,943  SH     DEFINED     01      12,842           0       1,101
GREAT PLAINS SOFTWARE             COM   39119E105          14         500  SH     DEFINED     02         200           0         300
GREAT PLAINS SOFTWARE             COM   39119E105         619      22,000  SH     DEFINED  01,08      22,000           0           0

GREATER BAY BANCORP               COM   391648102       2,181      31,406  SH     DEFINED     01      30,786           0         620
GREATER BAY BANCORP               COM   391648102         159       2,284  SH     OTHER       04       2,284           0           0
GREATER BAY BANCORP               COM   391648102       4,025      57,963  SH     DEFINED  01,08      57,963           0           0

GREEN MOUNTAIN PWR CORP           COM   393154109          89      11,800  SH     DEFINED  01,08      11,800           0           0

GREENBRIER COS INC                COM   393657101         101      11,914  SH     DEFINED     01      11,914           0           0
GREENBRIER COS INC                COM   393657101         184      21,698  SH     DEFINED  01,08      21,698           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    213
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GREENPOINT FINL CORP              COM   395384100       2,044      68,990  SH     DEFINED     01      64,514           0       4,476
GREENPOINT FINL CORP              COM   395384100       8,283     279,602  SH     DEFINED  01,08     279,602           0           0
GREENPOINT FINL CORP              COM   395384100          10         330  SH     DEFINED     10         330           0           0

GREIF BROS CORP                   COM   397624107         260       7,834  SH     DEFINED     01       5,292           0       2,542
GREIF BROS CORP                   COM   397624107         542      16,300  SH     OTHER       02           0           0      16,300
GREIF BROS CORP                   COM   397624107          17         500  SH     DEFINED     04         500           0           0
GREIF BROS CORP                   COM   397624107          69       2,072  SH     OTHER       04       2,072           0           0
GREIF BROS CORP                   COM   397624107       1,294      38,910  SH     DEFINED  01,08      38,910           0           0

GREY GLOBAL GROUP INC             COM   39787M108       1,163       1,876  SH     DEFINED     01       1,764         100          12
GREY GLOBAL GROUP INC             COM   39787M108          62         100  SH     OTHER       02           0         100           0
GREY GLOBAL GROUP INC             COM   39787M108       2,540       4,098  SH     DEFINED  01,08       4,098           0           0
GREY GLOBAL GROUP INC             COM   39787M108          15          25  SH     DEFINED     10           0          25           0

GREY WOLF INC                     COM   397888108       1,074     186,764  SH     DEFINED     01     180,761           0       6,003
GREY WOLF INC                     COM   397888108           9       1,500  SH     OTHER       04       1,500           0           0
GREY WOLF INC                     COM   397888108       1,654     287,632  SH     DEFINED  01,08     287,632           0           0

GRIC COMMUNICATIONS INC           COM   398081109          32       4,383  SH     DEFINED     01       4,083           0         300
GRIC COMMUNICATIONS INC           COM   398081109         180      24,844  SH     DEFINED  01,08      24,844           0           0

GRIFFON CORP                      COM   398433102         136      17,934  SH     DEFINED     01      14,196           0       3,738
GRIFFON CORP                      COM   398433102         567      74,971  SH     DEFINED  01,08      74,971           0           0

GRISTEDES FOODS INC               COM   398635102          23      13,064  SH     DEFINED  01,08      13,064           0           0

GROUP 1 AUTOMOTIVE INC            COM   398905109         126      11,542  SH     DEFINED     01       9,246           0       2,296
GROUP 1 AUTOMOTIVE INC            COM   398905109         422      38,833  SH     DEFINED  01,08      38,833           0           0

GROUP 1 SOFTWARE INC NEW          COM   39943Y103         477      23,265  SH     DEFINED  01,08      23,265           0           0

GROVE PPTY TR                     COM   399613108       1,815     110,000  SH     DEFINED     01           0     110,000           0

GRUBB & ELLIS CO                  COM   400095204          32       5,300  SH     DEFINED     01       5,300           0           0
GRUBB & ELLIS CO                  COM   400095204         207      33,759  SH     DEFINED  01,08      33,759           0           0

GRUPO TELEVISA SA DE CV           COM   40049J206          17         300  SH     OTHER       01           0         300           0
GRUPO TELEVISA SA DE CV           COM   40049J206           1          25  SH     DEFINED     03          25           0           0
GRUPO TELEVISA SA DE CV           COM   40049J206         144       2,500  SH     DEFINED     04       2,500           0           0
GRUPO TELEVISA SA DE CV           COM   40049J206          69       1,200  SH     OTHER       04       1,200           0           0

GTECH HLDGS CORP                  COM   400518106       1,008      60,877  SH     DEFINED     01      45,928      12,100       2,849
GTECH HLDGS CORP                  COM   400518106       1,367      82,532  SH     DEFINED  01,08      82,532           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    214
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
GUCCI GROUP N V                   COM   401566104         504       5,000  SH     DEFINED     01           0           0       5,000
GUCCI GROUP N V                   COM   401566104          20         200  SH     DEFINED     04         200           0           0

GUESS INC                         COM   401617105         256      22,784  SH     DEFINED     01      22,555           0         229
GUESS INC                         COM   401617105         514      45,647  SH     DEFINED  01,08      45,647           0           0

GUEST SUPPLY INC                  COM   401630108         395      21,451  SH     DEFINED  01,08      21,451           0           0

GUIDANT CORP                      COM   401698105     137,258   1,941,774  SH     DEFINED     01   1,481,912     334,223     125,639
GUIDANT CORP                      COM   401698105       7,315     103,481  SH     OTHER       01      44,200      36,789      22,492
GUIDANT CORP                      COM   401698105       7,088     100,277  SH     DEFINED     02      55,287      34,190      10,800
GUIDANT CORP                      COM   401698105       1,897      26,841  SH     OTHER       02      12,835      10,960       3,046
GUIDANT CORP                      COM   401698105       4,263      60,308  SH     DEFINED     03      28,933      29,825       1,550
GUIDANT CORP                      COM   401698105         751      10,630  SH     OTHER       03       9,860         300         470
GUIDANT CORP                      COM   401698105      23,125     327,140  SH     DEFINED     04     299,465           0      27,675
GUIDANT CORP                      COM   401698105       6,138      86,839  SH     OTHER       04      84,414           0       2,425
GUIDANT CORP                      COM   401698105       2,737      38,725  SH     DEFINED     05      32,525       5,450         750
GUIDANT CORP                      COM   401698105         753      10,650  SH     OTHER       05       6,650       2,800       1,200
GUIDANT CORP                      COM   401698105      37,848     535,429  SH     DEFINED  01,08     535,429           0           0
GUIDANT CORP                      COM   401698105          28         400  SH     DEFINED     09         400           0           0
GUIDANT CORP                      COM   401698105       1,605      22,710  SH     DEFINED     10      18,235       4,475           0
GUIDANT CORP                      COM   401698105         207       2,924  SH     OTHER       10       2,099         825           0

GUILFORD MLS INC                  COM   401794102           8       4,498  SH     DEFINED     01       4,498           0           0
GUILFORD MLS INC                  COM   401794102         109      58,324  SH     DEFINED  01,08      58,324           0           0

GUILFORD PHARMACEUTICALS INC      COM   401829106         370      16,027  SH     DEFINED     01      12,394           0       3,633
GUILFORD PHARMACEUTICALS INC      COM   401829106          46       2,000  SH     OTHER       01           0       2,000           0
GUILFORD PHARMACEUTICALS INC      COM   401829106         870      37,729  SH     DEFINED  01,08      37,729           0           0

GUITAR CTR MGMT INC               COM   402040109         285      23,171  SH     DEFINED     01      22,376           0         795
GUITAR CTR MGMT INC               COM   402040109         428      34,757  SH     DEFINED  01,08      34,757           0           0

GULF ISLAND FABRICATION INC       COM   402307102         118       6,707  SH     DEFINED     01       6,205           0         502
GULF ISLAND FABRICATION INC       COM   402307102         137       7,783  SH     DEFINED  01,08       7,783           0           0

GULFMARK OFFSHORE INC             COM   402629109         247       8,400  SH     DEFINED  01,08       8,400           0           0

GUNDLE/SLT ENVIRONMENTAL INC      COM   402809107           8       2,300  SH     DEFINED     01       2,300           0           0
GUNDLE/SLT ENVIRONMENTAL INC      COM   402809107           4       1,000  SH     OTHER       01           0       1,000           0
GUNDLE/SLT ENVIRONMENTAL INC      COM   402809107          96      27,525  SH     DEFINED  01,08      27,525           0           0

GYMBOREE CORP                     COM   403777105         259      47,568  SH     DEFINED  01,08      47,568           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    215
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HMT TECHNOLOGY CORP               COM   403917107          56      16,000  SH     DEFINED     04           0           0      16,000
HMT TECHNOLOGY CORP               COM   403917107         268      77,126  SH     DEFINED  01,08      77,126           0           0

H T E INC                         COM   403926108          24      18,498  SH     DEFINED  01,08      18,498           0           0

HCA-HEALTHCARE CO                 COM   404119109      37,434   1,008,310  SH     DEFINED     01     806,738     142,211      59,361
HCA-HEALTHCARE CO                 COM   404119109         109       2,940  SH     OTHER       01       1,743         697         500
HCA-HEALTHCARE CO                 COM   404119109          31         840  SH     DEFINED     02         840           0           0
HCA-HEALTHCARE CO                 COM   404119109          46       1,250  SH     DEFINED     03         200       1,050           0
HCA-HEALTHCARE CO                 COM   404119109         287       7,720  SH     DEFINED     04       7,720           0           0
HCA-HEALTHCARE CO                 COM   404119109           7         187  SH     DEFINED     05         187           0           0
HCA-HEALTHCARE CO                 COM   404119109      32,145     865,853  SH     DEFINED  01,08     865,853           0           0

HCC INS HLDGS INC                 COM   404132102         506      24,924  SH     DEFINED     01      16,688         300       7,936
HCC INS HLDGS INC                 COM   404132102         242      11,900  SH     OTHER       01      11,900           0           0
HCC INS HLDGS INC                 COM   404132102          61       3,000  SH     DEFINED     02       3,000           0           0
HCC INS HLDGS INC                 COM   404132102       1,812      89,226  SH     DEFINED  01,08      89,226           0           0

HMG WORLDWIDE CORP                COM   404235103          45      14,954  SH     DEFINED  01,08      14,954           0           0

HMN FINL INC                      COM   40424G108          24       1,900  SH     DEFINED     01       1,900           0           0
HMN FINL INC                      COM   40424G108         101       8,100  SH     DEFINED  01,08       8,100           0           0

HNC SOFTWARE INC                  COM   40425P107       2,680      32,763  SH     DEFINED     01      29,715         900       2,148
HNC SOFTWARE INC                  COM   40425P107       3,089      37,760  SH     OTHER       01         850       1,398      35,512
HNC SOFTWARE INC                  COM   40425P107       4,644      56,761  SH     DEFINED  01,08      56,761           0           0

HRPT PPTYS TR                     COM   40426W101         572      81,645  SH     DEFINED     01      57,453       1,225      22,967
HRPT PPTYS TR                     COM   40426W101          35       5,000  SH     OTHER       01       5,000           0           0
HRPT PPTYS TR                     COM   40426W101          22       3,100  SH     DEFINED     03         600           0       2,500
HRPT PPTYS TR                     COM   40426W101          21       3,000  SH     DEFINED     04       2,000           0       1,000
HRPT PPTYS TR                     COM   40426W101           7       1,000  SH     OTHER       04       1,000           0           0
HRPT PPTYS TR                     COM   40426W101         218      31,185  SH     DEFINED  01,08      31,185           0           0

HPSC INC                          COM   404264103         144      20,794  SH     DEFINED  01,08      20,794           0           0

H POWER CORP                      COM   40427A108         330       9,875  SH     DEFINED     01       9,375         500           0
H POWER CORP                      COM   40427A108       1,434      42,900  SH     DEFINED  01,08      42,900           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    216
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HSB GROUP INC                     COM   40428N109       4,293     106,996  SH     DEFINED     01     101,613         587       4,796
HSB GROUP INC                     COM   40428N109       2,753      68,610  SH     OTHER       01      65,370           0       3,240
HSB GROUP INC                     COM   40428N109         211       5,250  SH     OTHER       02         900       4,350           0
HSB GROUP INC                     COM   40428N109          58       1,440  SH     DEFINED     04       1,440           0           0
HSB GROUP INC                     COM   40428N109         146       3,630  SH     OTHER       04       3,630           0           0
HSB GROUP INC                     COM   40428N109       3,388      84,444  SH     DEFINED  01,08      84,444           0           0
HSB GROUP INC                     COM   40428N109       1,952      48,639  SH     DEFINED     10      48,639           0           0

HSBC HLDGS PLC                    COM   404280406          90       1,260  SH     OTHER       01           0       1,260           0
HSBC HLDGS PLC                    COM   404280406          86       1,200  SH     OTHER       02       1,200           0           0
HSBC HLDGS PLC                    COM   404280406          30         417  SH     DEFINED     03         381          36           0
HSBC HLDGS PLC                    COM   404280406          43         600  SH     OTHER       03         600           0           0
HSBC HLDGS PLC                    COM   404280406         291       4,070  SH     DEFINED     04       4,070           0           0
HSBC HLDGS PLC                    COM   404280406         171       2,400  SH     OTHER       04       2,400           0           0

HS RES INC                        COM   404297103       1,334      39,667  SH     DEFINED     01      38,065           0       1,602
HS RES INC                        COM   404297103          87       2,600  SH     OTHER       01           0       2,600           0
HS RES INC                        COM   404297103         144       4,276  SH     DEFINED     03       4,276           0           0
HS RES INC                        COM   404297103       1,003      29,827  SH     DEFINED  01,08      29,827           0           0

HA-LO INDS INC                    COM   404429102         433     108,211  SH     DEFINED     01     100,955           0       7,256
HA-LO INDS INC                    COM   404429102           5       1,300  SH     OTHER       01           0       1,300           0
HA-LO INDS INC                    COM   404429102         468     116,905  SH     DEFINED  01,08     116,905           0           0

HAEMONETICS CORP                  COM   405024100       1,430      56,071  SH     DEFINED     01      43,033      10,800       2,238
HAEMONETICS CORP                  COM   405024100       1,415      55,505  SH     DEFINED  01,08      55,505           0           0

HAGGAR CORP                       COM   405173105           5         400  SH     DEFINED     01           0           0         400
HAGGAR CORP                       COM   405173105       1,212      96,926  SH     DEFINED     05      18,000           0      78,926
HAGGAR CORP                       COM   405173105         141      11,300  SH     DEFINED  01,08      11,300           0           0

HAIN CELESTIAL GROUP INC          COM   405217100       1,148      32,693  SH     DEFINED     01      29,428       1,644       1,621
HAIN CELESTIAL GROUP INC          COM   405217100       1,635      46,555  SH     DEFINED  01,08      46,555           0           0

HALL KINION ASSOCIATES INC        COM   406069104         263       9,253  SH     DEFINED     01       9,093           0         160
HALL KINION ASSOCIATES INC        COM   406069104         303      10,651  SH     DEFINED  01,08      10,651           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    217
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>

HALLIBURTON CO                    COM   406216101      74,883   1,530,196  SH     DEFINED     01   1,017,474     420,114      92,608
HALLIBURTON CO                    COM   406216101       6,424     131,275  SH     OTHER       01      74,190      54,360       2,725
HALLIBURTON CO                    COM   406216101       2,468      50,438  SH     DEFINED     02      31,552      15,661       3,225
HALLIBURTON CO                    COM   406216101         432       8,825  SH     OTHER       02       3,425       5,200         200
HALLIBURTON CO                    COM   406216101       6,256     127,837  SH     DEFINED     03      48,503      71,319       8,015
HALLIBURTON CO                    COM   406216101       1,019      20,825  SH     OTHER       03       9,000      11,400         425
HALLIBURTON CO                    COM   406216101      30,683     626,986  SH     DEFINED     04     600,311           0      26,675
HALLIBURTON CO                    COM   406216101       6,717     137,255  SH     OTHER       04     124,130           0      13,125
HALLIBURTON CO                    COM   406216101       7,297     149,100  SH     DEFINED     05      92,170      50,700       6,230
HALLIBURTON CO                    COM   406216101         621      12,685  SH     OTHER       05       7,035       4,450       1,200
HALLIBURTON CO                    COM   406216101      37,129     758,712  SH     DEFINED  01,08     758,712           0           0
HALLIBURTON CO                    COM   406216101          35         715  SH     DEFINED     09         715           0           0
HALLIBURTON CO                    COM   406216101         164       3,350  SH     OTHER       09           0       3,350           0
HALLIBURTON CO                    COM   406216101       1,041      21,279  SH     DEFINED     10      11,504       9,775           0
HALLIBURTON CO                    COM   406216101         590      12,050  SH     OTHER       10      12,050           0           0

HALLWOOD ENERGY CORP DEL          COM   40636X105           0           1  SH     OTHER       02           0           0           1
HALLWOOD ENERGY CORP DEL          COM   40636X105          46       4,670  SH     DEFINED     04       4,670           0           0
HALLWOOD ENERGY CORP DEL          COM   40636X105         122      12,317  SH     DEFINED  01,08      12,317           0           0

HAMPTON INDS INC                  COM   409189107          11       8,120  SH     OTHER       01           0       8,120           0
HAMPTON INDS INC                  COM   409189107          27      20,710  SH     DEFINED  01,08      20,710           0           0

JOHN HANCOCK BK &THRIFT OPP FD    COM   409735107          85      10,700  SH     DEFINED     01           0      10,000         700
JOHN HANCOCK BK &THRIFT OPP FD    COM   409735107           5         675  SH     OTHER       02           0         675           0
JOHN HANCOCK BK &THRIFT OPP FD    COM   409735107          18       2,208  SH     DEFINED     03       2,208           0           0
JOHN HANCOCK BK &THRIFT OPP FD    COM   409735107          35       4,460  SH     DEFINED     04       4,460           0           0
JOHN HANCOCK BK &THRIFT OPP FD    COM   409735107          22       2,759  SH     OTHER       04       2,759           0           0

HANCOCK FABRICS INC               COM   409900107           1         100  SH     DEFINED     01           0           0         100
HANCOCK FABRICS INC               COM   409900107         139      27,835  SH     DEFINED  01,08      27,835           0           0

HANCOCK HLDG CO                   COM   410120109         264       8,547  SH     DEFINED     01       6,983           0       1,564
HANCOCK HLDG CO                   COM   410120109         924      29,858  SH     DEFINED  01,08      29,858           0           0

HANCOCK JOHN INCOME SECS TR    UNDEFIND 410123103           2      15,988         DEFINED     01       2,088      13,900           0
HANCOCK JOHN INCOME SECS TR    UNDEFIND 410123103           0       1,510         OTHER       01           0       1,510           0
HANCOCK JOHN INCOME SECS TR    UNDEFIND 410123103          14       1,000         DEFINED     04       1,000           0           0
HANCOCK JOHN INCOME SECS TR    UNDEFIND 410123103           1         100         OTHER       04         100           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    218
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HANCOCK JOHN FINL SVCS INC        COM   41014S106         569      21,183  SH     DEFINED     01      17,706         533       2,944
HANCOCK JOHN FINL SVCS INC        COM   41014S106          17         619  SH     DEFINED     02           0         619           0
HANCOCK JOHN FINL SVCS INC        COM   41014S106          22         835  SH     OTHER       02         835           0           0
HANCOCK JOHN FINL SVCS INC        COM   41014S106         653      24,301  SH     DEFINED     03      24,079         222           0
HANCOCK JOHN FINL SVCS INC        COM   41014S106          69       2,556  SH     DEFINED     04       2,252           0         304
HANCOCK JOHN FINL SVCS INC        COM   41014S106          28       1,058  SH     OTHER       04       1,058           0           0
HANCOCK JOHN FINL SVCS INC        COM   41014S106       7,862     292,522  SH     DEFINED  01,08     292,522           0           0
HANCOCK JOHN FINL SVCS INC        COM   41014S106          11         398  SH     DEFINED     10         262         136           0

HANCOCK JOHN INVS TR              COM   410142103         300      16,683  SH     DEFINED     01         183      16,500           0
HANCOCK JOHN INVS TR              COM   410142103           4         200  SH     DEFINED     04         200           0           0
HANCOCK JOHN INVS TR              COM   410142103          11         603  SH     OTHER       04         603           0           0

HANDLEMAN CO DEL                  COM   410252100         639      51,652  SH     DEFINED     01      47,175           0       4,477
HANDLEMAN CO DEL                  COM   410252100         397      32,099  SH     DEFINED     04      32,099           0           0
HANDLEMAN CO DEL                  COM   410252100         785      63,463  SH     DEFINED  01,08      63,463           0           0

HANDSPRING INC                    COM   410293104          14         200  SH     DEFINED     04         200           0           0
HANDSPRING INC                    COM   410293104         524       7,591  SH     DEFINED  01,08       7,591           0           0

HANGER ORTHOPEDIC GROUP INC       COM   41043F208         128      34,211  SH     DEFINED  01,08      34,211           0           0

HANOVER COMPRESSOR CO             COM   410768105       2,277      69,128  SH     DEFINED     01      59,199       1,600       8,329
HANOVER COMPRESSOR CO             COM   410768105          30         900  SH     DEFINED     04         900           0           0
HANOVER COMPRESSOR CO             COM   410768105       5,270     160,000  SH     DEFINED  01,08     160,000           0           0

HANOVER DIRECT INC                COM   410783104          85     151,278  SH     DEFINED     01     148,613           0       2,665
HANOVER DIRECT INC                COM   410783104         143     253,693  SH     DEFINED  01,08     253,693           0           0

HANSEN NAT CORP                   COM   411310105          82      15,000  SH     DEFINED  01,08      15,000           0           0

HARCOURT GEN INC                  COM   41163G101       7,530     127,635  SH     DEFINED     01     104,360      18,425       4,850
HARCOURT GEN INC                  COM   41163G101          47         800  SH     OTHER       01           0           0         800
HARCOURT GEN INC                  COM   41163G101          59       1,000  SH     DEFINED     04       1,000           0           0
HARCOURT GEN INC                  COM   41163G101       6,359     107,783  SH     DEFINED  01,08     107,783           0           0
HARCOURT GEN INC                  COM   41163G101          30         500  SH     OTHER       09         500           0           0

HARBOR FLA BANCSHARES INC         COM   411901101         181      15,022  SH     DEFINED     01       9,112       2,000       3,910
HARBOR FLA BANCSHARES INC         COM   411901101          48       4,000  SH     DEFINED     04       4,000           0           0
HARBOR FLA BANCSHARES INC         COM   411901101          26       2,123  SH     OTHER       04       2,123           0           0
HARBOR FLA BANCSHARES INC         COM   411901101         473      39,211  SH     DEFINED  01,08      39,211           0           0

HARDINGE INC                      COM   412324303         109       9,050  SH     DEFINED     01       9,050           0           0
HARDINGE INC                      COM   412324303         134      11,183  SH     DEFINED  01,08      11,183           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    219
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HARKEN ENERGY CORP                COM   412552101           0         276  SH     OTHER       02           0         276           0
HARKEN ENERGY CORP                COM   412552101          75     120,123  SH     DEFINED  01,08     120,123           0           0
HARKEN ENERGY CORP                COM   412552101           1       2,200  SH     DEFINED     10       2,200           0           0

HARLAND JOHN H CO                 COM   412693103         518      33,818  SH     DEFINED     01      26,578       1,200       6,040
HARLAND JOHN H CO                 COM   412693103          34       2,200  SH     OTHER       04       2,200           0           0
HARLAND JOHN H CO                 COM   412693103         586      38,256  SH     DEFINED  01,08      38,256           0           0

HARLEY DAVIDSON INC               COM   412822108      70,532   1,473,262  SH     DEFINED     01     910,654     506,040      56,568
HARLEY DAVIDSON INC               COM   412822108       5,756     120,240  SH     OTHER       01      72,795      44,545       2,900
HARLEY DAVIDSON INC               COM   412822108       1,663      34,740  SH     DEFINED     02       6,240      27,700         800
HARLEY DAVIDSON INC               COM   412822108         105       2,200  SH     OTHER       02         800       1,400           0
HARLEY DAVIDSON INC               COM   412822108      13,356     278,974  SH     DEFINED     03     100,457     161,473      17,044
HARLEY DAVIDSON INC               COM   412822108       2,400      50,125  SH     OTHER       03      24,390      24,935         800
HARLEY DAVIDSON INC               COM   412822108      81,156   1,695,169  SH     DEFINED     04   1,635,294           0      59,875
HARLEY DAVIDSON INC               COM   412822108      37,688     787,220  SH     OTHER       04     728,850           0      58,370
HARLEY DAVIDSON INC               COM   412822108       5,903     123,300  SH     DEFINED     05      96,700      16,250      10,350
HARLEY DAVIDSON INC               COM   412822108         339       7,075  SH     OTHER       05       5,875       1,200           0
HARLEY DAVIDSON INC               COM   412822108      21,971     458,918  SH     DEFINED  01,08     458,918           0           0
HARLEY DAVIDSON INC               COM   412822108         622      12,995  SH     DEFINED     10       6,445       6,550           0
HARLEY DAVIDSON INC               COM   412822108          24         500  SH     OTHER       10           0         500           0

HARLEYSVILLE GROUP INC            COM   412824104         896      47,121  SH     DEFINED     01      44,585           0       2,536
HARLEYSVILLE GROUP INC            COM   412824104       2,323     122,147  SH     DEFINED  01,08     122,147           0           0

HARLEYSVILLE NATL CORP PA         COM   412850109         153       5,054  SH     DEFINED     01       3,592           0       1,462
HARLEYSVILLE NATL CORP PA         COM   412850109         399      13,209  SH     DEFINED  01,08      13,209           0           0

HARMAN INTL INDS INC              COM   413086109      11,571     295,938  SH     DEFINED     01     273,678       1,400      20,860
HARMAN INTL INDS INC              COM   413086109       2,483      63,508  SH     DEFINED  01,08      63,508           0           0

HARMONIC INC                      COM   413160102         144       6,003  SH     DEFINED     01       4,606           0       1,397
HARMONIC INC                      COM   413160102         341      14,201  SH     OTHER       01       5,423         500       8,278
HARMONIC INC                      COM   413160102          55       2,282  SH     DEFINED     04         817           0       1,465
HARMONIC INC                      COM   413160102          77       3,200  SH     OTHER       04           0           0       3,200
HARMONIC INC                      COM   413160102       2,716     113,150  SH     DEFINED  01,08     113,150           0           0

HARRAHS ENTMT INC                 COM   413619107       5,926     215,478  SH     DEFINED     01     166,868      38,384      10,226
HARRAHS ENTMT INC                 COM   413619107           3         100  SH     OTHER       01           0           0         100
HARRAHS ENTMT INC                 COM   413619107       1,127      40,970  SH     DEFINED     03      17,870      22,200         900
HARRAHS ENTMT INC                 COM   413619107         246       8,940  SH     OTHER       03       1,640       7,300           0
HARRAHS ENTMT INC                 COM   413619107          25         900  SH     DEFINED     04         900           0           0
HARRAHS ENTMT INC                 COM   413619107       4,658     169,367  SH     DEFINED  01,08     169,367           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    220
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HARRIS CORP DEL                   COM   413875105       1,502      52,807  SH     DEFINED     01      46,195       2,972       3,640
HARRIS CORP DEL                   COM   413875105          23         800  SH     OTHER       01           0         800           0
HARRIS CORP DEL                   COM   413875105           3          95  SH     DEFINED     03           0          95           0
HARRIS CORP DEL                   COM   413875105          68       2,400  SH     DEFINED     04       2,400           0           0
HARRIS CORP DEL                   COM   413875105         151       5,300  SH     OTHER       04       3,300           0       2,000
HARRIS CORP DEL                   COM   413875105         142       5,000  SH     OTHER       05       5,000           0           0
HARRIS CORP DEL                   COM   413875105       5,419     190,563  SH     DEFINED  01,08     190,563           0           0

HARRIS FINL INC                   COM   414541102          36       4,624  SH     DEFINED     01       3,277           0       1,347
HARRIS FINL INC                   COM   414541102         397      51,249  SH     DEFINED  01,08      51,249           0           0

HARRIS INTERACTIVE INC            COM   414549105           1         230  SH     DEFINED     01           0         230           0
HARRIS INTERACTIVE INC            COM   414549105         194      43,145  SH     DEFINED  01,08      43,145           0           0

HARSCO CORP                       COM   415864107       1,072      48,606  SH     DEFINED     01      41,390           0       7,216
HARSCO CORP                       COM   415864107          22       1,000  SH     DEFINED     04       1,000           0           0
HARSCO CORP                       COM   415864107       2,572     116,594  SH     DEFINED  01,08     116,594           0           0

HARTE-HANKS INC                   COM   416196103       1,211      44,454  SH     DEFINED     01      41,327         600       2,527
HARTE-HANKS INC                   COM   416196103         123       4,500  SH     OTHER       01       4,500           0           0
HARTE-HANKS INC                   COM   416196103          82       3,000  SH     DEFINED     04           0           0       3,000
HARTE-HANKS INC                   COM   416196103       5,584     204,933  SH     DEFINED  01,08     204,933           0           0

HARTFORD FINL SVCS GROUP INC      COM   416515104      61,856     848,081  SH     DEFINED     01     601,966     212,637      33,478
HARTFORD FINL SVCS GROUP INC      COM   416515104       3,024      41,456  SH     OTHER       01      34,462       6,194         800
HARTFORD FINL SVCS GROUP INC      COM   416515104         101       1,386  SH     DEFINED     02       1,100         286           0
HARTFORD FINL SVCS GROUP INC      COM   416515104          80       1,100  SH     OTHER       02         400         700           0
HARTFORD FINL SVCS GROUP INC      COM   416515104         694       9,521  SH     DEFINED     03       2,525       6,596         400
HARTFORD FINL SVCS GROUP INC      COM   416515104         287       3,931  SH     OTHER       03         900       3,031           0
HARTFORD FINL SVCS GROUP INC      COM   416515104       1,006      13,794  SH     DEFINED     04       7,394           0       6,400
HARTFORD FINL SVCS GROUP INC      COM   416515104       1,229      16,852  SH     OTHER       04      13,612           0       3,240
HARTFORD FINL SVCS GROUP INC      COM   416515104       4,315      59,160  SH     DEFINED     05      22,965      32,995       3,200
HARTFORD FINL SVCS GROUP INC      COM   416515104         418       5,730  SH     OTHER       05       2,930       2,800           0
HARTFORD FINL SVCS GROUP INC      COM   416515104      46,022     630,980  SH     DEFINED  01,08     338,644     251,186      41,150
HARTFORD FINL SVCS GROUP INC      COM   416515104         156       2,139  SH     DEFINED     09       2,139           0           0
HARTFORD FINL SVCS GROUP INC      COM   416515104         184       2,516  SH     DEFINED     10       2,170         346           0
HARTFORD FINL SVCS GROUP INC      COM   416515104          58         800  SH     OTHER       10         300         500           0

HARTMARX CORP                     COM   417119104          41      13,600  SH     DEFINED     01      13,600           0           0
HARTMARX CORP                     COM   417119104           5       1,500  SH     OTHER       01           0       1,500           0
HARTMARX CORP                     COM   417119104         139      46,219  SH     DEFINED  01,08      46,219           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    221
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HASBRO INC                        COM   418056107       3,470     303,419  SH     DEFINED     01     250,942      43,916       8,561
HASBRO INC                        COM   418056107           0          22  SH     DEFINED     03           0          22           0
HASBRO INC                        COM   418056107           7         587  SH     DEFINED     04         587           0           0
HASBRO INC                        COM   418056107          51       4,500  SH     OTHER       04       4,500           0           0
HASBRO INC                        COM   418056107       3,066     268,110  SH     DEFINED  01,08     268,110           0           0
HASBRO INC                        COM   418056107           2         200  SH     DEFINED     10           0         200           0

HATTERAS INCOME SECS INC          COM   419025101         286      21,900  SH     DEFINED     01           0      21,900           0

HAUPPAUGE DIGITAL INC             COM   419131107           4         600  SH     DEFINED     04         600           0           0
HAUPPAUGE DIGITAL INC             COM   419131107          88      14,001  SH     DEFINED  01,08      14,001           0           0

HAVEN BANCORP INC                 COM   419352109          38       1,300  SH     DEFINED     01       1,300           0           0
HAVEN BANCORP INC                 COM   419352109         358      12,196  SH     DEFINED  01,08      12,196           0           0

HAVERTY FURNITURE INC             COM   419596101         365      33,344  SH     DEFINED     01      30,552           0       2,792
HAVERTY FURNITURE INC             COM   419596101         496      45,379  SH     DEFINED  01,08      45,379           0           0

HAVERTY FURNITURE INC             COM   419596200         226      20,316  SH     DEFINED  01,08      20,316           0           0

HAWAIIAN AIRLS INC NEW            COM   419849104          25      10,041  SH     DEFINED     01      10,041           0           0
HAWAIIAN AIRLS INC NEW            COM   419849104         128      51,218  SH     DEFINED  01,08      51,218           0           0

HAWAIIAN ELEC INDUSTRIES          COM   419870100       1,297      37,193  SH     DEFINED     01      31,050           0       6,143
HAWAIIAN ELEC INDUSTRIES          COM   419870100          28         800  SH     DEFINED     02         800           0           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100          80       2,299  SH     OTHER       02         200       2,099           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100         172       4,934  SH     DEFINED     03           0       2,400       2,534
HAWAIIAN ELEC INDUSTRIES          COM   419870100           7         200  SH     OTHER       04         200           0           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100       3,308      94,859  SH     DEFINED  01,08      94,859           0           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100          10         300  SH     DEFINED     10           0         300           0

HAWK CORP                         COM   420089104          39       5,604  SH     DEFINED     03           0       5,604           0
HAWK CORP                         COM   420089104          69       9,796  SH     DEFINED  01,08       9,796           0           0

HAWKINS CHEM INC                  COM   420200107         240      30,433  SH     DEFINED  01,08      30,433           0           0

HAWTHORNE FINL CORP               COM   420542102          63       5,300  SH     DEFINED     01       5,300           0           0
HAWTHORNE FINL CORP               COM   420542102          90       7,600  SH     DEFINED  01,08       7,600           0           0
HAWTHORNE FINL CORP               COM   420542102          12       1,000  SH     DEFINED     10       1,000           0           0

HAYES LEMMERZ INTL INC            COM   420781106         117      10,908  SH     DEFINED     01       8,042           0       2,866
HAYES LEMMERZ INTL INC            COM   420781106         473      43,996  SH     DEFINED  01,08      43,996           0           0

HEARME                            COM   421903105          64      15,921  SH     DEFINED  01,08      15,921           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    222
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HEALTHCARE SVCS GRP INC           COM   421906108          61      12,316  SH     DEFINED     01      12,316           0           0
HEALTHCARE SVCS GRP INC           COM   421906108         166      33,646  SH     DEFINED  01,08      33,646           0           0

HEALTH CARE PPTY INVS INC         COM   421915109       1,213      40,949  SH     DEFINED     01      22,054      10,200       8,695
HEALTH CARE PPTY INVS INC         COM   421915109         711      24,000  SH     OTHER       01           0           0      24,000
HEALTH CARE PPTY INVS INC         COM   421915109         158       5,340  SH     DEFINED     02       1,000       4,340           0
HEALTH CARE PPTY INVS INC         COM   421915109         350      11,800  SH     DEFINED     03           0       9,000       2,800
HEALTH CARE PPTY INVS INC         COM   421915109          66       2,230  SH     DEFINED     04       1,500           0         730
HEALTH CARE PPTY INVS INC         COM   421915109          61       2,050  SH     OTHER       04       1,850           0         200
HEALTH CARE PPTY INVS INC         COM   421915109         370      12,496  SH     DEFINED  01,08      12,496           0           0

HEALTHSOUTH CORP                  COM   421924101       6,113     752,374  SH     DEFINED     01     565,384      96,530      90,460
HEALTHSOUTH CORP                  COM   421924101           3         350  SH     DEFINED     03         350           0           0
HEALTHSOUTH CORP                  COM   421924101          16       2,000  SH     OTHER       03           0       2,000           0
HEALTHSOUTH CORP                  COM   421924101          12       1,500  SH     DEFINED     04       1,500           0           0
HEALTHSOUTH CORP                  COM   421924101          19       2,320  SH     OTHER       04       2,320           0           0
HEALTHSOUTH CORP                  COM   421924101       4,914     604,755  SH     DEFINED  01,08     604,755           0           0

HEALTH MGMT ASSOC INC NEW         COM   421933102      12,257     588,919  SH     DEFINED     01     417,425     136,439      35,055
HEALTH MGMT ASSOC INC NEW         COM   421933102       1,791      86,060  SH     OTHER       01      37,186      33,974      14,900
HEALTH MGMT ASSOC INC NEW         COM   421933102       1,985      95,371  SH     DEFINED     03      32,050      55,621       7,700
HEALTH MGMT ASSOC INC NEW         COM   421933102         382      18,375  SH     OTHER       03       3,875      12,250       2,250
HEALTH MGMT ASSOC INC NEW         COM   421933102       5,782     277,808  SH     DEFINED     04     263,758           0      14,050
HEALTH MGMT ASSOC INC NEW         COM   421933102       3,403     163,500  SH     OTHER       04     151,479           0      12,021
HEALTH MGMT ASSOC INC NEW         COM   421933102       1,795      86,265  SH     DEFINED     05      64,040      19,350       2,875
HEALTH MGMT ASSOC INC NEW         COM   421933102       1,348      64,752  SH     OTHER       05      21,865      39,787       3,100
HEALTH MGMT ASSOC INC NEW         COM   421933102      13,887     667,265  SH     DEFINED  01,08     667,265           0           0
HEALTH MGMT ASSOC INC NEW         COM   421933102          21       1,000  SH     DEFINED     10           0       1,000           0

HEALTH RISK MGMT INC              COM   421935107          56       9,000  SH     DEFINED     04       9,000           0           0
HEALTH RISK MGMT INC              COM   421935107          46       7,300  SH     DEFINED  01,08       7,300           0           0

HEALTHCARE RLTY TR                COM   421946104         498      23,560  SH     DEFINED     01      16,240           0       7,320
HEALTHCARE RLTY TR                COM   421946104         215      10,182  SH     DEFINED  01,08      10,182           0           0

HEALTHPLAN SVCS CORP              COM   421959107         109      20,207  SH     DEFINED  01,08      20,207           0           0

HEARTPORT INC                     COM   421969106           0         100  SH     OTHER       04         100           0           0
HEARTPORT INC                     COM   421969106         100      31,900  SH     DEFINED  01,08      31,900           0           0

HEADHUNTER NET INC                COM   422077107          78      16,640  SH     DEFINED  01,08      16,640           0           0

HEADWAY CORPORATE RESOURCES       COM   422101105          33      12,658  SH     DEFINED  01,08      12,658           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    223
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HEALTH CARE REIT INC              COM   42217K106         304      17,131  SH     DEFINED     01      11,618           0       5,513
HEALTH CARE REIT INC              COM   42217K106          66       3,700  SH     DEFINED     04       3,700           0           0
HEALTH CARE REIT INC              COM   42217K106          18       1,000  SH     OTHER       04       1,000           0           0
HEALTH CARE REIT INC              COM   42217K106         129       7,250  SH     DEFINED  01,08       7,250           0           0

HEALTHAXIS INC                    COM   42219D100          73      25,797  SH     DEFINED  01,08      25,797           0           0

HEALTH MGMT SYS INC               COM   42219M100          28      14,100  SH     DEFINED     01      14,100           0           0
HEALTH MGMT SYS INC               COM   42219M100          36      18,000  SH     DEFINED     04           0           0      18,000
HEALTH MGMT SYS INC               COM   42219M100          65      32,525  SH     DEFINED  01,08      32,525           0           0

HEALTHCENTRAL COM                 COM   42221V106         106      42,387  SH     DEFINED  01,08      42,387           0           0

HEALTHCARE COM CORP               COM   42221Y100          83      30,734  SH     DEFINED  01,08      30,734           0           0

HEARST-ARGYLE TELEVISION INC      COM   422317107          61       3,072  SH     DEFINED     01       2,386           0         686
HEARST-ARGYLE TELEVISION INC      COM   422317107          23       1,147  SH     OTHER       04       1,147           0           0
HEARST-ARGYLE TELEVISION INC      COM   422317107       1,494      74,683  SH     DEFINED  01,08      74,683           0           0

HEARTLAND EXPRESS INC             COM   422347104         209      12,035  SH     DEFINED     01       6,961       1,300       3,774
HEARTLAND EXPRESS INC             COM   422347104         861      49,531  SH     DEFINED  01,08      49,531           0           0

HECLA MNG CO                      COM   422704106          39      52,550  SH     DEFINED     01      52,550           0           0
HECLA MNG CO                      COM   422704106           1         667  SH     OTHER       01           0           0         667
HECLA MNG CO                      COM   422704106           0         540  SH     DEFINED     04         540           0           0
HECLA MNG CO                      COM   422704106           0         200  SH     OTHER       04         200           0           0
HECLA MNG CO                      COM   422704106          78     104,246  SH     DEFINED  01,08     104,246           0           0

HECTOR COMMUNICATIONS CORP        COM   422730101         142      10,936  SH     DEFINED  01,08      10,936           0           0

HEICO CORP NEW                    COM   422806109          56       4,289  SH     DEFINED     01       2,958           0       1,331
HEICO CORP NEW                    COM   422806109          35       2,701  SH     DEFINED     04       2,701           0           0
HEICO CORP NEW                    COM   422806109         181      13,931  SH     OTHER       04      13,931           0           0
HEICO CORP NEW                    COM   422806109         354      27,225  SH     DEFINED  01,08      27,225           0           0

HEICO CORP NEW                    COM   422806208           0          13  SH     DEFINED     01           0           0          13
HEICO CORP NEW                    COM   422806208          23       1,782  SH     OTHER       01           0       1,782           0
HEICO CORP NEW                    COM   422806208           9         682  SH     DEFINED     04         682           0           0
HEICO CORP NEW                    COM   422806208         112       8,845  SH     OTHER       04       8,845           0           0
HEICO CORP NEW                    COM   422806208         229      18,033  SH     DEFINED  01,08      18,033           0           0

HEIDRICK & STRUGGLES INTL INC     COM   422819102       1,118      21,757  SH     DEFINED     01      19,514         900       1,343
HEIDRICK & STRUGGLES INTL INC     COM   422819102         103       2,000  SH     DEFINED     04       2,000           0           0
HEIDRICK & STRUGGLES INTL INC     COM   422819102       1,580      30,746  SH     DEFINED  01,08      30,746           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    224
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HEINZ H J CO                      COM   423074103      21,170     571,217  SH     DEFINED     01     521,740       6,523      42,954
HEINZ H J CO                      COM   423074103      11,390     307,311  SH     OTHER       01     293,000      14,011         300
HEINZ H J CO                      COM   423074103         315       8,506  SH     DEFINED     02       4,736       2,570       1,200
HEINZ H J CO                      COM   423074103         907      24,472  SH     OTHER       02      15,692       8,430         350
HEINZ H J CO                      COM   423074103         238       6,425  SH     DEFINED     03       5,900          75         450
HEINZ H J CO                      COM   423074103          89       2,400  SH     OTHER       03       1,950         450           0
HEINZ H J CO                      COM   423074103       3,402      91,791  SH     DEFINED     04      91,291           0         500
HEINZ H J CO                      COM   423074103      17,823     480,890  SH     OTHER       04     476,840           0       4,050
HEINZ H J CO                      COM   423074103          33         898  SH     DEFINED     05         500           0         398
HEINZ H J CO                      COM   423074103         222       6,000  SH     OTHER       05           0       6,000           0
HEINZ H J CO                      COM   423074103      46,655   1,258,824  SH     DEFINED  01,08     513,700     621,923     123,201
HEINZ H J CO                      COM   423074103          28         750  SH     OTHER       09         750           0           0
HEINZ H J CO                      COM   423074103         495      13,350  SH     DEFINED     10       1,050      12,300           0
HEINZ H J CO                      COM   423074103         115       3,100  SH     OTHER       10       2,100       1,000           0

HELIX TECHNOLOGY CORP             COM   423319102         765      25,594  SH     DEFINED     01      22,689         900       2,005
HELIX TECHNOLOGY CORP             COM   423319102          48       1,600  SH     OTHER       04           0           0       1,600
HELIX TECHNOLOGY CORP             COM   423319102       1,924      64,403  SH     DEFINED  01,08      64,403           0           0

HELLER FINANCIAL INC              COM   423328103         167       5,849  SH     DEFINED     01       3,392       1,500         957
HELLER FINANCIAL INC              COM   423328103           3         100  SH     OTHER       01         100           0           0
HELLER FINANCIAL INC              COM   423328103       2,124      74,378  SH     DEFINED  01,08      74,378           0           0

HELMERICH & PAYNE INC             COM   423452101       1,384      38,303  SH     DEFINED     01      33,855       1,617       2,831
HELMERICH & PAYNE INC             COM   423452101         415      11,500  SH     OTHER       01           0           0      11,500
HELMERICH & PAYNE INC             COM   423452101          36       1,000  SH     DEFINED     02         400           0         600
HELMERICH & PAYNE INC             COM   423452101          22         600  SH     DEFINED     04         600           0           0
HELMERICH & PAYNE INC             COM   423452101       4,960     137,312  SH     DEFINED  01,08     137,312           0           0

HEMISPHERX BIOPHARMA INC          COM   42366C103         259      36,295  SH     DEFINED  01,08      36,295           0           0

HENRY JACK & ASSOC INC            COM   426281101         266       6,140  SH     DEFINED     01       1,523       1,500       3,117
HENRY JACK & ASSOC INC            COM   426281101          50       1,145  SH     OTHER       01           0       1,145           0
HENRY JACK & ASSOC INC            COM   426281101         204       4,700  SH     DEFINED     04           0           0       4,700
HENRY JACK & ASSOC INC            COM   426281101          78       1,800  SH     OTHER       04       1,800           0           0
HENRY JACK & ASSOC INC            COM   426281101       5,482     126,394  SH     DEFINED  01,08     126,394           0           0

HERBALIFE INTL INC                COM   426908208          68       7,375  SH     DEFINED     01       5,144           0       2,231
HERBALIFE INTL INC                COM   426908208         148      15,966  SH     DEFINED  01,08      15,966           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    225
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HERCULES INC                      COM   427056106       2,646     187,299  SH     DEFINED     01     156,345      27,436       3,518
HERCULES INC                      COM   427056106         254      18,000  SH     OTHER       01       3,000      15,000           0
HERCULES INC                      COM   427056106         102       7,200  SH     DEFINED     02       7,200           0           0
HERCULES INC                      COM   427056106           2         135  SH     DEFINED     03           0           0         135
HERCULES INC                      COM   427056106           8         600  SH     OTHER       03         600           0           0
HERCULES INC                      COM   427056106          40       2,856  SH     OTHER       04       2,856           0           0
HERCULES INC                      COM   427056106       2,326     164,680  SH     DEFINED  01,08     164,680           0           0
HERCULES INC                      COM   427056106           8         600  SH     DEFINED     10         600           0           0
HERCULES INC                      COM   427056106         325      23,000  SH     OTHER       10      23,000           0           0

HERITAGE FINL CORP WASH           COM   42722X106         124      12,624  SH     DEFINED  01,08      12,624           0           0

HERSHEY FOODS CORP                COM   427866108      14,430     266,606  SH     DEFINED     01     199,026      56,860      10,720
HERSHEY FOODS CORP                COM   427866108         130       2,400  SH     OTHER       01         800       1,500         100
HERSHEY FOODS CORP                COM   427866108         281       5,200  SH     DEFINED     02       4,700         500           0
HERSHEY FOODS CORP                COM   427866108         165       3,050  SH     OTHER       02       3,050           0           0
HERSHEY FOODS CORP                COM   427866108         130       2,400  SH     DEFINED     03       2,000         400           0
HERSHEY FOODS CORP                COM   427866108         157       2,900  SH     OTHER       03       2,900           0           0
HERSHEY FOODS CORP                COM   427866108         415       7,664  SH     DEFINED     04       7,664           0           0
HERSHEY FOODS CORP                COM   427866108       1,580      29,184  SH     OTHER       04      29,184           0           0
HERSHEY FOODS CORP                COM   427866108          11         200  SH     DEFINED     05         200           0           0
HERSHEY FOODS CORP                COM   427866108      14,477     267,470  SH     DEFINED  01,08     267,470           0           0

HERTZ CORP                        COM   428040109          76       2,401  SH     DEFINED     01       2,038           0         363
HERTZ CORP                        COM   428040109       1,790      56,384  SH     DEFINED  01,08      56,384           0           0

HESKA CORP                        COM   42805E108         137      46,502  SH     DEFINED  01,08      46,502           0           0

HEWLETT PACKARD CO                COM   428236103     272,976   2,814,187  SH     DEFINED     01   2,104,993     532,931     176,263
HEWLETT PACKARD CO                COM   428236103      41,878     431,731  SH     OTHER       01     170,529     242,977      18,225
HEWLETT PACKARD CO                COM   428236103      13,626     140,472  SH     DEFINED     02      85,723      45,749       9,000
HEWLETT PACKARD CO                COM   428236103       7,554      77,879  SH     OTHER       02      53,013      20,466       4,400
HEWLETT PACKARD CO                COM   428236103      17,065     175,930  SH     DEFINED     03      83,529      81,596      10,805
HEWLETT PACKARD CO                COM   428236103       6,955      71,702  SH     OTHER       03      50,112      21,290         300
HEWLETT PACKARD CO                COM   428236103      47,261     487,226  SH     DEFINED     04     458,504           0      28,722
HEWLETT PACKARD CO                COM   428236103      39,995     412,317  SH     OTHER       04     385,792           0      26,525
HEWLETT PACKARD CO                COM   428236103      12,365     127,470  SH     DEFINED     05      78,405      43,740       5,325
HEWLETT PACKARD CO                COM   428236103       3,658      37,715  SH     OTHER       05      16,590      18,725       2,400
HEWLETT PACKARD CO                COM   428236103     146,972   1,515,173  SH     DEFINED  01,08   1,515,173           0           0
HEWLETT PACKARD CO                COM   428236103         450       4,644  SH     DEFINED     09       4,644           0           0
HEWLETT PACKARD CO                COM   428236103         143       1,478  SH     OTHER       09         848         630           0
HEWLETT PACKARD CO                COM   428236103       8,561      88,260  SH     DEFINED     10      22,930      65,030         300
HEWLETT PACKARD CO                COM   428236103       1,159      11,945  SH     OTHER       10       4,600       7,345           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    226
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HEXCEL CORP NEW                   COM   428291108         150      11,242  SH     DEFINED     01       7,709           0       3,533
HEXCEL CORP NEW                   COM   428291108         789      58,973  SH     DEFINED  01,08      58,973           0           0

HI / FN INC                       COM   428358105         490       7,196  SH     DEFINED     01       6,948         126         122
HI / FN INC                       COM   428358105         909      13,350  SH     DEFINED  01,08      13,350           0           0

HI-RISE RECYCLING SYS INC         COM   428396105         586   1,172,294  SH     OTHER       04   1,172,294           0           0
HI-RISE RECYCLING SYS INC         COM   428396105           2       3,900  SH     DEFINED  01,08       3,900           0           0

HIBERNIA CORP                     COM   428656102       1,346     109,847  SH     DEFINED     01     102,755           0       7,092
HIBERNIA CORP                     COM   428656102          11         919  SH     OTHER       03           0         919           0
HIBERNIA CORP                     COM   428656102          63       5,121  SH     OTHER       04           0           0       5,121
HIBERNIA CORP                     COM   428656102       5,951     485,820  SH     DEFINED  01,08     485,820           0           0

HICKORY TECH CORP                 COM   429060106         244      10,947  SH     DEFINED     01       9,586           0       1,361
HICKORY TECH CORP                 COM   429060106         252      11,330  SH     DEFINED  01,08      11,330           0           0
HICKORY TECH CORP                 COM   429060106           7         300  SH     DEFINED     10         300           0           0

HIGH INCOME OPPORTUNITY FD INC UNDEFIND 42967Q105           0         509         DEFINED     01         509           0           0
HIGH INCOME OPPORTUNITY FD INC UNDEFIND 42967Q105           0       1,050         OTHER       01           0       1,050           0
HIGH INCOME OPPORTUNITY FD INC UNDEFIND 42967Q105           0       1,850         DEFINED     02           0       1,850           0
HIGH INCOME OPPORTUNITY FD INC UNDEFIND 42967Q105         340      37,991         DEFINED     04      37,991           0           0
HIGH INCOME OPPORTUNITY FD INC UNDEFIND 42967Q105          42       4,752         OTHER       04       4,752           0           0

HIGH PLAINS CORP                  COM   429701105         100      25,790  SH     DEFINED  01,08      25,790           0           0

HIGH SPEED ACCESS CORP            COM   42979U102          66      18,153  SH     DEFINED     01      12,585           0       5,568
HIGH SPEED ACCESS CORP            COM   42979U102         227      62,530  SH     DEFINED  01,08      62,530           0           0

HIGHLANDS INS GROUP INC           COM   431032101          92       9,800  SH     DEFINED     01       9,800           0           0
HIGHLANDS INS GROUP INC           COM   431032101          54       5,720  SH     DEFINED  01,08       5,720           0           0

HIGHWOODS PPTYS INC               COM   431284108         807      34,156  SH     DEFINED     01      23,888           0      10,268
HIGHWOODS PPTYS INC               COM   431284108          47       2,000  SH     DEFINED     03           0       2,000           0
HIGHWOODS PPTYS INC               COM   431284108          71       3,000  SH     DEFINED     04       3,000           0           0
HIGHWOODS PPTYS INC               COM   431284108          19         800  SH     OTHER       04         800           0           0
HIGHWOODS PPTYS INC               COM   431284108       1,013      42,877  SH     DEFINED  01,08      42,877           0           0

HILB ROGAL & HAMILTON CO          COM   431294107         601      14,419  SH     DEFINED     01      13,284           0       1,135
HILB ROGAL & HAMILTON CO          COM   431294107       1,467      35,185  SH     DEFINED  01,08      35,185           0           0

HILLENBRAND INDS INC              COM   431573104       2,116      47,284  SH     DEFINED     01      44,775           0       2,509
HILLENBRAND INDS INC              COM   431573104          13         300  SH     OTHER       01         200         100           0
HILLENBRAND INDS INC              COM   431573104          83       1,850  SH     DEFINED     02         150           0       1,700
HILLENBRAND INDS INC              COM   431573104       7,672     171,443  SH     DEFINED  01,08     171,443           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    227
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HILTON HOTELS CORP                COM   432848109       7,472     646,282  SH     DEFINED     01     526,982      94,221      25,079
HILTON HOTELS CORP                COM   432848109          30       2,607  SH     OTHER       01       2,607           0           0
HILTON HOTELS CORP                COM   432848109           6         500  SH     OTHER       02           0           0         500
HILTON HOTELS CORP                COM   432848109         665      57,516  SH     DEFINED     03           0      57,516           0
HILTON HOTELS CORP                COM   432848109       4,065     351,622  SH     OTHER       03     351,622           0           0
HILTON HOTELS CORP                COM   432848109         192      16,613  SH     DEFINED     04      15,413           0       1,200
HILTON HOTELS CORP                COM   432848109       6,485     560,916  SH     DEFINED  01,08     560,916           0           0

HINES HORTICULTURE INC            COM   433245107         140      28,633  SH     DEFINED  01,08      28,633           0           0

HISPANIC BROADCASTING CORP        COM   43357B104       9,491     340,498  SH     DEFINED     01     338,059           0       2,439
HISPANIC BROADCASTING CORP        COM   43357B104         239       8,560  SH     DEFINED     04       8,560           0           0
HISPANIC BROADCASTING CORP        COM   43357B104       8,228     295,164  SH     DEFINED  01,08     295,164           0           0

HOENIG GROUP INC                  COM   434396107          11       1,000  SH     DEFINED     01       1,000           0           0
HOENIG GROUP INC                  COM   434396107         128      12,200  SH     DEFINED  01,08      12,200           0           0

HOLLINGER INTL INC                COM   435569108         385      23,013  SH     DEFINED     01      16,127           0       6,886
HOLLINGER INTL INC                COM   435569108       2,577     153,850  SH     DEFINED  01,08     153,850           0           0

HOLLY CORP                        COM   435758305         239      19,332  SH     DEFINED  01,08      19,332           0           0

HOLLIS-EDEN PHARMACEUTICALS       COM   435902101         132      14,657  SH     DEFINED  01,08      14,657           0           0

HOLLYWOOD COM INC                 COM   436137103          78      12,909  SH     DEFINED     01      11,699           0       1,210
HOLLYWOOD COM INC                 COM   436137103          68      11,223  SH     DEFINED  01,08      11,223           0           0

HOLLYWOOD ENTMT CORP              COM   436141105         445      59,860  SH     DEFINED     01      56,555           0       3,305
HOLLYWOOD ENTMT CORP              COM   436141105         537      72,257  SH     DEFINED  01,08      72,257           0           0

HOLOGIC INC                       COM   436440101          79      10,600  SH     DEFINED     01      10,500           0         100
HOLOGIC INC                       COM   436440101         179      24,100  SH     DEFINED  01,08      24,100           0           0

HOME FED BANCORP                  COM   436926109          46       2,825  SH     DEFINED     01       2,825           0           0
HOME FED BANCORP                  COM   436926109         310      19,237  SH     OTHER       01      19,237           0           0
HOME FED BANCORP                  COM   436926109         103       6,400  SH     DEFINED  01,08       6,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    228
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HOME DEPOT INC                    COM   437076102     500,940   9,440,661  SH     DEFINED     01   6,764,235   2,137,905     538,521
HOME DEPOT INC                    COM   437076102      89,909   1,694,408  SH     OTHER       01     662,145     878,068     154,195
HOME DEPOT INC                    COM   437076102      37,600     708,607  SH     DEFINED     02     360,629     302,689      45,289
HOME DEPOT INC                    COM   437076102      12,303     231,852  SH     OTHER       02     148,785      58,894      24,173
HOME DEPOT INC                    COM   437076102      57,904   1,091,254  SH     DEFINED     03     525,810     514,952      50,492
HOME DEPOT INC                    COM   437076102      14,271     268,950  SH     OTHER       03     137,821     117,817      13,312
HOME DEPOT INC                    COM   437076102     310,421   5,850,148  SH     DEFINED     04   5,615,867           0     234,281
HOME DEPOT INC                    COM   437076102     177,382   3,342,921  SH     OTHER       04   3,078,163           0     264,758
HOME DEPOT INC                    COM   437076102      23,270     438,535  SH     DEFINED     05     280,551     127,069      30,915
HOME DEPOT INC                    COM   437076102       5,631     106,113  SH     OTHER       05      53,542      29,284      23,287
HOME DEPOT INC                    COM   437076102         239       4,500  SH     OTHER    04,07           0           0       4,500
HOME DEPOT INC                    COM   437076102     185,930   3,504,006  SH     DEFINED  01,08   3,473,049      30,957           0
HOME DEPOT INC                    COM   437076102       1,436      27,061  SH     DEFINED     09      27,061           0           0
HOME DEPOT INC                    COM   437076102          78       1,465  SH     OTHER       09       1,175         290           0
HOME DEPOT INC                    COM   437076102      14,292     269,340  SH     DEFINED     10     146,739     122,301         300
HOME DEPOT INC                    COM   437076102       1,618      30,500  SH     OTHER       10       6,275      23,775         450

HOME PRODS INTL INC               COM   437305105          12       7,500  SH     DEFINED     01       7,500           0           0
HOME PRODS INTL INC               COM   437305105          23      14,676  SH     DEFINED  01,08      14,676           0           0

HOME PPTYS N Y INC                COM   437306103         373      12,496  SH     DEFINED     01       8,435           0       4,061
HOME PPTYS N Y INC                COM   437306103          48       1,600  SH     DEFINED     03           0       1,600           0
HOME PPTYS N Y INC                COM   437306103         160       5,366  SH     DEFINED  01,08       5,366           0           0

HOMEBASE INC                      COM   43738E108          79      36,050  SH     DEFINED     01      36,050           0           0
HOMEBASE INC                      COM   43738E108           7       3,000  SH     DEFINED     02           0       3,000           0
HOMEBASE INC                      COM   43738E108          84      38,200  SH     DEFINED  01,08      38,200           0           0

HOMESERVICES COM INC              COM   437606106         138      12,139  SH     DEFINED  01,08      12,139           0           0

HOMESTAKE MNG CO                  COM   437614100       2,364     455,679  SH     DEFINED     01     376,813      67,078      11,788
HOMESTAKE MNG CO                  COM   437614100          23       4,520  SH     OTHER       01       3,120       1,400           0
HOMESTAKE MNG CO                  COM   437614100          10       2,000  SH     OTHER       02       2,000           0           0
HOMESTAKE MNG CO                  COM   437614100           1         200  SH     DEFINED     03           0           0         200
HOMESTAKE MNG CO                  COM   437614100           7       1,400  SH     OTHER       03       1,400           0           0
HOMESTAKE MNG CO                  COM   437614100       2,110     406,882  SH     DEFINED  01,08     406,882           0           0
HOMESTAKE MNG CO                  COM   437614100          40       7,800  SH     DEFINED     10       1,000       6,800           0

HOMESTORE COM INC                 COM   437852106         174       3,722  SH     DEFINED     01       2,469           0       1,253
HOMESTORE COM INC                 COM   437852106         236       5,057  SH     OTHER       01           0           0       5,057
HOMESTORE COM INC                 COM   437852106       3,419      73,138  SH     DEFINED  01,08      73,138           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    229
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HON INDS INC                      COM   438092108       1,909      77,518  SH     DEFINED     01      70,179           0       7,339
HON INDS INC                      COM   438092108          10         400  SH     DEFINED     03           0         400           0
HON INDS INC                      COM   438092108          49       2,000  SH     OTHER       04       2,000           0           0
HON INDS INC                      COM   438092108       4,417     179,365  SH     DEFINED  01,08     179,365           0           0

HONEYWELL INTL INC                COM   438516106      39,708   1,114,597  SH     DEFINED     01     762,427     222,941     129,229
HONEYWELL INTL INC                COM   438516106       3,496      98,125  SH     OTHER       01      73,557      21,918       2,650
HONEYWELL INTL INC                COM   438516106         218       6,111  SH     DEFINED     02       3,737           0       2,374
HONEYWELL INTL INC                COM   438516106         414      11,625  SH     OTHER       02       7,902       3,723           0
HONEYWELL INTL INC                COM   438516106         928      26,058  SH     DEFINED     03      13,872      10,687       1,499
HONEYWELL INTL INC                COM   438516106         411      11,525  SH     OTHER       03      10,725         800           0
HONEYWELL INTL INC                COM   438516106       3,082      86,514  SH     DEFINED     04      71,718           0      14,796
HONEYWELL INTL INC                COM   438516106       2,220      62,308  SH     OTHER       04      60,208           0       2,100
HONEYWELL INTL INC                COM   438516106          18         500  SH     DEFINED     05         500           0           0
HONEYWELL INTL INC                COM   438516106         321       9,000  SH     OTHER       05       3,000       6,000           0
HONEYWELL INTL INC                COM   438516106      71,595   2,009,687  SH     DEFINED  01,08   1,229,302     638,325     142,060
HONEYWELL INTL INC                COM   438516106          10         281  SH     DEFINED     09         281           0           0
HONEYWELL INTL INC                COM   438516106         297       8,331  SH     DEFINED     10       2,405       2,676       3,250
HONEYWELL INTL INC                COM   438516106          14         400  SH     OTHER       10           0         400           0

HOOPER HOLMES INC                 COM   439104100         670      70,501  SH     DEFINED     01      66,522           0       3,979
HOOPER HOLMES INC                 COM   439104100          37       3,875  SH     OTHER       01           0       3,875           0
HOOPER HOLMES INC                 COM   439104100         123      12,900  SH     DEFINED     04           0           0      12,900
HOOPER HOLMES INC                 COM   439104100       1,909     200,732  SH     DEFINED  01,08     200,732           0           0

HOOVERS INC                       COM   439321100         128      20,000  SH     DEFINED     04      20,000           0           0
HOOVERS INC                       COM   439321100         110      17,236  SH     DEFINED  01,08      17,236           0           0

HORIZON MED PRODS INC             COM   439903105           8      10,306  SH     DEFINED  01,08      10,306           0           0

HORACE MANN EDUCATORS CORP NEW    COM   440327104         769      46,945  SH     DEFINED     01      38,884       1,027       7,034
HORACE MANN EDUCATORS CORP NEW    COM   440327104       1,921     117,313  SH     DEFINED  01,08     117,313           0           0

HORIZON FINL CORP WASH            COM   44041F105          22       2,390  SH     DEFINED     01       2,390           0           0
HORIZON FINL CORP WASH            COM   44041F105         107      11,606  SH     DEFINED  01,08      11,606           0           0

HORIZON OFFSHORE INC              COM   44043J105         135       7,652  SH     DEFINED     01       6,969           0         683
HORIZON OFFSHORE INC              COM   44043J105         306      17,378  SH     DEFINED  01,08      17,378           0           0

HORIZON ORGANIC HOLDING           COM   44043T103           3         315  SH     DEFINED     01           0         315           0
HORIZON ORGANIC HOLDING           COM   44043T103          96      11,923  SH     DEFINED  01,08      11,923           0           0
HORIZON ORGANIC HOLDING           COM   44043T103           8       1,000  SH     DEFINED     09       1,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    230
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HORMEL FOODS CORP                 COM   440452100       1,502      90,002  SH     DEFINED     01      84,786           0       5,216
HORMEL FOODS CORP                 COM   440452100           1          48  SH     DEFINED     04          48           0           0
HORMEL FOODS CORP                 COM   440452100           3         200  SH     OTHER       04         200           0           0
HORMEL FOODS CORP                 COM   440452100       6,376     382,066  SH     DEFINED  01,08     382,066           0           0

HOSPITALITY PPTYS TR              COM   44106M102         813      34,801  SH     DEFINED     01      24,594         500       9,707
HOSPITALITY PPTYS TR              COM   44106M102          23       1,000  SH     DEFINED     02       1,000           0           0
HOSPITALITY PPTYS TR              COM   44106M102           7         300  SH     OTHER       02         300           0           0
HOSPITALITY PPTYS TR              COM   44106M102          12         500  SH     DEFINED     04         500           0           0
HOSPITALITY PPTYS TR              COM   44106M102          70       3,000  SH     OTHER       04       3,000           0           0
HOSPITALITY PPTYS TR              COM   44106M102         302      12,906  SH     DEFINED  01,08      12,906           0           0

HOST MARRIOTT CORP NEW            COM   44107P104         549      48,804  SH     DEFINED     01      18,278      24,892       5,634
HOST MARRIOTT CORP NEW            COM   44107P104           7         608  SH     OTHER       01         608           0           0
HOST MARRIOTT CORP NEW            COM   44107P104           6         500  SH     DEFINED     02         500           0           0
HOST MARRIOTT CORP NEW            COM   44107P104          59       5,266  SH     OTHER       02           0       5,266           0
HOST MARRIOTT CORP NEW            COM   44107P104          47       4,199  SH     DEFINED     04       4,199           0           0
HOST MARRIOTT CORP NEW            COM   44107P104          83       7,415  SH     OTHER       04       7,415           0           0
HOST MARRIOTT CORP NEW            COM   44107P104         651      57,861  SH     DEFINED  01,08      57,861           0           0

HOT TOPIC INC                     COM   441339108         262       8,739  SH     DEFINED     01       8,585           0         154
HOT TOPIC INC                     COM   441339108         464      15,477  SH     DEFINED  01,08      15,477           0           0

HOTEL RESERVATIONS NETWORK INC    COM   441451101         202       5,514  SH     DEFINED     01       5,417           0          97
HOTEL RESERVATIONS NETWORK INC    COM   441451101         839      22,920  SH     DEFINED  01,08      22,920           0           0

HOTELWORKS COM INC                COM   441473105          11      14,800  SH     DEFINED  01,08      14,800           0           0

HOTJOBS COM INC                   COM   441474103         275      16,131  SH     DEFINED     01      15,845           0         286
HOTJOBS COM INC                   COM   441474103         652      38,218  SH     DEFINED  01,08      38,218           0           0

HOUGHTON MIFFLIN CO               COM   441560109       1,588      40,461  SH     DEFINED     01      37,249           0       3,212
HOUGHTON MIFFLIN CO               COM   441560109          79       2,000  SH     OTHER       04       2,000           0           0
HOUGHTON MIFFLIN CO               COM   441560109       3,458      88,105  SH     DEFINED  01,08      88,105           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    231
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HOUSEHOLD INTL INC                COM   441815107      99,103   1,750,157  SH     DEFINED     01   1,235,034     454,385      60,738
HOUSEHOLD INTL INC                COM   441815107       7,240     127,867  SH     OTHER       01      39,193      88,268         406
HOUSEHOLD INTL INC                COM   441815107         160       2,825  SH     DEFINED     02       2,825           0           0
HOUSEHOLD INTL INC                COM   441815107         201       3,542  SH     OTHER       02           0       3,542           0
HOUSEHOLD INTL INC                COM   441815107         241       4,255  SH     DEFINED     03       1,520       2,735           0
HOUSEHOLD INTL INC                COM   441815107         236       4,172  SH     OTHER       03       4,172           0           0
HOUSEHOLD INTL INC                COM   441815107       2,851      50,343  SH     DEFINED     04      42,343           0       8,000
HOUSEHOLD INTL INC                COM   441815107       2,023      35,730  SH     OTHER       04      22,823           0      12,907
HOUSEHOLD INTL INC                COM   441815107           4          75  SH     DEFINED     05          75           0           0
HOUSEHOLD INTL INC                COM   441815107      45,037     795,350  SH     DEFINED  01,08     795,350           0           0
HOUSEHOLD INTL INC                COM   441815107           6         100  SH     OTHER       09           0         100           0

HOUSTON EXPL CO                   COM   442120101         768      30,416  SH     DEFINED     01      30,161           0         255
HOUSTON EXPL CO                   COM   442120101       1,033      40,900  SH     DEFINED  01,08      40,900           0           0

HOVNANIAN ENTERPRISES INC         COM   442487203           7       1,000  SH     DEFINED     01       1,000           0           0
HOVNANIAN ENTERPRISES INC         COM   442487203         254      34,183  SH     DEFINED  01,08      34,183           0           0

HOWELL CORP                       COM   443051107         175      14,467  SH     DEFINED  01,08      14,467           0           0

HOWTEK INC                        COM   443209101          84      28,700  SH     DEFINED  01,08      28,700           0           0

HSBC BK PLC                       PFD   44328M302          24       1,000         DEFINED     01       1,000           0           0
HSBC BK PLC                       PFD   44328M302         179       7,400         DEFINED     04       7,400           0           0
HSBC BK PLC                       PFD   44328M302          19         800         OTHER       04         800           0           0

HSBC BK PLC                       PFD   44328M609          53       2,000         DEFINED     01       2,000           0           0
HSBC BK PLC                       PFD   44328M609          12         452         OTHER       01         452           0           0
HSBC BK PLC                       PFD   44328M609          63       2,400         DEFINED     02       2,400           0           0
HSBC BK PLC                       PFD   44328M609          37       1,400         OTHER       03       1,400           0           0
HSBC BK PLC                       PFD   44328M609          87       3,300         DEFINED     04       3,300           0           0
HSBC BK PLC                       PFD   44328M609         158       6,000         OTHER       04       6,000           0           0

HSBC BK PLC                       PFD   44328M815          24       1,000         DEFINED     01       1,000           0           0
HSBC BK PLC                       PFD   44328M815          68       2,800         DEFINED     04       2,800           0           0
HSBC BK PLC                       PFD   44328M815         136       5,600         OTHER       04       4,600           0       1,000

HUBBELL INC                       COM   443510102         582      24,748  SH     DEFINED     01      23,104       1,644           0
HUBBELL INC                       COM   443510102          88       3,765  SH     OTHER       01           0           0       3,765
HUBBELL INC                       COM   443510102          75       3,200  SH     DEFINED     04       3,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    232
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HUBBELL INC                       COM   443510201       1,324      52,839  SH     DEFINED     01      45,113       5,764       1,962
HUBBELL INC                       COM   443510201         512      20,444  SH     OTHER       01      14,616           0       5,828
HUBBELL INC                       COM   443510201          15         600  SH     DEFINED     04         600           0           0
HUBBELL INC                       COM   443510201          36       1,444  SH     OTHER       04       1,444           0           0
HUBBELL INC                       COM   443510201       4,213     168,122  SH     DEFINED  01,08     168,122           0           0
HUBBELL INC                       COM   443510201           6         230  SH     DEFINED     10         230           0           0

HUDSON CITY BANCORP               COM   443683107         111       6,546  SH     DEFINED     01       5,073           0       1,473
HUDSON CITY BANCORP               COM   443683107       1,232      72,480  SH     DEFINED  01,08      72,480           0           0

HUDSON TECHNOLOGIES INC           COM   444144109          96      32,100  SH     OTHER       04      32,100           0           0
HUDSON TECHNOLOGIES INC           COM   444144109           1         400  SH     DEFINED  01,08         400           0           0

HUDSON UNITED BANCORP             COM   444165104         919      33,260  SH     DEFINED     01      19,961       1,800      11,499
HUDSON UNITED BANCORP             COM   444165104          88       3,182  SH     DEFINED     04       3,182           0           0
HUDSON UNITED BANCORP             COM   444165104       2,882     104,322  SH     DEFINED  01,08     104,322           0           0

HUFFY CORP                        COM   444356109          45       4,300  SH     DEFINED     01       4,200           0         100
HUFFY CORP                        COM   444356109         404      38,447  SH     DEFINED  01,08      38,447           0           0

HUGHES SUPPLY INC                 COM   444482103         840      42,808  SH     DEFINED     01      34,585       2,700       5,523
HUGHES SUPPLY INC                 COM   444482103         107       5,443  SH     OTHER       04       5,443           0           0
HUGHES SUPPLY INC                 COM   444482103         923      47,025  SH     DEFINED  01,08      47,025           0           0

HUGOTON RTY TR TEX                COM   444717102         651      41,521  SH     DEFINED  01,08      41,521           0           0

HUMANA INC                        COM   444859102       3,984     370,600  SH     DEFINED     01     285,108      54,949      30,543
HUMANA INC                        COM   444859102           4         350  SH     OTHER       04         350           0           0
HUMANA INC                        COM   444859102       2,929     272,440  SH     DEFINED  01,08     272,440           0           0

HUMAN GENOME SCIENCES INC         COM   444903108       3,704      21,397  SH     DEFINED     01      18,880           0       2,517
HUMAN GENOME SCIENCES INC         COM   444903108         589       3,400  SH     DEFINED     04       3,400           0           0
HUMAN GENOME SCIENCES INC         COM   444903108         104         600  SH     DEFINED     05           0           0         600
HUMAN GENOME SCIENCES INC         COM   444903108       8,116      46,877  SH     DEFINED  01,08      46,877           0           0
HUMAN GENOME SCIENCES INC         COM   444903108         276       1,597  SH     DEFINED     10          72       1,525           0

HUNT CORP                         COM   445591100          14       2,000  SH     DEFINED     04       2,000           0           0
HUNT CORP                         COM   445591100         337      47,334  SH     DEFINED  01,08      47,334           0           0

HUNT J B TRANS SVCS INC           COM   445658107         742      58,181  SH     DEFINED     01      54,370           0       3,811
HUNT J B TRANS SVCS INC           COM   445658107       1,247      97,805  SH     DEFINED  01,08      97,805           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    233
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
HUNTINGTON BANCSHARES INC         COM   446150104       6,417     436,897  SH     DEFINED     01     357,953      63,995      14,949
HUNTINGTON BANCSHARES INC         COM   446150104         203      13,830  SH     OTHER       01      12,624       1,206           0
HUNTINGTON BANCSHARES INC         COM   446150104          97       6,595  SH     OTHER       02         363       6,232           0
HUNTINGTON BANCSHARES INC         COM   446150104         531      36,147  SH     DEFINED     04      36,147           0           0
HUNTINGTON BANCSHARES INC         COM   446150104       1,143      77,797  SH     OTHER       04      75,124           0       2,673
HUNTINGTON BANCSHARES INC         COM   446150104       5,615     382,287  SH     DEFINED  01,08     382,287           0           0
HUNTINGTON BANCSHARES INC         COM   446150104         569      38,769  SH     DEFINED     10      20,171      18,598           0

HURCO COMPANIES INC               COM   447324104          88      21,976  SH     DEFINED  01,08      21,976           0           0

HUTCHINSON TECHNOLOGY INC         COM   448407106         478      22,696  SH     DEFINED     01      18,914           0       3,782
HUTCHINSON TECHNOLOGY INC         COM   448407106       1,029      48,855  SH     DEFINED  01,08      48,855           0           0

HUTTIG BLDG PRODS INC             COM   448451104           5       1,109  SH     DEFINED     01           0       1,109           0
HUTTIG BLDG PRODS INC             COM   448451104           4         844  SH     DEFINED     02           0         844           0
HUTTIG BLDG PRODS INC             COM   448451104          10       2,226  SH     OTHER       04       2,226           0           0
HUTTIG BLDG PRODS INC             COM   448451104         118      26,170  SH     DEFINED  01,08      26,170           0           0

HYCOR BIOMEDICAL INC              COM   448623108          42       6,000  SH     DEFINED     01           0       6,000           0
HYCOR BIOMEDICAL INC              COM   448623108         216      30,913  SH     DEFINED  01,08      30,913           0           0

ICN PHARMACEUTICALS INC NEW       COM   448924100       2,195      66,011  SH     DEFINED     01      51,218      11,200       3,593
ICN PHARMACEUTICALS INC NEW       COM   448924100           0           4  SH     OTHER       01           0           4           0
ICN PHARMACEUTICALS INC NEW       COM   448924100           7         200  SH     DEFINED     04         200           0           0
ICN PHARMACEUTICALS INC NEW       COM   448924100           0          10  SH     OTHER       04          10           0           0
ICN PHARMACEUTICALS INC NEW       COM   448924100       7,320     220,165  SH     DEFINED  01,08     220,165           0           0
ICN PHARMACEUTICALS INC NEW       COM   448924100           4         110  SH     DEFINED     10         110           0           0

IDT CORP                          COM   448947101       1,445      37,167  SH     DEFINED     01      36,374           0         793
IDT CORP                          COM   448947101       1,654      42,549  SH     DEFINED  01,08      42,549           0           0

HYPERCOM CORP                     COM   44913M105          78       7,501  SH     DEFINED     01       5,074           0       2,427
HYPERCOM CORP                     COM   44913M105          83       8,000  SH     OTHER       02       8,000           0           0
HYPERCOM CORP                     COM   44913M105          27       2,600  SH     DEFINED     04           0           0       2,600
HYPERCOM CORP                     COM   44913M105         347      33,480  SH     DEFINED  01,08      29,480       4,000           0

HYPERION SOLUTIONS CORP           COM   44914M104         947      36,615  SH     DEFINED     01      32,737       1,100       2,778
HYPERION SOLUTIONS CORP           COM   44914M104       1,477      57,071  SH     DEFINED  01,08      57,071           0           0

HYSEQ INC                         COM   449163302         391      10,691  SH     DEFINED     01      10,515           0         176
HYSEQ INC                         COM   449163302          73       2,000  SH     DEFINED     04       2,000           0           0
HYSEQ INC                         COM   449163302           7         200  SH     OTHER       04         200           0           0
HYSEQ INC                         COM   449163302         733      20,036  SH     DEFINED  01,08      20,036           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    234
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
IBP INC                           COM   449223106       1,299      70,964  SH     DEFINED     01      66,568           0       4,396
IBP INC                           COM   449223106         916      50,000  SH     DEFINED     04      50,000           0           0
IBP INC                           COM   449223106       5,312     290,100  SH     DEFINED  01,08     290,100           0           0

ICG COMMUNICATIONS INC            COM   449246107          21      47,822  SH     DEFINED     01      46,338           0       1,484
ICG COMMUNICATIONS INC            COM   449246107          69     156,947  SH     DEFINED  01,08     156,947           0           0

ICT GROUP INC                     COM   44929Y101          21       2,000  SH     OTHER       01           0       2,000           0
ICT GROUP INC                     COM   44929Y101         169      15,806  SH     DEFINED  01,08      15,806           0           0

ICO HLDGS INC                     COM   449293109         102      50,928  SH     DEFINED  01,08      50,928           0           0

ICOS CORP                         COM   449295104         200       3,699  SH     DEFINED     01       2,474           0       1,225
ICOS CORP                         COM   449295104           5         100  SH     DEFINED     03           0         100           0
ICOS CORP                         COM   449295104         314       5,800  SH     DEFINED     04       5,800           0           0
ICOS CORP                         COM   449295104           5          85  SH     OTHER       04          85           0           0
ICOS CORP                         COM   449295104       3,848      71,101  SH     DEFINED  01,08      71,101           0           0

ICU MED INC                       COM   44930G107         290      11,200  SH     DEFINED  01,08      11,200           0           0

IDEC PHARMACEUTICALS CORP         COM   449370105       8,839      50,408  SH     DEFINED     01      46,294           0       4,114
IDEC PHARMACEUTICALS CORP         COM   449370105         358       2,040  SH     DEFINED     03          40           0       2,000
IDEC PHARMACEUTICALS CORP         COM   449370105           9          50  SH     OTHER       04          50           0           0
IDEC PHARMACEUTICALS CORP         COM   449370105      22,373     127,586  SH     DEFINED  01,08     127,586           0           0

IDG BOOKS WORLDWIDE INC           COM   449384106         172      18,635  SH     DEFINED  01,08      18,635           0           0

IEC ELECTRS CORP NEW              COM   44949L105          21      10,100  SH     DEFINED  01,08      10,100           0           0

IDX SYS CORP                      COM   449491109         211      13,103  SH     DEFINED     01      11,941           0       1,162
IDX SYS CORP                      COM   449491109         635      39,349  SH     DEFINED  01,08      39,349           0           0

IFR SYSTEMS INC                   COM   449507102         164      32,865  SH     DEFINED  01,08      32,865           0           0

I-FLOW CORP                       COM   449520303           0         100  SH     DEFINED     04         100           0           0
I-FLOW CORP                       COM   449520303          44      14,632  SH     DEFINED  01,08      14,632           0           0

IGEN INC                          COM   449536101         424      21,078  SH     DEFINED     01      20,907           0         171
IGEN INC                          COM   449536101         461      22,901  SH     DEFINED  01,08      22,901           0           0

IGI INC                           COM   449575109          35      26,300  SH     DEFINED  01,08      26,300           0           0

IGO CORP                          COM   449592104          68      24,844  SH     DEFINED  01,08      24,844           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    235
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
IHOP CORP                         COM   449623107         289      15,088  SH     DEFINED     01       8,131       3,000       3,957
IHOP CORP                         COM   449623107         818      42,770  SH     DEFINED  01,08      42,770           0           0

IMC GLOBAL INC                    COM   449669100       1,380      95,142  SH     DEFINED     01      72,300      19,300       3,542
IMC GLOBAL INC                    COM   449669100           3         178  SH     OTHER       01           0         178           0
IMC GLOBAL INC                    COM   449669100         290      20,000  SH     DEFINED     02           0      20,000           0
IMC GLOBAL INC                    COM   449669100           7         484  SH     DEFINED     03         484           0           0
IMC GLOBAL INC                    COM   449669100          17       1,199  SH     DEFINED     04       1,199           0           0
IMC GLOBAL INC                    COM   449669100           2         149  SH     DEFINED     05         149           0           0
IMC GLOBAL INC                    COM   449669100       4,585     316,238  SH     DEFINED  01,08     316,238           0           0

IMC GLOBAL INC                    WT    449669118           0          66         OTHER       01           0          66           0
IMC GLOBAL INC                    WT    449669118           0         179         DEFINED     03         179           0           0
IMC GLOBAL INC                    WT    449669118           0         567         DEFINED     04         567           0           0
IMC GLOBAL INC                    WT    449669118           0          55         DEFINED     05          55           0           0
IMC GLOBAL INC                    WT    449669118           0       9,283         DEFINED  01,08       9,283           0           0

IMCO RECYCLING INC                COM   449681105         200      33,380  SH     DEFINED  01,08      33,380           0           0

I-MANY INC                        COM   44973Q103         432      21,650  SH     DEFINED  01,08      21,650           0           0

I-LINK CORP                       COM   449927102          69      20,559  SH     DEFINED  01,08      20,559           0           0

IMS HEALTH INC                    COM   449934108      24,230   1,167,719  SH     DEFINED     01     670,395     442,937      54,387
IMS HEALTH INC                    COM   449934108       8,938     430,758  SH     OTHER       01     140,350     193,964      96,444
IMS HEALTH INC                    COM   449934108       1,335      64,345  SH     DEFINED     02      21,104      43,241           0
IMS HEALTH INC                    COM   449934108         780      37,604  SH     OTHER       02      13,004      16,600       8,000
IMS HEALTH INC                    COM   449934108         296      14,270  SH     DEFINED     03      10,670       3,200         400
IMS HEALTH INC                    COM   449934108         634      30,568  SH     OTHER       03      12,800      17,768           0
IMS HEALTH INC                    COM   449934108         809      38,976  SH     DEFINED     04      33,286           0       5,690
IMS HEALTH INC                    COM   449934108         351      16,900  SH     OTHER       04      13,900           0       3,000
IMS HEALTH INC                    COM   449934108         524      25,248  SH     DEFINED     05      23,848       1,000         400
IMS HEALTH INC                    COM   449934108      12,279     591,739  SH     DEFINED  01,08     591,739           0           0
IMS HEALTH INC                    COM   449934108          40       1,950  SH     DEFINED     09       1,250         700           0
IMS HEALTH INC                    COM   449934108         147       7,075  SH     DEFINED     10       1,800       3,175       2,100
IMS HEALTH INC                    COM   449934108          12         600  SH     OTHER       10         600           0           0

IRT PPTY CO                       COM   450058102         160      18,260  SH     DEFINED     01      12,689           0       5,571
IRT PPTY CO                       COM   450058102          70       7,965  SH     DEFINED  01,08       7,965           0           0

ITC DELTACOM INC                  COM   45031T104         682      59,294  SH     DEFINED     01      58,390           0         904
ITC DELTACOM INC                  COM   45031T104          19       1,609  SH     DEFINED     04       1,609           0           0
ITC DELTACOM INC                  COM   45031T104       1,122      97,581  SH     DEFINED  01,08      97,581           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    236
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
ISTAR FINL INC                    COM   45031U101         458      20,392  SH     DEFINED     01       7,862           0      12,530
ISTAR FINL INC                    COM   45031U101         181       8,050  SH     OTHER       03       8,050           0           0
ISTAR FINL INC                    COM   45031U101          26       1,150  SH     DEFINED     04       1,150           0           0
ISTAR FINL INC                    COM   45031U101          26       1,150  SH     OTHER       04       1,150           0           0
ISTAR FINL INC                    COM   45031U101         222       9,892  SH     DEFINED  01,08       9,892           0           0

I-STAT CORP                       COM   450312103         374      16,538  SH     DEFINED     01      16,249           0         289
I-STAT CORP                       COM   450312103         637      28,161  SH     DEFINED  01,08      28,161           0           0

ITLA CAP CORP                     COM   450565106          47       3,200  SH     DEFINED     01       3,200           0           0
ITLA CAP CORP                     COM   450565106         228      15,365  SH     DEFINED  01,08      15,365           0           0

ITT EDUCATIONAL SERVICES INC      COM   45068B109         950      35,036  SH     DEFINED     01      14,182      20,300         554
ITT EDUCATIONAL SERVICES INC      COM   45068B109       1,049      38,655  SH     DEFINED  01,08      38,655           0           0

ITXC CORP                         COM   45069F109          93       6,343  SH     DEFINED     01       6,233           0         110
ITXC CORP                         COM   45069F109          10         705  SH     OTHER       01           0         150         555
ITXC CORP                         COM   45069F109         782      53,457  SH     DEFINED  01,08      53,457           0           0

IXL ENTERPRISES INC               COM   450718101         188      42,937  SH     DEFINED     01      42,195           0         742
IXL ENTERPRISES INC               COM   450718101           1         200  SH     OTHER       04           0           0         200
IXL ENTERPRISES INC               COM   450718101         419      95,833  SH     DEFINED  01,08      95,833           0           0

IBEAM BROADCASTING CORP           COM   45073P101          80      11,721  SH     DEFINED     01      11,037           0         684
IBEAM BROADCASTING CORP           COM   45073P101          13       1,908  SH     DEFINED     02           0       1,908           0
IBEAM BROADCASTING CORP           COM   45073P101         894     131,305  SH     DEFINED  01,08     131,305           0           0

IBASIS INC                        COM   450732102         177      11,130  SH     DEFINED     01      10,935           0         195
IBASIS INC                        COM   450732102          32       2,000  SH     OTHER       01           0           0       2,000
IBASIS INC                        COM   450732102           8         500  SH     DEFINED     02         500           0           0
IBASIS INC                        COM   450732102         765      48,190  SH     DEFINED  01,08      48,190           0           0

IBERIABANK CORP                   COM   450828108          44       2,400  SH     DEFINED     01       2,400           0           0
IBERIABANK CORP                   COM   450828108         177       9,662  SH     DEFINED  01,08       9,662           0           0

IBIS TECHNOLOGY CORP              COM   450909106         310       8,528  SH     DEFINED     01       8,379           0         149
IBIS TECHNOLOGY CORP              COM   450909106         332       9,150  SH     DEFINED  01,08       9,150           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    237
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
ITT INDS INC IND                  COM   450911102      22,078     680,654  SH     DEFINED     01     648,922      22,730       9,002
ITT INDS INC IND                  COM   450911102          50       1,532  SH     OTHER       01         932         500         100
ITT INDS INC IND                  COM   450911102           3         100  SH     OTHER       02         100           0           0
ITT INDS INC IND                  COM   450911102          11         344  SH     DEFINED     03           0         144         200
ITT INDS INC IND                  COM   450911102          13         400  SH     OTHER       03         400           0           0
ITT INDS INC IND                  COM   450911102         105       3,251  SH     DEFINED     04       2,951           0         300
ITT INDS INC IND                  COM   450911102          65       2,006  SH     OTHER       04       2,006           0           0
ITT INDS INC IND                  COM   450911102       4,397     135,560  SH     DEFINED  01,08     135,560           0           0
ITT INDS INC IND                  COM   450911102          25         760  SH     DEFINED     10         660         100           0

IVI CHECKMATE CORP                COM   450928106          23      10,670  SH     DEFINED  01,08      10,670           0           0

IDACORP INC                       COM   451107106       2,141      46,288  SH     DEFINED     01      36,013       2,100       8,175
IDACORP INC                       COM   451107106          46       1,000  SH     OTHER       01           0       1,000           0
IDACORP INC                       COM   451107106          40         874  SH     DEFINED     02         874           0           0
IDACORP INC                       COM   451107106          82       1,777  SH     OTHER       02       1,477           0         300
IDACORP INC                       COM   451107106         199       4,300  SH     DEFINED     03       1,300       3,000           0
IDACORP INC                       COM   451107106          69       1,500  SH     OTHER       03           0       1,500           0
IDACORP INC                       COM   451107106         166       3,599  SH     DEFINED     04       3,599           0           0
IDACORP INC                       COM   451107106         111       2,400  SH     OTHER       04       2,400           0           0
IDACORP INC                       COM   451107106       5,077     109,778  SH     DEFINED  01,08     109,778           0           0

IDEAMALL INC                      COM   451662100          61      18,100  SH     DEFINED     01      18,100           0           0
IDEAMALL INC                      COM   451662100          48      14,312  SH     DEFINED  01,08      14,312           0           0

IDEX CORP                         COM   45167R104         983      35,174  SH     DEFINED     01      29,162           0       6,012
IDEX CORP                         COM   45167R104         126       4,500  SH     OTHER       01           0       4,500           0
IDEX CORP                         COM   45167R104          25         900  SH     DEFINED     02           0         900           0
IDEX CORP                         COM   45167R104       2,039      72,977  SH     DEFINED  01,08      72,977           0           0

IDEXX LABS INC                    COM   45168D104       2,099      78,466  SH     DEFINED     01      75,230           0       3,236
IDEXX LABS INC                    COM   45168D104       2,381      89,019  SH     DEFINED  01,08      89,019           0           0

IGATE CAPITAL CORP                COM   45169U105         188      35,064  SH     DEFINED     01      34,446           0         618
IGATE CAPITAL CORP                COM   45169U105         383      71,252  SH     DEFINED  01,08      71,252           0           0

IKON OFFICE SOLUTIONS INC         COM   451713101         703     178,577  SH     DEFINED     01     141,797       9,602      27,178
IKON OFFICE SOLUTIONS INC         COM   451713101          10       2,497  SH     DEFINED     03       2,497           0           0
IKON OFFICE SOLUTIONS INC         COM   451713101         694     176,314  SH     DEFINED  01,08     176,314           0           0

IKOS SYS INC                      COM   451716203         212      20,438  SH     DEFINED  01,08      20,438           0           0

IDENTIX INC                       COM   451906101         330      27,200  SH     DEFINED     01      26,492           0         708
IDENTIX INC                       COM   451906101           4         300  SH     OTHER       04           0           0         300
IDENTIX INC                       COM   451906101         561      46,190  SH     DEFINED  01,08      46,190           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    238
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
ILEX ONCOLOGY INC                 COM   451923106         770      25,562  SH     DEFINED     01      25,171           0         391
ILEX ONCOLOGY INC                 COM   451923106          90       3,000  SH     DEFINED     02           0       3,000           0
ILEX ONCOLOGY INC                 COM   451923106       1,203      39,948  SH     DEFINED  01,08      39,948           0           0

ILLINOIS TOOL WKS INC             COM   452308109     117,258   2,098,582  SH     DEFINED     01     934,303     223,772     940,507
ILLINOIS TOOL WKS INC             COM   452308109   2,075,255  37,141,034  SH     OTHER       01     150,651     716,201  36,274,182
ILLINOIS TOOL WKS INC             COM   452308109         804      14,395  SH     DEFINED     02      12,407       1,288         700
ILLINOIS TOOL WKS INC             COM   452308109         437       7,829  SH     OTHER       02       3,302         727       3,800
ILLINOIS TOOL WKS INC             COM   452308109         212       3,800  SH     DEFINED     03       1,600       2,200           0
ILLINOIS TOOL WKS INC             COM   452308109          11         200  SH     OTHER       03         200           0           0
ILLINOIS TOOL WKS INC             COM   452308109       2,952      52,825  SH     DEFINED     04      47,175           0       5,650
ILLINOIS TOOL WKS INC             COM   452308109      17,312     309,830  SH     OTHER       04     308,830           0       1,000
ILLINOIS TOOL WKS INC             COM   452308109           4          80  SH     DEFINED     05          80           0           0
ILLINOIS TOOL WKS INC             COM   452308109      24,970     446,887  SH     DEFINED  01,08     446,887           0           0
ILLINOIS TOOL WKS INC             COM   452308109           8         150  SH     DEFINED     09         150           0           0
ILLINOIS TOOL WKS INC             COM   452308109       1,124      20,125  SH     DEFINED     10       1,700      18,425           0

ILLUMINA INC                      COM   452327109       1,447      31,900  SH     DEFINED  01,08      31,900           0           0

ILLUMINET HLDGS INC               COM   452334105         617      22,227  SH     DEFINED     01      21,606           0         621
ILLUMINET HLDGS INC               COM   452334105       1,126      40,593  SH     DEFINED  01,08      40,593           0           0

IMAGE ENTMT INC                   COM   452439201          64      17,100  SH     DEFINED  01,08      17,100           0           0

IMAGEX COM INC                    COM   45244D102           0          80  SH     DEFINED     04          80           0           0
IMAGEX COM INC                    COM   45244D102         115      28,208  SH     DEFINED  01,08      28,208           0           0

IMATION CORP                      COM   45245A107       1,463      78,526  SH     DEFINED     01      67,379       4,486       6,661
IMATION CORP                      COM   45245A107          83       4,456  SH     OTHER       01       3,198         838         420
IMATION CORP                      COM   45245A107          25       1,320  SH     DEFINED     02         320       1,000           0
IMATION CORP                      COM   45245A107           5         260  SH     OTHER       02         200           0          60
IMATION CORP                      COM   45245A107          10         560  SH     DEFINED     03           0         560           0
IMATION CORP                      COM   45245A107           3         160  SH     OTHER       03         160           0           0
IMATION CORP                      COM   45245A107         246      13,223  SH     DEFINED     04      13,223           0           0
IMATION CORP                      COM   45245A107          27       1,443  SH     OTHER       04       1,387           0          56
IMATION CORP                      COM   45245A107          45       2,400  SH     OTHER       05       2,400           0           0
IMATION CORP                      COM   45245A107       1,956     105,017  SH     DEFINED  01,08     105,017           0           0

IMCLONE SYS INC                   COM   45245W109         355       3,036  SH     DEFINED     01       1,576         100       1,360
IMCLONE SYS INC                   COM   45245W109         269       2,300  SH     DEFINED     04       2,300           0           0
IMCLONE SYS INC                   COM   45245W109       4,810      41,088  SH     DEFINED  01,08      41,088           0           0

IMANAGE INC                       COM   45245Y105         185      23,173  SH     DEFINED  01,08      23,173           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    239
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
IMAGINON INC                      COM   45246K104           1       2,000  SH     DEFINED     01           0           0       2,000
IMAGINON INC                      COM   45246K104         171     322,500  SH     DEFINED     04     322,500           0           0
IMAGINON INC                      COM   45246K104           2       4,018  SH     DEFINED  01,08       4,018           0           0

IMMUNE RESPONSE CORP DEL          COM   45252T106         345      50,233  SH     DEFINED     01      49,810           0         423
IMMUNE RESPONSE CORP DEL          COM   45252T106          20       2,850  SH     DEFINED     03           0       2,850           0
IMMUNE RESPONSE CORP DEL          COM   45252T106         404      58,745  SH     DEFINED  01,08      58,745           0           0

IMMERSION CORP                    COM   452521107         200      12,900  SH     DEFINED     01      12,673           0         227
IMMERSION CORP                    COM   452521107         368      23,716  SH     DEFINED  01,08      23,716           0           0

IMMUCOR INC                       COM   452526106          30      10,000  SH     DEFINED     01      10,000           0           0
IMMUCOR INC                       COM   452526106          79      26,324  SH     DEFINED  01,08      26,324           0           0

IMMUNEX CORP NEW                  COM   452528102         823      18,916  SH     DEFINED     01      11,839           0       7,077
IMMUNEX CORP NEW                  COM   452528102         270       6,200  SH     DEFINED     04       6,200           0           0
IMMUNEX CORP NEW                  COM   452528102      17,093     392,933  SH     DEFINED  01,08     392,933           0           0
IMMUNEX CORP NEW                  COM   452528102          10         232  SH     DEFINED     10         232           0           0

IMMUNOGEN INC                     COM   45253H101       1,166      34,107  SH     DEFINED     01      33,314           0         793
IMMUNOGEN INC                     COM   45253H101       1,813      53,038  SH     DEFINED  01,08      53,038           0           0

IMPATH INC                        COM   45255G101       1,058      16,758  SH     DEFINED     01      16,044           0         714
IMPATH INC                        COM   45255G101         626       9,920  SH     OTHER       01       9,920           0           0
IMPATH INC                        COM   45255G101       1,573      24,924  SH     DEFINED  01,08      24,924           0           0

IMPCO TECHNOLOGIES INC            COM   45255W106         137       4,754  SH     DEFINED     01       4,684           0          70
IMPCO TECHNOLOGIES INC            COM   45255W106          43       1,500  SH     OTHER       04       1,500           0           0
IMPCO TECHNOLOGIES INC            COM   45255W106         387      13,445  SH     DEFINED  01,08      13,445           0           0

IMPERIAL BANCORP                  COM   452556103       1,018      53,226  SH     DEFINED     01      45,316           0       7,910
IMPERIAL BANCORP                  COM   452556103          45       2,332  SH     DEFINED     04       2,332           0           0
IMPERIAL BANCORP                  COM   452556103       2,248     117,561  SH     DEFINED  01,08     117,561           0           0

IMPAX LABORATORIES INC            COM   45256B101         102      12,200  SH     DEFINED  01,08      12,200           0           0

IMPERIAL CR INDS INC              COM   452729106          86      53,949  SH     DEFINED  01,08      53,949           0           0

IMATRON INC                       COM   452906100         218      94,291  SH     DEFINED     01      92,663           0       1,628
IMATRON INC                       COM   452906100          16       7,000  SH     OTHER       04       7,000           0           0
IMATRON INC                       COM   452906100         376     162,574  SH     DEFINED  01,08     162,574           0           0

IMMUNOMEDICS INC                  COM   452907108         684      32,690  SH     DEFINED     01      32,150           0         540
IMMUNOMEDICS INC                  COM   452907108           8         400  SH     DEFINED     04         400           0           0
IMMUNOMEDICS INC                  COM   452907108       1,952      93,237  SH     DEFINED  01,08      93,237           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    240
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
IMPERIAL OIL LTD                  COM   453038408         469      18,000  SH     OTHER       01           0           0      18,000
IMPERIAL OIL LTD                  COM   453038408          39       1,500  SH     OTHER       02           0       1,500           0
IMPERIAL OIL LTD                  COM   453038408          16         600  SH     OTHER       03           0         600           0
IMPERIAL OIL LTD                  COM   453038408          55       2,100  SH     OTHER       04       2,100           0           0

IMPERIAL SUGAR CO NEW             COM   453096109          22      19,544  SH     DEFINED     01      19,544           0           0
IMPERIAL SUGAR CO NEW             COM   453096109          34      30,632  SH     DEFINED  01,08      30,632           0           0

IMPROVENET INC                    COM   45321E106          33      15,381  SH     DEFINED  01,08      15,381           0           0

IMPSAT FIBER NETWORKS INC         COM   45321T103         133      12,070  SH     DEFINED     01      11,857           0         213
IMPSAT FIBER NETWORKS INC         COM   45321T103           6         500  SH     DEFINED     04         500           0           0
IMPSAT FIBER NETWORKS INC         COM   45321T103          32       2,932  SH     DEFINED  01,08       2,932           0           0

IMRGLOBAL CORPORATION             COM   45321W106         255      21,929  SH     DEFINED     01      21,276           0         653
IMRGLOBAL CORPORATION             COM   45321W106          22       1,900  SH     DEFINED     04       1,900           0           0
IMRGLOBAL CORPORATION             COM   45321W106         555      47,702  SH     DEFINED  01,08      47,702           0           0

IN HOME HEALTH INC                COM   453222408          38      10,767  SH     DEFINED  01,08      10,767           0           0

INAMED CORP                       COM   453235103         577      20,509  SH     DEFINED     01      12,878       7,400         231
INAMED CORP                       COM   453235103           6         204  SH     DEFINED     04         204           0           0
INAMED CORP                       COM   453235103         862      30,636  SH     DEFINED  01,08      30,636           0           0

INCO LTD                          COM   453258402       4,749     294,485  SH     DEFINED     01     242,164      45,865       6,456
INCO LTD                          COM   453258402          19       1,200  SH     OTHER       01       1,200           0           0
INCO LTD                          COM   453258402       4,145     257,067  SH     DEFINED  01,08     257,067           0           0

INCYTE GENOMICS INC               COM   45337C102       1,777      43,212  SH     DEFINED     01      37,778           0       5,434
INCYTE GENOMICS INC               COM   45337C102           8         206  SH     DEFINED     02         206           0           0
INCYTE GENOMICS INC               COM   45337C102       7,128     173,320  SH     DEFINED  01,08     173,320           0           0

INDEPENDENCE CMNTY BK CORP        COM   453414104       1,342      95,848  SH     DEFINED     01      83,147           0      12,701
INDEPENDENCE CMNTY BK CORP        COM   453414104       1,582     113,007  SH     DEFINED  01,08     113,007           0           0

INDEPENDENCE HLDG CO NEW          COM   453440307          82      11,350  SH     DEFINED  01,08      11,350           0           0

INDEPENDENT BANK CORP MASS        COM   453836108         143      11,945  SH     DEFINED     01      10,537       1,145         263
INDEPENDENT BANK CORP MASS        COM   453836108         298      24,813  SH     DEFINED  01,08      24,813           0           0
INDEPENDENT BANK CORP MASS        COM   453836108          12       1,000  SH     DEFINED     10           0       1,000           0

INDEPENDENT BANK CORP MICH        COM   453838104           6         336  SH     DEFINED     01         336           0           0
INDEPENDENT BANK CORP MICH        COM   453838104         362      20,888  SH     DEFINED  01,08      20,888           0           0
INDEPENDENT BANK CORP MICH        COM   453838104          43       2,462  SH     DEFINED     10           0       2,462           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    241
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INDUS INTL INC                    COM   45578L100         120      24,639  SH     DEFINED     01      22,295           0       2,344
INDUS INTL INC                    COM   45578L100         168      34,471  SH     DEFINED  01,08      34,471           0           0

INDUSTRI-MATEMATIK INTL CORP      COM   455792101         217      54,151  SH     DEFINED  01,08      54,151           0           0

INDYMAC BANCORP INC               COM   456607100         820      39,882  SH     DEFINED     01      26,766       1,100      12,016
INDYMAC BANCORP INC               COM   456607100           2         118  SH     OTHER       04         118           0           0
INDYMAC BANCORP INC               COM   456607100         342      16,654  SH     DEFINED  01,08      16,654           0           0

INFINITY BROADCASTING CP NEW      COM   45662S102      13,324     403,763  SH     DEFINED     01     387,353       7,100       9,310
INFINITY BROADCASTING CP NEW      COM   45662S102         129       3,900  SH     OTHER       01       3,900           0           0
INFINITY BROADCASTING CP NEW      COM   45662S102          13         400  SH     OTHER       02         400           0           0
INFINITY BROADCASTING CP NEW      COM   45662S102          35       1,053  SH     DEFINED     03           0       1,053           0
INFINITY BROADCASTING CP NEW      COM   45662S102         147       4,469  SH     DEFINED     04       2,744           0       1,725
INFINITY BROADCASTING CP NEW      COM   45662S102         186       5,625  SH     OTHER       04       5,625           0           0
INFINITY BROADCASTING CP NEW      COM   45662S102      10,637     322,323  SH     DEFINED  01,08     322,323           0           0

INET TECHNOLOGIES INC             COM   45662V105          15         511  SH     DEFINED     01         370           0         141
INET TECHNOLOGIES INC             COM   45662V105       1,767      60,401  SH     DEFINED  01,08      60,401           0           0

INFINIUM SOFTWARE INC             COM   45662Y109          33      12,400  SH     DEFINED     04           0           0      12,400
INFINIUM SOFTWARE INC             COM   45662Y109          57      21,375  SH     DEFINED  01,08      21,375           0           0

INFOCROSSING INC                  COM   45664X109         206      11,371  SH     DEFINED  01,08      11,371           0           0

INFOCURE CORP                     COM   45665A108         167      42,086  SH     DEFINED  01,08      42,086           0           0

INFOCUS CORP                      COM   45665B106       3,144      59,313  SH     DEFINED     01      58,499           0         814
INFOCUS CORP                      COM   45665B106          27         500  SH     DEFINED     04         500           0           0
INFOCUS CORP                      COM   45665B106       5,775     108,955  SH     DEFINED  01,08     108,955           0           0

INFOGRAMES INC                    COM   45665T107          16       2,221  SH     DEFINED     01       1,620           0         601
INFOGRAMES INC                    COM   45665T107         135      18,626  SH     DEFINED  01,08      18,626           0           0

INFORMATICA CORP                  COM   45666Q102       2,391      25,644  SH     DEFINED     01      24,816           0         828
INFORMATICA CORP                  COM   45666Q102           9         100  SH     OTHER       03         100           0           0
INFORMATICA CORP                  COM   45666Q102       5,008      53,708  SH     DEFINED  01,08      53,708           0           0

INFONET SVCS CORP                 COM   45666T106          49       4,652  SH     DEFINED     01       3,008           0       1,644
INFONET SVCS CORP                 COM   45666T106           2         200  SH     DEFINED     04         200           0           0
INFONET SVCS CORP                 COM   45666T106       2,457     232,651  SH     DEFINED  01,08     232,651           0           0

INFONAUTICS CORP                  COM   456662105          59      27,812  SH     DEFINED  01,08      27,812           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    242
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INFORMATION ARCHITECTS CORP       COM   45669R107          69      20,914  SH     DEFINED     01      20,545           0         369
INFORMATION ARCHITECTS CORP       COM   45669R107         359     108,300  SH     DEFINED     04     108,300           0           0
INFORMATION ARCHITECTS CORP       COM   45669R107          99      29,750  SH     DEFINED  01,08      29,750           0           0

INFORMATION HLDGS INC             COM   456727106         399      11,271  SH     DEFINED     01       9,503       1,500         268
INFORMATION HLDGS INC             COM   456727106         380      10,722  SH     DEFINED  01,08      10,722           0           0

INFORMATION RESOURCE ENGR INC     COM   45675F303         260       8,600  SH     DEFINED  01,08       8,600           0           0

INFORTE CORP                      COM   45677R107          80       2,287  SH     DEFINED     01       2,043         208          36
INFORTE CORP                      COM   45677R107         540      15,372  SH     DEFINED  01,08      15,372           0           0

INFORMIX CORP                     COM   456779107         795     192,795  SH     DEFINED     01     182,822       1,000       8,973
INFORMIX CORP                     COM   456779107           4       1,000  SH     OTHER       02           0       1,000           0
INFORMIX CORP                     COM   456779107          37       9,000  SH     DEFINED     04       9,000           0           0
INFORMIX CORP                     COM   456779107           1         200  SH     OTHER       04         200           0           0
INFORMIX CORP                     COM   456779107       3,230     783,118  SH     DEFINED  01,08     783,118           0           0

INFOSPACE INC                     COM   45678T102         526      17,403  SH     DEFINED     01       6,584       5,700       5,119
INFOSPACE INC                     COM   45678T102          15         500  SH     OTHER       04         100           0         400
INFOSPACE INC                     COM   45678T102       5,603     185,223  SH     DEFINED  01,08     185,223           0           0

INFOUSA INC NEW                   COM   456818301         111      22,240  SH     DEFINED     01      19,612           0       2,628
INFOUSA INC NEW                   COM   456818301           3         500  SH     OTHER       01         500           0           0
INFOUSA INC NEW                   COM   456818301         352      70,487  SH     DEFINED  01,08      70,487           0           0

ING GROEP N V                     COM   456837103          34         509  SH     DEFINED     01         309         200           0
ING GROEP N V                     COM   456837103         100       1,524  SH     OTHER       01           0       1,524           0
ING GROEP N V                     COM   456837103          64         972  SH     DEFINED     03         912          60           0
ING GROEP N V                     COM   456837103         132       2,011  SH     DEFINED     04       2,011           0           0
ING GROEP N V                     COM   456837103          13         193  SH     DEFINED     10         193           0           0

INGENUUS CORP                     COM   456846104          25      17,886  SH     DEFINED  01,08      17,886           0           0

INGERSOLL-RAND CO                 COM   456866102      10,176     300,396  SH     DEFINED     01     243,534      41,607      15,255
INGERSOLL-RAND CO                 COM   456866102         451      13,300  SH     OTHER       01       3,100      10,050         150
INGERSOLL-RAND CO                 COM   456866102         103       3,048  SH     DEFINED     02       1,248       1,800           0
INGERSOLL-RAND CO                 COM   456866102          64       1,900  SH     DEFINED     03       1,200         700           0
INGERSOLL-RAND CO                 COM   456866102          85       2,500  SH     OTHER       03       2,500           0           0
INGERSOLL-RAND CO                 COM   456866102          65       1,905  SH     DEFINED     04       1,905           0           0
INGERSOLL-RAND CO                 COM   456866102         421      12,436  SH     OTHER       04      12,436           0           0
INGERSOLL-RAND CO                 COM   456866102         152       4,500  SH     DEFINED     05       4,500           0           0
INGERSOLL-RAND CO                 COM   456866102       8,186     241,645  SH     DEFINED  01,08     241,645           0           0
INGERSOLL-RAND CO                 COM   456866102           3         100  SH     OTHER       09           0         100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    243
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INFORMATION RES INC               COM   456905108         270      39,700  SH     DEFINED     01      39,700           0           0
INFORMATION RES INC               COM   456905108         121      17,700  SH     DEFINED     04           0           0      17,700
INFORMATION RES INC               COM   456905108         349      51,224  SH     DEFINED  01,08      51,224           0           0

INGLES MKTS INC                   COM   457030104          63       5,691  SH     DEFINED     01       4,014           0       1,677
INGLES MKTS INC                   COM   457030104          78       7,100  SH     DEFINED     04           0           0       7,100
INGLES MKTS INC                   COM   457030104         287      26,058  SH     DEFINED  01,08      26,058           0           0

INGRAM MICRO INC                  COM   457153104         235      17,093  SH     DEFINED     01       5,717       9,500       1,876
INGRAM MICRO INC                  COM   457153104          34       2,500  SH     OTHER       04       1,500           0       1,000
INGRAM MICRO INC                  COM   457153104       1,264      91,891  SH     DEFINED  01,08      91,891           0           0

INHALE THERAPEUTIC SYS INC        COM   457191104      17,626     312,654  SH     DEFINED     01     286,256       1,000      25,398
INHALE THERAPEUTIC SYS INC        COM   457191104          34         600  SH     OTHER       03         600           0           0
INHALE THERAPEUTIC SYS INC        COM   457191104           6         100  SH     DEFINED     04         100           0           0
INHALE THERAPEUTIC SYS INC        COM   457191104          28         500  SH     OTHER       04         500           0           0
INHALE THERAPEUTIC SYS INC        COM   457191104       3,985      70,684  SH     DEFINED  01,08      70,684           0           0

INKINE PHARMACEUTICALS INC        COM   457214104         464      43,200  SH     DEFINED  01,08      43,200           0           0

INKTOMI CORP                      COM   457277101       1,040       9,120  SH     DEFINED     01       5,551       1,410       2,159
INKTOMI CORP                      COM   457277101          11         100  SH     DEFINED     03           0         100           0
INKTOMI CORP                      COM   457277101         744       6,525  SH     DEFINED     04       6,525           0           0
INKTOMI CORP                      COM   457277101         194       1,700  SH     OTHER       04       1,600           0         100
INKTOMI CORP                      COM   457277101      10,205      89,515  SH     DEFINED  01,08      89,515           0           0
INKTOMI CORP                      COM   457277101           3          26  SH     DEFINED     10          26           0           0

INNKEEPERS USA TR                 COM   4576J0104         212      20,672  SH     DEFINED     01      14,050           0       6,622
INNKEEPERS USA TR                 COM   4576J0104         107      10,400  SH     OTHER       04      10,000           0         400
INNKEEPERS USA TR                 COM   4576J0104          89       8,641  SH     DEFINED  01,08       8,641           0           0

INNERDYNE INC                     COM   45764D102          35       5,000  SH     DEFINED     04       5,000           0           0
INNERDYNE INC                     COM   45764D102         217      31,005  SH     DEFINED  01,08      31,005           0           0

INNODATA CORP                     COM   457642205         119      11,459  SH     DEFINED  01,08      11,459           0           0

INNOVEX INC                       COM   457647105           1         100  SH     DEFINED     01           0           0         100
INNOVEX INC                       COM   457647105         783      57,470  SH     DEFINED  01,08      57,470           0           0

INSCI-STATEMENTS COM CORP         COM   45765T106         112      47,159  SH     DEFINED     04      47,159           0           0
INSCI-STATEMENTS COM CORP         COM   45765T106          10       4,169  SH     DEFINED  01,08       4,169           0           0

INSIGHT ENTERPRISES INC           COM   45765U103         982      36,027  SH     DEFINED     01      31,928       1,050       3,049
INSIGHT ENTERPRISES INC           COM   45765U103         302      11,100  SH     DEFINED     04           0           0      11,100
INSIGHT ENTERPRISES INC           COM   45765U103       1,706      62,591  SH     DEFINED  01,08      62,591           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    244
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INPUT/OUTPUT INC                  COM   457652105         248      25,722  SH     DEFINED     01      15,832           0       9,890
INPUT/OUTPUT INC                  COM   457652105         202      21,000  SH     DEFINED     04      10,000           0      11,000
INPUT/OUTPUT INC                  COM   457652105           5         500  SH     OTHER       05         500           0           0
INPUT/OUTPUT INC                  COM   457652105         958      99,546  SH     DEFINED  01,08      99,546           0           0

INPRISE CORP                      COM   45766C102         459      85,870  SH     DEFINED     01      77,873           0       7,997
INPRISE CORP                      COM   45766C102         120      22,400  SH     DEFINED     04       3,000           0      19,400
INPRISE CORP                      COM   45766C102         467      87,413  SH     DEFINED  01,08      87,413           0           0

INSITE VISION INC                 COM   457660108         165      21,700  SH     DEFINED  01,08      21,700           0           0

INSITUFORM EAST INC               COM   457662104          24      19,300  SH     DEFINED  01,08      19,300           0           0

INSITUFORM TECHNOLOGIES INC       COM   457667103         731      21,745  SH     DEFINED     01      18,907         600       2,238
INSITUFORM TECHNOLOGIES INC       COM   457667103         491      14,600  SH     DEFINED     04           0           0      14,600
INSITUFORM TECHNOLOGIES INC       COM   457667103       1,289      38,336  SH     DEFINED  01,08      38,336           0           0

INSIGNIA FINL GROUP INC NEW       COM   45767A105         236      23,011  SH     DEFINED     01       7,288      12,200       3,523
INSIGNIA FINL GROUP INC NEW       COM   45767A105         353      34,453  SH     DEFINED  01,08      34,453           0           0

INNOTRAC CORP                     COM   45767M109          80      15,957  SH     DEFINED  01,08      15,957           0           0

INSIGHT COMMUNICATIONS INC        COM   45768V108         509      32,053  SH     DEFINED     01      28,410           0       3,643
INSIGHT COMMUNICATIONS INC        COM   45768V108          10         600  SH     DEFINED     04         600           0           0
INSIGHT COMMUNICATIONS INC        COM   45768V108       1,829     115,198  SH     DEFINED  01,08     115,198           0           0

INSILICON CORP                    COM   45769H108         249      17,185  SH     DEFINED  01,08      17,185           0           0

INSPIRE INS SOLUTIONS INC         COM   457732105          16      13,822  SH     DEFINED  01,08      13,822           0           0

INSTEEL INDUSTRIES INC            COM   45774W108          26       6,400  SH     DEFINED     01       6,400           0           0
INSTEEL INDUSTRIES INC            COM   45774W108          88      21,547  SH     DEFINED  01,08      21,547           0           0

INSURANCE AUTO AUCTIONS INC       COM   457875102         240      14,835  SH     DEFINED     01      12,783           0       2,052
INSURANCE AUTO AUCTIONS INC       COM   457875102         338      20,904  SH     DEFINED  01,08      20,904           0           0

INTEGRATED MEASUREMENT SYS INC    COM   457923100         158      11,693  SH     DEFINED  01,08      11,693           0           0

INTEGRA LIFESCIENCES HLDGS CP     COM   457985208          20       1,900  SH     DEFINED     01       1,900           0           0
INTEGRA LIFESCIENCES HLDGS CP     COM   457985208         256      23,808  SH     DEFINED  01,08      23,808           0           0

INSURED MUN INCOME FD          UNDEFIND 45809F104           2      19,869         OTHER       03       9,934           0       9,935
INSURED MUN INCOME FD          UNDEFIND 45809F104          14       1,112         DEFINED     04       1,112           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    245
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INSWEB CORP                       COM   45809K103           1         400  SH     OTHER       04         400           0           0
INSWEB CORP                       COM   45809K103          55      26,468  SH     DEFINED  01,08      26,468           0           0

INTEG INC                         COM   458100104          27       9,800  SH     DEFINED     04       9,800           0           0
INTEG INC                         COM   458100104          30      10,921  SH     DEFINED  01,08      10,921           0           0

INTEGRATED ELECTRICAL SVC         COM   45811E103         225      32,790  SH     DEFINED     01      27,482           0       5,308
INTEGRATED ELECTRICAL SVC         COM   45811E103          18       2,561  SH     DEFINED     04       2,561           0           0
INTEGRATED ELECTRICAL SVC         COM   45811E103         854     124,212  SH     DEFINED  01,08     124,212           0           0

INTEGRALVISION INC                COM   45811H106          33      23,700  SH     DEFINED  01,08      23,700           0           0

INTEGRATED CIRCUIT SYS INC        COM   45811K208         231      12,503  SH     DEFINED     01      12,042           0         461
INTEGRATED CIRCUIT SYS INC        COM   45811K208       1,332      72,009  SH     DEFINED  01,08      72,009           0           0

INTEGRATED DEVICE TECHNOLOGY      COM   458118106      53,738     593,792  SH     DEFINED     01     583,829           0       9,963
INTEGRATED DEVICE TECHNOLOGY      COM   458118106         181       2,000  SH     OTHER       01       2,000           0           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106          23         250  SH     DEFINED     04         250           0           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106      25,748     284,511  SH     DEFINED  01,08     284,511           0           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106         193       2,137  SH     DEFINED     10       2,137           0           0

INTEGRATED SILICON SOLUTION       COM   45812P107         486      34,242  SH     DEFINED     01      33,815           0         427
INTEGRATED SILICON SOLUTION       COM   45812P107         540      38,039  SH     DEFINED  01,08      38,039           0           0

INTEGRA BK CORP                   COM   45814P105         232      10,450  SH     DEFINED     01       7,072         315       3,063
INTEGRA BK CORP                   COM   45814P105         574      25,866  SH     DEFINED  01,08      25,866           0           0

INTELIDATA TECHNOLOGIES CORP      COM   45814T107         227      43,315  SH     DEFINED     01      42,628           0         687
INTELIDATA TECHNOLOGIES CORP      COM   45814T107          91      17,353  SH     DEFINED  01,08      17,353           0           0

INTEL CORP                        COM   458140100     752,665  18,109,456  SH     DEFINED     01  14,046,033   2,915,739   1,147,684
INTEL CORP                        COM   458140100      77,848   1,873,049  SH     OTHER       01     713,316     984,449     175,284
INTEL CORP                        COM   458140100      34,780     836,830  SH     DEFINED     02     467,476     300,930      68,424
INTEL CORP                        COM   458140100      13,422     322,951  SH     OTHER       02     162,296     125,095      35,560
INTEL CORP                        COM   458140100      57,608   1,386,062  SH     DEFINED     03     634,524     681,324      70,214
INTEL CORP                        COM   458140100      17,949     431,859  SH     OTHER       03     219,426     171,405      41,028
INTEL CORP                        COM   458140100     363,150   8,737,559  SH     DEFINED     04   8,088,930           0     648,629
INTEL CORP                        COM   458140100     213,149   5,128,455  SH     OTHER       04   4,795,963           0     332,492
INTEL CORP                        COM   458140100      17,967     432,304  SH     DEFINED     05     307,864      99,600      24,840
INTEL CORP                        COM   458140100       6,283     151,170  SH     OTHER       05      50,000      72,770      28,400
INTEL CORP                        COM   458140100     419,917  10,103,394  SH     DEFINED  01,08  10,067,666      35,728           0
INTEL CORP                        COM   458140100         947      22,775  SH     DEFINED     09      22,775           0           0
INTEL CORP                        COM   458140100         330       7,950  SH     OTHER       09       5,950       2,000           0
INTEL CORP                        COM   458140100      23,765     571,791  SH     DEFINED     10     204,571     365,820       1,400
INTEL CORP                        COM   458140100       3,419      82,251  SH     OTHER       10      29,125      52,526         600
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    246
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INTELECT COMMUNICATIONS INC       COM   458144102         111      77,397  SH     DEFINED     01      76,038           0       1,359
INTELECT COMMUNICATIONS INC       COM   458144102          88      61,511  SH     DEFINED  01,08      61,511           0           0

INTELEFILM CORP                   COM   458147105          22      11,700  SH     DEFINED  01,08      11,700           0           0

INTELLICALL INC                   COM   45815C103          11      10,777  SH     DEFINED  01,08      10,777           0           0

INTELLICORP INC                   COM   458153103          27      22,796  SH     DEFINED  01,08      22,796           0           0

INTELLIGROUP INC                  COM   45816A106         301     192,874  SH     DEFINED  01,08     192,874           0           0

INTEGRATED INFORMATION SYS INC    COM   45817B103          64      13,560  SH     DEFINED  01,08      13,560           0           0

INTEGRATED TELECOM EXPRESS INC    COM   45817U101         928      44,736  SH     DEFINED     01      37,672       6,517         547
INTEGRATED TELECOM EXPRESS INC    COM   45817U101         697      33,600  SH     DEFINED  01,08      33,600           0           0
INTEGRATED TELECOM EXPRESS INC    COM   45817U101           5         249  SH     DEFINED     10         249           0           0

INTER PARFUMS INC                 COM   458334109         178      20,312  SH     DEFINED  01,08      20,312           0           0

INTER TEL INC                     COM   458372109         233      20,523  SH     DEFINED     01      19,743           0         780
INTER TEL INC                     COM   458372109          41       3,600  SH     OTHER       02           0       3,600           0
INTER TEL INC                     COM   458372109         929      81,691  SH     DEFINED  01,08      81,691           0           0

INTERACTIVE INTELLIGENCE INC      COM   45839M103         176       4,470  SH     DEFINED     01       4,393           0          77
INTERACTIVE INTELLIGENCE INC      COM   45839M103         437      11,126  SH     DEFINED  01,08      11,126           0           0

INTERACT COMM CORP                COM   45839Y107         126      11,559  SH     DEFINED     01      10,180           0       1,379
INTERACT COMM CORP                COM   45839Y107         235      21,449  SH     DEFINED  01,08      21,449           0           0

INTERCHANGE FINL SVCS S B N J     COM   458447109          30       2,200  SH     DEFINED     01       2,200           0           0
INTERCHANGE FINL SVCS S B N J     COM   458447109         117       8,643  SH     DEFINED  01,08       8,643           0           0

INTERCEPT GROUP INC               COM   45845L107         194       8,320  SH     DEFINED     01       8,175           0         145
INTERCEPT GROUP INC               COM   45845L107         281      12,038  SH     DEFINED  01,08      12,038           0           0

INTERCONTINENTAL LIFE CORP        COM   458593100         313      32,109  SH     DEFINED  01,08      32,109           0           0

INTERDENT INC                     COM   45865R109         119      25,411  SH     DEFINED  01,08      25,411           0           0

INTERDIGITAL COMMUNICATIONS CP    COM   45866A105       1,014      72,396  SH     DEFINED     01      70,346         300       1,750
INTERDIGITAL COMMUNICATIONS CP    COM   45866A105          14       1,000  SH     OTHER       01       1,000           0           0
INTERDIGITAL COMMUNICATIONS CP    COM   45866A105          21       1,480  SH     DEFINED     04       1,480           0           0
INTERDIGITAL COMMUNICATIONS CP    COM   45866A105           4         300  SH     OTHER       04         300           0           0
INTERDIGITAL COMMUNICATIONS CP    COM   45866A105       1,348      96,301  SH     DEFINED  01,08      96,301           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    247
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INTERFACE INC                     COM   458665106         234      29,331  SH     DEFINED     01      18,801           0      10,530
INTERFACE INC                     COM   458665106           2         200  SH     DEFINED     04         200           0           0
INTERFACE INC                     COM   458665106           1          90  SH     OTHER       04          90           0           0
INTERFACE INC                     COM   458665106       1,134     142,292  SH     DEFINED  01,08     142,292           0           0

INTERGRAPH CORP                   COM   458683109         564      78,490  SH     DEFINED     01      70,201           0       8,289
INTERGRAPH CORP                   COM   458683109           7       1,000  SH     OTHER       01           0       1,000           0
INTERGRAPH CORP                   COM   458683109           1         180  SH     DEFINED     04         180           0           0
INTERGRAPH CORP                   COM   458683109         503      69,972  SH     DEFINED  01,08      69,972           0           0

INTERLIANT INC                    COM   458742103         391      48,877  SH     DEFINED     01      48,026           0         851
INTERLIANT INC                    COM   458742103         498      62,266  SH     DEFINED     04      62,266           0           0
INTERLIANT INC                    COM   458742103         575      71,859  SH     DEFINED  01,08      71,859           0           0

INTERLINK ELECTRS                 COM   458751104         187       9,639  SH     DEFINED     01       9,440           0         199
INTERLINK ELECTRS                 COM   458751104         271      13,971  SH     DEFINED  01,08      13,971           0           0

INTERLOGIX INC                    COM   458763109          98       7,407  SH     DEFINED     01       5,966           0       1,441
INTERLOGIX INC                    COM   458763109         115       8,683  SH     DEFINED  01,08       8,683           0           0

INTERMAGNETICS GEN CORP           COM   458771102         197       7,412  SH     DEFINED     01       6,689           0         723
INTERMAGNETICS GEN CORP           COM   458771102         544      20,425  SH     DEFINED  01,08      20,425           0           0

INTERMEDIA COMMUNICATIONS INC     COM   458801107       1,367      46,345  SH     DEFINED     01      43,238           0       3,107
INTERMEDIA COMMUNICATIONS INC     COM   458801107           6         200  SH     DEFINED     02           0         200           0
INTERMEDIA COMMUNICATIONS INC     COM   458801107          68       2,300  SH     DEFINED     04       2,300           0           0
INTERMEDIA COMMUNICATIONS INC     COM   458801107       2,536      85,953  SH     DEFINED  01,08      85,953           0           0

INTERMET CORP                     COM   45881K104         215      29,700  SH     DEFINED     01           0      29,700           0
INTERMET CORP                     COM   45881K104         591      81,530  SH     DEFINED  01,08      81,530           0           0

INTERNAP NETWORK SVCS CORP        COM   45885A102       1,256      38,882  SH     DEFINED     01      23,008           0      15,874
INTERNAP NETWORK SVCS CORP        COM   45885A102           5         150  SH     DEFINED     04         150           0           0
INTERNAP NETWORK SVCS CORP        COM   45885A102       3,709     114,801  SH     DEFINED  01,08     114,801           0           0
INTERNAP NETWORK SVCS CORP        COM   45885A102          48       1,500  SH     OTHER       10           0       1,500           0

INTERMUNE PHARMACEUTICALS INC     COM   45885B100         362       6,669  SH     DEFINED     01       6,493           0         176
INTERMUNE PHARMACEUTICALS INC     COM   45885B100       1,505      27,733  SH     DEFINED  01,08      27,733           0           0

INTERNATIONAL ALUM CORP           COM   458884103          22       1,300  SH     DEFINED     01       1,300           0           0
INTERNATIONAL ALUM CORP           COM   458884103         226      13,484  SH     DEFINED  01,08      13,484           0           0

INTERNATIONAL BANCSHARES CORP     COM   459044103         569      18,591  SH     DEFINED     01      16,213           0       2,378
INTERNATIONAL BANCSHARES CORP     COM   459044103         754      24,626  SH     DEFINED  01,08      24,626           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    248
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INTERNATIONAL BUSINESS MACHS      COM   459200101     422,994   3,759,950  SH     DEFINED     01   3,217,556     264,040     278,354
INTERNATIONAL BUSINESS MACHS      COM   459200101      41,440     368,358  SH     OTHER       01     201,790     133,155      33,413
INTERNATIONAL BUSINESS MACHS      COM   459200101      11,989     106,566  SH     DEFINED     02      66,799      36,627       3,140
INTERNATIONAL BUSINESS MACHS      COM   459200101       7,369      65,506  SH     OTHER       02      42,597      15,916       6,993
INTERNATIONAL BUSINESS MACHS      COM   459200101      19,545     173,733  SH     DEFINED     03      72,865      88,900      11,968
INTERNATIONAL BUSINESS MACHS      COM   459200101      10,411      92,545  SH     OTHER       03      50,115      23,960      18,470
INTERNATIONAL BUSINESS MACHS      COM   459200101     114,728   1,019,805  SH     DEFINED     04     980,539           0      39,266
INTERNATIONAL BUSINESS MACHS      COM   459200101      81,849     727,547  SH     OTHER       04     678,200           0      49,347
INTERNATIONAL BUSINESS MACHS      COM   459200101       4,025      35,774  SH     DEFINED     05      30,199       4,785         790
INTERNATIONAL BUSINESS MACHS      COM   459200101       1,527      13,575  SH     OTHER       05       4,130       5,445       4,000
INTERNATIONAL BUSINESS MACHS      COM   459200101     299,857   2,665,397  SH     DEFINED  01,08   2,655,956       9,241         200
INTERNATIONAL BUSINESS MACHS      COM   459200101         481       4,275  SH     DEFINED     09       4,275           0           0
INTERNATIONAL BUSINESS MACHS      COM   459200101         169       1,500  SH     OTHER       09       1,500           0           0
INTERNATIONAL BUSINESS MACHS      COM   459200101       7,341      65,253  SH     DEFINED     10      27,492      37,361         400
INTERNATIONAL BUSINESS MACHS      COM   459200101       2,914      25,899  SH     OTHER       10       4,893      21,006           0

INTERNATIONAL FIBERCOM INC        COM   45950T101         410      28,036  SH     DEFINED     01      27,066           0         970
INTERNATIONAL FIBERCOM INC        COM   45950T101          12         800  SH     DEFINED     02           0         800           0
INTERNATIONAL FIBERCOM INC        COM   45950T101           1         100  SH     OTHER       02           0         100           0
INTERNATIONAL FIBERCOM INC        COM   45950T101           6         400  SH     OTHER       04         400           0           0
INTERNATIONAL FIBERCOM INC        COM   45950T101          97       6,655  SH     DEFINED  01,08       6,655           0           0

INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101       3,244     177,756  SH     DEFINED     01     146,496      26,637       4,623
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101           8         450  SH     OTHER       01           0         450           0
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101          14         750  SH     OTHER       03         750           0           0
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101          11         600  SH     DEFINED     04           0           0         600
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101       6,218     340,700  SH     OTHER       04     340,700           0           0
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101           4         200  SH     OTHER       05         200           0           0
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101       2,854     156,405  SH     DEFINED  01,08     156,405           0           0
INTERNATIONAL FLAVORS&FRAGRANC    COM   459506101          20       1,100  SH     DEFINED     10           0       1,100           0

INTERNATIONAL GAME TECHNOLOGY     COM   459902102       1,624      48,307  SH     DEFINED     01      43,555           0       4,752
INTERNATIONAL GAME TECHNOLOGY     COM   459902102           7         200  SH     OTHER       01           0         200           0
INTERNATIONAL GAME TECHNOLOGY     COM   459902102           7         200  SH     DEFINED     02         200           0           0
INTERNATIONAL GAME TECHNOLOGY     COM   459902102       7,588     225,676  SH     DEFINED  01,08     225,676           0           0

INTERNATIONAL MULTIFOODS CORP     COM   460043102         726      41,771  SH     DEFINED     01      38,367           0       3,404
INTERNATIONAL MULTIFOODS CORP     COM   460043102           8         450  SH     OTHER       01         450           0           0
INTERNATIONAL MULTIFOODS CORP     COM   460043102          43       2,500  SH     DEFINED     04       2,500           0           0
INTERNATIONAL MULTIFOODS CORP     COM   460043102         936      53,886  SH     DEFINED  01,08      53,886           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    249
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>       <C>      <C>          <C>         <C>             <C>      <C>           <C>           <C>
INTL PAPER CO                     COM   460146103      32,802   1,143,438  SH     DEFINED     01     932,721     175,791      34,926
INTL PAPER CO                     COM   460146103       1,757      61,231  SH     OTHER       01      43,829      17,154         248
INTL PAPER CO                     COM   460146103         327      11,399  SH     DEFINED     02         704      10,695           0
INTL PAPER CO                     COM   460146103          70       2,434  SH     OTHER       02       2,134         300           0
INTL PAPER CO                     COM   460146103         565      19,710  SH     DEFINED     03      11,660       7,250         800
INTL PAPER CO                     COM   460146103       1,054      36,726  SH     OTHER       03      33,101       3,625           0
INTL PAPER CO                     COM   460146103         961      33,494  SH     DEFINED     04      33,353           0         141
INTL PAPER CO                     COM   460146103         358      12,495  SH     OTHER       04      12,495           0           0
INTL PAPER CO                     COM   460146103         111       3,865  SH     DEFINED     05       3,565           0         300
INTL PAPER CO                     COM   460146103      37,444   1,305,260  SH     DEFINED  01,08     773,599     445,233      86,428
INTL PAPER CO                     COM   460146103          74       2,589  SH     DEFINED     09       2,589           0           0
INTL PAPER CO                     COM   460146103         123       4,287  SH     DEFINED     10       1,759       2,528           0
INTL PAPER CO                     COM   460146103          57       2,000  SH     OTHER       10       2,000           0           0

INTERNATIONAL RECTIFIER CORP   CONV DEB 460254AD7         458     500,000  PRN    DEFINED     01     500,000           0           0

INTERNATIONAL RECTIFIER CORP      COM   460254105       2,201      43,581  SH     DEFINED     01      37,529         550       5,502
INTERNATIONAL RECTIFIER CORP      COM   460254105         116       2,300  SH     DEFINED     04       2,300           0           0
INTERNATIONAL RECTIFIER CORP      COM   460254105       8,558     169,460  SH     DEFINED  01,08     169,460           0           0

INTERNATIONAL SHIPHOLDING CORP    COM   460321201         134      15,788  SH     DEFINED  01,08      15,788           0           0

INTERNATIONAL SPEEDWAY CORP       COM   460335201       1,257      32,236  SH     DEFINED     01      31,395           0         841
INTERNATIONAL SPEEDWAY CORP       COM   460335201          47       1,208  SH     DEFINED     04       1,208           0           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201         226       5,800  SH     OTHER       04       5,000           0         800
INTERNATIONAL SPEEDWAY CORP       COM   460335201       4,431     113,612  SH     DEFINED  01,08     113,612           0           0

INTL SPECIALTY PRODS INC NEW      COM   460337108         200      37,173  SH     DEFINED     01      34,613           0       2,560
INTL SPECIALTY PRODS INC NEW      COM   460337108         705     131,106  SH     DEFINED  01,08     131,106           0           0

INTERNEURON PHARMACEUTICALS       COM   460573108         154      67,716  SH     DEFINED  01,08      67,716           0           0

INTERNET CAP GROUP INC            COM   46059C106         371      21,290  SH     DEFINED     01      16,487           0       4,803
INTERNET CAP GROUP INC            COM   46059C106           3         200  SH     OTHER       01         200           0           0
INTERNET CAP GROUP INC            COM   46059C106           7         400  SH     DEFINED     02           0         200         200
INTERNET CAP GROUP INC            COM   46059C106          45       2,592  SH     DEFINED     04       2,542           0          50
INTERNET CAP GROUP INC            COM   46059C106          10         600  SH     OTHER       04         200           0         400
INTERNET CAP GROUP INC            COM   46059C106       1,054      60,460  SH     DEFINED  01,08      60,460           0           0

INTERNET PICTURES CORP            COM   46059S101         265      48,729  SH     DEFINED     01      47,900           0         829
INTERNET PICTURES CORP            COM   46059S101           8       1,500  SH     OTHER       04           0           0       1,500
INTERNET PICTURES CORP            COM   46059S101         284      52,146  SH     DEFINED  01,08      52,146           0           0

INTERPHASE CORP                   COM   460593106         169      10,181  SH     DEFINED  01,08      10,181           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    250
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
INTERNET SEC SYS INC              COM   46060X107         176       2,342  SH     DEFINED     01       1,270           0       1,072
INTERNET SEC SYS INC              COM   46060X107         301       4,000  SH     OTHER       01           0           0       4,000
INTERNET SEC SYS INC              COM   46060X107          60         800  SH     DEFINED     04         500           0         300
INTERNET SEC SYS INC              COM   46060X107          38         500  SH     OTHER       04         500           0           0
INTERNET SEC SYS INC              COM   46060X107       4,836      64,375  SH     DEFINED  01,08      64,375           0           0

INTERPLAY ENTMT CORP              COM   460615107         163      42,726  SH     DEFINED  01,08      42,726           0           0

INTERPOOL INC                     COM   46062R108         421      36,837  SH     DEFINED     01      34,516           0       2,321
INTERPOOL INC                     COM   46062R108         447      39,094  SH     DEFINED  01,08      39,094           0           0

INTERPORE INTL                    COM   46062W107         156      20,858  SH     DEFINED  01,08      20,858           0           0

INTERSIL HLDG CORP                COM   46069S109          81       1,621  SH     DEFINED     01       1,033           0         588
INTERSIL HLDG CORP                COM   46069S109          10         200  SH     DEFINED     04         200           0           0
INTERSIL HLDG CORP                COM   46069S109       1,630      32,674  SH     DEFINED  01,08      32,674           0           0

INTERPUBLIC GROUP COS INC         COM   460690100      57,609   1,691,285  SH     DEFINED     01   1,230,211     397,563      63,511
INTERPUBLIC GROUP COS INC         COM   460690100      11,074     325,111  SH     OTHER       01     213,453      99,458      12,200
INTERPUBLIC GROUP COS INC         COM   460690100       7,358     216,007  SH     DEFINED     02     152,761      51,615      11,631
INTERPUBLIC GROUP COS INC         COM   460690100       3,040      89,256  SH     OTHER       02      55,056      27,810       6,390
INTERPUBLIC GROUP COS INC         COM   460690100      10,303     302,479  SH     DEFINED     03     147,505     143,732      11,242
INTERPUBLIC GROUP COS INC         COM   460690100       1,844      54,123  SH     OTHER       03      38,215      14,608       1,300
INTERPUBLIC GROUP COS INC         COM   460690100      13,868     407,142  SH     DEFINED     04     389,442           0      17,700
INTERPUBLIC GROUP COS INC         COM   460690100       6,172     181,199  SH     OTHER       04     174,149           0       7,050
INTERPUBLIC GROUP COS INC         COM   460690100       4,092     120,120  SH     DEFINED     05      67,270      39,950      12,900
INTERPUBLIC GROUP COS INC         COM   460690100         564      16,550  SH     OTHER       05       5,950      10,600           0
INTERPUBLIC GROUP COS INC         COM   460690100      15,575     457,249  SH     DEFINED  01,08     457,249           0           0
INTERPUBLIC GROUP COS INC         COM   460690100         445      13,050  SH     DEFINED     09      13,050           0           0
INTERPUBLIC GROUP COS INC         COM   460690100         371      10,890  SH     DEFINED     10       8,250       2,640           0
INTERPUBLIC GROUP COS INC         COM   460690100         110       3,244  SH     OTHER       10           0       3,244           0

INTERSPEED INC                    COM   46070W107         100      14,547  SH     DEFINED  01,08      14,547           0           0

INTERSTATE BAKERIES CORP DEL      COM   46072H108         841      57,483  SH     DEFINED     01      51,211           0       6,272
INTERSTATE BAKERIES CORP DEL      COM   46072H108           4         300  SH     DEFINED     04         300           0           0
INTERSTATE BAKERIES CORP DEL      COM   46072H108       2,711     185,362  SH     DEFINED  01,08     185,362           0           0

INTERSYSTEMS INC DEL              COM   460920101           6      12,900  SH     DEFINED  01,08      12,900           0           0

INTRANET SOLUTIONS INC            COM   460939309         851      17,013  SH     DEFINED     01      16,735           0         278
INTRANET SOLUTIONS INC            COM   460939309       1,458      29,165  SH     DEFINED  01,08      29,165           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    251
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
INTERNET COM CORP                 COM   460967102         357      11,543  SH     DEFINED     01      11,342           0         201
INTERNET COM CORP                 COM   460967102           9         300  SH     DEFINED     04         300           0           0
INTERNET COM CORP                 COM   460967102       1,097      35,460  SH     DEFINED  01,08      35,460           0           0

INTERTAN INC                      COM   461120107         796      55,145  SH     DEFINED     01      54,037           0       1,108
INTERTAN INC                      COM   461120107         408      28,266  SH     DEFINED  01,08      28,266           0           0
INTERTAN INC                      COM   461120107          65       4,500  SH     DEFINED     10       4,500           0           0

INTERTRUST TECHNOLOGIES CORP      COM   46113Q109         791      65,613  SH     DEFINED     01      63,919           0       1,694
INTERTRUST TECHNOLOGIES CORP      COM   46113Q109          26       2,160  SH     DEFINED     04       2,160           0           0
INTERTRUST TECHNOLOGIES CORP      COM   46113Q109       1,165      96,606  SH     DEFINED  01,08      96,606           0           0

INTERWORLD CORP                   COM   46114Q108          77      20,124  SH     DEFINED     01      19,796           0         328
INTERWORLD CORP                   COM   46114Q108         138      36,089  SH     DEFINED  01,08      36,089           0           0

INTERWOVEN INC                    COM   46114T102       4,063      35,938  SH     DEFINED     01      34,932           0       1,006
INTERWOVEN INC                    COM   46114T102       8,744      77,342  SH     DEFINED  01,08      77,342           0           0

INTERVOICE-BRITE INC              COM   461142101         530      50,484  SH     DEFINED     01      49,709           0         775
INTERVOICE-BRITE INC              COM   461142101       1,081     102,908  SH     DEFINED  01,08     102,908           0           0

INTEST CORP                       COM   461147100         304      31,250  SH     DEFINED     01      27,650       3,600           0
INTEST CORP                       COM   461147100         157      16,122  SH     DEFINED  01,08      16,122           0           0

INTEVAC INC                       COM   461148108          76      14,500  SH     DEFINED  01,08      14,500           0           0

INTIMATE BRANDS INC               COM   461156101         348      18,627  SH     DEFINED     01       4,222      11,600       2,805
INTIMATE BRANDS INC               COM   461156101          37       2,000  SH     OTHER       01       2,000           0           0
INTIMATE BRANDS INC               COM   461156101           5         282  SH     DEFINED     03           0         282           0
INTIMATE BRANDS INC               COM   461156101          10         524  SH     DEFINED     04         524           0           0
INTIMATE BRANDS INC               COM   461156101          10         525  SH     OTHER       04         525           0           0
INTIMATE BRANDS INC               COM   461156101       7,071     378,376  SH     DEFINED  01,08     378,376           0           0

INTRABIOTICS PHARMACEUTICALS      COM   46116T100          70       4,298  SH     DEFINED     01       2,963           0       1,335
INTRABIOTICS PHARMACEUTICALS      COM   46116T100         664      40,874  SH     DEFINED  01,08      40,874           0           0

INTRAWARE INC                     COM   46118M103         118      15,765  SH     DEFINED     01      15,509           0         256
INTRAWARE INC                     COM   46118M103           5         700  SH     OTHER       01           0           0         700
INTRAWARE INC                     COM   46118M103           5         715  SH     OTHER       03           0         715           0
INTRAWARE INC                     COM   46118M103         283      37,901  SH     DEFINED  01,08      37,901           0           0

INTUITIVE SURGICAL INC            COM   46120E107         468      39,800  SH     DEFINED  01,08      39,800           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    252
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
INTUIT                            COM   461202103      45,014     789,726  SH     DEFINED     01     724,256      54,200      11,270
INTUIT                            COM   461202103      15,738     276,110  SH     OTHER       01           0     260,600      15,510
INTUIT                            COM   461202103           2          35  SH     DEFINED     02           0          35           0
INTUIT                            COM   461202103          15         264  SH     DEFINED     03           0         264           0
INTUIT                            COM   461202103           1          16  SH     DEFINED     04          16           0           0
INTUIT                            COM   461202103          86       1,500  SH     OTHER       04       1,500           0           0
INTUIT                            COM   461202103      32,699     573,658  SH     DEFINED  01,08     573,658           0           0
INTUIT                            COM   461202103          17         300  SH     DEFINED     10         300           0           0

INVACARE CORP                     COM   461203101         939      29,235  SH     DEFINED     01      21,653       1,883       5,699
INVACARE CORP                     COM   461203101         257       8,000  SH     OTHER       01       8,000           0           0
INVACARE CORP                     COM   461203101         296       9,200  SH     DEFINED     03           0       9,200           0
INVACARE CORP                     COM   461203101       3,174      98,795  SH     DEFINED  01,08      98,795           0           0

INTRUSION COM INC                 COM   46121E106         395      33,296  SH     DEFINED     01      33,026           0         270
INTRUSION COM INC                 COM   46121E106          30       2,500  SH     DEFINED     02           0       2,500           0
INTRUSION COM INC                 COM   46121E106         393      33,077  SH     DEFINED  01,08      33,077           0           0

INVERNESS MED TECHNOLOGY INC      COM   461268104         428      22,249  SH     DEFINED  01,08      22,249           0           0

INVESCO GLOBAL HEALTH SCIENCES    COM   46128N109         311      15,270  SH     DEFINED     01           0      15,270           0
INVESCO GLOBAL HEALTH SCIENCES    COM   46128N109         128       6,259  SH     DEFINED     04       6,259           0           0
INVESCO GLOBAL HEALTH SCIENCES    COM   46128N109          20       1,000  SH     OTHER       04           0           0       1,000

INVESTMENT GRADE MUN INCOME FD    COM   461368102           1       8,868  SH     DEFINED     01           0       8,868           0
INVESTMENT GRADE MUN INCOME FD    COM   461368102         293      21,315  SH     OTHER       04      21,315           0           0

INVESTMENT TECHNOLOGY GRP NEW     COM   46145F105       1,849      46,289  SH     DEFINED     01      45,295           0         994
INVESTMENT TECHNOLOGY GRP NEW     COM   46145F105       3,561      89,175  SH     DEFINED  01,08      89,175           0           0

INVESTORS TITLE CO                COM   461804106         124      11,816  SH     DEFINED  01,08      11,816           0           0

INVITROGEN CORP                   COM   46185R100         991      13,933  SH     DEFINED     01       9,082       4,500         351
INVITROGEN CORP                   COM   46185R100       2,650      37,260  SH     DEFINED  01,08      37,260           0           0

INVESTORS FINL SERVICES CORP      COM   461915100       2,057      32,589  SH     DEFINED     01      30,066           0       2,523
INVESTORS FINL SERVICES CORP      COM   461915100       3,128      49,552  SH     DEFINED  01,08      49,552           0           0

IOMEGA CORP                       COM   462030107       1,287     257,406  SH     DEFINED     01     239,205         200      18,001
IOMEGA CORP                       COM   462030107          57      11,400  SH     DEFINED     04       9,400           0       2,000
IOMEGA CORP                       COM   462030107           6       1,200  SH     OTHER       04       1,200           0           0
IOMEGA CORP                       COM   462030107       2,090     417,944  SH     DEFINED  01,08     417,944           0           0

ION NETWORKS INC                  COM   46205P100          49      19,939  SH     DEFINED  01,08      19,939           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    253
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
IONA TECHNOLOGIES PLC             COM   46206P109       8,034     115,600  SH     DEFINED     01     107,900           0       7,700
IONA TECHNOLOGIES PLC             COM   46206P109          21         300  SH     DEFINED     04         300           0           0

IONICS INC                        COM   462218108         344      16,142  SH     DEFINED     01      13,151           0       2,991
IONICS INC                        COM   462218108           8         375  SH     DEFINED     05         375           0           0
IONICS INC                        COM   462218108       1,067      50,075  SH     DEFINED  01,08      50,075           0           0

IPALCO ENTERPRISES INC            COM   462613100       2,033      88,890  SH     DEFINED     01      79,023       2,544       7,323
IPALCO ENTERPRISES INC            COM   462613100         160       7,002  SH     OTHER       01       5,802       1,200           0
IPALCO ENTERPRISES INC            COM   462613100          41       1,800  SH     DEFINED     02       1,800           0           0
IPALCO ENTERPRISES INC            COM   462613100         137       6,000  SH     DEFINED     03       6,000           0           0
IPALCO ENTERPRISES INC            COM   462613100         203       8,891  SH     DEFINED     04       8,891           0           0
IPALCO ENTERPRISES INC            COM   462613100         247      10,817  SH     OTHER       04      10,817           0           0
IPALCO ENTERPRISES INC            COM   462613100       5,409     236,454  SH     DEFINED  01,08     236,454           0           0
IPALCO ENTERPRISES INC            COM   462613100          25       1,100  SH     OTHER       09       1,100           0           0
IPALCO ENTERPRISES INC            COM   462613100         231      10,100  SH     DEFINED     10       8,000       2,100           0
IPALCO ENTERPRISES INC            COM   462613100          68       2,968  SH     OTHER       10       2,968           0           0

IPRINT COM INC                    COM   462628108         131      37,401  SH     DEFINED  01,08      37,401           0           0

IRON MTN INC PA                   COM   462846106         275       7,430  SH     DEFINED     01       2,608       3,250       1,572
IRON MTN INC PA                   COM   462846106          37       1,000  SH     OTHER       01           0           0       1,000
IRON MTN INC PA                   COM   462846106          50       1,347  SH     DEFINED     04       1,347           0           0
IRON MTN INC PA                   COM   462846106       2,824      76,332  SH     DEFINED  01,08      76,332           0           0

IROQUOIS BANCORP INC              COM   463347104         630      19,100  SH     DEFINED     01      19,100           0           0
IROQUOIS BANCORP INC              COM   463347104         114       3,453  SH     DEFINED  01,08       3,453           0           0

IRVINE SENSORS CORP               COM   463664102         126      41,835  SH     DEFINED  01,08      41,835           0           0

IRWIN FINL CORP                   COM   464119106         100       6,119  SH     DEFINED     01       4,129           0       1,990
IRWIN FINL CORP                   COM   464119106         664      40,557  SH     DEFINED  01,08      40,557           0           0

ISHARES INC                       COM   464286848          66       5,000  SH     DEFINED     01           0       4,800         200
ISHARES INC                       COM   464286848          18       1,350  SH     DEFINED     02           0           0       1,350
ISHARES INC                       COM   464286848          19       1,400  SH     OTHER       02           0       1,400           0
ISHARES INC                       COM   464286848         133      10,000  SH     OTHER       04           0           0      10,000

ISIS PHARMACEUTICALS INC          COM   464330109         434      37,753  SH     DEFINED     01      35,642           0       2,111
ISIS PHARMACEUTICALS INC          COM   464330109           1          92  SH     DEFINED     03          92           0           0
ISIS PHARMACEUTICALS INC          COM   464330109          16       1,400  SH     DEFINED     04       1,400           0           0
ISIS PHARMACEUTICALS INC          COM   464330109          12       1,000  SH     OTHER       04           0           0       1,000
ISIS PHARMACEUTICALS INC          COM   464330109         678      58,958  SH     DEFINED  01,08      58,958           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    254
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
ISLE OF CAPRI CASINOS INC         COM   464592104         538      34,707  SH     DEFINED     01      34,250           0         457
ISLE OF CAPRI CASINOS INC         COM   464592104          16       1,000  SH     DEFINED     04       1,000           0           0
ISLE OF CAPRI CASINOS INC         COM   464592104         723      46,666  SH     DEFINED  01,08      46,666           0           0

ISOLYSER INC                      COM   464888106         112      54,100  SH     DEFINED     01      54,100           0           0
ISOLYSER INC                      COM   464888106         136      65,989  SH     DEFINED  01,08      65,989           0           0

ISPAT INTL N V                    COM   464899103          85      16,900  SH     DEFINED     01           0      16,900           0

IT GROUP INC                      COM   465266104         204      42,863  SH     DEFINED     01      42,863           0           0
IT GROUP INC                      COM   465266104         220      46,360  SH     DEFINED  01,08      46,360           0           0

ITRON INC                         COM   465741106          70      11,500  SH     DEFINED     01      11,300           0         200
ITRON INC                         COM   465741106         155      25,386  SH     DEFINED  01,08      25,386           0           0

ITURF INC                         COM   46575Q100          13      10,793  SH     DEFINED  01,08      10,793           0           0

I2 TECHNOLOGIES INC               COM   465754109      48,187     257,601  SH     DEFINED     01     242,781       3,170      11,650
I2 TECHNOLOGIES INC               COM   465754109         374       2,000  SH     OTHER       01           0       2,000           0
I2 TECHNOLOGIES INC               COM   465754109           7          40  SH     DEFINED     02          40           0           0
I2 TECHNOLOGIES INC               COM   465754109          37         200  SH     OTHER       02           0         200           0
I2 TECHNOLOGIES INC               COM   465754109          95         510  SH     DEFINED     04         510           0           0
I2 TECHNOLOGIES INC               COM   465754109          58         310  SH     OTHER       04         310           0           0
I2 TECHNOLOGIES INC               COM   465754109      28,659     153,208  SH     DEFINED  01,08     153,208           0           0

IVAX CORP                      CONV DEB 465823AB8       1,440   1,000,000  PRN    DEFINED     01   1,000,000           0           0

IVAX CORP                         COM   465823102       5,797     126,028  SH     DEFINED     01      94,397      24,300       7,331
IVAX CORP                         COM   465823102       2,001      43,496  SH     DEFINED     04      43,496           0           0
IVAX CORP                         COM   465823102          71       1,550  SH     OTHER       04       1,550           0           0
IVAX CORP                         COM   465823102      19,905     432,715  SH     DEFINED  01,08     432,715           0           0
IVAX CORP                         COM   465823102          37         806  SH     DEFINED     10         281         525           0

IVEX PACKAGING CORP DEL           COM   465855104         180      18,304  SH     DEFINED     01      16,566           0       1,738
IVEX PACKAGING CORP DEL           COM   465855104       1,053     107,333  SH     DEFINED  01,08     107,333           0           0

IVILLAGE INC                      COM   46588H105          46      11,918  SH     DEFINED     01       8,347           0       3,571
IVILLAGE INC                      COM   46588H105           6       1,529  SH     OTHER       01           0           0       1,529
IVILLAGE INC                      COM   46588H105         157      40,409  SH     DEFINED  01,08      40,409           0           0

JDN RLTY CORP                     COM   465917102         243      21,439  SH     DEFINED     01      15,132           0       6,307
JDN RLTY CORP                     COM   465917102          68       6,000  SH     DEFINED     03           0       6,000           0
JDN RLTY CORP                     COM   465917102          95       8,394  SH     DEFINED  01,08       8,394           0           0

JPM CO                            COM   465933109          57      10,500  SH     DEFINED  01,08      10,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    255
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
IXYS CORP                         COM   46600W106         120       4,584  SH     DEFINED     01       4,434           0         150
IXYS CORP                         COM   46600W106         714      27,326  SH     DEFINED  01,08      27,326           0           0

J & J SNACK FOODS CORP            COM   466032109          96       7,400  SH     DEFINED     01       7,400           0           0
J & J SNACK FOODS CORP            COM   466032109         369      28,534  SH     DEFINED  01,08      28,534           0           0

J ALEXANDER CORP                  COM   466096104          51      16,088  SH     DEFINED  01,08      16,088           0           0

JB OXFORD HLDGS INC               COM   466107109          77      21,300  SH     DEFINED  01,08      21,300           0           0

JDS UNIPHASE CORP                 COM   46612J101     297,163   3,138,372  SH     DEFINED     01   2,603,450     395,170     139,752
JDS UNIPHASE CORP                 COM   46612J101       9,450      99,804  SH     OTHER       01      40,345      53,489       5,970
JDS UNIPHASE CORP                 COM   46612J101       7,673      81,040  SH     DEFINED     02      36,185      37,795       7,060
JDS UNIPHASE CORP                 COM   46612J101       1,504      15,885  SH     OTHER       02       5,160       9,470       1,255
JDS UNIPHASE CORP                 COM   46612J101      23,967     253,116  SH     DEFINED     03      90,317     150,249      12,550
JDS UNIPHASE CORP                 COM   46612J101       2,958      31,245  SH     OTHER       03      14,465      13,990       2,790
JDS UNIPHASE CORP                 COM   46612J101     138,044   1,457,901  SH     DEFINED     04   1,399,956           0      57,945
JDS UNIPHASE CORP                 COM   46612J101      42,041     444,000  SH     OTHER       04     427,260           0      16,740
JDS UNIPHASE CORP                 COM   46612J101         942       9,950  SH     DEFINED     05       9,225         150         575
JDS UNIPHASE CORP                 COM   46612J101         156       1,650  SH     OTHER       05       1,100         550           0
JDS UNIPHASE CORP                 COM   46612J101     129,910   1,371,999  SH     DEFINED  01,08   1,371,799           0         200
JDS UNIPHASE CORP                 COM   46612J101         571       6,030  SH     DEFINED     09       6,030           0           0
JDS UNIPHASE CORP                 COM   46612J101           9         100  SH     OTHER       09         100           0           0
JDS UNIPHASE CORP                 COM   46612J101       5,361      56,622  SH     DEFINED     10      24,412      32,110         100
JDS UNIPHASE CORP                 COM   46612J101         541       5,711  SH     OTHER       10       1,686       3,875         150

JDA SOFTWARE GROUP INC            COM   46612K108         174      13,679  SH     DEFINED     01      10,060           0       3,619
JDA SOFTWARE GROUP INC            COM   46612K108          71       5,600  SH     DEFINED     04           0           0       5,600
JDA SOFTWARE GROUP INC            COM   46612K108         383      30,043  SH     DEFINED  01,08      30,043           0           0

J JILL GROUP INC                  COM   466189107         229      17,749  SH     DEFINED  01,08      17,749           0           0

JLG INDS INC                      COM   466210101         375      30,787  SH     DEFINED     01      16,340       4,600       9,847
JLG INDS INC                      COM   466210101       1,563     128,225  SH     DEFINED  01,08     128,225           0           0

JMAR TECHNOLOGIES INC             COM   466212107           1         100  SH     DEFINED     03           0         100           0
JMAR TECHNOLOGIES INC             COM   466212107         211      25,414  SH     DEFINED  01,08      25,414           0           0

JNI CORP                          COM   46622G105         573       6,440  SH     DEFINED     01       6,331           0         109
JNI CORP                          COM   46622G105          13         150  SH     DEFINED     04         150           0           0
JNI CORP                          COM   46622G105           4          50  SH     OTHER       04          50           0           0
JNI CORP                          COM   46622G105       2,526      28,382  SH     DEFINED  01,08      28,382           0           0

JPS PACKAGING CO                  COM   46623H102          66      14,375  SH     DEFINED  01,08      14,375           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    256
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
JP REALTY INC                     COM   46624A106         166       9,187  SH     DEFINED     01       6,866           0       2,321
JP REALTY INC                     COM   46624A106          54       3,000  SH     DEFINED     04       3,000           0           0
JP REALTY INC                     COM   46624A106          55       3,019  SH     DEFINED  01,08       3,019           0           0

JABIL CIRCUIT INC                 COM   466313103       8,021     141,347  SH     DEFINED     01     123,358       8,000       9,989
JABIL CIRCUIT INC                 COM   466313103         747      13,168  SH     DEFINED     04      12,668           0         500
JABIL CIRCUIT INC                 COM   466313103         149       2,620  SH     OTHER       04         500           0       2,120
JABIL CIRCUIT INC                 COM   466313103      29,423     518,463  SH     DEFINED  01,08     518,463           0           0
JABIL CIRCUIT INC                 COM   466313103          23         400  SH     DEFINED     10         400           0           0

JACK IN THE BOX INC               COM   466367109         931      43,411  SH     DEFINED     01      37,263       3,200       2,948
JACK IN THE BOX INC               COM   466367109       1,333      62,173  SH     DEFINED  01,08      62,173           0           0

JACKPOT ENTERPRISES INC           COM   466392107          37       3,900  SH     DEFINED     01       3,900           0           0
JACKPOT ENTERPRISES INC           COM   466392107           2         220  SH     DEFINED     02         220           0           0
JACKPOT ENTERPRISES INC           COM   466392107         203      21,509  SH     DEFINED  01,08      21,509           0           0

JACO ELECTRS INC                  COM   469783104          23       1,500  SH     DEFINED     04       1,500           0           0
JACO ELECTRS INC                  COM   469783104         211      14,051  SH     DEFINED  01,08      14,051           0           0

JACOBS ENGR GROUP INC DEL         COM   469814107       1,604      39,791  SH     DEFINED     01      33,787       1,100       4,904
JACOBS ENGR GROUP INC DEL         COM   469814107          36         900  SH     OTHER       01         400         500           0
JACOBS ENGR GROUP INC DEL         COM   469814107          48       1,200  SH     DEFINED     02       1,200           0           0
JACOBS ENGR GROUP INC DEL         COM   469814107         242       6,000  SH     DEFINED     03           0       6,000           0
JACOBS ENGR GROUP INC DEL         COM   469814107         117       2,911  SH     DEFINED     04       2,911           0           0
JACOBS ENGR GROUP INC DEL         COM   469814107       3,046      75,567  SH     DEFINED  01,08      75,567           0           0
JACOBS ENGR GROUP INC DEL         COM   469814107         164       4,068  SH     DEFINED     09       4,068           0           0

JACOBSON STORES INC               COM   469834105          84      19,425  SH     DEFINED  01,08      19,425           0           0

JAKKS PAC INC                     COM   47012E106         163      17,316  SH     DEFINED     01      14,887           0       2,429
JAKKS PAC INC                     COM   47012E106         244      25,889  SH     DEFINED  01,08      25,889           0           0

JEFFERIES GROUP INC NEW           COM   472319102         558      20,766  SH     DEFINED     01      14,228         800       5,738
JEFFERIES GROUP INC NEW           COM   472319102       1,238      46,082  SH     DEFINED  01,08      46,082           0           0

JEFFERSON SVGS BANCORP INC        COM   474900107         109       8,000  SH     DEFINED     01       8,000           0           0
JEFFERSON SVGS BANCORP INC        COM   474900107          79       5,764  SH     DEFINED  01,08       5,764           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    257
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
JEFFERSON PILOT CORP              COM   475070108      12,771     188,148  SH     DEFINED     01     150,512      26,486      11,150
JEFFERSON PILOT CORP              COM   475070108         946      13,936  SH     OTHER       01      13,886           0          50
JEFFERSON PILOT CORP              COM   475070108          15         225  SH     DEFINED     03           0         225           0
JEFFERSON PILOT CORP              COM   475070108          18         267  SH     OTHER       03         267           0           0
JEFFERSON PILOT CORP              COM   475070108          56         829  SH     DEFINED     04         829           0           0
JEFFERSON PILOT CORP              COM   475070108       1,538      22,657  SH     OTHER       04      22,657           0           0
JEFFERSON PILOT CORP              COM   475070108          16         234  SH     DEFINED     05         234           0           0
JEFFERSON PILOT CORP              COM   475070108      10,832     159,581  SH     DEFINED  01,08     159,581           0           0

JFAX COM INC                      COM   477366108         211     160,868  SH     DEFINED  01,08     160,868           0           0

JO-ANN STORES INC                 COM   47758P109          89      12,300  SH     DEFINED     01      12,300           0           0
JO-ANN STORES INC                 COM   47758P109           2         300  SH     OTHER       04         300           0           0
JO-ANN STORES INC                 COM   47758P109         263      36,300  SH     DEFINED  01,08      36,300           0           0

JOHN NUVEEN CO                    COM   478035108         366       7,566  SH     DEFINED     01       6,845         500         221
JOHN NUVEEN CO                    COM   478035108       2,250      46,509  SH     DEFINED  01,08      46,509           0           0

JOHNS MANVILLE CORP NEW           COM   478129109          43       3,761  SH     DEFINED     01       2,889           0         872
JOHNS MANVILLE CORP NEW           COM   478129109       1,961     173,351  SH     DEFINED  01,08     173,351           0           0

JOHNSON & JOHNSON                 COM   478160104     394,936   4,204,264  SH     DEFINED     01   3,195,184     716,864     292,216
JOHNSON & JOHNSON                 COM   478160104      79,127     842,339  SH     OTHER       01     408,733     381,423      52,183
JOHNSON & JOHNSON                 COM   478160104      21,268     226,402  SH     DEFINED     02     131,657      75,792      18,953
JOHNSON & JOHNSON                 COM   478160104      11,237     119,627  SH     OTHER       02      70,517      35,406      13,704
JOHNSON & JOHNSON                 COM   478160104      24,183     257,438  SH     DEFINED     03     129,603     116,181      11,654
JOHNSON & JOHNSON                 COM   478160104       9,207      98,009  SH     OTHER       03      58,120      31,344       8,545
JOHNSON & JOHNSON                 COM   478160104     106,581   1,134,601  SH     DEFINED     04   1,087,991           0      46,610
JOHNSON & JOHNSON                 COM   478160104     111,026   1,181,922  SH     OTHER       04   1,143,334           0      38,588
JOHNSON & JOHNSON                 COM   478160104       7,551      80,380  SH     DEFINED     05      61,119      17,400       1,861
JOHNSON & JOHNSON                 COM   478160104       3,990      42,475  SH     OTHER       05      13,875      22,600       6,000
JOHNSON & JOHNSON                 COM   478160104         282       3,000  SH     OTHER    04,07           0           0       3,000
JOHNSON & JOHNSON                 COM   478160104     198,259   2,110,550  SH     DEFINED  01,08   2,106,165       4,385           0
JOHNSON & JOHNSON                 COM   478160104         556       5,923  SH     DEFINED     09       5,923           0           0
JOHNSON & JOHNSON                 COM   478160104         132       1,400  SH     OTHER       09       1,200         200           0
JOHNSON & JOHNSON                 COM   478160104      15,411     164,059  SH     DEFINED     10      84,896      78,563         600
JOHNSON & JOHNSON                 COM   478160104       3,932      41,853  SH     OTHER       10      14,946      26,607         300
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    258
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
JOHNSON CTLS INC                  COM   478366107      11,443     215,151  SH     DEFINED     01     157,887      36,460      20,804
JOHNSON CTLS INC                  COM   478366107         437       8,225  SH     OTHER       01       3,200       5,025           0
JOHNSON CTLS INC                  COM   478366107          37         700  SH     DEFINED     02           0           0         700
JOHNSON CTLS INC                  COM   478366107         169       3,172  SH     OTHER       02         352       2,820           0
JOHNSON CTLS INC                  COM   478366107         495       9,300  SH     DEFINED     03       1,750       7,550           0
JOHNSON CTLS INC                  COM   478366107          76       1,425  SH     OTHER       03       1,425           0           0
JOHNSON CTLS INC                  COM   478366107         271       5,100  SH     DEFINED     04       5,100           0           0
JOHNSON CTLS INC                  COM   478366107       1,043      19,601  SH     OTHER       04      19,601           0           0
JOHNSON CTLS INC                  COM   478366107         101       1,900  SH     DEFINED     05       1,500         400           0
JOHNSON CTLS INC                  COM   478366107         194       3,650  SH     OTHER       05         600       3,050           0
JOHNSON CTLS INC                  COM   478366107       7,014     131,880  SH     DEFINED  01,08     131,880           0           0
JOHNSON CTLS INC                  COM   478366107         215       4,041  SH     DEFINED     10         125       3,916           0

JOHNSON OUTDOORS INC              COM   479167108         136      19,653  SH     DEFINED  01,08      19,653           0           0

JONES APPAREL GROUP INC           COM   480074103       2,125      80,173  SH     DEFINED     01      74,652           0       5,521
JONES APPAREL GROUP INC           COM   480074103           4         160  SH     OTHER       04         100           0          60
JONES APPAREL GROUP INC           COM   480074103       8,635     325,835  SH     DEFINED  01,08     325,835           0           0
JONES APPAREL GROUP INC           COM   480074103          29       1,100  SH     DEFINED     10       1,100           0           0

JONES LANG LASALLE INC            COM   48020Q107         253      19,498  SH     DEFINED     01      14,734           0       4,764
JONES LANG LASALLE INC            COM   48020Q107         100       7,721  SH     DEFINED  01,08       7,721           0           0

JOS A BANK CLOTHIERS INC          COM   480838101          54      12,000  SH     DEFINED     04      12,000           0           0
JOS A BANK CLOTHIERS INC          COM   480838101          23       5,000  SH     OTHER       04       5,000           0           0
JOS A BANK CLOTHIERS INC          COM   480838101          50      11,000  SH     DEFINED  01,08      11,000           0           0

JOULE INC                         COM   481109106          14      10,100  SH     DEFINED  01,08      10,100           0           0

JOURNAL REGISTER CO               COM   481138105         896      53,895  SH     DEFINED     01      45,581           0       8,314
JOURNAL REGISTER CO               COM   481138105         852      51,252  SH     DEFINED  01,08      51,252           0           0

JUDGE COM INC                     COM   481271104          31      24,900  SH     DEFINED     04           0           0      24,900
JUDGE COM INC                     COM   481271104           7       5,319  SH     DEFINED  01,08       5,319           0           0

JUNIPER NETWORKS INC           CONV DEB 48203RAA2       1,372     904,000  PRN    DEFINED     01     904,000           0           0

JUNIPER NETWORKS INC              COM   48203R104      87,915     401,553  SH     DEFINED     01     390,437       3,600       7,516
JUNIPER NETWORKS INC              COM   48203R104      18,550      84,728  SH     OTHER       01           0           0      84,728
JUNIPER NETWORKS INC              COM   48203R104          11          50  SH     OTHER       02           0          50           0
JUNIPER NETWORKS INC              COM   48203R104          16          75  SH     DEFINED     03          75           0           0
JUNIPER NETWORKS INC              COM   48203R104         128         585  SH     DEFINED     04         560           0          25
JUNIPER NETWORKS INC              COM   48203R104         475       2,170  SH     OTHER       04       1,920           0         250
JUNIPER NETWORKS INC              COM   48203R104      55,338     252,758  SH     DEFINED  01,08     252,758           0           0
JUNIPER NETWORKS INC              COM   48203R104          36         163  SH     DEFINED     10         163           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    259
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
JUNO ONLINE SVCS INC              COM   482048105          80      20,084  SH     DEFINED     01      19,774           0         310
JUNO ONLINE SVCS INC              COM   482048105           0         100  SH     OTHER       04         100           0           0
JUNO ONLINE SVCS INC              COM   482048105         214      53,429  SH     DEFINED  01,08      53,429           0           0

KCS ENERGY INC                    COM   482434206         191      87,400  SH     DEFINED  01,08      87,400           0           0

KFX INC                           COM   48245L107           9       3,200  SH     OTHER       03           0       3,200           0
KFX INC                           COM   48245L107          91      33,761  SH     DEFINED  01,08      33,761           0           0

KLA-TENCOR CORP                   COM   482480100      13,525     328,381  SH     DEFINED     01     258,944      50,460      18,977
KLA-TENCOR CORP                   COM   482480100           4         100  SH     OTHER       01           0           0         100
KLA-TENCOR CORP                   COM   482480100           8         200  SH     DEFINED     02           0         200           0
KLA-TENCOR CORP                   COM   482480100         268       6,500  SH     OTHER       02           0       6,500           0
KLA-TENCOR CORP                   COM   482480100         165       4,000  SH     DEFINED     03           0       4,000           0
KLA-TENCOR CORP                   COM   482480100          21         500  SH     DEFINED     04         500           0           0
KLA-TENCOR CORP                   COM   482480100           8         200  SH     OTHER       04         200           0           0
KLA-TENCOR CORP                   COM   482480100      11,592     281,450  SH     DEFINED  01,08     281,450           0           0

K MART CORP                       COM   482584109       4,983     830,499  SH     DEFINED     01     684,718     128,100      17,681
K MART CORP                       COM   482584109           4         600  SH     OTHER       01         600           0           0
K MART CORP                       COM   482584109           6       1,058  SH     DEFINED     02       1,058           0           0
K MART CORP                       COM   482584109          23       3,888  SH     DEFINED     03           0       3,888           0
K MART CORP                       COM   482584109           5         900  SH     OTHER       03         900           0           0
K MART CORP                       COM   482584109          67      11,200  SH     DEFINED     04      11,200           0           0
K MART CORP                       COM   482584109       4,570     761,700  SH     DEFINED  01,08     761,700           0           0
K MART CORP                       COM   482584109           3         522  SH     DEFINED     10         522           0           0

K-SWISS INC                       COM   482686102           2         100  SH     DEFINED     01           0           0         100
K-SWISS INC                       COM   482686102          16         700  SH     DEFINED     03           0         700           0
K-SWISS INC                       COM   482686102          36       1,600  SH     DEFINED     04       1,600           0           0
K-SWISS INC                       COM   482686102         372      16,525  SH     DEFINED  01,08      16,525           0           0

K2 INC                            COM   482732104           7         800  SH     DEFINED     01           0           0         800
K2 INC                            COM   482732104         393      44,003  SH     DEFINED  01,08      44,003           0           0

K V PHARMACEUTICAL CO             COM   482740107         655      18,979  SH     DEFINED     01      18,360           0         619
K V PHARMACEUTICAL CO             COM   482740107         161       4,663  SH     DEFINED  01,08       4,663           0           0

K V PHARMACEUTICAL CO             COM   482740206         692      19,714  SH     DEFINED  01,08      19,714           0           0

KAISER ALUMINUM CORP              COM   483007100         104      17,156  SH     DEFINED     01      11,532           0       5,624
KAISER ALUMINUM CORP              COM   483007100         169      27,873  SH     DEFINED     05           0      27,873           0
KAISER ALUMINUM CORP              COM   483007100         731     120,655  SH     DEFINED  01,08     120,655           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    260
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KAISER VENTURES INC               COM   483100103         140      12,200  SH     DEFINED     01      12,200           0           0
KAISER VENTURES INC               COM   483100103         160      13,916  SH     DEFINED  01,08      13,916           0           0

KAMAN CORP                        COM   483548103         224      17,768  SH     DEFINED     01       9,186       4,579       4,003
KAMAN CORP                        COM   483548103          24       1,920  SH     OTHER       02       1,920           0           0
KAMAN CORP                        COM   483548103         650      51,510  SH     DEFINED  01,08      51,510           0           0

KANA COMMUNICATIONS               COM   483600102         136       6,128  SH     DEFINED     01       3,912           0       2,216
KANA COMMUNICATIONS               COM   483600102           0           4  SH     DEFINED     04           4           0           0
KANA COMMUNICATIONS               COM   483600102           0           3  SH     OTHER       04           3           0           0
KANA COMMUNICATIONS               COM   483600102       1,746      78,471  SH     DEFINED  01,08      78,471           0           0

KANEB SERVICES INC                COM   484170105         384      83,091  SH     DEFINED  01,08      83,091           0           0

KANSAS CITY LIFE INS CO           COM   484836101       1,035      31,357  SH     DEFINED     01      30,034           0       1,323
KANSAS CITY LIFE INS CO           COM   484836101         333      10,078  SH     DEFINED  01,08      10,078           0           0

KANSAS CITY PWR & LT CO           COM   485134100       1,991      74,599  SH     DEFINED     01      60,739       1,300      12,560
KANSAS CITY PWR & LT CO           COM   485134100          83       3,100  SH     DEFINED     02       3,100           0           0
KANSAS CITY PWR & LT CO           COM   485134100         125       4,695  SH     OTHER       02         895       3,800           0
KANSAS CITY PWR & LT CO           COM   485134100         232       8,684  SH     DEFINED     04       8,684           0           0
KANSAS CITY PWR & LT CO           COM   485134100          59       2,220  SH     OTHER       04       2,220           0           0
KANSAS CITY PWR & LT CO           COM   485134100       4,819     180,582  SH     DEFINED  01,08     180,582           0           0

KANSAS CITY SOUTHN INDS INC       COM   485170302         208      23,909  SH     DEFINED     01      20,180       1,880       1,849
KANSAS CITY SOUTHN INDS INC       COM   485170302           4         512  SH     OTHER       01         262           0         250
KANSAS CITY SOUTHN INDS INC       COM   485170302          11       1,275  SH     DEFINED     02         950         250          75
KANSAS CITY SOUTHN INDS INC       COM   485170302           2         250  SH     OTHER       02           0         250           0
KANSAS CITY SOUTHN INDS INC       COM   485170302           4         450  SH     DEFINED     03         150         300           0
KANSAS CITY SOUTHN INDS INC       COM   485170302           4         425  SH     OTHER       03           0         425           0
KANSAS CITY SOUTHN INDS INC       COM   485170302         666      76,690  SH     DEFINED     04       7,690           0      69,000
KANSAS CITY SOUTHN INDS INC       COM   485170302           2         175  SH     OTHER       04         175           0           0
KANSAS CITY SOUTHN INDS INC       COM   485170302          24       2,816  SH     DEFINED     05       1,054       1,700          62
KANSAS CITY SOUTHN INDS INC       COM   485170302           9       1,087  SH     OTHER       05         337         425         325
KANSAS CITY SOUTHN INDS INC       COM   485170302         503      57,864  SH     DEFINED  01,08      57,864           0           0

KATY INDS INC                     COM   486026107          47       6,700  SH     DEFINED     01       6,700           0           0
KATY INDS INC                     COM   486026107         433      61,900  SH     DEFINED     04      61,900           0           0
KATY INDS INC                     COM   486026107         195      27,926  SH     DEFINED  01,08      27,926           0           0

KAUFMAN & BROAD HOME CORP         COM   486168107       2,913     108,145  SH     DEFINED     01      84,510      12,116      11,519
KAUFMAN & BROAD HOME CORP         COM   486168107           5         200  SH     OTHER       04         200           0           0
KAUFMAN & BROAD HOME CORP         COM   486168107       2,141      79,482  SH     DEFINED  01,08      79,482           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    261
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>

KAYDON CORP                       COM   486587108         791      34,391  SH     DEFINED     01      28,751           0       5,640
KAYDON CORP                       COM   486587108       2,009      87,364  SH     DEFINED  01,08      87,364           0           0
KAYDON CORP                       COM   486587108           6         240  SH     DEFINED     10         240           0           0

KAYE GROUP INC                    COM   486589104          89      15,000  SH     DEFINED     04      15,000           0           0
KAYE GROUP INC                    COM   486589104          21       3,500  SH     DEFINED  01,08       3,500           0           0

KEANE INC                         COM   486665102       1,306      75,031  SH     DEFINED     01      42,367      30,955       1,709
KEANE INC                         COM   486665102         198      11,400  SH     DEFINED     04           0           0      11,400
KEANE INC                         COM   486665102           5         300  SH     OTHER       04         300           0           0
KEANE INC                         COM   486665102       3,318     190,711  SH     DEFINED  01,08     190,711           0           0
KEANE INC                         COM   486665102           5         265  SH     DEFINED     10           0         265           0

KEEBLER FOODS CO                  COM   487256109      16,557     394,212  SH     DEFINED     01     393,147         500         565
KEEBLER FOODS CO                  COM   487256109          13         300  SH     DEFINED     04         300           0           0
KEEBLER FOODS CO                  COM   487256109           4         100  SH     OTHER       04         100           0           0
KEEBLER FOODS CO                  COM   487256109       5,160     122,863  SH     DEFINED  01,08     122,863           0           0

KEITHLEY INSTRS INC               COM   487584104         610       8,714  SH     DEFINED     01       8,572           0         142
KEITHLEY INSTRS INC               COM   487584104          21         300  SH     DEFINED     04         300           0           0
KEITHLEY INSTRS INC               COM   487584104       1,901      27,156  SH     DEFINED  01,08      27,156           0           0

KELLOGG CO                        COM   487836108      14,517     600,178  SH     DEFINED     01     573,091       5,812      21,275
KELLOGG CO                        COM   487836108         515      21,305  SH     OTHER       01      14,771       6,534           0
KELLOGG CO                        COM   487836108           6         236  SH     DEFINED     02         236           0           0
KELLOGG CO                        COM   487836108          34       1,395  SH     OTHER       02       1,395           0           0
KELLOGG CO                        COM   487836108          27       1,112  SH     DEFINED     03       1,112           0           0
KELLOGG CO                        COM   487836108         435      18,000  SH     OTHER       03      16,800       1,200           0
KELLOGG CO                        COM   487836108         762      31,520  SH     DEFINED     04      31,520           0           0
KELLOGG CO                        COM   487836108         464      19,200  SH     OTHER       04      18,800           0         400
KELLOGG CO                        COM   487836108         201       8,300  SH     OTHER       05         300       8,000           0
KELLOGG CO                        COM   487836108      13,841     572,269  SH     DEFINED  01,08     572,269           0           0
KELLOGG CO                        COM   487836108          69       2,841  SH     DEFINED     09       2,841           0           0
KELLOGG CO                        COM   487836108         331      13,699  SH     DEFINED     10       5,749       7,950           0
KELLOGG CO                        COM   487836108         150       6,200  SH     OTHER       10       6,200           0           0

KELLSTROM INDS INC                COM   488035106           2         300  SH     DEFINED     01         300           0           0
KELLSTROM INDS INC                COM   488035106           5       1,000  SH     DEFINED     04       1,000           0           0
KELLSTROM INDS INC                COM   488035106          69      13,273  SH     DEFINED  01,08      13,273           0           0

KELLWOOD CO                       COM   488044108         747      40,922  SH     DEFINED     01      35,481           0       5,441
KELLWOOD CO                       COM   488044108       1,613      88,372  SH     DEFINED  01,08      88,372           0           0
KELLWOOD CO                       COM   488044108          20       1,100  SH     DEFINED     10           0       1,100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    262
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KELLY SVCS INC                    COM   488152208         703      29,773  SH     DEFINED     01      26,768           0       3,005
KELLY SVCS INC                    COM   488152208         555      23,490  SH     OTHER       01           0           0      23,490
KELLY SVCS INC                    COM   488152208       2,330      98,604  SH     DEFINED  01,08      98,604           0           0
KELLY SVCS INC                    COM   488152208       1,142      48,327  SH     DEFINED     10      48,327           0           0

KEMET CORP                        COM   488360108         437      15,837  SH     DEFINED     01       4,765       3,200       7,872
KEMET CORP                        COM   488360108          33       1,200  SH     DEFINED     03       1,200           0           0
KEMET CORP                        COM   488360108           6         200  SH     DEFINED     04         200           0           0
KEMET CORP                        COM   488360108           6         200  SH     OTHER       04         200           0           0
KEMET CORP                        COM   488360108           4         150  SH     DEFINED     05           0           0         150
KEMET CORP                        COM   488360108       3,784     136,986  SH     DEFINED  01,08     136,986           0           0

KEMPER MULTI MKT INCOME TR     UNDEFIND 48842B106           1      12,100         DEFINED     01           0      12,100           0

KEMPER MUN INCOME TR           UNDEFIND 48842C104           2      22,867         DEFINED     01       8,300      14,567           0
KEMPER MUN INCOME TR           UNDEFIND 48842C104           1       8,000         OTHER       01           0       8,000           0
KEMPER MUN INCOME TR           UNDEFIND 48842C104           0       2,453         OTHER       03           0       2,453           0
KEMPER MUN INCOME TR           UNDEFIND 48842C104          61       5,800         DEFINED     04       5,800           0           0
KEMPER MUN INCOME TR           UNDEFIND 48842C104         303      28,987         OTHER       04      28,987           0           0

KEMPER STRATEGIC MUN INCOME TR UNDEFIND 488427105           0       2,168         DEFINED     01         300       1,868           0
KEMPER STRATEGIC MUN INCOME TR UNDEFIND 488427105         145      13,100         DEFINED     04      13,100           0           0
KEMPER STRATEGIC MUN INCOME TR UNDEFIND 488427105          10         917         OTHER       04         917           0           0

KENDLE INTERNATIONAL INC          COM   48880L107         142      17,000  SH     DEFINED  01,08      17,000           0           0

KENNAMETAL INC                    COM   489170100       2,334      90,654  SH     DEFINED     01      84,708           0       5,946
KENNAMETAL INC                    COM   489170100       2,281      88,565  SH     DEFINED  01,08      88,565           0           0

KENNEDY-WILSON INC                COM   489399204          57      10,284  SH     DEFINED  01,08      10,284           0           0

KENSEY NASH CORP                  COM   490057106         143      11,000  SH     DEFINED  01,08      11,000           0           0

KENT ELECTRS CORP                 COM   490553104         695      29,122  SH     DEFINED     01      24,191       1,300       3,631
KENT ELECTRS CORP                 COM   490553104           1          30  SH     DEFINED     04          30           0           0
KENT ELECTRS CORP                 COM   490553104       1,728      72,390  SH     DEFINED  01,08      72,390           0           0

KERAVISION INC                    COM   492061106           7       2,200  SH     DEFINED     01       2,200           0           0
KERAVISION INC                    COM   492061106          80      25,230  SH     DEFINED  01,08      25,230           0           0

KERR MCGEE CORP                CONV DEB 492386AP2       3,510   3,000,000  PRN    DEFINED     01   3,000,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    263
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KERR MCGEE CORP                   COM   492386107      11,166     168,540  SH     DEFINED     01     135,734      23,935       8,871
KERR MCGEE CORP                   COM   492386107          18         266  SH     OTHER       01         184          46          36
KERR MCGEE CORP                   COM   492386107          42         633  SH     DEFINED     02           0         633           0
KERR MCGEE CORP                   COM   492386107          40         600  SH     OTHER       03         600           0           0
KERR MCGEE CORP                   COM   492386107       8,328     125,708  SH     DEFINED     04     125,708           0           0
KERR MCGEE CORP                   COM   492386107         324       4,884  SH     OTHER       04       4,000           0         884
KERR MCGEE CORP                   COM   492386107       9,692     146,295  SH     DEFINED  01,08     146,295           0           0
KERR MCGEE CORP                   COM   492386107          56         840  SH     DEFINED     10           0         840           0

KEWAUNEE SCIENTIFIC CORP          COM   492854104         125      11,339  SH     DEFINED  01,08      11,339           0           0

KEY ENERGY SVCS INC               COM   492914106         973      99,192  SH     DEFINED     01      96,254           0       2,938
KEY ENERGY SVCS INC               COM   492914106       1,331     135,661  SH     DEFINED  01,08     135,661           0           0

KEY PRODTN INC                    COM   493138101         167       7,579  SH     DEFINED     01       6,521           0       1,058
KEY PRODTN INC                    COM   493138101          16         726  SH     DEFINED     03         726           0           0
KEY PRODTN INC                    COM   493138101         524      23,749  SH     DEFINED  01,08      23,749           0           0

KEY TRONICS CORP                  COM   493144109          17       3,700  SH     DEFINED     01       3,700           0           0
KEY TRONICS CORP                  COM   493144109         155      32,995  SH     DEFINED  01,08      32,995           0           0
KEY TRONICS CORP                  COM   493144109          64      13,700  SH     DEFINED     10      13,700           0           0

KEY3MEDIA GROUP INC               COM   49326R104         229      20,975  SH     DEFINED     01      19,718           0       1,257
KEY3MEDIA GROUP INC               COM   49326R104         802      73,309  SH     DEFINED  01,08      73,309           0           0

KEYCORP NEW                       COM   493267108      24,561     970,313  SH     DEFINED     01     815,494     113,804      41,015
KEYCORP NEW                       COM   493267108       3,669     144,961  SH     OTHER       01     120,437      24,124         400
KEYCORP NEW                       COM   493267108          27       1,076  SH     DEFINED     02         400         676           0
KEYCORP NEW                       COM   493267108         174       6,890  SH     OTHER       02       1,000       5,890           0
KEYCORP NEW                       COM   493267108         116       4,600  SH     DEFINED     03           0       4,600           0
KEYCORP NEW                       COM   493267108         228       9,000  SH     OTHER       03       9,000           0           0
KEYCORP NEW                       COM   493267108       2,620     103,509  SH     DEFINED     04     103,509           0           0
KEYCORP NEW                       COM   493267108       1,782      70,382  SH     OTHER       04      69,182           0       1,200
KEYCORP NEW                       COM   493267108      17,151     677,600  SH     DEFINED  01,08     677,600           0           0
KEYCORP NEW                       COM   493267108         375      14,808  SH     DEFINED     09      14,808           0           0

KEYNOTE SYS INC                   COM   493308100         456      17,031  SH     DEFINED     01      16,745           0         286
KEYNOTE SYS INC                   COM   493308100          27       1,000  SH     DEFINED     04       1,000           0           0
KEYNOTE SYS INC                   COM   493308100         836      31,246  SH     DEFINED  01,08      31,246           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    264
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KEYSPAN CORP                      COM   49337W100       9,371     233,542  SH     DEFINED     01     191,540      34,701       7,301
KEYSPAN CORP                      COM   49337W100         549      13,683  SH     OTHER       01           0      13,683           0
KEYSPAN CORP                      COM   49337W100          27         676  SH     OTHER       02         176           0         500
KEYSPAN CORP                      COM   49337W100          72       1,800  SH     DEFINED     03           0       1,800           0
KEYSPAN CORP                      COM   49337W100         343       8,553  SH     DEFINED     04       8,553           0           0
KEYSPAN CORP                      COM   49337W100          49       1,229  SH     OTHER       04         846           0         383
KEYSPAN CORP                      COM   49337W100       8,676     216,220  SH     DEFINED  01,08     216,220           0           0
KEYSPAN CORP                      COM   49337W100           4         112  SH     DEFINED     10         112           0           0
KEYSPAN CORP                      COM   49337W100          12         300  SH     OTHER       10         300           0           0

KEYSTONE AUTOMOTIVE INDS INC      COM   49338N109          22       4,620  SH     DEFINED     01       4,620           0           0
KEYSTONE AUTOMOTIVE INDS INC      COM   49338N109          59      12,200  SH     DEFINED     04           0           0      12,200
KEYSTONE AUTOMOTIVE INDS INC      COM   49338N109         103      21,316  SH     DEFINED  01,08      21,316           0           0

KEYSTONE CONS INDS INC            COM   493422109          71      24,230  SH     DEFINED  01,08      24,230           0           0

KEYSTONE FINANCIAL INC            COM   493482103       1,223      56,232  SH     DEFINED     01      47,156           0       9,076
KEYSTONE FINANCIAL INC            COM   493482103          51       2,362  SH     DEFINED     02           0           0       2,362
KEYSTONE FINANCIAL INC            COM   493482103          53       2,415  SH     OTHER       04       2,415           0           0
KEYSTONE FINANCIAL INC            COM   493482103       3,095     142,316  SH     DEFINED  01,08     142,316           0           0

KFORCE COM INC                    COM   493732101         132      37,697  SH     DEFINED     01      36,676           0       1,021
KFORCE COM INC                    COM   493732101           0         100  SH     DEFINED     04         100           0           0
KFORCE COM INC                    COM   493732101         231      65,912  SH     DEFINED  01,08      65,912           0           0

KILROY RLTY CORP                  COM   49427F108         423      15,837  SH     DEFINED     01      10,767           0       5,070
KILROY RLTY CORP                  COM   49427F108           5         200  SH     DEFINED     04         200           0           0
KILROY RLTY CORP                  COM   49427F108          27       1,000  SH     OTHER       04       1,000           0           0
KILROY RLTY CORP                  COM   49427F108         179       6,717  SH     DEFINED  01,08       6,717           0           0

KIMBALL INTL INC                  COM   494274103         339      18,946  SH     DEFINED     01      13,581           0       5,365
KIMBALL INTL INC                  COM   494274103       1,341      75,041  SH     DEFINED  01,08      75,041           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    265
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KIMBERLY CLARK CORP               COM   494368103      82,187   1,472,564  SH     DEFINED     01   1,138,654     247,397      86,513
KIMBERLY CLARK CORP               COM   494368103      19,519     349,731  SH     OTHER       01     213,922     113,099      22,710
KIMBERLY CLARK CORP               COM   494368103       3,304      59,193  SH     DEFINED     02      43,904      11,889       3,400
KIMBERLY CLARK CORP               COM   494368103       3,193      57,218  SH     OTHER       02      29,622      17,998       9,598
KIMBERLY CLARK CORP               COM   494368103      12,567     225,171  SH     DEFINED     03     113,759      99,929      11,483
KIMBERLY CLARK CORP               COM   494368103       4,325      77,484  SH     OTHER       03      50,299      19,935       7,250
KIMBERLY CLARK CORP               COM   494368103      13,852     248,197  SH     DEFINED     04     239,777           0       8,420
KIMBERLY CLARK CORP               COM   494368103      16,596     297,357  SH     OTHER       04     277,289           0      20,068
KIMBERLY CLARK CORP               COM   494368103       2,778      49,767  SH     DEFINED     05      30,642      17,825       1,300
KIMBERLY CLARK CORP               COM   494368103         862      15,440  SH     OTHER       05       5,940       3,500       6,000
KIMBERLY CLARK CORP               COM   494368103      78,077   1,398,922  SH     DEFINED  01,08     843,634     460,108      95,180
KIMBERLY CLARK CORP               COM   494368103          11         200  SH     DEFINED     09         200           0           0
KIMBERLY CLARK CORP               COM   494368103       6,936     124,280  SH     DEFINED     10      94,504      29,200         576
KIMBERLY CLARK CORP               COM   494368103       1,396      25,006  SH     OTHER       10       4,074      20,632         300

KIMCO REALTY CORP                 COM   49446R109         240       5,683  SH     DEFINED     01       4,429           0       1,254
KIMCO REALTY CORP                 COM   49446R109          17         400  SH     DEFINED     03         400           0           0
KIMCO REALTY CORP                 COM   49446R109         119       2,819  SH     OTHER       03       1,800       1,019           0
KIMCO REALTY CORP                 COM   49446R109          38         900  SH     OTHER       04         900           0           0
KIMCO REALTY CORP                 COM   49446R109           2          46  SH     OTHER       05          46           0           0
KIMCO REALTY CORP                 COM   49446R109         230       5,437  SH     DEFINED  01,08       5,437           0           0

KINARK CORP                       COM   494474109          20      17,900  SH     DEFINED  01,08      17,900           0           0

KINDER MORGAN INC KANS            COM   49455P101       3,254      79,484  SH     DEFINED     01      73,836         100       5,548
KINDER MORGAN INC KANS            COM   49455P101         138       3,375  SH     OTHER       01       3,375           0           0
KINDER MORGAN INC KANS            COM   49455P101          60       1,475  SH     OTHER       02       1,375         100           0
KINDER MORGAN INC KANS            COM   49455P101          31         750  SH     DEFINED     04         750           0           0
KINDER MORGAN INC KANS            COM   49455P101      12,921     315,624  SH     DEFINED  01,08     315,624           0           0

KINDER MORGAN ENERGY PARTNERS     COM   494550106         201       4,250  SH     DEFINED     01       4,150         100           0
KINDER MORGAN ENERGY PARTNERS     COM   494550106          90       1,890  SH     OTHER       03         500       1,390           0
KINDER MORGAN ENERGY PARTNERS     COM   494550106         536      11,324  SH     DEFINED     04      11,324           0           0
KINDER MORGAN ENERGY PARTNERS     COM   494550106         341       7,200  SH     OTHER       04       7,200           0           0
KINDER MORGAN ENERGY PARTNERS     COM   494550106         329       6,950  SH     OTHER       05           0           0       6,950

KING PHARMACEUTICALS INC          COM   495582108         938      28,053  SH     DEFINED     01       6,576      13,064       8,413
KING PHARMACEUTICALS INC          COM   495582108          51       1,523  SH     OTHER       01           0       1,523           0
KING PHARMACEUTICALS INC          COM   495582108           0           1  SH     DEFINED     04           1           0           0
KING PHARMACEUTICALS INC          COM   495582108           0           1  SH     OTHER       04           1           0           0
KING PHARMACEUTICALS INC          COM   495582108           4         112  SH     OTHER       05         112           0           0
KING PHARMACEUTICALS INC          COM   495582108       8,433     252,191  SH     DEFINED  01,08     252,191           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    266
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KIRBY CORP                        COM   497266106         806      41,082  SH     DEFINED     01      34,838       1,900       4,344
KIRBY CORP                        COM   497266106          59       3,000  SH     OTHER       03           0           0       3,000
KIRBY CORP                        COM   497266106       1,350      68,781  SH     DEFINED  01,08      68,781           0           0

KIRLIN HLDG CORP                  COM   497629105          28      13,986  SH     DEFINED  01,08      13,986           0           0

KLAMATH FIRST BANCORP INC         COM   49842P103          20       1,600  SH     DEFINED     01       1,600           0           0
KLAMATH FIRST BANCORP INC         COM   49842P103         141      11,053  SH     DEFINED  01,08      11,053           0           0

KNAPE & VOGT MFG CO               COM   498782101          18       1,265  SH     DEFINED     01       1,265           0           0
KNAPE & VOGT MFG CO               COM   498782101         125       8,879  SH     DEFINED  01,08       8,879           0           0

KNIGHT RIDDER INC                 COM   499040103       7,656     150,670  SH     DEFINED     01     117,461      24,210       8,999
KNIGHT RIDDER INC                 COM   499040103           5         100  SH     OTHER       01           0           0         100
KNIGHT RIDDER INC                 COM   499040103          56       1,100  SH     OTHER       02       1,100           0           0
KNIGHT RIDDER INC                 COM   499040103         122       2,400  SH     DEFINED     03       2,400           0           0
KNIGHT RIDDER INC                 COM   499040103       6,236     122,734  SH     DEFINED     04     122,734           0           0
KNIGHT RIDDER INC                 COM   499040103       4,110      80,880  SH     OTHER       04      80,880           0           0
KNIGHT RIDDER INC                 COM   499040103       5,907     116,260  SH     DEFINED  01,08     116,260           0           0

KNIGHT TRADING GROUP INC          COM   499063105         272       7,542  SH     DEFINED     01       4,888           0       2,654
KNIGHT TRADING GROUP INC          COM   499063105         173       4,800  SH     DEFINED     04       4,800           0           0
KNIGHT TRADING GROUP INC          COM   499063105       3,547      98,527  SH     DEFINED  01,08      98,527           0           0

KNIGHT TRANSN INC                 COM   499064103         102       6,524  SH     DEFINED     01       6,168           0         356
KNIGHT TRANSN INC                 COM   499064103         339      21,800  SH     DEFINED  01,08      21,800           0           0

KOGER EQUITY INC                  COM   500228101         273      16,052  SH     DEFINED     01      10,875           0       5,177
KOGER EQUITY INC                  COM   500228101          21       1,217  SH     DEFINED     04       1,217           0           0
KOGER EQUITY INC                  COM   500228101         115       6,768  SH     DEFINED  01,08       6,768           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    267
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KOHLS CORP                        COM   500255104     187,802   3,255,528  SH     DEFINED     01   2,261,262     868,742     125,524
KOHLS CORP                        COM   500255104      36,763     637,283  SH     OTHER       01     240,048     328,460      68,775
KOHLS CORP                        COM   500255104       2,030      35,190  SH     DEFINED     02      21,500      11,190       2,500
KOHLS CORP                        COM   500255104         825      14,300  SH     OTHER       02       4,000       7,900       2,400
KOHLS CORP                        COM   500255104      12,832     222,448  SH     DEFINED     03     111,741     104,650       6,057
KOHLS CORP                        COM   500255104       2,223      38,527  SH     OTHER       03      23,632       9,370       5,525
KOHLS CORP                        COM   500255104      73,204   1,268,981  SH     DEFINED     04   1,208,116           0      60,865
KOHLS CORP                        COM   500255104      44,034     763,319  SH     OTHER       04     741,499           0      21,820
KOHLS CORP                        COM   500255104      16,067     278,527  SH     DEFINED     05     146,290     112,660      19,577
KOHLS CORP                        COM   500255104       1,657      28,726  SH     OTHER       05       9,746      18,180         800
KOHLS CORP                        COM   500255104      27,863     483,007  SH     DEFINED  01,08     483,007           0           0
KOHLS CORP                        COM   500255104         908      15,740  SH     DEFINED     09      15,740           0           0
KOHLS CORP                        COM   500255104          25         425  SH     OTHER       09           0         425           0
KOHLS CORP                        COM   500255104       2,968      51,450  SH     DEFINED     10      34,550      16,900           0
KOHLS CORP                        COM   500255104          64       1,110  SH     OTHER       10         550         560           0

KOMAG INC                         COM   500453105          13       3,200  SH     DEFINED     01       3,200           0           0
KOMAG INC                         COM   500453105         491     122,765  SH     DEFINED  01,08     122,765           0           0

KONINKLIJKE AHOLD N V             COM   500467303         254       9,000  SH     DEFINED     01       4,500       4,500           0
KONINKLIJKE AHOLD N V             COM   500467303          60       2,140  SH     OTHER       01           0       2,140           0
KONINKLIJKE AHOLD N V             COM   500467303          99       3,499  SH     DEFINED     03       3,499           0           0
KONINKLIJKE AHOLD N V             COM   500467303          32       1,150  SH     OTHER       03         950         200           0
KONINKLIJKE AHOLD N V             COM   500467303           8         300  SH     DEFINED     05         300           0           0
KONINKLIJKE AHOLD N V             COM   500467303           3          90  SH     DEFINED     10          90           0           0

KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303         491      11,556  SH     DEFINED     01       9,834       1,722           0
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303         619      14,561  SH     OTHER       01         496           0      14,065
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303          73       1,714  SH     DEFINED     02           0       1,714           0
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303         247       5,802  SH     OTHER       02           0       5,802           0
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303         547      12,860  SH     DEFINED     03       1,105      11,755           0
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303       1,376      32,379  SH     DEFINED     04      16,859           0      15,520
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303         327       7,689  SH     OTHER       04       7,689           0           0
KONINKLIJKE PHILIPS ELECTRS NV    COM   500472303          98       2,300  SH     DEFINED     10         360       1,940           0

KOPIN CORP                        COM   500600101         110       6,084  SH     DEFINED     01       3,358           0       2,726
KOPIN CORP                        COM   500600101          67       3,700  SH     OTHER       04         200           0       3,500
KOPIN CORP                        COM   500600101       1,324      73,532  SH     DEFINED  01,08      73,532           0           0

KORN FERRY INTL                   COM   500643200       1,469      38,858  SH     DEFINED     01      37,797           0       1,061
KORN FERRY INTL                   COM   500643200           8         200  SH     DEFINED     02         200           0           0
KORN FERRY INTL                   COM   500643200       4,132     109,271  SH     DEFINED  01,08     109,271           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    268
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
KOS PHARMACEUTICALS INC           COM   500648100         278      14,064  SH     DEFINED     01       9,085       4,600         379
KOS PHARMACEUTICALS INC           COM   500648100         399      20,200  SH     DEFINED     04      20,200           0           0
KOS PHARMACEUTICALS INC           COM   500648100       1,513      76,606  SH     DEFINED  01,08      76,606           0           0

KRISPY KREME DOUGHNUTS INC        COM   501014104         734       8,766  SH     DEFINED     01       7,828         384         554
KRISPY KREME DOUGHNUTS INC        COM   501014104           4          50  SH     OTHER       01          50           0           0
KRISPY KREME DOUGHNUTS INC        COM   501014104          25         300  SH     DEFINED     02           0         300           0
KRISPY KREME DOUGHNUTS INC        COM   501014104           8         100  SH     OTHER       02         100           0           0
KRISPY KREME DOUGHNUTS INC        COM   501014104          13         150  SH     DEFINED     04         150           0           0
KRISPY KREME DOUGHNUTS INC        COM   501014104         831       9,922  SH     DEFINED  01,08       9,922           0           0

KROGER CO                         COM   501044101      35,196   1,559,989  SH     DEFINED     01   1,245,008     226,073      88,908
KROGER CO                         COM   501044101         507      22,488  SH     OTHER       01      21,056       1,032         400
KROGER CO                         COM   501044101          23       1,030  SH     DEFINED     03         300         130         600
KROGER CO                         COM   501044101         193       8,542  SH     DEFINED     04       8,542           0           0
KROGER CO                         COM   501044101         194       8,600  SH     OTHER       04       8,600           0           0
KROGER CO                         COM   501044101      32,288   1,431,098  SH     DEFINED  01,08   1,431,098           0           0

KROLL O GARA CO                   COM   501050108          12       2,000  SH     DEFINED     04       2,000           0           0
KROLL O GARA CO                   COM   501050108         210      34,999  SH     DEFINED  01,08      34,999           0           0

KRONOS INC                        COM   501052104         402      13,390  SH     DEFINED     01      12,479           0         911
KRONOS INC                        COM   501052104         710      23,672  SH     DEFINED  01,08      23,672           0           0

KRUG INTL CORP                    COM   501067102          26      20,622  SH     DEFINED  01,08      20,622           0           0

KULICKE & SOFFA INDS INC          COM   501242101         675      50,686  SH     DEFINED     01      45,849           0       4,837
KULICKE & SOFFA INDS INC          COM   501242101           2         170  SH     OTHER       01         170           0           0
KULICKE & SOFFA INDS INC          COM   501242101       2,643     198,558  SH     DEFINED  01,08     198,558           0           0

KYOCERA CORP                      COM   501556203           8          50  SH     OTHER       02          50           0           0
KYOCERA CORP                      COM   501556203          34         223  SH     DEFINED     03         223           0           0
KYOCERA CORP                      COM   501556203         159       1,058  SH     DEFINED     04       1,058           0           0
KYOCERA CORP                      COM   501556203           2          14  SH     DEFINED     10          14           0           0

LCA-VISION INC                    COM   501803209           1         215  SH     DEFINED     01         215           0           0
LCA-VISION INC                    COM   501803209           3       1,000  SH     DEFINED     04       1,000           0           0
LCA-VISION INC                    COM   501803209         191      65,643  SH     DEFINED  01,08      65,643           0           0

LCC INTERNATIONAL INC             COM   501810105         152      10,509  SH     DEFINED     01      10,324           0         185
LCC INTERNATIONAL INC             COM   501810105         338      23,281  SH     DEFINED  01,08      23,281           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    269
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LG&E ENERGY CORP                  COM   501917108       2,408      98,523  SH     DEFINED     01      90,545       1,545       6,433
LG&E ENERGY CORP                  COM   501917108          52       2,134  SH     OTHER       01         334       1,536         264
LG&E ENERGY CORP                  COM   501917108          41       1,689  SH     OTHER       02         288           0       1,401
LG&E ENERGY CORP                  COM   501917108          50       2,043  SH     DEFINED     03         543       1,500           0
LG&E ENERGY CORP                  COM   501917108          36       1,460  SH     OTHER       03           0       1,460           0
LG&E ENERGY CORP                  COM   501917108          78       3,172  SH     DEFINED     04       3,172           0           0
LG&E ENERGY CORP                  COM   501917108          63       2,566  SH     OTHER       04       2,249           0         317
LG&E ENERGY CORP                  COM   501917108       8,768     358,811  SH     DEFINED  01,08     358,811           0           0
LG&E ENERGY CORP                  COM   501917108         187       7,670  SH     DEFINED     10       7,670           0           0

LTV CORP NEW                      COM   501921100          93      70,855  SH     DEFINED     01      53,462           0      17,393
LTV CORP NEW                      COM   501921100           0         336  SH     DEFINED     04         336           0           0
LTV CORP NEW                      COM   501921100         241     183,346  SH     DEFINED  01,08     183,346           0           0

LNR PPTY CORP                     COM   501940100       1,328      60,032  SH     DEFINED     01      34,332      21,300       4,400
LNR PPTY CORP                     COM   501940100         602      27,200  SH     DEFINED     04      27,200           0           0
LNR PPTY CORP                     COM   501940100         394      17,800  SH     OTHER       04      17,800           0           0
LNR PPTY CORP                     COM   501940100         533      24,089  SH     DEFINED  01,08      24,089           0           0

LMI AEROSPACE INC                 COM   502079106          17       6,900  SH     DEFINED     04           0           0       6,900
LMI AEROSPACE INC                 COM   502079106          23       9,186  SH     DEFINED  01,08       9,186           0           0

LSI INDS INC                      COM   50216C108         573      25,828  SH     DEFINED  01,08      25,828           0           0

LSI LOGIC CORP                 CONV DEB 502161AE2         809   1,004,000  PRN    DEFINED     01   1,004,000           0           0

LSI LOGIC CORP                    COM   502161102      13,677     467,576  SH     DEFINED     01     422,932      16,377      28,267
LSI LOGIC CORP                    COM   502161102          59       2,000  SH     DEFINED     02       2,000           0           0
LSI LOGIC CORP                    COM   502161102          53       1,800  SH     OTHER       02         200       1,600           0
LSI LOGIC CORP                    COM   502161102          18         600  SH     DEFINED     03         200         400           0
LSI LOGIC CORP                    COM   502161102           3         100  SH     OTHER       03           0         100           0
LSI LOGIC CORP                    COM   502161102         187       6,400  SH     DEFINED     04       6,400           0           0
LSI LOGIC CORP                    COM   502161102         105       3,600  SH     OTHER       04       3,600           0           0
LSI LOGIC CORP                    COM   502161102      13,275     453,845  SH     DEFINED  01,08     453,845           0           0
LSI LOGIC CORP                    COM   502161102           6         200  SH     OTHER       09           0         200           0

LTX CORP                          COM   502392103         963      50,842  SH     DEFINED     01      47,707       1,700       1,435
LTX CORP                          COM   502392103          44       2,300  SH     DEFINED     04       2,300           0           0
LTX CORP                          COM   502392103       1,612      85,128  SH     DEFINED  01,08      85,128           0           0

L-3 COMMUNICATIONS HLDGS INC      COM   502424104       1,262      22,344  SH     DEFINED     01      20,864           0       1,480
L-3 COMMUNICATIONS HLDGS INC      COM   502424104           3          50  SH     DEFINED     03          50           0           0
L-3 COMMUNICATIONS HLDGS INC      COM   502424104       5,159      91,305  SH     DEFINED  01,08      91,305           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    270
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LVMH MOET HENNESSY LOU VUITTON    COM   502441207         146       9,825  SH     DEFINED     03           0       9,825           0
LVMH MOET HENNESSY LOU VUITTON    COM   502441207           8         550  SH     DEFINED     04           0           0         550

LA BARGE INC                      COM   502470107          84      35,471  SH     DEFINED  01,08      35,471           0           0

LA JOLLA PHARMACEUTICAL CO        COM   503459109         305      32,767  SH     DEFINED  01,08      32,767           0           0

LA Z BOY INC                      COM   505336107       1,073      73,667  SH     DEFINED     01      60,330           0      13,337
LA Z BOY INC                      COM   505336107          75       5,125  SH     OTHER       01           0       5,125           0
LA Z BOY INC                      COM   505336107          17       1,200  SH     DEFINED     03           0       1,200           0
LA Z BOY INC                      COM   505336107         710      48,789  SH     OTHER       04      48,789           0           0
LA Z BOY INC                      COM   505336107       2,799     192,179  SH     DEFINED  01,08     192,179           0           0

LABONE INC NEW                    COM   50540L105          40       4,250  SH     DEFINED     01       4,250           0           0
LABONE INC NEW                    COM   50540L105         214      22,785  SH     DEFINED  01,08      22,785           0           0

LABORATORY CORP AMER HLDGS        COM   50540R409       2,932      24,481  SH     DEFINED     01      23,793         460         228
LABORATORY CORP AMER HLDGS        COM   50540R409       2,719      22,703  SH     DEFINED  01,08      22,703           0           0

LABOR READY INC                   COM   505401208         144      34,309  SH     DEFINED     01      33,693           0         616
LABOR READY INC                   COM   505401208         271      64,763  SH     DEFINED  01,08      64,763           0           0

LABRANCHE & CO INC                COM   505447102         953      28,562  SH     DEFINED     01      24,163           0       4,399
LABRANCHE & CO INC                COM   505447102       1,481      44,387  SH     DEFINED  01,08      44,387           0           0

LACLEDE GAS CO                    COM   505588103         377      17,447  SH     DEFINED     01       8,508       4,800       4,139
LACLEDE GAS CO                    COM   505588103          82       3,784  SH     OTHER       03       3,784           0           0
LACLEDE GAS CO                    COM   505588103          44       2,012  SH     OTHER       04       2,012           0           0
LACLEDE GAS CO                    COM   505588103         907      41,922  SH     DEFINED  01,08      41,922           0           0
LACLEDE GAS CO                    COM   505588103          43       2,000  SH     DEFINED     10       2,000           0           0

LADISH INC                        COM   505754200         221      16,807  SH     DEFINED  01,08      16,807           0           0

LAFARGE CORP                      COM   505862102          81       3,713  SH     DEFINED     01       2,863           0         850
LAFARGE CORP                      COM   505862102       2,156      99,111  SH     DEFINED  01,08      99,111           0           0

LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100          32         761         DEFINED     01         761           0           0
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100          17         400         DEFINED     02         400           0           0
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100          21         500         OTHER       02           0         400         100
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100         112       2,700         DEFINED     03           0       2,700           0
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100          17         400         OTHER       03         400           0           0
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100         233       5,615         DEFINED     04       5,615           0           0
LAKEHEAD PIPE LINE PARTNERS LP    PFD   511557100         166       4,001         OTHER       04       3,601           0         400

LAKELAND INDS INC                 COM   511795106          64      10,061  SH     DEFINED  01,08      10,061           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    271
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LAKES GAMING INC                  COM   51206P109         144      16,681  SH     DEFINED  01,08      16,681           0           0

LAM RESEARCH CORP                 COM   512807108         454      21,671  SH     DEFINED     01       8,441       7,700       5,530
LAM RESEARCH CORP                 COM   512807108           9         450  SH     DEFINED     02           0         450           0
LAM RESEARCH CORP                 COM   512807108          50       2,400  SH     DEFINED     03           0       2,400           0
LAM RESEARCH CORP                 COM   512807108       2,228     106,402  SH     DEFINED  01,08     106,402           0           0

LAMAR ADVERTISING CO              COM   512815101       8,773     231,630  SH     DEFINED     01     230,155           0       1,475
LAMAR ADVERTISING CO              COM   512815101       3,918     103,448  SH     DEFINED  01,08     103,448           0           0

LAMSON & SESSIONS CO              COM   513696104         116       9,800  SH     DEFINED     01       9,800           0           0
LAMSON & SESSIONS CO              COM   513696104         396      33,357  SH     DEFINED  01,08      33,357           0           0

LANCASTER COLONY CORP             COM   513847103       1,013      41,248  SH     DEFINED     01      34,435         645       6,168
LANCASTER COLONY CORP             COM   513847103         902      36,727  SH     OTHER       01           0      36,727           0
LANCASTER COLONY CORP             COM   513847103       2,753     112,082  SH     DEFINED  01,08     112,082           0           0

LANCE INC                         COM   514606102         302      31,095  SH     DEFINED     01      26,144           0       4,951
LANCE INC                         COM   514606102          49       5,000  SH     DEFINED     04       5,000           0           0
LANCE INC                         COM   514606102         808      83,163  SH     DEFINED  01,08      83,163           0           0

LANCER CORP                       COM   514614106          68      15,512  SH     DEFINED  01,08      15,512           0           0

LANDACORP INC                     COM   514756105          34      17,103  SH     DEFINED  01,08      17,103           0           0

LANDAUER INC                      COM   51476K103          16         860  SH     OTHER       01           0         860           0
LANDAUER INC                      COM   51476K103         458      24,311  SH     DEFINED  01,08      24,311           0           0

LANDEC CORP                       COM   514766104         118      21,165  SH     DEFINED  01,08      21,165           0           0

LANDAMERICA FINL GROUP INC        COM   514936103         562      19,690  SH     DEFINED     01      17,713           0       1,977
LANDAMERICA FINL GROUP INC        COM   514936103          14         500  SH     OTHER       04         500           0           0
LANDAMERICA FINL GROUP INC        COM   514936103         676      23,683  SH     DEFINED  01,08      23,683           0           0

LANDMARK SYS CORP                 COM   51506S100          31       7,400  SH     DEFINED     04           0           0       7,400
LANDMARK SYS CORP                 COM   51506S100         113      27,363  SH     DEFINED  01,08      27,363           0           0

LANDRYS SEAFOOD RESTAURANTS       COM   51508L103         107      15,682  SH     DEFINED     01      10,433           0       5,249
LANDRYS SEAFOOD RESTAURANTS       COM   51508L103         351      51,537  SH     DEFINED  01,08      51,537           0           0

LANDS END INC                     COM   515086106         637      30,338  SH     DEFINED     01      28,993         315       1,030
LANDS END INC                     COM   515086106           4         200  SH     OTHER       04         200           0           0
LANDS END INC                     COM   515086106       1,756      83,613  SH     DEFINED  01,08      83,613           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    272
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LANDSTAR SYS INC                  COM   515098101         990      22,182  SH     DEFINED     01      16,652       4,500       1,030
LANDSTAR SYS INC                  COM   515098101         955      21,403  SH     DEFINED  01,08      21,403           0           0

LANIER WORLDWIDE INC              COM   51589L105           1       1,072  SH     DEFINED     01         600         472           0
LANIER WORLDWIDE INC              COM   51589L105           0          95  SH     DEFINED     03           0          95           0
LANIER WORLDWIDE INC              COM   51589L105           2       2,300  SH     DEFINED     04       2,300           0           0
LANIER WORLDWIDE INC              COM   51589L105           3       3,000  SH     OTHER       04       1,000           0       2,000
LANIER WORLDWIDE INC              COM   51589L105         118     117,500  SH     DEFINED  01,08     117,500           0           0

LANTE CORP                        COM   516540101          75      15,056  SH     DEFINED     01      14,485         500          71
LANTE CORP                        COM   516540101         285      57,002  SH     DEFINED  01,08      57,002           0           0

LANTRONIX INC                     COM   516548104         250      26,300  SH     DEFINED  01,08      26,300           0           0

LARSCOM INC                       COM   51729Y108          98      10,300  SH     DEFINED  01,08      10,300           0           0

LASERSIGHT INC                    COM   517924106          79      25,408  SH     DEFINED  01,08      25,408           0           0

LASER VISION CTRS INC             COM   51807H100         165      37,900  SH     DEFINED  01,08      37,900           0           0

LASON INC                         COM   51808R107          12       5,800  SH     DEFINED     01       5,800           0           0
LASON INC                         COM   51808R107           2         878  SH     OTHER       01           0           0         878
LASON INC                         COM   51808R107          12       6,000  SH     DEFINED     04       6,000           0           0
LASON INC                         COM   51808R107          45      22,664  SH     DEFINED  01,08      22,664           0           0

LASERSCOPE                        COM   518081104          43      22,989  SH     DEFINED  01,08      22,989           0           0

LATITUDE COMMUNICATIONS INC       COM   518292107         101      13,007  SH     DEFINED     01      12,777           0         230
LATITUDE COMMUNICATIONS INC       COM   518292107         174      22,390  SH     DEFINED  01,08      22,390           0           0

LATTICE SEMICONDUCTOR CORP        COM   518415104       2,091      38,911  SH     DEFINED     01      29,709       4,500       4,702
LATTICE SEMICONDUCTOR CORP        COM   518415104         177       3,300  SH     DEFINED     04           0           0       3,300
LATTICE SEMICONDUCTOR CORP        COM   518415104          27         500  SH     OTHER       04         500           0           0
LATTICE SEMICONDUCTOR CORP        COM   518415104       7,883     146,660  SH     DEFINED  01,08     146,660           0           0

LAUDER ESTEE COS INC              COM   518439104         479      13,076  SH     DEFINED     01       6,110       3,100       3,866
LAUDER ESTEE COS INC              COM   518439104       3,031      82,761  SH     DEFINED     03      35,055      43,295       4,411
LAUDER ESTEE COS INC              COM   518439104         726      19,832  SH     OTHER       03       5,500      12,432       1,900
LAUDER ESTEE COS INC              COM   518439104       8,101     221,190  SH     DEFINED     04     209,585           0      11,605
LAUDER ESTEE COS INC              COM   518439104       3,556      97,085  SH     OTHER       04      90,745           0       6,340
LAUDER ESTEE COS INC              COM   518439104         860      23,480  SH     DEFINED     05       1,030      21,850         600
LAUDER ESTEE COS INC              COM   518439104       3,690     100,755  SH     DEFINED  01,08     100,755           0           0

LAUNCH MEDIA INC                  COM   518567102           0          50  SH     DEFINED     04          50           0           0
LAUNCH MEDIA INC                  COM   518567102          80      11,738  SH     DEFINED  01,08      11,738           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    273
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LAWSON PRODS INC                  COM   520776105         104       4,318  SH     DEFINED     01       2,719           0       1,599
LAWSON PRODS INC                  COM   520776105         832      34,412  SH     DEFINED  01,08      34,412           0           0

LAYNE CHRISTENSEN CO              COM   521050104          27       6,629  SH     DEFINED     01       6,629           0           0
LAYNE CHRISTENSEN CO              COM   521050104          62      15,600  SH     DEFINED  01,08      15,600           0           0

LAZARE KAPLAN INTL INC            COM   521078105           8       1,300  SH     DEFINED     01       1,300           0           0
LAZARE KAPLAN INTL INC            COM   521078105         106      16,685  SH     DEFINED  01,08      16,685           0           0

LEAP WIRELESS INTL INC            COM   521863100       1,849      29,555  SH     DEFINED     01      28,101         700         754
LEAP WIRELESS INTL INC            COM   521863100          31         500  SH     OTHER       01           0         500           0
LEAP WIRELESS INTL INC            COM   521863100          43         687  SH     DEFINED     03         150         350         187
LEAP WIRELESS INTL INC            COM   521863100          22         350  SH     DEFINED     04         350           0           0
LEAP WIRELESS INTL INC            COM   521863100       2,818      45,039  SH     DEFINED  01,08      45,039           0           0

LEAPNET INC                       COM   521864108         106      40,507  SH     DEFINED  01,08      40,507           0           0

LEAR CORP                         COM   521865105       1,536      74,716  SH     DEFINED     01      63,330           0      11,386
LEAR CORP                         COM   521865105           8         400  SH     OTHER       01         400           0           0
LEAR CORP                         COM   521865105           9         440  SH     DEFINED     02           0         440           0
LEAR CORP                         COM   521865105           2         100  SH     DEFINED     04         100           0           0
LEAR CORP                         COM   521865105       3,918     190,538  SH     DEFINED  01,08     190,538           0           0

LEARN2 COM INC                    COM   522002104         120      57,284  SH     DEFINED  01,08      57,284           0           0

LEARNING TREE INTL INC            COM   522015106         558      11,726  SH     DEFINED     01      10,933         400         393
LEARNING TREE INTL INC            COM   522015106          10         200  SH     OTHER       02         200           0           0
LEARNING TREE INTL INC            COM   522015106       1,528      32,088  SH     DEFINED  01,08      32,088           0           0

LECHTERS CORP                     COM   523238103          44      41,000  SH     DEFINED  01,08      41,000           0           0

LECROY CORP                       COM   52324W109         236      13,400  SH     DEFINED  01,08      13,400           0           0

LECTEC CORP                       COM   523251106          40      16,788  SH     DEFINED  01,08      16,788           0           0

LEE ENTERPRISES INC               COM   523768109       2,386      82,647  SH     DEFINED     01      64,448      14,800       3,399
LEE ENTERPRISES INC               COM   523768109          58       2,000  SH     DEFINED     04       2,000           0           0
LEE ENTERPRISES INC               COM   523768109          19         656  SH     OTHER       04           0           0         656
LEE ENTERPRISES INC               COM   523768109       3,892     134,804  SH     DEFINED  01,08     134,804           0           0

LEGATO SYS INC                    COM   524651106       1,854     137,954  SH     DEFINED     01     135,498           0       2,456
LEGATO SYS INC                    COM   524651106          16       1,185  SH     DEFINED     02           0       1,185           0
LEGATO SYS INC                    COM   524651106           3         250  SH     DEFINED     03           0         250           0
LEGATO SYS INC                    COM   524651106           7         500  SH     DEFINED     04           0           0         500
LEGATO SYS INC                    COM   524651106       3,433     255,458  SH     DEFINED  01,08     255,458           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    274
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LEGGETT & PLATT INC               COM   524660107       5,354     338,628  SH     DEFINED     01     280,244      49,860       8,524
LEGGETT & PLATT INC               COM   524660107          63       4,000  SH     OTHER       01           0           0       4,000
LEGGETT & PLATT INC               COM   524660107          13         800  SH     DEFINED     02           0           0         800
LEGGETT & PLATT INC               COM   524660107          25       1,600  SH     OTHER       02           0       1,600           0
LEGGETT & PLATT INC               COM   524660107          16       1,000  SH     OTHER       03       1,000           0           0
LEGGETT & PLATT INC               COM   524660107         835      52,784  SH     DEFINED     04      52,784           0           0
LEGGETT & PLATT INC               COM   524660107          43       2,700  SH     OTHER       04       2,700           0           0
LEGGETT & PLATT INC               COM   524660107       4,768     301,569  SH     DEFINED  01,08     301,569           0           0

LEGG MASON INC                    COM   524901105       2,567      44,166  SH     DEFINED     01      39,267           0       4,899
LEGG MASON INC                    COM   524901105          19         332  SH     DEFINED     03           0         332           0
LEGG MASON INC                    COM   524901105          31         532  SH     DEFINED     04           0           0         532
LEGG MASON INC                    COM   524901105      10,043     172,791  SH     DEFINED  01,08     172,791           0           0

LEHMAN BROS HLDGS INC             COM   524908100      34,585     234,079  SH     DEFINED     01     179,181      41,913      12,985
LEHMAN BROS HLDGS INC             COM   524908100       1,027       6,950  SH     OTHER       01       2,919       3,321         710
LEHMAN BROS HLDGS INC             COM   524908100         319       2,158  SH     DEFINED     02       1,920         238           0
LEHMAN BROS HLDGS INC             COM   524908100         124         839  SH     OTHER       02         669           0         170
LEHMAN BROS HLDGS INC             COM   524908100         387       2,619  SH     DEFINED     03           0       2,619           0
LEHMAN BROS HLDGS INC             COM   524908100         352       2,383  SH     OTHER       03       1,675         468         240
LEHMAN BROS HLDGS INC             COM   524908100       1,431       9,687  SH     DEFINED     04       2,195           0       7,492
LEHMAN BROS HLDGS INC             COM   524908100         883       5,978  SH     OTHER       04       3,662           0       2,316
LEHMAN BROS HLDGS INC             COM   524908100      28,421     192,359  SH     DEFINED  01,08     192,359           0           0
LEHMAN BROS HLDGS INC             COM   524908100          18         120  SH     DEFINED     10           0         120           0

LENNAR CORP                       COM   526057104       3,122     105,171  SH     DEFINED     01      79,424      15,000      10,747
LENNAR CORP                       COM   526057104       1,006      33,900  SH     DEFINED     04      33,900           0           0
LENNAR CORP                       COM   526057104         528      17,800  SH     OTHER       04      17,800           0           0
LENNAR CORP                       COM   526057104       5,192     174,900  SH     DEFINED  01,08     174,900           0           0

LENNOX INTL INC                   COM   526107107         238      25,404  SH     DEFINED     01      15,977           0       9,427
LENNOX INTL INC                   COM   526107107         746      79,600  SH     DEFINED     04      79,600           0           0
LENNOX INTL INC                   COM   526107107       2,149     229,218  SH     OTHER       04     229,218           0           0
LENNOX INTL INC                   COM   526107107         570      60,804  SH     DEFINED  01,08      60,804           0           0

LESCO INC OHIO                    COM   526872106           9         600  SH     OTHER       01         600           0           0
LESCO INC OHIO                    COM   526872106         285      18,668  SH     DEFINED  01,08      18,668           0           0

LEUCADIA NATL CORP                COM   527288104         948      35,447  SH     DEFINED     01      22,168       6,000       7,279
LEUCADIA NATL CORP                COM   527288104         495      18,500  SH     OTHER       01      18,500           0           0
LEUCADIA NATL CORP                COM   527288104          13         500  SH     DEFINED     02         500           0           0
LEUCADIA NATL CORP                COM   527288104          13         500  SH     OTHER       04         500           0           0
LEUCADIA NATL CORP                COM   527288104       2,299      85,927  SH     DEFINED  01,08      85,927           0           0
LEUCADIA NATL CORP                COM   527288104           8         315  SH     DEFINED     10         315           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    275
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LEVEL 8 SYS INC                   COM   52729M102         107       5,825  SH     DEFINED     01       5,723           0         102
LEVEL 8 SYS INC                   COM   52729M102         166       9,050  SH     DEFINED  01,08       9,050           0           0

LEVEL 3 COMMUNICATIONS INC        COM   52729N100       2,240      29,043  SH     DEFINED     01      18,887         250       9,906
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          31         400  SH     OTHER       01         400           0           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100         804      10,425  SH     DEFINED     02           0      10,000         425
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          46         600  SH     OTHER       02         600           0           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          40         515  SH     DEFINED     03         115         400           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          23         300  SH     OTHER       03         300           0           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100       5,735      74,356  SH     DEFINED     04      73,566           0         790
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          85       1,100  SH     OTHER       04       1,100           0           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100      24,052     311,851  SH     DEFINED  01,08     311,851           0           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N100          77       1,000  SH     OTHER       10           0       1,000           0

LEXAR MEDIA INC                   COM   52886P104         558      48,000  SH     DEFINED  01,08      48,000           0           0

LEXENT INC                        COM   52886Q102       1,288      43,300  SH     DEFINED  01,08      43,300           0           0

LEXICON GENETICS INC              COM   528872104       1,170      36,995  SH     DEFINED     01      36,765           0         230
LEXICON GENETICS INC              COM   528872104       2,129      67,312  SH     DEFINED  01,08      67,312           0           0

LEXINGTON CORP PPTYS TR           COM   529043101         114      10,177  SH     DEFINED     01       6,870           0       3,307
LEXINGTON CORP PPTYS TR           COM   529043101         252      22,400  SH     DEFINED     04      10,000           0      12,400
LEXINGTON CORP PPTYS TR           COM   529043101          50       4,449  SH     DEFINED  01,08       4,449           0           0

LEXMARK INTL NEW                  COM   529771107       7,008     186,875  SH     DEFINED     01     176,905          44       9,926
LEXMARK INTL NEW                  COM   529771107          86       2,300  SH     OTHER       01         300       2,000           0
LEXMARK INTL NEW                  COM   529771107          41       1,090  SH     DEFINED     03           0          90       1,000
LEXMARK INTL NEW                  COM   529771107          22         590  SH     DEFINED     04         590           0           0
LEXMARK INTL NEW                  COM   529771107           8         200  SH     OTHER       04           0           0         200
LEXMARK INTL NEW                  COM   529771107       7,112     189,646  SH     DEFINED  01,08     189,646           0           0

LIBBEY INC                        COM   529898108         402      12,902  SH     DEFINED     01      10,001           0       2,901
LIBBEY INC                        COM   529898108       2,691      86,442  SH     DEFINED  01,08      86,442           0           0

LIBERATE TECHNOLOGIES             COM   530129105         129       4,458  SH     DEFINED     01       3,306           0       1,152
LIBERATE TECHNOLOGIES             COM   530129105       3,448     119,143  SH     DEFINED  01,08     119,143           0           0

LIBERTY ALL STAR EQUITY FD        COM   530158104          12         937  SH     DEFINED     01         937           0           0
LIBERTY ALL STAR EQUITY FD        COM   530158104          16       1,195  SH     DEFINED     03           0       1,195           0
LIBERTY ALL STAR EQUITY FD        COM   530158104          53       4,000  SH     DEFINED     04       4,000           0           0
LIBERTY ALL STAR EQUITY FD        COM   530158104          90       6,839  SH     DEFINED     09       6,839           0           0

LIBERTY CORP S C                  COM   530370105         326       9,419  SH     DEFINED     01       6,438           0       2,981
LIBERTY CORP S C                  COM   530370105       1,455      42,015  SH     DEFINED  01,08      42,015           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    276
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LIBERTY DIGITAL INC               COM   530436104          20         991  SH     DEFINED     01         723           0         268
LIBERTY DIGITAL INC               COM   530436104          20       1,000  SH     DEFINED     04       1,000           0           0
LIBERTY DIGITAL INC               COM   530436104          76       3,750  SH     OTHER       04           0           0       3,750
LIBERTY DIGITAL INC               COM   530436104       1,260      62,233  SH     DEFINED  01,08      62,233           0           0

LIBERTY FINL COS INC              COM   530512102       1,167      49,641  SH     DEFINED     01      44,896       2,400       2,345
LIBERTY FINL COS INC              COM   530512102       1,614      68,692  SH     DEFINED  01,08      68,692           0           0

LIBERTY HOMES INC                 COM   530582204          66      11,200  SH     DEFINED  01,08      11,200           0           0

LIBERTY LIVEWIRE CORP             COM   530709104          77       2,495  SH     DEFINED     01       2,452           0          43
LIBERTY LIVEWIRE CORP             COM   530709104         292       9,505  SH     DEFINED  01,08       9,505           0           0

LIBERTY PPTY TR                   COM   531172104         599      21,782  SH     DEFINED     01       9,255      10,720       1,807
LIBERTY PPTY TR                   COM   531172104          11         400  SH     OTHER       01           0           0         400
LIBERTY PPTY TR                   COM   531172104           4         140  SH     DEFINED     03           0         140           0
LIBERTY PPTY TR                   COM   531172104          25         900  SH     DEFINED     04         900           0           0
LIBERTY PPTY TR                   COM   531172104         217       7,882  SH     DEFINED  01,08       7,882           0           0

LIFETIME HOAN CORP                COM   531926103          12       1,900  SH     DEFINED     01       1,900           0           0
LIFETIME HOAN CORP                COM   531926103         125      19,230  SH     DEFINED  01,08      19,230           0           0

LIFECELL CORP                     COM   531927101          75      16,273  SH     DEFINED  01,08      16,273           0           0

LIFECORE BIOMEDICAL INC           COM   532187101         205      26,439  SH     DEFINED  01,08      26,439           0           0

LIFEMARK CORP                     COM   53219F102         115      13,500  SH     DEFINED  01,08      13,500           0           0

LIFEPOINT HOSPITALS INC           COM   53219L109       1,178      33,173  SH     DEFINED     01      32,095          11       1,067
LIFEPOINT HOSPITALS INC           COM   53219L109           1          36  SH     OTHER       01           0          36           0
LIFEPOINT HOSPITALS INC           COM   53219L109           3          92  SH     DEFINED     04          92           0           0
LIFEPOINT HOSPITALS INC           COM   53219L109       3,580     100,838  SH     DEFINED  01,08     100,838           0           0

LIFELINE SYS INC                  COM   532192101         375      23,258  SH     DEFINED  01,08      23,258           0           0

LIGAND PHARMACEUTICALS INC        COM   53220K207         675      52,649  SH     DEFINED     01      49,502          82       3,065
LIGAND PHARMACEUTICALS INC        COM   53220K207          32       2,500  SH     OTHER       01           0       2,500           0
LIGAND PHARMACEUTICALS INC        COM   53220K207          30       2,350  SH     OTHER       04           0           0       2,350
LIGAND PHARMACEUTICALS INC        COM   53220K207         742      57,923  SH     DEFINED  01,08      57,923           0           0

LIFEMINDERS INC                   COM   53220Q105         270      11,752  SH     DEFINED     01      11,547           0         205
LIFEMINDERS INC                   COM   53220Q105         786      34,277  SH     DEFINED  01,08      34,277           0           0

LIGHTBRIDGE INC                   COM   532226107         203      17,472  SH     DEFINED     01      17,167           0         305
LIGHTBRIDGE INC                   COM   532226107         296      25,477  SH     DEFINED  01,08      25,477           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    277
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LIGHTPATH TECHNOLOGIES INC        COM   532257102         578      12,169  SH     DEFINED     01      11,956           0         213
LIGHTPATH TECHNOLOGIES INC        COM   532257102          10         200  SH     DEFINED     03           0         200           0
LIGHTPATH TECHNOLOGIES INC        COM   532257102          26         545  SH     OTHER       05         545           0           0
LIGHTPATH TECHNOLOGIES INC        COM   532257102         847      17,830  SH     DEFINED  01,08      17,830           0           0

LIGHTSPAN INC                     COM   53226T103          11       4,398  SH     DEFINED     01       3,063           0       1,335
LIGHTSPAN INC                     COM   53226T103         100      41,021  SH     DEFINED  01,08      41,021           0           0

LILLIAN VERNON CORP               COM   532430105          81       8,300  SH     DEFINED     01       8,200           0         100
LILLIAN VERNON CORP               COM   532430105         308      31,573  SH     DEFINED  01,08      31,573           0           0

LILLY ELI & CO                    COM   532457108     225,634   2,781,316  SH     DEFINED     01   2,295,010     264,943     221,363
LILLY ELI & CO                    COM   532457108      23,520     289,922  SH     OTHER       01     186,010      88,538      15,374
LILLY ELI & CO                    COM   532457108       9,884     121,835  SH     DEFINED     02      64,910      46,025      10,900
LILLY ELI & CO                    COM   532457108      46,014     567,196  SH     OTHER       02     541,585      23,561       2,050
LILLY ELI & CO                    COM   532457108       9,024     111,235  SH     DEFINED     03      52,795      48,866       9,574
LILLY ELI & CO                    COM   532457108       2,843      35,043  SH     OTHER       03      10,847      15,246       8,950
LILLY ELI & CO                    COM   532457108      34,281     422,575  SH     DEFINED     04     401,440           0      21,135
LILLY ELI & CO                    COM   532457108      30,148     371,621  SH     OTHER       04     348,221           0      23,400
LILLY ELI & CO                    COM   532457108       6,162      75,952  SH     DEFINED     05      48,555      20,947       6,450
LILLY ELI & CO                    COM   532457108         434       5,350  SH     OTHER       05       2,450         900       2,000
LILLY ELI & CO                    COM   532457108     135,001   1,664,110  SH     DEFINED  01,08   1,664,110           0           0
LILLY ELI & CO                    COM   532457108         251       3,100  SH     DEFINED     09       3,100           0           0
LILLY ELI & CO                    COM   532457108       4,918      60,619  SH     DEFINED     10       7,208      53,411           0
LILLY ELI & CO                    COM   532457108         288       3,552  SH     OTHER       10       2,964         588           0

LILLY INDS INC                    COM   532491107         784      26,577  SH     DEFINED     01      21,669           0       4,908
LILLY INDS INC                    COM   532491107          51       1,739  SH     OTHER       01       1,739           0           0
LILLY INDS INC                    COM   532491107       2,063      69,941  SH     DEFINED  01,08      69,941           0           0

LIMITED INC                       COM   532716107      17,592     797,368  SH     DEFINED     01     621,361     126,636      49,371
LIMITED INC                       COM   532716107           9         400  SH     OTHER       01           0           0         400
LIMITED INC                       COM   532716107          35       1,580  SH     DEFINED     03         200       1,380           0
LIMITED INC                       COM   532716107          17         752  SH     DEFINED     04         752           0           0
LIMITED INC                       COM   532716107         176       8,000  SH     OTHER       04       8,000           0           0
LIMITED INC                       COM   532716107      14,050     636,844  SH     DEFINED  01,08     636,844           0           0

LINCARE HLDGS INC                 COM   532791100       2,075      72,317  SH     DEFINED     01      70,584           0       1,733
LINCARE HLDGS INC                 COM   532791100           6         200  SH     OTHER       04         200           0           0
LINCARE HLDGS INC                 COM   532791100       4,337     151,172  SH     DEFINED  01,08     151,172           0           0

LINCOLN ELEC HLDGS INC            COM   533900106         267      20,080  SH     DEFINED     01      14,054           0       6,026
LINCOLN ELEC HLDGS INC            COM   533900106         964      72,432  SH     DEFINED  01,08      72,432           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    278
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LINCOLN NATL CORP IND             COM   534187109      29,418     611,291  SH     DEFINED     01     528,608      61,140      21,543
LINCOLN NATL CORP IND             COM   534187109      10,525     218,702  SH     OTHER       01     203,878      14,624         200
LINCOLN NATL CORP IND             COM   534187109         578      12,000  SH     DEFINED     02      12,000           0           0
LINCOLN NATL CORP IND             COM   534187109          77       1,600  SH     OTHER       02       1,600           0           0
LINCOLN NATL CORP IND             COM   534187109         420       8,721  SH     DEFINED     03       2,721           0       6,000
LINCOLN NATL CORP IND             COM   534187109         116       2,400  SH     OTHER       03       2,400           0           0
LINCOLN NATL CORP IND             COM   534187109         421       8,758  SH     DEFINED     04       8,758           0           0
LINCOLN NATL CORP IND             COM   534187109       4,469      92,871  SH     OTHER       04      92,271           0         600
LINCOLN NATL CORP IND             COM   534187109      49,203   1,022,406  SH     DEFINED  01,08     292,025     594,651     135,730

LINCOLN NATL CORP IND          CONV PFD 534187208         285         393         DEFINED     01         393           0           0
LINCOLN NATL CORP IND          CONV PFD 534187208         418         576         DEFINED     04         576           0           0

LINCOLN NATL INCOME FD            COM   534217104         449      40,606  SH     DEFINED     01       2,506      38,100           0
LINCOLN NATL INCOME FD            COM   534217104           3         300  SH     OTHER       02         300           0           0

LINDAL CEDAR HOMES INC            COM   535130108          31      15,558  SH     DEFINED  01,08      15,558           0           0

LINDBERG CORP                     COM   535171102          19       2,500  SH     DEFINED     04           0           0       2,500
LINDBERG CORP                     COM   535171102         108      14,453  SH     DEFINED  01,08      14,453           0           0

LINDSAY MFG CO                    COM   535555106         223      11,992  SH     DEFINED     01      10,714           0       1,278
LINDSAY MFG CO                    COM   535555106          19       1,000  SH     DEFINED     02           0           0       1,000
LINDSAY MFG CO                    COM   535555106         524      28,147  SH     DEFINED  01,08      28,147           0           0

LINEAR TECHNOLOGY CORP            COM   535678106     149,412   2,307,520  SH     DEFINED     01   1,236,406     890,024     181,090
LINEAR TECHNOLOGY CORP            COM   535678106      21,691     334,999  SH     OTHER       01     104,300     187,781      42,918
LINEAR TECHNOLOGY CORP            COM   535678106       5,454      84,236  SH     DEFINED     02      48,796      30,330       5,110
LINEAR TECHNOLOGY CORP            COM   535678106       1,301      20,100  SH     OTHER       02      10,100       8,850       1,150
LINEAR TECHNOLOGY CORP            COM   535678106      28,807     444,890  SH     DEFINED     03     226,338     202,790      15,762
LINEAR TECHNOLOGY CORP            COM   535678106       4,581      70,750  SH     OTHER       03      49,500      19,950       1,300
LINEAR TECHNOLOGY CORP            COM   535678106      19,595     302,618  SH     DEFINED     04     280,668           0      21,950
LINEAR TECHNOLOGY CORP            COM   535678106       4,962      76,640  SH     OTHER       04      75,070           0       1,570
LINEAR TECHNOLOGY CORP            COM   535678106       2,176      33,600  SH     DEFINED     05      19,050      13,100       1,450
LINEAR TECHNOLOGY CORP            COM   535678106       1,523      23,525  SH     OTHER       05      16,000       7,525           0
LINEAR TECHNOLOGY CORP            COM   535678106      31,084     480,058  SH     DEFINED  01,08     480,058           0           0
LINEAR TECHNOLOGY CORP            COM   535678106         710      10,965  SH     DEFINED     09      10,965           0           0
LINEAR TECHNOLOGY CORP            COM   535678106       1,456      22,485  SH     DEFINED     10      11,755      10,730           0
LINEAR TECHNOLOGY CORP            COM   535678106          42         650  SH     OTHER       10         250         400           0

LINENS N THINGS INC               COM   535679104      10,352     405,972  SH     DEFINED     01     378,359       1,700      25,913
LINENS N THINGS INC               COM   535679104       2,021      79,259  SH     DEFINED  01,08      79,259           0           0

LIQUID AUDIO INC                  COM   53631T102           0          80  SH     DEFINED     04          80           0           0
LIQUID AUDIO INC                  COM   53631T102         211      46,955  SH     DEFINED  01,08      46,955           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    279
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LIQUI BOX CORP                    COM   536314107         146       4,521  SH     DEFINED     01       4,466           0          55
LIQUI BOX CORP                    COM   536314107         398      12,300  SH     OTHER       01      12,000         300           0
LIQUI BOX CORP                    COM   536314107         637      19,677  SH     DEFINED  01,08      19,677           0           0

LITHIA MTRS INC                   COM   536797103         253      20,900  SH     DEFINED     01           0      20,900           0
LITHIA MTRS INC                   COM   536797103         533      43,975  SH     DEFINED  01,08      43,975           0           0

LITTELFUSE INC                    COM   537008104         610      20,538  SH     DEFINED     01      17,202       1,964       1,372
LITTELFUSE INC                    COM   537008104          18         600  SH     DEFINED     03           0         600           0
LITTELFUSE INC                    COM   537008104         921      31,010  SH     DEFINED  01,08      31,010           0           0

LITTON INDS INC                   COM   538021106       1,412      31,597  SH     DEFINED     01      30,009           0       1,588
LITTON INDS INC                   COM   538021106           3          64  SH     OTHER       01          64           0           0
LITTON INDS INC                   COM   538021106          43         964  SH     DEFINED     02         964           0           0
LITTON INDS INC                   COM   538021106         121       2,700  SH     DEFINED     04       2,700           0           0
LITTON INDS INC                   COM   538021106       4,378      97,973  SH     DEFINED  01,08      97,973           0           0

LIVEPERSON INC                    COM   538146101          17       3,963  SH     DEFINED     01       3,877           0          86
LIVEPERSON INC                    COM   538146101          46      10,455  SH     DEFINED  01,08      10,455           0           0

LIZ CLAIBORNE INC                 COM   539320101       3,892     101,081  SH     DEFINED     01      78,263      17,021       5,797
LIZ CLAIBORNE INC                 COM   539320101         481      12,500  SH     OTHER       01           0           0      12,500
LIZ CLAIBORNE INC                 COM   539320101          29         750  SH     DEFINED     04         750           0           0
LIZ CLAIBORNE INC                 COM   539320101          39       1,000  SH     OTHER       04       1,000           0           0
LIZ CLAIBORNE INC                 COM   539320101       3,207      83,308  SH     DEFINED  01,08      83,308           0           0

L90 INC                           COM   539441105         101      13,054  SH     DEFINED  01,08      13,054           0           0

LO-JACK CORP                      COM   539451104         710      95,425  SH     DEFINED  01,08      95,425           0           0

LOCKHEED MARTIN CORP              COM   539830109      33,401   1,013,366  SH     DEFINED     01     828,005     137,276      48,085
LOCKHEED MARTIN CORP              COM   539830109         360      10,912  SH     OTHER       01      10,612           0         300
LOCKHEED MARTIN CORP              COM   539830109          15         454  SH     DEFINED     02           0         454           0
LOCKHEED MARTIN CORP              COM   539830109          32         978  SH     OTHER       02         978           0           0
LOCKHEED MARTIN CORP              COM   539830109         227       6,885  SH     DEFINED     03         100       2,825       3,960
LOCKHEED MARTIN CORP              COM   539830109          14         411  SH     OTHER       03           0         411           0
LOCKHEED MARTIN CORP              COM   539830109          56       1,700  SH     DEFINED     04       1,700           0           0
LOCKHEED MARTIN CORP              COM   539830109         161       4,884  SH     OTHER       04       4,864           0          20
LOCKHEED MARTIN CORP              COM   539830109      19,963     605,687  SH     DEFINED  01,08     605,687           0           0
LOCKHEED MARTIN CORP              COM   539830109         244       7,400  SH     OTHER       10       5,400       2,000           0

LODGIAN INC                       COM   54021P106         104      36,012  SH     DEFINED  01,08      36,012           0           0

LODGENET ENTMT CORP               COM   540211109         672      23,281  SH     DEFINED     01      22,058           0       1,223
LODGENET ENTMT CORP               COM   540211109         546      18,919  SH     DEFINED  01,08      18,919           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    280
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LOEWS CINEPLEX ENTMT CORP         COM   540423100          16       9,424  SH     DEFINED     01       9,424           0           0
LOEWS CINEPLEX ENTMT CORP         COM   540423100          77      43,907  SH     DEFINED  01,08      43,907           0           0

LOEWS CORP                        COM   540424108      14,131     169,489  SH     DEFINED     01     137,967      24,738       6,784
LOEWS CORP                        COM   540424108          83       1,000  SH     DEFINED     03       1,000           0           0
LOEWS CORP                        COM   540424108          74         890  SH     DEFINED     04         890           0           0
LOEWS CORP                        COM   540424108         217       2,600  SH     OTHER       04       2,600           0           0
LOEWS CORP                        COM   540424108      10,732     128,715  SH     DEFINED  01,08     128,715           0           0
LOEWS CORP                        COM   540424108          71         849  SH     DEFINED     10           0         849           0

LOG ON AMER INC                   COM   540473105          38      16,432  SH     DEFINED  01,08      16,432           0           0

LOGILITY INC                      COM   54140Y103          62      18,100  SH     DEFINED  01,08      18,100           0           0

LOGIC DEVICES INC                 COM   541402103          20      10,200  SH     DEFINED  01,08      10,200           0           0

LOISLAW COM INC                   COM   541431102           2         500  SH     DEFINED     04         500           0           0
LOISLAW COM INC                   COM   541431102         112      23,366  SH     DEFINED  01,08      23,366           0           0

LONE STAR STEAKHOUSE SALOON       COM   542307103         525      71,143  SH     DEFINED     01      65,770           0       5,373
LONE STAR STEAKHOUSE SALOON       COM   542307103         450      61,073  SH     DEFINED  01,08      61,073           0           0

LONE STAR TECHNOLOGIES INC        COM   542312103       1,128      24,442  SH     DEFINED     01      23,615           0         827
LONE STAR TECHNOLOGIES INC        COM   542312103           6         138  SH     DEFINED     04         138           0           0
LONE STAR TECHNOLOGIES INC        COM   542312103       1,834      39,747  SH     DEFINED  01,08      39,747           0           0

LONGS DRUG STORES CORP            COM   543162101       1,538      80,405  SH     DEFINED     01      63,619       9,513       7,273
LONGS DRUG STORES CORP            COM   543162101           8         407  SH     DEFINED     03         407           0           0
LONGS DRUG STORES CORP            COM   543162101          46       2,400  SH     OTHER       04       2,400           0           0
LONGS DRUG STORES CORP            COM   543162101       1,642      85,876  SH     DEFINED  01,08      85,876           0           0
LONGS DRUG STORES CORP            COM   543162101         245      12,800  SH     DEFINED     10      12,800           0           0

LONGVIEW FIBRE CO                 COM   543213102       1,058      88,136  SH     DEFINED     01      77,518       1,291       9,327
LONGVIEW FIBRE CO                 COM   543213102          46       3,800  SH     OTHER       01       3,800           0           0
LONGVIEW FIBRE CO                 COM   543213102       1,799     149,909  SH     DEFINED  01,08     149,909           0           0

LOOKSMART LTD                     COM   543442107         470      41,997  SH     DEFINED     01      41,273           0         724
LOOKSMART LTD                     COM   543442107           1         100  SH     DEFINED     04           0           0         100
LOOKSMART LTD                     COM   543442107       1,454     129,991  SH     DEFINED  01,08     129,991           0           0

LOUDEYE TECHNOLOGIES INC          COM   545754103          19       2,778  SH     DEFINED     01       1,897           0         881
LOUDEYE TECHNOLOGIES INC          COM   545754103         216      31,731  SH     DEFINED  01,08      31,731           0           0

LOUIS DREYFUS NAT GAS CORP        COM   546011107       2,307      58,228  SH     DEFINED     01      50,974       4,400       2,854
LOUIS DREYFUS NAT GAS CORP        COM   546011107       5,387     135,953  SH     DEFINED  01,08     135,953           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    281
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LOUISIANA PAC CORP                COM   546347105       2,121     230,878  SH     DEFINED     01     185,676      26,134      19,068
LOUISIANA PAC CORP                COM   546347105           2         254  SH     OTHER       01         254           0           0
LOUISIANA PAC CORP                COM   546347105          70       7,647  SH     OTHER       03           0       7,647           0
LOUISIANA PAC CORP                COM   546347105          17       1,900  SH     DEFINED     04       1,900           0           0
LOUISIANA PAC CORP                COM   546347105         218      23,708  SH     OTHER       04      23,708           0           0
LOUISIANA PAC CORP                COM   546347105       1,561     169,965  SH     DEFINED  01,08     169,965           0           0
LOUISIANA PAC CORP                COM   546347105           9       1,000  SH     OTHER       10           0       1,000           0

LOWES COS INC                     COM   548661107      35,473     790,479  SH     DEFINED     01     590,408     149,452      50,619
LOWES COS INC                     COM   548661107         983      21,907  SH     OTHER       01      18,650       1,482       1,775
LOWES COS INC                     COM   548661107          27         600  SH     DEFINED     02         400         200           0
LOWES COS INC                     COM   548661107         615      13,710  SH     DEFINED     03       1,400      10,350       1,960
LOWES COS INC                     COM   548661107         186       4,150  SH     OTHER       03       3,150       1,000           0
LOWES COS INC                     COM   548661107       4,906     109,333  SH     DEFINED     04     108,658           0         675
LOWES COS INC                     COM   548661107         867      19,310  SH     OTHER       04      17,510           0       1,800
LOWES COS INC                     COM   548661107          49       1,090  SH     DEFINED     05       1,090           0           0
LOWES COS INC                     COM   548661107      25,903     577,229  SH     DEFINED  01,08     577,229           0           0
LOWES COS INC                     COM   548661107         113       2,507  SH     DEFINED     09       2,507           0           0
LOWES COS INC                     COM   548661107           3          64  SH     OTHER       09           0          64           0
LOWES COS INC                     COM   548661107          31         700  SH     DEFINED     10         700           0           0

LOWRANCE ELECTRS INC              COM   548900109       1,681     384,152  SH     OTHER       04     384,152           0           0
LOWRANCE ELECTRS INC              COM   548900109          48      11,000  SH     DEFINED  01,08      11,000           0           0

LUBRIZOL CORP                     COM   549271104       1,401      71,157  SH     DEFINED     01      51,894       9,500       9,763
LUBRIZOL CORP                     COM   549271104         114       5,800  SH     OTHER       01       4,200       1,600           0
LUBRIZOL CORP                     COM   549271104          79       4,000  SH     DEFINED     02       4,000           0           0
LUBRIZOL CORP                     COM   549271104          12         600  SH     DEFINED     03           0         200         400
LUBRIZOL CORP                     COM   549271104           8         400  SH     OTHER       03           0         400           0
LUBRIZOL CORP                     COM   549271104           8         400  SH     DEFINED     04         400           0           0
LUBRIZOL CORP                     COM   549271104          87       4,400  SH     OTHER       04       1,600           0       2,800
LUBRIZOL CORP                     COM   549271104       3,817     193,869  SH     DEFINED  01,08     193,869           0           0

LUBYS INC                         COM   549282101          68      12,887  SH     DEFINED     01       8,985           0       3,902
LUBYS INC                         COM   549282101          11       2,000  SH     OTHER       01       2,000           0           0
LUBYS INC                         COM   549282101          10       1,800  SH     OTHER       04           0           0       1,800
LUBYS INC                         COM   549282101         429      80,690  SH     DEFINED  01,08      80,690           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    282
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LUCENT TECHNOLOGIES INC           COM   549463107     251,578   8,231,723  SH     DEFINED     01   7,096,858     668,320     466,545
LUCENT TECHNOLOGIES INC           COM   549463107      29,172     954,512  SH     OTHER       01     396,818     419,336     138,358
LUCENT TECHNOLOGIES INC           COM   549463107       8,145     266,497  SH     DEFINED     02     160,288      87,315      18,894
LUCENT TECHNOLOGIES INC           COM   549463107       5,553     181,694  SH     OTHER       02     107,097      63,151      11,446
LUCENT TECHNOLOGIES INC           COM   549463107      14,177     463,875  SH     DEFINED     03     223,923     215,241      24,711
LUCENT TECHNOLOGIES INC           COM   549463107       5,948     194,635  SH     OTHER       03     143,252      48,717       2,666
LUCENT TECHNOLOGIES INC           COM   549463107      81,909   2,680,090  SH     DEFINED     04   2,554,460           0     125,630
LUCENT TECHNOLOGIES INC           COM   549463107      58,201   1,904,357  SH     OTHER       04   1,795,701           0     108,656
LUCENT TECHNOLOGIES INC           COM   549463107       6,685     218,744  SH     DEFINED     05     151,739      49,042      17,963
LUCENT TECHNOLOGIES INC           COM   549463107       1,366      44,685  SH     OTHER       05      30,363      14,322           0
LUCENT TECHNOLOGIES INC           COM   549463107     148,423   4,856,464  SH     DEFINED  01,08   4,856,464           0           0
LUCENT TECHNOLOGIES INC           COM   549463107         445      14,559  SH     DEFINED     09      14,559           0           0
LUCENT TECHNOLOGIES INC           COM   549463107          60       1,976  SH     OTHER       09       1,240         736           0
LUCENT TECHNOLOGIES INC           COM   549463107       5,716     187,044  SH     DEFINED     10      80,394     106,450         200
LUCENT TECHNOLOGIES INC           COM   549463107       1,627      53,225  SH     OTHER       10      13,370      39,655         200

LUFKIN INDS INC                   COM   549764108          96       4,700  SH     DEFINED     01       4,700           0           0
LUFKIN INDS INC                   COM   549764108         167       8,200  SH     DEFINED  01,08       8,200           0           0

LUMENON INNOV LIGHTWAVE TECH      COM   55024L109         269      16,900  SH     DEFINED     01      16,900           0           0
LUMENON INNOV LIGHTWAVE TECH      COM   55024L109          32       2,000  SH     DEFINED     04       2,000           0           0

LUMINANT WORLDWIDE CORP           COM   550260103          70      23,708  SH     DEFINED  01,08      23,708           0           0

LUMINEX CORP DEL                  COM   55027E102         676      17,783  SH     DEFINED     01      17,626           0         157
LUMINEX CORP DEL                  COM   55027E102       1,109      29,174  SH     DEFINED  01,08      29,174           0           0

LUMISYS INC                       COM   550274104           3       1,300  SH     OTHER       04       1,300           0           0
LUMISYS INC                       COM   550274104          33      12,700  SH     DEFINED  01,08      12,700           0           0

LUND INTL HLDGS INC               COM   550368104          46      10,300  SH     DEFINED  01,08      10,300           0           0

LUXOTTICA GROUP S P A             COM   55068R202         106       6,600  SH     DEFINED     01       3,000       3,600           0
LUXOTTICA GROUP S P A             COM   55068R202          81       5,000  SH     DEFINED     03           0       5,000           0
LUXOTTICA GROUP S P A             COM   55068R202          48       3,000  SH     DEFINED     04       3,000           0           0

LYCOS INC                         COM   550818108         503       7,309  SH     DEFINED     01       4,671         220       2,418
LYCOS INC                         COM   550818108          14         200  SH     OTHER       03           0         200           0
LYCOS INC                         COM   550818108         213       3,100  SH     DEFINED     04       3,000           0         100
LYCOS INC                         COM   550818108       6,162      89,602  SH     DEFINED  01,08      89,602           0           0

LYDALL INC DEL                    COM   550819106         278      24,339  SH     DEFINED     01           0      24,239         100
LYDALL INC DEL                    COM   550819106          75       6,600  SH     DEFINED     04           0           0       6,600
LYDALL INC DEL                    COM   550819106         533      46,595  SH     DEFINED  01,08      46,595           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    283
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
LYNCH INTERACTIVE CORP            COM   551146103         101       1,800  SH     DEFINED     01       1,800           0           0
LYNCH INTERACTIVE CORP            COM   551146103         471       8,418  SH     DEFINED  01,08       8,418           0           0

LYNX THERAPEUTICS INC             COM   551812308         310       9,891  SH     DEFINED     01       9,650           0         241
LYNX THERAPEUTICS INC             COM   551812308         546      17,429  SH     DEFINED  01,08      17,429           0           0

LYONDELL CHEMICAL CO              COM   552078107         907      76,794  SH     DEFINED     01      72,193           0       4,601
LYONDELL CHEMICAL CO              COM   552078107       3,793     321,156  SH     DEFINED  01,08     321,156           0           0

M & F WORLDWIDE CORP              COM   552541104          31       5,400  SH     DEFINED     01       5,400           0           0
M & F WORLDWIDE CORP              COM   552541104           0          13  SH     OTHER       01           0           0          13
M & F WORLDWIDE CORP              COM   552541104           0          32  SH     DEFINED     03           0           0          32
M & F WORLDWIDE CORP              COM   552541104           5         883  SH     OTHER       03           0         883           0
M & F WORLDWIDE CORP              COM   552541104         112      19,200  SH     DEFINED  01,08      19,200           0           0
M & F WORLDWIDE CORP              COM   552541104           1         100  SH     DEFINED     10           0           0         100

M & T BK CORP                     COM   55261F104         491         963  SH     DEFINED     01         716           0         247
M & T BK CORP                     COM   55261F104         459         900  SH     OTHER       01         900           0           0
M & T BK CORP                     COM   55261F104         432         848  SH     OTHER       04         848           0           0
M & T BK CORP                     COM   55261F104       3,368       6,604  SH     DEFINED  01,08       6,604           0           0

MAF BANCORP INC                   COM   55261R108       1,056      42,462  SH     DEFINED     01      30,753       6,585       5,124
MAF BANCORP INC                   COM   55261R108       1,398      56,186  SH     DEFINED  01,08      56,186           0           0

MBIA INC                          COM   55262C100      24,464     343,962  SH     DEFINED     01     263,792      72,722       7,448
MBIA INC                          COM   55262C100       1,488      20,914  SH     OTHER       01      10,015       5,299       5,600
MBIA INC                          COM   55262C100       4,706      66,166  SH     DEFINED     02      34,966      27,900       3,300
MBIA INC                          COM   55262C100         998      14,027  SH     OTHER       02       6,602       6,875         550
MBIA INC                          COM   55262C100       6,363      89,460  SH     DEFINED     03      35,530      49,705       4,225
MBIA INC                          COM   55262C100       1,052      14,790  SH     OTHER       03       9,490       3,300       2,000
MBIA INC                          COM   55262C100       2,281      32,075  SH     DEFINED     04      30,155           0       1,920
MBIA INC                          COM   55262C100         723      10,162  SH     OTHER       04      10,042           0         120
MBIA INC                          COM   55262C100       2,423      34,070  SH     DEFINED     05      27,020       5,350       1,700
MBIA INC                          COM   55262C100         285       4,000  SH     OTHER       05       2,800       1,200           0
MBIA INC                          COM   55262C100      11,378     159,965  SH     DEFINED  01,08     159,965           0           0
MBIA INC                          COM   55262C100          50         700  SH     DEFINED     09         700           0           0
MBIA INC                          COM   55262C100          18         250  SH     OTHER       09         250           0           0
MBIA INC                          COM   55262C100         327       4,600  SH     DEFINED     10         600       4,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    284
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MBNA CORP                         COM   55262L100     127,426   3,309,769  SH     DEFINED     01   2,621,158     537,186     151,425
MBNA CORP                         COM   55262L100       3,955     102,723  SH     OTHER       01      53,958      37,365      11,400
MBNA CORP                         COM   55262L100       2,377      61,729  SH     DEFINED     02      15,890      43,199       2,640
MBNA CORP                         COM   55262L100          56       1,462  SH     OTHER       02         337           0       1,125
MBNA CORP                         COM   55262L100       4,010     104,159  SH     DEFINED     03      58,328      42,056       3,775
MBNA CORP                         COM   55262L100       1,074      27,886  SH     OTHER       03      22,062       5,824           0
MBNA CORP                         COM   55262L100       1,859      48,290  SH     DEFINED     04      48,290           0           0
MBNA CORP                         COM   55262L100       1,855      48,170  SH     OTHER       04      48,170           0           0
MBNA CORP                         COM   55262L100          39       1,000  SH     DEFINED     05       1,000           0           0
MBNA CORP                         COM   55262L100      51,865   1,347,143  SH     DEFINED  01,08   1,320,380      26,763           0
MBNA CORP                         COM   55262L100          19         500  SH     OTHER       09         500           0           0
MBNA CORP                         COM   55262L100       4,058     105,391  SH     DEFINED     10      46,533      58,858           0
MBNA CORP                         COM   55262L100         331       8,600  SH     OTHER       10       7,900         500         200

MCN ENERGY GROUP INC              COM   55267J100       1,585      61,862  SH     DEFINED     01      58,348           0       3,514
MCN ENERGY GROUP INC              COM   55267J100          15         600  SH     OTHER       01         600           0           0
MCN ENERGY GROUP INC              COM   55267J100          79       3,100  SH     DEFINED     02       3,100           0           0
MCN ENERGY GROUP INC              COM   55267J100          75       2,940  SH     DEFINED     04       2,940           0           0
MCN ENERGY GROUP INC              COM   55267J100         166       6,462  SH     OTHER       04       6,462           0           0
MCN ENERGY GROUP INC              COM   55267J100       6,394     249,532  SH     DEFINED  01,08     249,532           0           0
MCN ENERGY GROUP INC              COM   55267J100          68       2,652  SH     DEFINED     10       2,152         500           0
MCN ENERGY GROUP INC              COM   55267J100         107       4,167  SH     OTHER       10         167       4,000           0

MC SHIPPING INC                   COM   55267Q104           5      11,000  SH     OTHER       04      11,000           0           0

M D C HLDGS INC                   COM   552676108       1,858      71,450  SH     DEFINED     01      63,465       2,900       5,085
M D C HLDGS INC                   COM   552676108       1,866      71,766  SH     DEFINED  01,08      71,766           0           0

MDU RES GROUP INC                 COM   552690109       1,186      39,854  SH     DEFINED     01      26,097       2,260      11,497
MDU RES GROUP INC                 COM   552690109         703      23,625  SH     OTHER       01       5,625      18,000           0
MDU RES GROUP INC                 COM   552690109          30       1,000  SH     OTHER       02       1,000           0           0
MDU RES GROUP INC                 COM   552690109          27         900  SH     DEFINED     03         900           0           0
MDU RES GROUP INC                 COM   552690109          54       1,800  SH     OTHER       03           0           0       1,800
MDU RES GROUP INC                 COM   552690109         134       4,500  SH     DEFINED     04       4,500           0           0
MDU RES GROUP INC                 COM   552690109         134       4,495  SH     OTHER       04       4,495           0           0
MDU RES GROUP INC                 COM   552690109       2,735      91,941  SH     DEFINED  01,08      91,941           0           0
MDU RES GROUP INC                 COM   552690109          80       2,700  SH     DEFINED     10       2,700           0           0

MCSI INC                          COM   55270M108         309       9,200  SH     DEFINED     01       8,469           0         731
MCSI INC                          COM   55270M108         463      13,759  SH     DEFINED  01,08      13,759           0           0

MEMC ELECTR MATLS INC             COM   552715104         970      75,332  SH     DEFINED     01      61,923       9,300       4,109
MEMC ELECTR MATLS INC             COM   552715104       1,187      92,217  SH     DEFINED  01,08      92,217           0           0
MFRI INC                          COM   552721102          49      14,100  SH     DEFINED  01,08      14,100           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    285
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MFS CHARTER INCOME TR          UNDEFIND 552727109           0       4,000         DEFINED     01       1,000       3,000           0
MFS CHARTER INCOME TR          UNDEFIND 552727109           0       1,250         OTHER       02           0           0       1,250
MFS CHARTER INCOME TR          UNDEFIND 552727109         129      14,988         DEFINED     04      14,988           0           0

MFS INTER INCOME TR            UNDEFIND 55273C107           2      36,450         DEFINED     01           0      36,450           0
MFS INTER INCOME TR            UNDEFIND 55273C107         235      36,800         DEFINED     04      35,800           0       1,000
MFS INTER INCOME TR            UNDEFIND 55273C107          34       5,339         OTHER       04       5,339           0           0

MFS MULTIMARKET INCOME TR         COM   552737108         390      63,000  SH     DEFINED     01           0      63,000           0
MFS MULTIMARKET INCOME TR         COM   552737108          40       6,500  SH     OTHER       04       6,500           0           0
MFS MULTIMARKET INCOME TR         COM   552737108          14       2,200  SH     DEFINED     05       2,200           0           0

MFS MUN INCOME TR              UNDEFIND 552738106           0         500         DEFINED     02           0         500           0
MFS MUN INCOME TR              UNDEFIND 552738106         112      14,700         DEFINED     04      14,700           0           0
MFS MUN INCOME TR              UNDEFIND 552738106          61       8,060         OTHER       04       8,060           0           0

MGIC INVT CORP WIS                COM   552848103      21,560     352,725  SH     DEFINED     01     288,549      41,387      22,789
MGIC INVT CORP WIS                COM   552848103         397       6,500  SH     OTHER       01       3,800       2,600         100
MGIC INVT CORP WIS                COM   552848103          98       1,600  SH     DEFINED     02       1,600           0           0
MGIC INVT CORP WIS                COM   552848103          67       1,100  SH     OTHER       02           0       1,100           0
MGIC INVT CORP WIS                COM   552848103         801      13,100  SH     DEFINED     03      12,300         800           0
MGIC INVT CORP WIS                COM   552848103          18         300  SH     OTHER       03         300           0           0
MGIC INVT CORP WIS                COM   552848103         269       4,400  SH     DEFINED     04       3,900           0         500
MGIC INVT CORP WIS                COM   552848103         355       5,800  SH     OTHER       04       5,800           0           0
MGIC INVT CORP WIS                COM   552848103           5          85  SH     DEFINED     05          85           0           0
MGIC INVT CORP WIS                COM   552848103      10,687     174,844  SH     DEFINED  01,08     174,844           0           0
MGIC INVT CORP WIS                COM   552848103         263       4,300  SH     DEFINED     10         300       4,000           0

MGI PHARMA INC                    COM   552880106         523      17,449  SH     DEFINED     01      17,155           0         294
MGI PHARMA INC                    COM   552880106       1,326      44,193  SH     DEFINED  01,08      44,193           0           0

MFS GOVT MKTS INCOME TR        UNDEFIND 552939100           0       2,000         DEFINED     01           0       2,000           0
MFS GOVT MKTS INCOME TR        UNDEFIND 552939100           1      10,000         OTHER       02           0      10,000           0
MFS GOVT MKTS INCOME TR        UNDEFIND 552939100          62      10,089         DEFINED     04      10,089           0           0

MGM MIRAGE                        COM   552953101         201       5,257  SH     DEFINED     01       3,585           0       1,672
MGM MIRAGE                        COM   552953101         191       5,000  SH     OTHER       01           0       5,000           0
MGM MIRAGE                        COM   552953101          23         600  SH     DEFINED     04         600           0           0
MGM MIRAGE                        COM   552953101       4,743     124,206  SH     DEFINED  01,08     124,206           0           0

MIM CORP                          COM   553044108           3       1,500  SH     DEFINED     01       1,500           0           0
MIM CORP                          COM   553044108          42      23,000  SH     OTHER       04      23,000           0           0
MIM CORP                          COM   553044108          54      29,463  SH     DEFINED  01,08      29,463           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    286
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
M/I SCHOTTENSTEIN HOMES INC       COM   55305B101         187       9,200  SH     DEFINED     01       9,200           0           0
M/I SCHOTTENSTEIN HOMES INC       COM   55305B101          24       1,200  SH     DEFINED     04       1,200           0           0
M/I SCHOTTENSTEIN HOMES INC       COM   55305B101         219      10,743  SH     DEFINED  01,08      10,743           0           0

MKS INSTRUMENT INC                COM   55306N104         142       5,199  SH     DEFINED     01       5,009           0         190
MKS INSTRUMENT INC                COM   55306N104         798      29,161  SH     DEFINED  01,08      29,161           0           0

MMC NETWORKS INC                  COM   55308N102       5,396      42,657  SH     DEFINED     01      37,887           0       4,770
MMC NETWORKS INC                  COM   55308N102         503       3,975  SH     OTHER       01           0           0       3,975
MMC NETWORKS INC                  COM   55308N102          51         400  SH     DEFINED     03           0           0         400
MMC NETWORKS INC                  COM   55308N102       6,696      52,929  SH     DEFINED  01,08      52,929           0           0

MPW INDUSTRIAL SVCS GROUP         COM   553444100          49      14,349  SH     DEFINED  01,08      14,349           0           0

MRV COMMUNICATIONS INC            COM   553477100       2,341      51,666  SH     DEFINED     01      49,975           0       1,691
MRV COMMUNICATIONS INC            COM   553477100          86       1,900  SH     DEFINED     03           0       1,900           0
MRV COMMUNICATIONS INC            COM   553477100           6         130  SH     DEFINED     04         130           0           0
MRV COMMUNICATIONS INC            COM   553477100           9         200  SH     OTHER       04         200           0           0
MRV COMMUNICATIONS INC            COM   553477100       4,641     102,427  SH     DEFINED  01,08     102,427           0           0

MSC INDL DIRECT INC               COM   553530106          50       3,305  SH     DEFINED     01       2,568           0         737
MSC INDL DIRECT INC               COM   553530106         528      34,605  SH     DEFINED  01,08      34,605           0           0

MSC SOFTWARE CORP                 COM   553531104         153      14,400  SH     DEFINED     04           0           0      14,400
MSC SOFTWARE CORP                 COM   553531104         548      51,741  SH     DEFINED  01,08      51,741           0           0

M S CARRIERS INC                  COM   553533100         307      19,646  SH     DEFINED     01      18,089           0       1,557
M S CARRIERS INC                  COM   553533100       1,002      64,097  SH     DEFINED  01,08      64,097           0           0

MTS SYS CORP                      COM   553777103          12       1,719  SH     DEFINED     01           0       1,719           0
MTS SYS CORP                      COM   553777103         523      74,729  SH     DEFINED  01,08      74,729           0           0

MTI TECHNOLOGY CORP               COM   553903105         124      32,560  SH     DEFINED     01      31,989           0         571
MTI TECHNOLOGY CORP               COM   553903105           1         200  SH     OTHER       02         200           0           0
MTI TECHNOLOGY CORP               COM   553903105         164      43,135  SH     DEFINED  01,08      43,135           0           0

MAC-GRAY CORP                     COM   554153106         391     120,289  SH     DEFINED  01,08     120,289           0           0

MACDERMID INC                     COM   554273102         627      29,871  SH     DEFINED     01      28,212           0       1,659
MACDERMID INC                     COM   554273102       1,088      51,789  SH     DEFINED  01,08      51,789           0           0
MACDERMID INC                     COM   554273102           2         100  SH     DEFINED     10         100           0           0

MACERICH CO                       COM   554382101         388      18,243  SH     DEFINED     01      12,779           0       5,464
MACERICH CO                       COM   554382101         173       8,147  SH     DEFINED  01,08       8,147           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    287
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MACK CALI RLTY CORP               COM   554489104         201       7,140  SH     DEFINED     01       4,206       1,700       1,234
MACK CALI RLTY CORP               COM   554489104          11         400  SH     DEFINED     02         400           0           0
MACK CALI RLTY CORP               COM   554489104          20         715  SH     DEFINED     04         715           0           0
MACK CALI RLTY CORP               COM   554489104         149       5,285  SH     DEFINED  01,08       5,285           0           0
MACK CALI RLTY CORP               COM   554489104         130       4,600  SH     DEFINED     10       2,300       2,300           0
MACK CALI RLTY CORP               COM   554489104          14         500  SH     OTHER       10         500           0           0

MACKIE DESIGNS INC                COM   554541102          29       3,800  SH     DEFINED     01       3,800           0           0
MACKIE DESIGNS INC                COM   554541102         130      16,800  SH     DEFINED  01,08      16,800           0           0

MACROCHEM CORP DEL                COM   555903103           2         400  SH     DEFINED     04         400           0           0
MACROCHEM CORP DEL                COM   555903103           1         200  SH     OTHER       04         200           0           0
MACROCHEM CORP DEL                COM   555903103          53      13,800  SH     DEFINED  01,08      13,800           0           0

MACROVISION CORP                  COM   555904101         243       3,004  SH     DEFINED     01       1,578           0       1,426
MACROVISION CORP                  COM   555904101           6          80  SH     DEFINED     04          80           0           0
MACROVISION CORP                  COM   555904101       4,569      56,413  SH     DEFINED  01,08      56,413           0           0

MACROMEDIA INC                    COM   556100105       2,885      35,700  SH     DEFINED     01      31,467         500       3,733
MACROMEDIA INC                    COM   556100105         595       7,359  SH     OTHER       01           0           0       7,359
MACROMEDIA INC                    COM   556100105          10         125  SH     DEFINED     03           0         125           0
MACROMEDIA INC                    COM   556100105      12,110     149,860  SH     DEFINED  01,08     149,860           0           0
MACROMEDIA INC                    COM   556100105          12         154  SH     DEFINED     10         154           0           0

MADDEN STEVEN LTD                 COM   556269108          87      10,082  SH     DEFINED     01       9,909           0         173
MADDEN STEVEN LTD                 COM   556269108         103      11,900  SH     DEFINED     04           0           0      11,900
MADDEN STEVEN LTD                 COM   556269108         153      17,770  SH     DEFINED  01,08      17,770           0           0

MADE2MANAGE SYS INC               COM   556466100          16       5,000  SH     OTHER       01       5,000           0           0
MADE2MANAGE SYS INC               COM   556466100          19       5,806  SH     DEFINED  01,08       5,806           0           0

MADISON GAS & ELEC CO             COM   557497104         272      11,940  SH     DEFINED     01       6,600           0       5,340
MADISON GAS & ELEC CO             COM   557497104          14         600  SH     OTHER       01           0         600           0
MADISON GAS & ELEC CO             COM   557497104         120       5,283  SH     DEFINED     02       1,350       3,933           0
MADISON GAS & ELEC CO             COM   557497104          24       1,062  SH     OTHER       04       1,062           0           0
MADISON GAS & ELEC CO             COM   557497104         760      33,416  SH     DEFINED  01,08      33,416           0           0

MAGAININ PHARMACEUTICALS INC      COM   559036108           0         100  SH     OTHER       04         100           0           0
MAGAININ PHARMACEUTICALS INC      COM   559036108         114      36,429  SH     DEFINED  01,08      36,429           0           0

MAGELLAN HEALTH SVCS INC          COM   559079108         186      48,048  SH     DEFINED  01,08      48,048           0           0

MAGELLAN PETE CORP                COM   559091301           0           1  SH     DEFINED     04           1           0           0
MAGELLAN PETE CORP                COM   559091301         105      84,375  SH     DEFINED  01,08      84,375           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    288
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MAGNA INTL INC                 CONV DEB 559222AE4         351     369,000  PRN    DEFINED     01     179,000     115,000      75,000
MAGNA INTL INC                 CONV DEB 559222AE4         380     400,000  PRN    OTHER       01     200,000     200,000           0

MAGNA INTL INC                 CONV DEB 559222AG9       1,770   2,000,000  PRN    DEFINED     01   2,000,000           0           0
MAGNA INTL INC                 CONV DEB 559222AG9           4       5,000  PRN    DEFINED     04       5,000           0           0

MAGNETEK INC                      COM   559424106         409      38,491  SH     DEFINED     01      34,547           0       3,944
MAGNETEK INC                      COM   559424106         146      13,700  SH     DEFINED     04           0           0      13,700
MAGNETEK INC                      COM   559424106         707      66,527  SH     DEFINED  01,08      66,527           0           0

MAGNUM HUNTER RES INC             COM   55972F203         119      13,000  SH     DEFINED     01      13,000           0           0
MAGNUM HUNTER RES INC             COM   55972F203         153      16,763  SH     DEFINED  01,08      16,763           0           0

MAHASKA INVESTMENT CO             COM   559809108           5         600  SH     DEFINED     01         600           0           0
MAHASKA INVESTMENT CO             COM   559809108          16       2,000  SH     OTHER       04           0           0       2,000
MAHASKA INVESTMENT CO             COM   559809108          67       8,400  SH     DEFINED  01,08       8,400           0           0

MAIL COM INC                      COM   560311102         189      36,186  SH     DEFINED     01      33,012           0       3,174
MAIL COM INC                      COM   560311102           0          51  SH     DEFINED     04          51           0           0
MAIL COM INC                      COM   560311102         255      48,787  SH     DEFINED  01,08      48,787           0           0

MAIL-WELL INC                     COM   560321200         140      31,540  SH     DEFINED     01      25,092           0       6,448
MAIL-WELL INC                     COM   560321200         340      76,703  SH     DEFINED  01,08      76,703           0           0

MALLINCKRODT INC NEW              COM   561232109       5,642     123,658  SH     DEFINED     01      98,296      20,608       4,754
MALLINCKRODT INC NEW              COM   561232109         274       6,003  SH     OTHER       01       6,003           0           0
MALLINCKRODT INC NEW              COM   561232109          96       2,100  SH     DEFINED     04       2,100           0           0
MALLINCKRODT INC NEW              COM   561232109       4,618     101,206  SH     DEFINED  01,08     101,206           0           0
MALLINCKRODT INC NEW              COM   561232109          14         300  SH     DEFINED     10         300           0           0

MANAGED MUNS PORTFOLIO INC     UNDEFIND 561662107          92       9,344         DEFINED     04       9,344           0           0
MANAGED MUNS PORTFOLIO INC     UNDEFIND 561662107         346      35,251         OTHER       04      35,251           0           0

MANAGEMENT NETWORK GROUP INC      COM   561693102      18,750     898,184  SH     DEFINED     01       5,316     892,772          96
MANAGEMENT NETWORK GROUP INC      COM   561693102         573      27,447  SH     DEFINED  01,08      27,447           0           0

MANCHESTER EQUIP INC              COM   562154104          47      11,685  SH     DEFINED  01,08      11,685           0           0

MANDALAY RESORT GROUP             COM   562567107       1,283      50,079  SH     DEFINED     01      47,118           0       2,961
MANDALAY RESORT GROUP             COM   562567107          13         500  SH     OTHER       01           0         500           0
MANDALAY RESORT GROUP             COM   562567107          13         500  SH     DEFINED     02         500           0           0
MANDALAY RESORT GROUP             COM   562567107           5         196  SH     OTHER       02         196           0           0
MANDALAY RESORT GROUP             COM   562567107       4,356     170,009  SH     DEFINED  01,08     170,009           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    289
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MANHATTAN ASSOCS INC              COM   562750109         280       4,572  SH     DEFINED     01       4,494           0          78
MANHATTAN ASSOCS INC              COM   562750109       1,455      23,759  SH     DEFINED  01,08      23,759           0           0

MANITOWOC INC                     COM   563571108         714      37,114  SH     DEFINED     01      30,383       4,050       2,681
MANITOWOC INC                     COM   563571108       1,212      62,961  SH     DEFINED  01,08      62,961           0           0

MANNATECH INC                     COM   563771104          69      30,566  SH     DEFINED  01,08      30,566           0           0

MANOR CARE INC NEW                COM   564055101       4,645     296,085  SH     DEFINED     01     230,602      47,537      17,946
MANOR CARE INC NEW                COM   564055101           9         600  SH     DEFINED     04         600           0           0
MANOR CARE INC NEW                COM   564055101       2,656     169,328  SH     DEFINED  01,08     169,328           0           0

MANPOWER INC                      COM   56418H100       1,817      56,904  SH     DEFINED     01      48,742       4,400       3,762
MANPOWER INC                      COM   56418H100          45       1,400  SH     OTHER       04       1,400           0           0
MANPOWER INC                      COM   56418H100       6,713     210,196  SH     DEFINED  01,08     210,196           0           0

MANUFACTURED HOME CMNTYS INC      COM   564682102         403      16,128  SH     DEFINED     01      14,279           0       1,849
MANUFACTURED HOME CMNTYS INC      COM   564682102           5         200  SH     DEFINED     04         200           0           0
MANUFACTURED HOME CMNTYS INC      COM   564682102         118       4,713  SH     DEFINED  01,08       4,713           0           0

MAPICS INC                        COM   564910107           2         265  SH     OTHER       02         265           0           0
MAPICS INC                        COM   564910107          14       2,000  SH     DEFINED     04       2,000           0           0
MAPICS INC                        COM   564910107         124      18,404  SH     DEFINED  01,08      18,404           0           0

MANUFACTURERS SVCS LTD            COM   565005105         416      35,050  SH     DEFINED  01,08      35,050           0           0

MANULIFE FINL CORP                COM   56501R106          26       1,255  SH     DEFINED     01       1,255           0           0
MANULIFE FINL CORP                COM   56501R106         713      34,338  SH     DEFINED     04      34,338           0           0
MANULIFE FINL CORP                COM   56501R106          26       1,277  SH     OTHER       04       1,277           0           0

MANUGISTICS GROUP INC             COM   565011103      23,246     236,904  SH     DEFINED     01     235,194           0       1,710
MANUGISTICS GROUP INC             COM   565011103       4,327      44,098  SH     DEFINED  01,08      44,098           0           0

MAPINFO CORP                      COM   565105103         417      13,312  SH     DEFINED     01      12,048       1,100         164
MAPINFO CORP                      COM   565105103           9         300  SH     DEFINED     04           0           0         300
MAPINFO CORP                      COM   565105103         388      12,386  SH     DEFINED  01,08      12,386           0           0

MARCHFIRST INC                    COM   566244109       1,581     100,812  SH     DEFINED     01      93,651           0       7,161
MARCHFIRST INC                    COM   566244109           9         600  SH     DEFINED     02           0         400         200
MARCHFIRST INC                    COM   566244109           1          64  SH     DEFINED     03          64           0           0
MARCHFIRST INC                    COM   566244109          14         865  SH     OTHER       04         865           0           0
MARCHFIRST INC                    COM   566244109       6,638     423,135  SH     DEFINED  01,08     423,135           0           0

MARCUS CORP                       COM   566330106         457      43,491  SH     DEFINED     01      37,815       1,177       4,499
MARCUS CORP                       COM   566330106       1,011      96,315  SH     DEFINED  01,08      96,315           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    290
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MAREX COM INC                     COM   566536108      24,709   1,661,100  SH     DEFINED     04   1,661,100           0           0

MARIMBA INC                       COM   56781Q109         181      14,814  SH     DEFINED     01      14,308           0         506
MARIMBA INC                       COM   56781Q109           0           3  SH     DEFINED     03           0           3           0
MARIMBA INC                       COM   56781Q109         323      26,451  SH     DEFINED  01,08      26,451           0           0

MARINE TRANS CORP                 COM   567912100          30      10,049  SH     DEFINED  01,08      10,049           0           0

MARINE DRILLING COS INC           COM   568240204      10,737     375,907  SH     DEFINED     01     343,361           0      32,546
MARINE DRILLING COS INC           COM   568240204       2,474      86,616  SH     DEFINED  01,08      86,616           0           0

MARISA CHRISTINA INC              COM   570268102          13      12,600  SH     DEFINED  01,08      12,600           0           0

MARKEL CORP                       COM   570535104         553       3,644  SH     DEFINED     01       2,561           0       1,083
MARKEL CORP                       COM   570535104         121         800  SH     OTHER       04         800           0           0
MARKEL CORP                       COM   570535104       1,717      11,317  SH     DEFINED  01,08      11,317           0           0
MARKEL CORP                       COM   570535104           5          30  SH     DEFINED     10          30           0           0

MARKETWATCH COM INC               COM   570619106          26       3,280  SH     DEFINED     01       2,956           0         324
MARKETWATCH COM INC               COM   570619106          68       8,522  SH     DEFINED  01,08       8,522           0           0

MARKETING SVCS GROUP INC          COM   570907105           0          38  SH     OTHER       04          38           0           0
MARKETING SVCS GROUP INC          COM   570907105         165      54,932  SH     DEFINED  01,08      54,932           0           0

MARSH & MCLENNAN COS INC          COM   571748102     206,501   1,555,565  SH     DEFINED     01   1,154,418     313,270      87,877
MARSH & MCLENNAN COS INC          COM   571748102      26,761     201,586  SH     OTHER       01      98,236      93,275      10,075
MARSH & MCLENNAN COS INC          COM   571748102       2,600      19,584  SH     DEFINED     02      14,882       3,891         811
MARSH & MCLENNAN COS INC          COM   571748102       1,797      13,539  SH     OTHER       02       9,289       1,650       2,600
MARSH & MCLENNAN COS INC          COM   571748102       5,795      43,650  SH     DEFINED     03      16,980      25,050       1,620
MARSH & MCLENNAN COS INC          COM   571748102       1,079       8,130  SH     OTHER       03       5,530       2,600           0
MARSH & MCLENNAN COS INC          COM   571748102      17,710     133,411  SH     DEFINED     04     132,051           0       1,360
MARSH & MCLENNAN COS INC          COM   571748102      20,595     155,139  SH     OTHER       04     151,764           0       3,375
MARSH & MCLENNAN COS INC          COM   571748102       2,161      16,275  SH     DEFINED     05      11,275           0       5,000
MARSH & MCLENNAN COS INC          COM   571748102         504       3,800  SH     OTHER       05         600       3,200           0
MARSH & MCLENNAN COS INC          COM   571748102      55,583     418,703  SH     DEFINED  01,08     418,703           0           0
MARSH & MCLENNAN COS INC          COM   571748102       6,018      45,337  SH     DEFINED     10       4,465      40,872           0
MARSH & MCLENNAN COS INC          COM   571748102         266       2,000  SH     OTHER       10         100       1,900           0

MARSH SUPERMARKETS INC            COM   571783208         232      17,948  SH     DEFINED  01,08      17,948           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    291
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>           <C>         <C>
MARSHALL & ILSLEY CORP            COM   571834100       3,958      78,957  SH     DEFINED     01      72,053       1,950       4,954
MARSHALL & ILSLEY CORP            COM   571834100         301       6,000  SH     OTHER       01       6,000           0           0
MARSHALL & ILSLEY CORP            COM   571834100          53       1,065  SH     DEFINED     02         765         300           0
MARSHALL & ILSLEY CORP            COM   571834100         106       2,116  SH     OTHER       02           0           0       2,116
MARSHALL & ILSLEY CORP            COM   571834100          48         950  SH     DEFINED     03           0         950           0
MARSHALL & ILSLEY CORP            COM   571834100          38         750  SH     OTHER       03         750           0           0
MARSHALL & ILSLEY CORP            COM   571834100       4,395      87,690  SH     DEFINED     04      24,379           0      63,311
MARSHALL & ILSLEY CORP            COM   571834100       3,308      65,993  SH     OTHER       04      65,993           0           0
MARSHALL & ILSLEY CORP            COM   571834100      15,003     299,317  SH     DEFINED  01,08     299,317           0           0
MARSHALL & ILSLEY CORP            COM   571834100          85       1,700  SH     DEFINED     10       1,700           0           0

MARRIOTT INTL INC NEW             COM   571903202      17,752     487,196  SH     DEFINED     01     345,954     116,006      25,236
MARRIOTT INTL INC NEW             COM   571903202         515      14,140  SH     OTHER       01       6,940       7,000         200
MARRIOTT INTL INC NEW             COM   571903202         426      11,690  SH     OTHER       02           0      11,690           0
MARRIOTT INTL INC NEW             COM   571903202           4         100  SH     DEFINED     03         100           0           0
MARRIOTT INTL INC NEW             COM   571903202         145       3,968  SH     DEFINED     04       3,968           0           0
MARRIOTT INTL INC NEW             COM   571903202         185       5,090  SH     OTHER       04       5,090           0           0
MARRIOTT INTL INC NEW             COM   571903202      13,684     375,551  SH     DEFINED  01,08     375,551           0           0
MARRIOTT INTL INC NEW             COM   571903202          15         407  SH     DEFINED     10         407           0           0

MARTEK BIOSCIENCES CORP           COM   572901106         351      17,992  SH     DEFINED     01      17,678           0         314
MARTEK BIOSCIENCES CORP           COM   572901106         195      10,000  SH     OTHER       01      10,000           0           0
MARTEK BIOSCIENCES CORP           COM   572901106          70       3,600  SH     DEFINED     02       3,600           0           0
MARTEK BIOSCIENCES CORP           COM   572901106         546      28,001  SH     DEFINED  01,08      28,001           0           0

MARTEN TRANS LTD                  COM   573075108           9         700  SH     DEFINED     01         700           0           0
MARTEN TRANS LTD                  COM   573075108         200      15,130  SH     DEFINED  01,08      15,130           0           0

MARTHA STEWART LIVING OMNIMED     COM   573083102         266      10,123  SH     DEFINED     01       9,704         250         169
MARTHA STEWART LIVING OMNIMED     COM   573083102           3         100  SH     OTHER       02         100           0           0
MARTHA STEWART LIVING OMNIMED     COM   573083102           1          50  SH     DEFINED     03           0          50           0
MARTHA STEWART LIVING OMNIMED     COM   573083102          29       1,100  SH     DEFINED     04       1,100           0           0
MARTHA STEWART LIVING OMNIMED     COM   573083102          14         550  SH     OTHER       04         550           0           0
MARTHA STEWART LIVING OMNIMED     COM   573083102           3         100  SH     DEFINED     05           0           0         100
MARTHA STEWART LIVING OMNIMED     COM   573083102         592      22,551  SH     DEFINED  01,08      22,551           0           0

MARTIN MARIETTA MATLS INC         COM   573284106       1,257      32,838  SH     DEFINED     01      30,460           0       2,378
MARTIN MARIETTA MATLS INC         COM   573284106         114       2,987  SH     OTHER       01       2,987           0           0
MARTIN MARIETTA MATLS INC         COM   573284106           8         198  SH     DEFINED     04         198           0           0
MARTIN MARIETTA MATLS INC         COM   573284106          27         700  SH     OTHER       04         700           0           0
MARTIN MARIETTA MATLS INC         COM   573284106       4,960     129,566  SH     DEFINED  01,08     129,566           0           0

MARVEL ENTERPRISES INC            COM   57383M108         140      43,167  SH     DEFINED  01,08      43,167           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    292
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MASCO CORP                        COM   574599106     154,257   8,282,236  SH     DEFINED     01   4,555,601   3,668,237      58,398
MASCO CORP                        COM   574599106         517      27,750  SH     OTHER       01      21,550       5,100       1,100
MASCO CORP                        COM   574599106         337      18,090  SH     DEFINED     02      11,550       4,040       2,500
MASCO CORP                        COM   574599106         223      11,990  SH     OTHER       02       4,215       6,525       1,250
MASCO CORP                        COM   574599106     229,985  12,348,164  SH     DEFINED     03      20,319      71,205  12,256,640
MASCO CORP                        COM   574599106          30       1,600  SH     OTHER       03       1,600           0           0
MASCO CORP                        COM   574599106         449      24,126  SH     DEFINED     04      22,126           0       2,000
MASCO CORP                        COM   574599106         461      24,761  SH     OTHER       04      19,661           0       5,100
MASCO CORP                        COM   574599106          56       3,000  SH     DEFINED     05       2,300         700           0
MASCO CORP                        COM   574599106      29,852   1,602,779  SH     DEFINED  01,08     684,511     664,648     253,620
MASCO CORP                        COM   574599106          14         725  SH     DEFINED     09         725           0           0
MASCO CORP                        COM   574599106         132       7,110  SH     OTHER       09           0       7,110           0
MASCO CORP                        COM   574599106         240      12,889  SH     DEFINED     10       3,089       9,800           0
MASCO CORP                        COM   574599106         261      14,000  SH     OTHER       10       6,000       7,400         600

MASCOTECH INC                     COM   574670105         456      27,554  SH     DEFINED     01      17,395       1,500       8,659
MASCOTECH INC                     COM   574670105           6         360  SH     OTHER       01         360           0           0
MASCOTECH INC                     COM   574670105       2,560     154,560  SH     DEFINED  01,08     154,560           0           0

MASSBANK CORP READ MASS           COM   576152102          14         500  SH     DEFINED     01         500           0           0
MASSBANK CORP READ MASS           COM   576152102          41       1,400  SH     OTHER       01       1,400           0           0
MASSBANK CORP READ MASS           COM   576152102         589      20,361  SH     DEFINED  01,08      20,361           0           0

MASTEC INC                        COM   576323109          66       2,118  SH     DEFINED     01         970           0       1,148
MASTEC INC                        COM   576323109         109       3,500  SH     DEFINED     04           0           0       3,500
MASTEC INC                        COM   576323109       2,050      65,598  SH     DEFINED  01,08      65,598           0           0

MATERIAL SCIENCIES CORP           COM   576674105          96       8,400  SH     DEFINED     01       7,600           0         800
MATERIAL SCIENCIES CORP           COM   576674105         138      12,100  SH     DEFINED     04           0           0      12,100
MATERIAL SCIENCIES CORP           COM   576674105         580      51,015  SH     DEFINED  01,08      51,015           0           0

MATHSOFT INC                      COM   576798102          30      14,400  SH     DEFINED  01,08      14,400           0           0

MATRIA HEALTHCARE INC             COM   576817100         198      56,500  SH     DEFINED     01      56,500           0           0
MATRIA HEALTHCARE INC             COM   576817100         271      77,549  SH     DEFINED  01,08      77,549           0           0

MATRITECH INC                     COM   576818108         770     110,000  SH     DEFINED     02           0     110,000           0
MATRITECH INC                     COM   576818108           7       1,000  SH     DEFINED     04       1,000           0           0
MATRITECH INC                     COM   576818108         198      28,336  SH     DEFINED  01,08      28,336           0           0

MATRIX PHARMACEUTICAL INC         COM   576844104         554      35,611  SH     DEFINED     01      35,198           0         413
MATRIX PHARMACEUTICAL INC         COM   576844104          62       4,000  SH     OTHER       04           0           0       4,000
MATRIX PHARMACEUTICAL INC         COM   576844104         736      47,323  SH     DEFINED  01,08      47,323           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    293
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MATRIXONE INC                     COM   57685P304         217       5,416  SH     DEFINED     01       5,231           0         185
MATRIXONE INC                     COM   57685P304       1,773      44,336  SH     DEFINED  01,08      44,336           0           0

MATRIX SVC CO                     COM   576853105          84      17,000  SH     DEFINED  01,08      17,000           0           0

MATSUSHITA ELEC INDL              COM   576879209          79         300  SH     DEFINED     01           0         300           0
MATSUSHITA ELEC INDL              COM   576879209          83         315  SH     OTHER       01           0         315           0
MATSUSHITA ELEC INDL              COM   576879209           4          17  SH     DEFINED     02          17           0           0
MATSUSHITA ELEC INDL              COM   576879209          33         125  SH     DEFINED     03          50          75           0
MATSUSHITA ELEC INDL              COM   576879209          54         205  SH     DEFINED     04         205           0           0
MATSUSHITA ELEC INDL              COM   576879209         558       2,125  SH     DEFINED     10       2,125           0           0

MATLACK SYS INC                   COM   576901102          16      12,650  SH     DEFINED  01,08      12,650           0           0

MATTEL INC                        COM   577081102       9,515     850,536  SH     DEFINED     01     714,008     115,245      21,283
MATTEL INC                        COM   577081102         231      20,669  SH     OTHER       01       6,113      14,556           0
MATTEL INC                        COM   577081102          36       3,187  SH     DEFINED     02       3,187           0           0
MATTEL INC                        COM   577081102          51       4,551  SH     OTHER       02       4,551           0           0
MATTEL INC                        COM   577081102         103       9,197  SH     OTHER       03       9,000         197           0
MATTEL INC                        COM   577081102          21       1,864  SH     DEFINED     04       1,864           0           0
MATTEL INC                        COM   577081102          73       6,519  SH     OTHER       04       4,587           0       1,932
MATTEL INC                        COM   577081102          12       1,075  SH     DEFINED     05       1,075           0           0
MATTEL INC                        COM   577081102       7,185     642,248  SH     DEFINED  01,08     642,248           0           0

MATTHEWS INTL CORP                COM   577128101         419      14,260  SH     DEFINED     01      14,006           0         254
MATTHEWS INTL CORP                COM   577128101         654      22,276  SH     DEFINED  01,08      22,276           0           0

MATTSON TECHNOLOGY INC            COM   577223100         320      21,511  SH     DEFINED     01      21,234           0         277
MATTSON TECHNOLOGY INC            COM   577223100         434      29,185  SH     DEFINED  01,08      29,185           0           0

MAXIM INTEGRATED PRODS INC        COM   57772K101      45,917     570,844  SH     DEFINED     01     436,558      92,770      41,516
MAXIM INTEGRATED PRODS INC        COM   57772K101       2,892      35,950  SH     OTHER       01       2,425      32,325       1,200
MAXIM INTEGRATED PRODS INC        COM   57772K101         682       8,480  SH     DEFINED     02         180       8,000         300
MAXIM INTEGRATED PRODS INC        COM   57772K101         352       4,375  SH     DEFINED     03         100       1,775       2,500
MAXIM INTEGRATED PRODS INC        COM   57772K101          27         340  SH     OTHER       03         340           0           0
MAXIM INTEGRATED PRODS INC        COM   57772K101           4          50  SH     DEFINED     04          50           0           0
MAXIM INTEGRATED PRODS INC        COM   57772K101         225       2,800  SH     OTHER       04       2,800           0           0
MAXIM INTEGRATED PRODS INC        COM   57772K101      34,543     429,440  SH     DEFINED  01,08     429,440           0           0
MAXIM INTEGRATED PRODS INC        COM   57772K101          35         434  SH     DEFINED     10         434           0           0

MAXIM PHARMACEUTICALS INC         COM   57772M107       1,421      23,394  SH     DEFINED     01      22,834           0         560
MAXIM PHARMACEUTICALS INC         COM   57772M107       2,338      38,490  SH     DEFINED  01,08      38,490           0           0

MAXCO INC                         COM   577723109          95      13,500  SH     DEFINED  01,08      13,500           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    294
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MAXTOR CORP                       COM   577729205         696      66,306  SH     DEFINED     01      63,870           0       2,436
MAXTOR CORP                       COM   577729205          21       2,000  SH     OTHER       01           0       2,000           0
MAXTOR CORP                       COM   577729205       1,570     149,567  SH     DEFINED  01,08     149,567           0           0

MAXWELL SHOE INC                  COM   577766108         147      13,100  SH     DEFINED     04           0           0      13,100
MAXWELL SHOE INC                  COM   577766108         133      11,902  SH     DEFINED  01,08      11,902           0           0

MAXWELL TECHNOLOGIES INC          COM   577767106         431      23,764  SH     DEFINED  01,08      23,764           0           0

MAXYGEN INC                       COM   577776107       9,768     188,294  SH     DEFINED     01     178,561           0       9,733
MAXYGEN INC                       COM   577776107       2,367      45,635  SH     DEFINED  01,08      45,635           0           0

MAY DEPT STORES CO                COM   577778103      13,657     666,180  SH     DEFINED     01     535,867     103,393      26,920
MAY DEPT STORES CO                COM   577778103         685      33,406  SH     OTHER       01      16,398      17,008           0
MAY DEPT STORES CO                COM   577778103          59       2,875  SH     DEFINED     02         900         700       1,275
MAY DEPT STORES CO                COM   577778103         279      13,614  SH     OTHER       02       8,619       2,745       2,250
MAY DEPT STORES CO                COM   577778103         310      15,104  SH     DEFINED     03       9,554       4,625         925
MAY DEPT STORES CO                COM   577778103         302      14,752  SH     OTHER       03      14,460         292           0
MAY DEPT STORES CO                COM   577778103         408      19,923  SH     DEFINED     04      19,748           0         175
MAY DEPT STORES CO                COM   577778103         919      44,817  SH     OTHER       04      44,817           0           0
MAY DEPT STORES CO                COM   577778103         160       7,800  SH     OTHER       05           0       7,800           0
MAY DEPT STORES CO                COM   577778103      17,777     867,154  SH     DEFINED  01,08     493,018     374,136           0
MAY DEPT STORES CO                COM   577778103          95       4,650  SH     DEFINED     10         300         450       3,900

MAXICARE HEALTH PLANS INC         COM   577904204           0           3  SH     DEFINED     01           0           3           0
MAXICARE HEALTH PLANS INC         COM   577904204           0         206  SH     DEFINED     04         206           0           0
MAXICARE HEALTH PLANS INC         COM   577904204          34      30,200  SH     DEFINED  01,08      30,200           0           0

MAXXAM INC                        COM   577913106          76       3,800  SH     DEFINED     01       3,800           0           0
MAXXAM INC                        COM   577913106         357      17,985  SH     DEFINED  01,08      17,985           0           0

MAVERICK TUBE CORP                COM   577914104         911      33,808  SH     DEFINED     01      33,187           0         621
MAVERICK TUBE CORP                COM   577914104         756      28,047  SH     DEFINED  01,08      28,047           0           0

MAXIMUS INC                       COM   577933104         269      12,148  SH     DEFINED     01      10,833           0       1,315
MAXIMUS INC                       COM   577933104         117       5,300  SH     DEFINED     04           0           0       5,300
MAXIMUS INC                       COM   577933104         823      37,189  SH     DEFINED  01,08      37,189           0           0

MAYNARD OIL CO                    COM   578444101          71       3,100  SH     DEFINED     01       3,000         100           0
MAYNARD OIL CO                    COM   578444101         359      15,679  SH     DEFINED  01,08      15,679           0           0

MAYORS JEWELERS INC DEL           COM   578462103         369      98,480  SH     DEFINED  01,08      98,480           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    295
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MAYTAG CORP                       COM   578592107       4,589     147,745  SH     DEFINED     01     118,008      20,330       9,407
MAYTAG CORP                       COM   578592107         537      17,281  SH     OTHER       01           0      17,181         100
MAYTAG CORP                       COM   578592107          15         480  SH     DEFINED     02           0         480           0
MAYTAG CORP                       COM   578592107          53       1,700  SH     DEFINED     04       1,700           0           0
MAYTAG CORP                       COM   578592107          64       2,054  SH     OTHER       04       2,054           0           0
MAYTAG CORP                       COM   578592107       3,770     121,365  SH     DEFINED  01,08     121,365           0           0

MCAFEE COM CORP                   COM   579062100          94       6,342  SH     DEFINED     01       6,232           0         110
MCAFEE COM CORP                   COM   579062100           0          25  SH     DEFINED     04          25           0           0
MCAFEE COM CORP                   COM   579062100           2         125  SH     OTHER       04         125           0           0
MCAFEE COM CORP                   COM   579062100         186      12,482  SH     DEFINED  01,08      12,482           0           0

MCCLATCHY CO                      COM   579489105         385      10,937  SH     DEFINED     01       7,703           0       3,234
MCCLATCHY CO                      COM   579489105       2,381      67,653  SH     DEFINED  01,08      67,653           0           0

MCCORMICK & CO INC                COM   579780206       1,470      49,401  SH     DEFINED     01      45,696          15       3,690
MCCORMICK & CO INC                COM   579780206          36       1,200  SH     DEFINED     02       1,000         200           0
MCCORMICK & CO INC                COM   579780206          57       1,900  SH     OTHER       04           0           0       1,900
MCCORMICK & CO INC                COM   579780206       5,637     189,478  SH     DEFINED  01,08     189,478           0           0

MCDATA CORP                       COM   580031102          12         100  SH     DEFINED     03           0         100           0
MCDATA CORP                       COM   580031102          68         550  SH     DEFINED     04         550           0           0
MCDATA CORP                       COM   580031102       2,345      19,081  SH     DEFINED  01,08      19,081           0           0

MCDERMOTT INTL INC                COM   580037109       1,178     107,105  SH     DEFINED     01      90,439      15,218       1,448
MCDERMOTT INTL INC                COM   580037109         938      85,244  SH     DEFINED  01,08      85,244           0           0

MCDONALDS CORP                    COM   580135101     101,831   3,373,355  SH     DEFINED     01   2,505,576     722,539     145,240
MCDONALDS CORP                    COM   580135101      16,644     551,372  SH     OTHER       01     236,392     284,424      30,556
MCDONALDS CORP                    COM   580135101       2,326      77,043  SH     DEFINED     02      46,225      26,186       4,632
MCDONALDS CORP                    COM   580135101       1,286      42,595  SH     OTHER       02      20,735      19,610       2,250
MCDONALDS CORP                    COM   580135101       4,210     139,458  SH     DEFINED     03      58,145      76,438       4,875
MCDONALDS CORP                    COM   580135101       1,761      58,340  SH     OTHER       03      28,115      26,625       3,600
MCDONALDS CORP                    COM   580135101       6,224     206,197  SH     DEFINED     04     194,497           0      11,700
MCDONALDS CORP                    COM   580135101       7,909     261,995  SH     OTHER       04     243,117           0      18,878
MCDONALDS CORP                    COM   580135101         307      10,176  SH     DEFINED     05       9,376         800           0
MCDONALDS CORP                    COM   580135101          48       1,600  SH     OTHER       05       1,600           0           0
MCDONALDS CORP                    COM   580135101      69,023   2,286,503  SH     DEFINED  01,08   2,286,503           0           0
MCDONALDS CORP                    COM   580135101         115       3,800  SH     DEFINED     09       3,800           0           0
MCDONALDS CORP                    COM   580135101          24         800  SH     OTHER       09         800           0           0
MCDONALDS CORP                    COM   580135101       7,641     253,127  SH     DEFINED     10     208,210      44,917           0
MCDONALDS CORP                    COM   580135101         519      17,200  SH     OTHER       10       5,600      11,600           0

MCGRATH RENTCORP                  COM   580589109         100       5,287  SH     DEFINED     01       3,906           0       1,381
MCGRATH RENTCORP                  COM   580589109         941      49,509  SH     DEFINED  01,08      49,509           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    296
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MCGRAW HILL COS INC               COM   580645109      24,295     382,220  SH     DEFINED     01     286,109      71,518      24,593
MCGRAW HILL COS INC               COM   580645109         388       6,106  SH     OTHER       01         156       4,550       1,400
MCGRAW HILL COS INC               COM   580645109         242       3,800  SH     DEFINED     02           0       2,400       1,400
MCGRAW HILL COS INC               COM   580645109         686      10,800  SH     OTHER       02       8,400       2,400           0
MCGRAW HILL COS INC               COM   580645109         322       5,059  SH     DEFINED     03       1,999       3,060           0
MCGRAW HILL COS INC               COM   580645109         343       5,400  SH     OTHER       03       5,400           0           0
MCGRAW HILL COS INC               COM   580645109         400       6,296  SH     DEFINED     04       6,296           0           0
MCGRAW HILL COS INC               COM   580645109         871      13,699  SH     OTHER       04       2,499           0      11,200
MCGRAW HILL COS INC               COM   580645109         127       2,000  SH     OTHER       05           0       2,000           0
MCGRAW HILL COS INC               COM   580645109      55,276     869,638  SH     DEFINED  01,08     301,658     462,695     105,285
MCGRAW HILL COS INC               COM   580645109         499       7,854  SH     DEFINED     09       7,854           0           0
MCGRAW HILL COS INC               COM   580645109          38         600  SH     DEFINED     10         600           0           0
MCGRAW HILL COS INC               COM   580645109         121       1,900  SH     OTHER       10           0       1,900           0

MCK COMMUNICATIONS INC            COM   581243102         733      32,380  SH     DEFINED     01      32,108         100         172
MCK COMMUNICATIONS INC            COM   581243102         583      25,765  SH     DEFINED  01,08      25,765           0           0

MCKESSON HBOC INC                 COM   58155Q103      15,322     501,352  SH     DEFINED     01     411,448      71,097      18,807
MCKESSON HBOC INC                 COM   58155Q103          57       1,850  SH     OTHER       01           0       1,850           0
MCKESSON HBOC INC                 COM   58155Q103          31       1,000  SH     OTHER       02           0           0       1,000
MCKESSON HBOC INC                 COM   58155Q103           6         200  SH     DEFINED     03         200           0           0
MCKESSON HBOC INC                 COM   58155Q103         306      10,000  SH     OTHER       03           0      10,000           0
MCKESSON HBOC INC                 COM   58155Q103         261       8,551  SH     DEFINED     04       8,551           0           0
MCKESSON HBOC INC                 COM   58155Q103         110       3,597  SH     OTHER       04       3,597           0           0
MCKESSON HBOC INC                 COM   58155Q103      13,057     427,237  SH     DEFINED  01,08     427,237           0           0

MCLEODUSA INC                     COM   582266102      41,541   2,902,531  SH     DEFINED     01   2,243,098     595,180      64,253
MCLEODUSA INC                     COM   582266102       2,580     180,254  SH     OTHER       01      84,080      58,375      37,799
MCLEODUSA INC                     COM   582266102       1,683     117,560  SH     DEFINED     02      35,135      74,725       7,700
MCLEODUSA INC                     COM   582266102         253      17,700  SH     OTHER       02       2,100      15,100         500
MCLEODUSA INC                     COM   582266102       8,047     562,288  SH     DEFINED     03     239,795     291,923      30,570
MCLEODUSA INC                     COM   582266102         942      65,785  SH     OTHER       03      35,300      28,185       2,300
MCLEODUSA INC                     COM   582266102      10,226     714,485  SH     DEFINED     04     700,700           0      13,785
MCLEODUSA INC                     COM   582266102       1,937     135,335  SH     OTHER       04     121,510           0      13,825
MCLEODUSA INC                     COM   582266102         157      10,950  SH     DEFINED     05      10,250         700           0
MCLEODUSA INC                     COM   582266102          28       1,950  SH     OTHER       05           0       1,950           0
MCLEODUSA INC                     COM   582266102       6,640     463,952  SH     DEFINED  01,08     463,952           0           0
MCLEODUSA INC                     COM   582266102         372      26,000  SH     DEFINED     09      26,000           0           0
MCLEODUSA INC                     COM   582266102           4         300  SH     OTHER       09         300           0           0
MCLEODUSA INC                     COM   582266102          23       1,603  SH     DEFINED     10       1,603           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    297
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MCMORAN EXPLORATION CO            COM   582411104         104       8,926  SH     DEFINED     01       6,242           0       2,684
MCMORAN EXPLORATION CO            COM   582411104           1          70  SH     DEFINED     03          70           0           0
MCMORAN EXPLORATION CO            COM   582411104           1          48  SH     OTHER       04          48           0           0
MCMORAN EXPLORATION CO            COM   582411104           0          41  SH     DEFINED     05          41           0           0
MCMORAN EXPLORATION CO            COM   582411104         170      14,682  SH     DEFINED  01,08      14,682           0           0

MCNAUGHTON APPAREL GROUP INC      COM   582524104          39       2,400  SH     DEFINED     04           0           0       2,400
MCNAUGHTON APPAREL GROUP INC      COM   582524104         192      11,700  SH     DEFINED  01,08      11,700           0           0

MEAD CORP                         COM   582834107       4,271     182,733  SH     DEFINED     01     152,263      25,735       4,735
MEAD CORP                         COM   582834107           9         400  SH     OTHER       01           0           0         400
MEAD CORP                         COM   582834107          54       2,300  SH     DEFINED     04       2,300           0           0
MEAD CORP                         COM   582834107          58       2,500  SH     OTHER       04       1,500           0       1,000
MEAD CORP                         COM   582834107       3,558     152,200  SH     DEFINED  01,08     152,200           0           0

MEADE INSTRUMENTS CORP            COM   583062104         176       8,731  SH     DEFINED     01       8,481           0         250
MEADE INSTRUMENTS CORP            COM   583062104         234      11,597  SH     DEFINED  01,08      11,597           0           0

MECHANICAL DYNAMICS INC           COM   583521109          12       2,000  SH     OTHER       01           0       2,000           0
MECHANICAL DYNAMICS INC           COM   583521109          61      10,144  SH     DEFINED  01,08      10,144           0           0

MECHANICAL TECHNOLOGY INC         COM   583538103         259      23,915  SH     DEFINED     01      23,200           0         715
MECHANICAL TECHNOLOGY INC         COM   583538103         429      39,705  SH     DEFINED  01,08      39,705           0           0

MEDAREX INC                       COM   583916101       1,160       9,891  SH     DEFINED     01       6,960       2,000         931
MEDAREX INC                       COM   583916101          70         600  SH     DEFINED     04         600           0           0
MEDAREX INC                       COM   583916101       5,990      51,057  SH     DEFINED  01,08      51,057           0           0

MED-DESIGN CORP                   COM   583926100         213      14,400  SH     DEFINED  01,08      14,400           0           0

MEDALLION FINL CORP               COM   583928106         174      10,343  SH     DEFINED     01       9,753           0         590
MEDALLION FINL CORP               COM   583928106         198      11,750  SH     DEFINED  01,08      11,750           0           0

MEDFORD BANCORP INC               COM   584131106          50       3,100  SH     DEFINED     01       3,100           0           0
MEDFORD BANCORP INC               COM   584131106          32       2,000  SH     DEFINED     04       2,000           0           0
MEDFORD BANCORP INC               COM   584131106         342      21,207  SH     DEFINED  01,08      21,207           0           0

MEDIA 100 INC                     COM   58440W105         119      10,812  SH     DEFINED     01      10,625           0         187
MEDIA 100 INC                     COM   58440W105         262      23,828  SH     DEFINED  01,08      23,828           0           0

MEDIA GEN INC                     COM   584404107       1,443      33,568  SH     DEFINED     01      20,947       8,550       4,071
MEDIA GEN INC                     COM   584404107          22         500  SH     DEFINED     04         500           0           0
MEDIA GEN INC                     COM   584404107       2,866      66,644  SH     DEFINED  01,08      66,644           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    298
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MEDIAPLEX INC                     COM   58446B105          50      12,168  SH     DEFINED     01      11,956           0         212
MEDIAPLEX INC                     COM   58446B105           8       2,000  SH     OTHER       04       2,000           0           0
MEDIAPLEX INC                     COM   58446B105         191      46,332  SH     DEFINED  01,08      46,332           0           0

MEDIACOM COMMUNICATIONS CORP      COM   58446K105         237      14,690  SH     DEFINED     01      12,251           0       2,439
MEDIACOM COMMUNICATIONS CORP      COM   58446K105       1,382      85,706  SH     DEFINED  01,08      85,706           0           0

MEDICAL ACTION INDS INC           COM   58449L100         106      27,010  SH     DEFINED  01,08      27,010           0           0

MEDICAL ASSURN INC                COM   58449U100         134      10,947  SH     DEFINED     01       7,742           0       3,205
MEDICAL ASSURN INC                COM   58449U100         431      35,186  SH     DEFINED  01,08      35,186           0           0

MEDICALOGIC/MEDSCAPE INC          COM   584642102          24       6,692  SH     DEFINED     01       5,015           0       1,677
MEDICALOGIC/MEDSCAPE INC          COM   584642102          10       2,907  SH     DEFINED     04       2,907           0           0
MEDICALOGIC/MEDSCAPE INC          COM   584642102         215      60,496  SH     DEFINED  01,08      60,496           0           0

MEDICINES CO                      COM   584688105       1,783      52,140  SH     DEFINED     01      38,578           0      13,562

MEDICIS PHARMACEUTICAL CORP       COM   584690309      13,136     213,594  SH     DEFINED     01     194,275       1,500      17,819
MEDICIS PHARMACEUTICAL CORP       COM   584690309          23         375  SH     OTHER       04           0           0         375
MEDICIS PHARMACEUTICAL CORP       COM   584690309       2,972      48,333  SH     DEFINED  01,08      48,333           0           0

MEDIMMUNE INC                     COM   584699102      24,815     321,233  SH     DEFINED     01     290,658       7,500      23,075
MEDIMMUNE INC                     COM   584699102         108       1,400  SH     OTHER       01           0       1,200         200
MEDIMMUNE INC                     COM   584699102          42         550  SH     DEFINED     03         100         450           0
MEDIMMUNE INC                     COM   584699102          63         816  SH     DEFINED     04         816           0           0
MEDIMMUNE INC                     COM   584699102          46         600  SH     OTHER       04         600           0           0
MEDIMMUNE INC                     COM   584699102      24,165     312,820  SH     DEFINED  01,08     312,820           0           0
MEDIMMUNE INC                     COM   584699102          18         234  SH     DEFINED     10         234           0           0

MEDICAL DYNAMICS INC              COM   584900401           5      24,200  SH     DEFINED  01,08      24,200           0           0

MEDICORE INC                      COM   584931109          18      17,581  SH     DEFINED  01,08      17,581           0           0

MEDIWARE INFORMATION SYS INC      COM   584946107          14       2,380  SH     DEFINED     04       2,380           0           0
MEDIWARE INFORMATION SYS INC      COM   584946107          65      11,079  SH     DEFINED  01,08      11,079           0           0

MEDQUIST INC                      COM   584949101         335      16,597  SH     DEFINED     01      16,199           0         398
MEDQUIST INC                      COM   584949101         779      38,580  SH     DEFINED  01,08      38,580           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    299
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>         <C>        <C>
MEDITRUST CORP                    COM   58501T306         253      86,165  SH     DEFINED     01      58,182       3,027      24,956
MEDITRUST CORP                    COM   58501T306           2         600  SH     OTHER       01           0         600           0
MEDITRUST CORP                    COM   58501T306          23       7,860  SH     DEFINED     02           0       7,860           0
MEDITRUST CORP                    COM   58501T306           3         913  SH     DEFINED     03         450         463           0
MEDITRUST CORP                    COM   58501T306           0         100  SH     OTHER       03         100           0           0
MEDITRUST CORP                    COM   58501T306         138      46,901  SH     DEFINED     04      12,401           0      34,500
MEDITRUST CORP                    COM   58501T306           3       1,000  SH     OTHER       04       1,000           0           0
MEDITRUST CORP                    COM   58501T306         107      36,268  SH     DEFINED  01,08      36,268           0           0

MEDSTONE INTL INC NEW             COM   58505C101         139      20,759  SH     DEFINED  01,08      20,759           0           0

MEDTRONIC INC                     COM   585055106     327,829   6,327,279  SH     DEFINED     01   4,410,112   1,589,881     327,286
MEDTRONIC INC                     COM   585055106      45,559     879,309  SH     OTHER       01     396,445     415,668      67,196
MEDTRONIC INC                     COM   585055106      24,045     464,082  SH     DEFINED     02     224,435     207,163      32,484
MEDTRONIC INC                     COM   585055106       8,519     164,416  SH     OTHER       02      86,351      66,040      12,025
MEDTRONIC INC                     COM   585055106      34,201     660,095  SH     DEFINED     03     283,546     344,963      31,586
MEDTRONIC INC                     COM   585055106       9,891     190,911  SH     OTHER       03      82,863      89,776      18,272
MEDTRONIC INC                     COM   585055106     163,202   3,149,897  SH     DEFINED     04   3,011,577           0     138,320
MEDTRONIC INC                     COM   585055106      68,966   1,331,090  SH     OTHER       04   1,249,690           0      81,400
MEDTRONIC INC                     COM   585055106      20,520     396,043  SH     DEFINED     05     230,057     117,175      48,811
MEDTRONIC INC                     COM   585055106       2,107      40,675  SH     OTHER       05      22,375      18,300           0
MEDTRONIC INC                     COM   585055106         155       3,000  SH     OTHER    04,07           0           0       3,000
MEDTRONIC INC                     COM   585055106      93,134   1,797,534  SH     DEFINED  01,08   1,760,880      36,654           0
MEDTRONIC INC                     COM   585055106         925      17,855  SH     DEFINED     09      17,855           0           0
MEDTRONIC INC                     COM   585055106         156       3,020  SH     OTHER       09         260       2,760           0
MEDTRONIC INC                     COM   585055106      13,076     252,368  SH     DEFINED     10      89,700     161,168       1,500
MEDTRONIC INC                     COM   585055106       1,024      19,765  SH     OTHER       10       7,190      12,175         400

MELLON FINL CORP                  COM   58551A108      54,289   1,170,661  SH     DEFINED     01     929,542     185,874      55,245
MELLON FINL CORP                  COM   58551A108         616      13,284  SH     OTHER       01       6,100       6,784         400
MELLON FINL CORP                  COM   58551A108       3,143      67,780  SH     DEFINED     02      37,370      23,710       6,700
MELLON FINL CORP                  COM   58551A108         867      18,688  SH     OTHER       02       6,413      11,675         600
MELLON FINL CORP                  COM   58551A108       1,333      28,749  SH     DEFINED     03      14,949      13,300         500
MELLON FINL CORP                  COM   58551A108         656      14,150  SH     OTHER       03       9,850       4,300           0
MELLON FINL CORP                  COM   58551A108      20,673     445,773  SH     DEFINED     04     418,666           0      27,107
MELLON FINL CORP                  COM   58551A108       7,894     170,228  SH     OTHER       04     159,113           0      11,115
MELLON FINL CORP                  COM   58551A108       2,194      47,310  SH     DEFINED     05      39,460       4,850       3,000
MELLON FINL CORP                  COM   58551A108         103       2,220  SH     OTHER       05       1,470         750           0
MELLON FINL CORP                  COM   58551A108      49,495   1,067,276  SH     DEFINED  01,08     736,125     261,251      69,900
MELLON FINL CORP                  COM   58551A108       1,228      26,475  SH     DEFINED     10      14,875      11,600           0
MELLON FINL CORP                  COM   58551A108           5         100  SH     OTHER       10           0         100           0

MEMBERWORKS INC                   COM   586002107         345      10,486  SH     DEFINED     01      10,311           0         175
MEMBERWORKS INC                   COM   586002107         527      16,039  SH     DEFINED  01,08      16,039           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    300
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MENS WEARHOUSE INC                COM   587118100         908      32,084  SH     DEFINED     01      24,995       2,600       4,489
MENS WEARHOUSE INC                COM   587118100       2,286      80,735  SH     DEFINED  01,08      80,735           0           0

MENTOR CORP MINN                  COM   587188103         363      23,031  SH     DEFINED     01      21,338           0       1,693
MENTOR CORP MINN                  COM   587188103         170      10,804  SH     OTHER       01           0      10,804           0
MENTOR CORP MINN                  COM   587188103       1,251      79,442  SH     DEFINED  01,08      79,442           0           0

MENTOR GRAPHICS CORP              COM   587200106       5,399     229,137  SH     DEFINED     01     208,964      16,400       3,773
MENTOR GRAPHICS CORP              COM   587200106          54       2,300  SH     DEFINED     04           0           0       2,300
MENTOR GRAPHICS CORP              COM   587200106       4,398     186,653  SH     DEFINED  01,08     186,653           0           0

MENTOR INCOME FD INC              COM   587204108          10     122,000  SH     DEFINED     01           0     122,000           0

MERCANTILE BANK CORP              COM   587376104         245      20,000  SH     OTHER       04      20,000           0           0
MERCANTILE BANK CORP              COM   587376104         166      13,560  SH     DEFINED     10       3,560      10,000           0

MERCANTILE BANKSHARES CORP        COM   587405101       1,789      49,278  SH     DEFINED     01      45,272         577       3,429
MERCANTILE BANKSHARES CORP        COM   587405101          33         900  SH     DEFINED     02         900           0           0
MERCANTILE BANKSHARES CORP        COM   587405101         108       2,986  SH     DEFINED     04       2,536           0         450
MERCANTILE BANKSHARES CORP        COM   587405101       7,076     194,948  SH     DEFINED  01,08     194,948           0           0

MERCATOR SOFTWARE INC             COM   587587106         422      25,473  SH     DEFINED     01      24,832           0         641
MERCATOR SOFTWARE INC             COM   587587106         699      42,223  SH     DEFINED  01,08      42,223           0           0

MERCHANTS N Y BANCORP INC         COM   589167105         402      19,550  SH     DEFINED     01      18,810           0         740
MERCHANTS N Y BANCORP INC         COM   589167105          16         800  SH     OTHER       04         800           0           0
MERCHANTS N Y BANCORP INC         COM   589167105       1,300      63,206  SH     DEFINED  01,08      63,206           0           0

MERCK & CO INC                    COM   589331107     457,367   6,144,351  SH     DEFINED     01   5,047,713     654,977     441,661
MERCK & CO INC                    COM   589331107     153,678   2,064,542  SH     OTHER       01     825,580   1,047,391     191,571
MERCK & CO INC                    COM   589331107      22,570     303,214  SH     DEFINED     02     171,951     111,908      19,355
MERCK & CO INC                    COM   589331107      15,206     204,277  SH     OTHER       02     105,991      80,911      17,375
MERCK & CO INC                    COM   589331107      36,204     486,375  SH     DEFINED     03     251,863     207,266      27,246
MERCK & CO INC                    COM   589331107      15,265     205,069  SH     OTHER       03     117,779      70,565      16,725
MERCK & CO INC                    COM   589331107     149,013   2,001,873  SH     DEFINED     04   1,912,128           0      89,745
MERCK & CO INC                    COM   589331107     139,187   1,869,860  SH     OTHER       04   1,721,772           0     148,088
MERCK & CO INC                    COM   589331107       4,635      62,261  SH     DEFINED     05      52,021       8,640       1,600
MERCK & CO INC                    COM   589331107       4,661      62,611  SH     OTHER       05      26,705      31,906       4,000
MERCK & CO INC                    COM   589331107         253       3,400  SH     OTHER    04,07           0           0       3,400
MERCK & CO INC                    COM   589331107     256,428   3,444,904  SH     DEFINED  01,08   3,435,404       9,500           0
MERCK & CO INC                    COM   589331107       1,151      15,466  SH     DEFINED     09      15,466           0           0
MERCK & CO INC                    COM   589331107         110       1,479  SH     OTHER       09       1,254         225           0
MERCK & CO INC                    COM   589331107      34,563     464,331  SH     DEFINED     10     250,026     214,305           0
MERCK & CO INC                    COM   589331107       7,393      99,323  SH     OTHER       10      19,154      79,469         700
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    301
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MERCURY AIR GROUP INC             COM   589354109          68      10,798  SH     DEFINED  01,08      10,798           0           0

MERCURY COMPUTER SYS              COM   589378108         663      23,829  SH     DEFINED     01      21,542         620       1,667
MERCURY COMPUTER SYS              COM   589378108          28       1,000  SH     DEFINED     03           0       1,000           0
MERCURY COMPUTER SYS              COM   589378108         898      32,304  SH     DEFINED  01,08      32,304           0           0

MERCURY GENL CORP NEW             COM   589400100         511      18,038  SH     DEFINED     01      12,258       1,000       4,780
MERCURY GENL CORP NEW             COM   589400100          71       2,500  SH     OTHER       04       2,500           0           0
MERCURY GENL CORP NEW             COM   589400100       2,448      86,449  SH     DEFINED  01,08      86,449           0           0

MERCURY INTERACTIVE CORP       CONV DEB 589405AA7       3,098   2,000,000  PRN    DEFINED     01   2,000,000           0           0

MERCURY INTERACTIVE CORP          COM   589405109      56,776     362,209  SH     DEFINED     01     338,811       1,910      21,488
MERCURY INTERACTIVE CORP          COM   589405109         207       1,320  SH     DEFINED     03           0       1,320           0
MERCURY INTERACTIVE CORP          COM   589405109          31         200  SH     OTHER       04         200           0           0
MERCURY INTERACTIVE CORP          COM   589405109      21,295     135,855  SH     DEFINED  01,08     135,855           0           0
MERCURY INTERACTIVE CORP          COM   589405109          34         218  SH     DEFINED     10         218           0           0

MEREDITH CORP                     COM   589433101       3,464     117,427  SH     DEFINED     01      96,401      13,677       7,349
MEREDITH CORP                     COM   589433101          63       2,150  SH     OTHER       01           0       2,150           0
MEREDITH CORP                     COM   589433101         113       3,836  SH     DEFINED     02       3,836           0           0
MEREDITH CORP                     COM   589433101         513      17,400  SH     OTHER       04      17,400           0           0
MEREDITH CORP                     COM   589433101       2,448      82,977  SH     DEFINED  01,08      82,977           0           0
MEREDITH CORP                     COM   589433101         130       4,400  SH     DEFINED     10       4,400           0           0

MERIDIAN DIAGNOSTICS INC          COM   589602101         382      48,525  SH     DEFINED  01,08      48,525           0           0

MERIDIAN INSURANCE GROUP INC      COM   589644103          37       2,545  SH     DEFINED     01       2,545           0           0
MERIDIAN INSURANCE GROUP INC      COM   589644103         342      23,378  SH     DEFINED  01,08      23,378           0           0

MERIDIAN RESOURCE CORP            COM   58977Q109         292      42,497  SH     DEFINED     01      41,721           0         776
MERIDIAN RESOURCE CORP            COM   58977Q109         446      64,898  SH     DEFINED  01,08      64,898           0           0

MERISTAR HOSPITALITY CORP         COM   58984Y103         451      22,286  SH     DEFINED     01      14,252       1,100       6,934
MERISTAR HOSPITALITY CORP         COM   58984Y103          45       2,200  SH     OTHER       04       2,200           0           0
MERISTAR HOSPITALITY CORP         COM   58984Y103       1,460      72,081  SH     DEFINED  01,08      72,081           0           0

MERISEL INC                       COM   589849108          67      98,138  SH     DEFINED  01,08      98,138           0           0

MERIT MED SYS INC                 COM   589889104          61       9,600  SH     DEFINED     04           0           0       9,600
MERIT MED SYS INC                 COM   589889104          61       9,600  SH     DEFINED  01,08       9,600           0           0

MERIDIAN GOLD INC                 COM   589975101         432      63,425  SH     DEFINED     01      63,425           0           0
MERIDIAN GOLD INC                 COM   589975101         803     117,865  SH     DEFINED  01,08     117,865           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    302
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MERISTAR HOTELS & RESORTS INC     COM   589988104         122      45,485  SH     DEFINED  01,08      45,485           0           0

MERIX CORP                        COM   590049102         879      13,568  SH     DEFINED  01,08      13,568           0           0

MERRILL LYNCH & CO INC            COM   590188108     223,203   3,381,867  SH     DEFINED     01   2,365,368     799,953     216,546
MERRILL LYNCH & CO INC            COM   590188108      25,032     379,266  SH     OTHER       01     251,259      92,132      35,875
MERRILL LYNCH & CO INC            COM   590188108       2,216      33,570  SH     DEFINED     02      18,270      10,400       4,900
MERRILL LYNCH & CO INC            COM   590188108         617       9,350  SH     OTHER       02         650       5,600       3,100
MERRILL LYNCH & CO INC            COM   590188108       6,384      96,732  SH     DEFINED     03      36,935      53,869       5,928
MERRILL LYNCH & CO INC            COM   590188108       1,821      27,584  SH     OTHER       03       8,944      18,340         300
MERRILL LYNCH & CO INC            COM   590188108     118,738   1,799,068  SH     DEFINED     04   1,714,293           0      84,775
MERRILL LYNCH & CO INC            COM   590188108      36,091     546,826  SH     OTHER       04     516,176           0      30,650
MERRILL LYNCH & CO INC            COM   590188108       2,415      36,590  SH     DEFINED     05      29,130       6,500         960
MERRILL LYNCH & CO INC            COM   590188108         515       7,800  SH     OTHER       05       5,400       2,400           0
MERRILL LYNCH & CO INC            COM   590188108      82,398   1,248,458  SH     DEFINED  01,08   1,248,458           0           0
MERRILL LYNCH & CO INC            COM   590188108         919      13,930  SH     DEFINED     09      13,930           0           0
MERRILL LYNCH & CO INC            COM   590188108       1,095      16,594  SH     DEFINED     10       9,744       6,850           0
MERRILL LYNCH & CO INC            COM   590188108          53         800  SH     OTHER       10         200         600           0

MERRIMAC INDS INC                 COM   590262101         145      10,202  SH     DEFINED  01,08      10,202           0           0

MESA AIR GROUP INC                COM   590479101         392      71,639  SH     DEFINED     01      66,375           0       5,264
MESA AIR GROUP INC                COM   590479101         541      98,933  SH     DEFINED  01,08      98,933           0           0

MESABA HLDGS INC                  COM   59066B102          82       7,587  SH     DEFINED     01       5,573           0       2,014
MESABA HLDGS INC                  COM   59066B102         435      40,437  SH     DEFINED  01,08      40,437           0           0

MESSAGEMEDIA INC                  COM   590787107           0         110  SH     DEFINED     01          10         100           0
MESSAGEMEDIA INC                  COM   590787107           1         200  SH     DEFINED     03           0         200           0
MESSAGEMEDIA INC                  COM   590787107         162      63,852  SH     DEFINED  01,08      63,852           0           0

MESTEK INC                        COM   590829107         167      10,200  SH     DEFINED     01      10,200           0           0
MESTEK INC                        COM   590829107         470      28,683  SH     DEFINED  01,08      28,683           0           0

MET PRO CORP                      COM   590876306         599      59,141  SH     DEFINED     04      59,141           0           0
MET PRO CORP                      COM   590876306         202      19,977  SH     DEFINED  01,08      19,977           0           0

META GROUP INC                    COM   591002100         105       8,524  SH     DEFINED     01       8,377           0         147
META GROUP INC                    COM   591002100         207      16,740  SH     DEFINED  01,08      16,740           0           0

METACREATIONS CORP                COM   591016100         259      23,064  SH     DEFINED     01      22,672           0         392
METACREATIONS CORP                COM   591016100           3         300  SH     DEFINED     03           0           0         300
METACREATIONS CORP                COM   591016100          34       3,000  SH     OTHER       04       3,000           0           0
METACREATIONS CORP                COM   591016100         389      34,608  SH     DEFINED  01,08      34,608           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    303
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
METAL MGMT INC                    COM   591097100           2       6,000  SH     OTHER       01           0       6,000           0
METAL MGMT INC                    COM   591097100           1       3,900  SH     DEFINED     04       3,900           0           0
METAL MGMT INC                    COM   591097100          10      36,229  SH     DEFINED  01,08      36,229           0           0

METALS USA INC                    COM   591324108          48      16,197  SH     DEFINED     01      12,429           0       3,768
METALS USA INC                    COM   591324108          86      29,217  SH     DEFINED  01,08      29,217           0           0

METASOLV SOFTWARE INC             COM   591393103         833      20,378  SH     DEFINED     01       9,707      10,500         171
METASOLV SOFTWARE INC             COM   591393103          16         400  SH     DEFINED     04         400           0           0
METASOLV SOFTWARE INC             COM   591393103       1,949      47,678  SH     DEFINED  01,08      47,678           0           0

METAWAVE COMMUNICATIONS CP        COM   591409107         623      34,047  SH     DEFINED     01      33,686           0         361
METAWAVE COMMUNICATIONS CP        COM   591409107         661      36,113  SH     DEFINED  01,08      36,113           0           0

METHANEX CORP                     COM   59151K108         628     124,100  SH     DEFINED     01           0     124,100           0

METHODE ELECTRS INC            CONV PFD 591520101         220       4,998         DEFINED  01,08       4,998           0           0

METHODE ELECTRS INC               COM   591520200      10,897     245,913  SH     DEFINED     01     232,426         569      12,918
METHODE ELECTRS INC               COM   591520200          40         900  SH     OTHER       02           0         900           0
METHODE ELECTRS INC               COM   591520200          22         500  SH     DEFINED     04         500           0           0
METHODE ELECTRS INC               COM   591520200         111       2,500  SH     OTHER       04       2,500           0           0
METHODE ELECTRS INC               COM   591520200       5,287     119,311  SH     DEFINED  01,08     119,311           0           0

METLIFE INC                       COM   59156R108       1,190      45,450  SH     DEFINED     01      27,394      10,130       7,926
METLIFE INC                       COM   59156R108          52       2,000  SH     OTHER       03       2,000           0           0
METLIFE INC                       COM   59156R108          37       1,400  SH     DEFINED     04       1,400           0           0
METLIFE INC                       COM   59156R108          13         500  SH     OTHER       04         500           0           0
METLIFE INC                       COM   59156R108       4,810     183,687  SH     DEFINED  01,08     183,687           0           0

METRICOM INC                      COM   591596101       1,608      62,430  SH     DEFINED     01      61,134           0       1,296
METRICOM INC                      COM   591596101          64       2,500  SH     DEFINED     04       2,500           0           0
METRICOM INC                      COM   591596101       1,039      40,344  SH     DEFINED  01,08      40,344           0           0

METRIS COS INC                    COM   591598107      14,033     355,270  SH     DEFINED     01     316,187       3,450      35,633
METRIS COS INC                    COM   591598107          47       1,200  SH     OTHER       01           0           0       1,200
METRIS COS INC                    COM   591598107       4,295     108,742  SH     DEFINED  01,08     108,742           0           0
METRIS COS INC                    COM   591598107          24         600  SH     DEFINED     10         600           0           0

METRO GOLDWYN MAYER INC           COM   591610100          53       2,200  SH     DEFINED     01       1,557           0         643
METRO GOLDWYN MAYER INC           COM   591610100          11         458  SH     DEFINED     04         458           0           0
METRO GOLDWYN MAYER INC           COM   591610100       3,788     157,842  SH     DEFINED  01,08     157,842           0           0

METRO INFORMATION SERVICES INC    COM   59162P104           4         594  SH     DEFINED     01           0         594           0
METRO INFORMATION SERVICES INC    COM   59162P104         136      19,740  SH     DEFINED  01,08      19,740           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    304
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
METRO ONE TELECOMMUNICATIONS      COM   59163F105         254      20,081  SH     DEFINED  01,08      20,081           0           0

METROCALL INC                     COM   591647102         360     120,069  SH     DEFINED     01     116,076           0       3,993
METROCALL INC                     COM   591647102         252      84,116  SH     DEFINED  01,08      84,116           0           0

METROMEDIA FIBER NETWORK INC      COM   591689104      19,269     792,554  SH     DEFINED     01     770,586       7,800      14,168
METROMEDIA FIBER NETWORK INC      COM   591689104           7         284  SH     DEFINED     03           0         284           0
METROMEDIA FIBER NETWORK INC      COM   591689104       9,376     385,657  SH     DEFINED  01,08     385,657           0           0
METROMEDIA FIBER NETWORK INC      COM   591689104          13         555  SH     DEFINED     10         555           0           0

METROMEDIA INTL GROUP INC         COM   591695101         345      92,230  SH     DEFINED     01      80,129       2,000      10,101
METROMEDIA INTL GROUP INC         COM   591695101         474     126,738  SH     DEFINED  01,08     126,738           0           0

METROWEST BK MASS                 COM   592668107         256      42,670  SH     DEFINED  01,08      42,670           0           0

METTLER TOLEDO INTERNATIONAL      COM   592688105      10,025     227,831  SH     DEFINED     01     209,037           0      18,794
METTLER TOLEDO INTERNATIONAL      COM   592688105           1          30  SH     DEFINED     03          30           0           0
METTLER TOLEDO INTERNATIONAL      COM   592688105         439       9,982  SH     DEFINED  01,08       9,982           0           0

MICHAEL ANTHONY JEWELERS INC      COM   594060105          63      25,700  SH     DEFINED  01,08      25,700           0           0

MICHAEL FOOD INC NEW              COM   594079105         698      29,840  SH     DEFINED     01      24,395       1,700       3,745
MICHAEL FOOD INC NEW              COM   594079105         893      38,209  SH     DEFINED  01,08      38,209           0           0

MICHAELS STORES INC               COM   594087108       1,252      31,310  SH     DEFINED     01      26,683       1,100       3,527
MICHAELS STORES INC               COM   594087108           4         100  SH     DEFINED     03           0           0         100
MICHAELS STORES INC               COM   594087108         280       7,000  SH     DEFINED     04           0           0       7,000
MICHAELS STORES INC               COM   594087108         160       4,000  SH     OTHER       04       4,000           0           0
MICHAELS STORES INC               COM   594087108       2,750      68,746  SH     DEFINED  01,08      68,746           0           0

MICRO COMPONENT TECHNOLOGY INC    COM   59479Q100         148      18,553  SH     DEFINED  01,08      18,553           0           0

MICREL INC                        COM   594793101       4,468      66,684  SH     DEFINED     01      51,274           0      15,410
MICREL INC                        COM   594793101      16,502     246,295  SH     DEFINED  01,08     246,295           0           0

MICRO LINEAR CORP                 COM   594850109          16       3,600  SH     DEFINED     01       3,600           0           0
MICRO LINEAR CORP                 COM   594850109         119      26,100  SH     DEFINED  01,08      26,100           0           0

MICROS SYS INC                    COM   594901100         269      17,850  SH     DEFINED     01      17,455           0         395
MICROS SYS INC                    COM   594901100          90       6,000  SH     DEFINED     04       6,000           0           0
MICROS SYS INC                    COM   594901100         504      33,492  SH     DEFINED  01,08      33,492           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    305
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MICROSOFT CORP                    COM   594918104     762,764  12,646,970  SH     DEFINED     01  10,445,462   1,403,112     798,396
MICROSOFT CORP                    COM   594918104      72,725   1,205,820  SH     OTHER       01     545,340     559,729     100,751
MICROSOFT CORP                    COM   594918104      16,076     266,541  SH     DEFINED     02     124,521     120,050      21,970
MICROSOFT CORP                    COM   594918104       6,795     112,665  SH     OTHER       02      60,395      42,000      10,270
MICROSOFT CORP                    COM   594918104      43,408     719,721  SH     DEFINED     03     348,439     334,049      37,233
MICROSOFT CORP                    COM   594918104      14,980     248,380  SH     OTHER       03     138,830      88,600      20,950
MICROSOFT CORP                    COM   594918104     240,168   3,982,092  SH     DEFINED     04   3,784,435           0     197,657
MICROSOFT CORP                    COM   594918104     160,923   2,668,176  SH     OTHER       04   2,475,218           0     192,958
MICROSOFT CORP                    COM   594918104      18,755     310,974  SH     DEFINED     05     193,349      94,070      23,555
MICROSOFT CORP                    COM   594918104       6,181     102,492  SH     OTHER       05      49,512      34,080      18,900
MICROSOFT CORP                    COM   594918104     464,326   7,698,741  SH     DEFINED  01,08   7,671,163      27,578           0
MICROSOFT CORP                    COM   594918104         966      16,015  SH     DEFINED     09      16,015           0           0
MICROSOFT CORP                    COM   594918104         139       2,300  SH     OTHER       09       1,700         600           0
MICROSOFT CORP                    COM   594918104      25,933     429,985  SH     DEFINED     10     195,124     234,861           0
MICROSOFT CORP                    COM   594918104       2,951      48,923  SH     OTHER       10      13,845      34,778         300

MICROTEST INC                     COM   594941106          18       4,000  SH     DEFINED     04       4,000           0           0
MICROTEST INC                     COM   594941106          32       7,000  SH     DEFINED  01,08       7,000           0           0

MICROVISION INC WASH              COM   594960106         448      11,721  SH     DEFINED     01      11,530           0         191
MICROVISION INC WASH              COM   594960106          76       2,000  SH     DEFINED     04       2,000           0           0
MICROVISION INC WASH              COM   594960106         723      18,921  SH     DEFINED  01,08      18,921           0           0

MICROSTRATEGY INC                 COM   594972101       1,288      47,147  SH     DEFINED     01      45,068           8       2,071
MICROSTRATEGY INC                 COM   594972101           5         200  SH     DEFINED     03         200           0           0
MICROSTRATEGY INC                 COM   594972101           1          50  SH     DEFINED     04          50           0           0
MICROSTRATEGY INC                 COM   594972101          20         742  SH     OTHER       04         742           0           0
MICROSTRATEGY INC                 COM   594972101       1,130      41,373  SH     DEFINED  01,08      41,373           0           0

MICRO THERAPEUTICS INC            COM   59500W100          87      12,980  SH     DEFINED  01,08      12,980           0           0

MICROCHIP TECHNOLOGY INC          COM   595017104       1,716      51,889  SH     DEFINED     01      48,107           0       3,782
MICROCHIP TECHNOLOGY INC          COM   595017104         754      22,810  SH     OTHER       01           0           0      22,810
MICROCHIP TECHNOLOGY INC          COM   595017104           7         200  SH     DEFINED     02           0           0         200
MICROCHIP TECHNOLOGY INC          COM   595017104          15         450  SH     OTHER       02         450           0           0
MICROCHIP TECHNOLOGY INC          COM   595017104          20         600  SH     DEFINED     03           0         600           0
MICROCHIP TECHNOLOGY INC          COM   595017104          53       1,600  SH     OTHER       03       1,600           0           0
MICROCHIP TECHNOLOGY INC          COM   595017104          60       1,823  SH     OTHER       04       1,688           0         135
MICROCHIP TECHNOLOGY INC          COM   595017104       8,192     247,786  SH     DEFINED  01,08     247,786           0           0

MICROCIDE PHARMACEUTICALS INC     COM   595018102          20       1,500  SH     DEFINED     01           0       1,500           0
MICROCIDE PHARMACEUTICALS INC     COM   595018102         206      15,287  SH     DEFINED  01,08      15,287           0           0

MICROGRAFX INC                    COM   595077108          50      28,644  SH     DEFINED  01,08      28,644           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    306
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MICROLOG CORP                     COM   595079104          21      18,000  SH     DEFINED  01,08      18,000           0           0

MICROMUSE INC                     COM   595094103       2,076      10,330  SH     DEFINED     01       1,644       7,350       1,336
MICROMUSE INC                     COM   595094103         340       1,694  SH     DEFINED     04       1,694           0           0
MICROMUSE INC                     COM   595094103       5,966      29,689  SH     DEFINED  01,08      29,689           0           0
MICROMUSE INC                     COM   595094103          14          72  SH     DEFINED     10          72           0           0

MICRON ELECTRONICS INC            COM   595100108         285      31,687  SH     DEFINED     01      28,741           0       2,946
MICRON ELECTRONICS INC            COM   595100108           9       1,000  SH     OTHER       04       1,000           0           0
MICRON ELECTRONICS INC            COM   595100108       1,377     153,017  SH     DEFINED  01,08     153,017           0           0

MICRON TECHNOLOGY INC             COM   595112103      61,669   1,340,620  SH     DEFINED     01   1,275,397      11,072      54,151
MICRON TECHNOLOGY INC             COM   595112103          18         400  SH     OTHER       01           0           0         400
MICRON TECHNOLOGY INC             COM   595112103           5         100  SH     DEFINED     02           0         100           0
MICRON TECHNOLOGY INC             COM   595112103         299       6,500  SH     OTHER       02           0       6,500           0
MICRON TECHNOLOGY INC             COM   595112103          37         800  SH     DEFINED     03         200         600           0
MICRON TECHNOLOGY INC             COM   595112103         345       7,502  SH     DEFINED     04       7,502           0           0
MICRON TECHNOLOGY INC             COM   595112103         166       3,600  SH     OTHER       04       3,600           0           0
MICRON TECHNOLOGY INC             COM   595112103      37,918     824,311  SH     DEFINED  01,08     824,311           0           0
MICRON TECHNOLOGY INC             COM   595112103          18         400  SH     DEFINED     10         400           0           0

MICROSEMI CORP                    COM   595137100         405      10,617  SH     DEFINED     01      10,216           0         401
MICROSEMI CORP                    COM   595137100       1,191      31,229  SH     DEFINED  01,08      31,229           0           0

MICROTUNE INC DEL                 COM   59514P109         379       7,084  SH     DEFINED     01           0       6,800         284
MICROTUNE INC DEL                 COM   59514P109          70       1,306  SH     OTHER       01           0           0       1,306

MICROTOUCH SYS INC                COM   595145103          53       8,700  SH     DEFINED     01       8,700           0           0
MICROTOUCH SYS INC                COM   595145103          53       8,700  SH     DEFINED  01,08       8,700           0           0

MICROWARE SYS CORP                COM   595150103          35      20,090  SH     DEFINED  01,08      20,090           0           0

MICROWAVE PWR DEVICES INC DEL     COM   59517M103           6       1,000  SH     OTHER       02       1,000           0           0
MICROWAVE PWR DEVICES INC DEL     COM   59517M103         118      18,800  SH     DEFINED  01,08      18,800           0           0

MICROWAVE FILTER CO INC           COM   595176108          21      12,465  SH     DEFINED  01,08      12,465           0           0

MID-AMER APT CMNTYS INC           COM   59522J103         251      10,499  SH     DEFINED     01       7,182           0       3,317
MID-AMER APT CMNTYS INC           COM   59522J103           3         110  SH     DEFINED     04         110           0           0
MID-AMER APT CMNTYS INC           COM   59522J103         111       4,621  SH     DEFINED  01,08       4,621           0           0

MID ATLANTIC MED SVCS INC         COM   59523C107         579      38,254  SH     DEFINED     01      31,210           0       7,044
MID ATLANTIC MED SVCS INC         COM   59523C107       1,384      91,530  SH     DEFINED  01,08      91,530           0           0
MID ATLANTIC MED SVCS INC         COM   59523C107           4         263  SH     DEFINED     10         263           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    307
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MID-STATE BANCSHARES              COM   595440108         211       6,745  SH     DEFINED     01       4,543           0       2,202
MID-STATE BANCSHARES              COM   595440108         295       9,440  SH     DEFINED  01,08       9,440           0           0

MIDAS GROUP INC                   COM   595626102         229      16,369  SH     DEFINED     01      15,588         500         281
MIDAS GROUP INC                   COM   595626102          23       1,612  SH     OTHER       01       1,212         400           0
MIDAS GROUP INC                   COM   595626102           1          83  SH     OTHER       02           0          83           0
MIDAS GROUP INC                   COM   595626102           4         279  SH     OTHER       03           0           0         279
MIDAS GROUP INC                   COM   595626102         334      23,855  SH     DEFINED  01,08      23,855           0           0

MIDCOAST ENERGY RES INC           COM   59563W104         130       6,336  SH     DEFINED     01       4,438           0       1,898
MIDCOAST ENERGY RES INC           COM   59563W104         174       8,450  SH     DEFINED     04           0           0       8,450
MIDCOAST ENERGY RES INC           COM   59563W104         302      14,694  SH     DEFINED  01,08      14,694           0           0

MIDCAP SPDR TR                    COM   595635103       1,227      12,491  SH     DEFINED     01         741         150      11,600
MIDCAP SPDR TR                    COM   595635103       1,179      12,000  SH     DEFINED     02       6,350       5,150         500
MIDCAP SPDR TR                    COM   595635103          15         150  SH     OTHER       02           0         150           0
MIDCAP SPDR TR                    COM   595635103         223       2,270  SH     DEFINED     03           0       2,270           0
MIDCAP SPDR TR                    COM   595635103       5,461      55,580  SH     DEFINED     04      54,445           0       1,135
MIDCAP SPDR TR                    COM   595635103       1,590      16,185  SH     OTHER       04      12,835           0       3,350
MIDCAP SPDR TR                    COM   595635103         129       1,312  SH     DEFINED     10       1,312           0           0

MID AMER BANCORP                  COM   595915109         210       8,049  SH     DEFINED     01       6,479           0       1,570
MID AMER BANCORP                  COM   595915109          49       1,884  SH     DEFINED     02           0       1,884           0
MID AMER BANCORP                  COM   595915109         472      18,079  SH     DEFINED  01,08      18,079           0           0

MIDDLEBY CORP                     COM   596278101          24       4,000  SH     OTHER       01           0       4,000           0
MIDDLEBY CORP                     COM   596278101         163      27,217  SH     DEFINED  01,08      27,217           0           0

MIDDLESEX WATER CO                COM   596680108         267       9,118  SH     DEFINED  01,08       9,118           0           0

MIDLAND CO                        COM   597486109         357      13,473  SH     DEFINED     01      12,595           0         878
MIDLAND CO                        COM   597486109         873      32,955  SH     DEFINED  01,08      32,955           0           0

MIDWEST EXPRESS HLDGS INC         COM   597911106         161       7,980  SH     DEFINED     01       5,628           0       2,352
MIDWEST EXPRESS HLDGS INC         COM   597911106         514      25,547  SH     DEFINED  01,08      25,547           0           0
MIDWEST EXPRESS HLDGS INC         COM   597911106          51       2,550  SH     DEFINED     10           0       2,550           0

MIDWAY AIRLS CORP                 COM   598126100          58      10,897  SH     DEFINED  01,08      10,897           0           0

MIDWAY GAMES INC                  COM   598148104         155      22,199  SH     DEFINED     01      16,645           0       5,554
MIDWAY GAMES INC                  COM   598148104           7       1,000  SH     DEFINED     04       1,000           0           0
MIDWAY GAMES INC                  COM   598148104         619      88,488  SH     DEFINED  01,08      88,488           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    308
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MIDWEST BANC HOLDINGS INC         COM   598251106          33       2,379  SH     DEFINED     01         200       2,179           0
MIDWEST BANC HOLDINGS INC         COM   598251106          60       4,320  SH     OTHER       01           0       4,320           0
MIDWEST BANC HOLDINGS INC         COM   598251106       1,050      75,000  SH     OTHER       04      75,000           0           0
MIDWEST BANC HOLDINGS INC         COM   598251106          64       4,550  SH     DEFINED  01,08       4,550           0           0

MIDWEST GRAIN PRODS INC           COM   59832G104          88       8,000  SH     DEFINED     01       8,000           0           0
MIDWEST GRAIN PRODS INC           COM   59832G104         169      15,406  SH     DEFINED  01,08      15,406           0           0

MIKOHN GAMING CORP                COM   59862K108          94      12,400  SH     DEFINED     01      12,400           0           0
MIKOHN GAMING CORP                COM   59862K108         122      16,100  SH     DEFINED  01,08      16,100           0           0

MIKRON INSTR INC                  COM   59862R103         202      95,000  SH     DEFINED     04      95,000           0           0
MIKRON INSTR INC                  COM   59862R103          25      11,900  SH     DEFINED  01,08      11,900           0           0

MIKASA INC                        COM   59862T109         172      10,500  SH     DEFINED     01      10,500           0           0
MIKASA INC                        COM   59862T109         460      28,118  SH     DEFINED  01,08      28,118           0           0

MIIX GROUP INC                    COM   59862V104         112      13,425  SH     DEFINED  01,08      13,425           0           0

MILACRON INC                      COM   598709103       1,147      86,144  SH     DEFINED     01      51,691      26,311       8,142
MILACRON INC                      COM   598709103          61       4,596  SH     OTHER       01         500       4,096           0
MILACRON INC                      COM   598709103          40       3,000  SH     OTHER       04       3,000           0           0
MILACRON INC                      COM   598709103         767      57,629  SH     DEFINED  01,08      57,629           0           0

MILLENNIUM PHARMACEUTICALS INC    COM   599902103       9,417      64,475  SH     DEFINED     01      56,876       1,670       5,929
MILLENNIUM PHARMACEUTICALS INC    COM   599902103       6,407      43,866  SH     OTHER       01           0           0      43,866
MILLENNIUM PHARMACEUTICALS INC    COM   599902103          88         600  SH     DEFINED     02         600           0           0
MILLENNIUM PHARMACEUTICALS INC    COM   599902103       1,035       7,086  SH     OTHER       03           0       7,086           0
MILLENNIUM PHARMACEUTICALS INC    COM   599902103          41         280  SH     DEFINED     04         280           0           0
MILLENNIUM PHARMACEUTICALS INC    COM   599902103          79         540  SH     OTHER       04           0           0         540
MILLENNIUM PHARMACEUTICALS INC    COM   599902103      37,252     255,045  SH     DEFINED  01,08     255,045           0           0
MILLENNIUM PHARMACEUTICALS INC    COM   599902103          72         494  SH     DEFINED     10         494           0           0

MILLENNIUM CHEMICALS INC          COM   599903101         901      60,825  SH     DEFINED     01      26,735      22,800      11,290
MILLENNIUM CHEMICALS INC          COM   599903101           4         285  SH     OTHER       01         285           0           0
MILLENNIUM CHEMICALS INC          COM   599903101          10         700  SH     DEFINED     03           0         700           0
MILLENNIUM CHEMICALS INC          COM   599903101           1          78  SH     OTHER       04          78           0           0
MILLENNIUM CHEMICALS INC          COM   599903101       1,549     104,594  SH     DEFINED  01,08     104,594           0           0

MILLER BLDG SYS INC               COM   600404107         130      15,503  SH     DEFINED  01,08      15,503           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    309
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MILLER HERMAN INC                 COM   600544100       2,136      66,631  SH     DEFINED     01      47,852           0      18,779
MILLER HERMAN INC                 COM   600544100         929      28,970  SH     OTHER       01       5,000       3,970      20,000
MILLER HERMAN INC                 COM   600544100         820      25,589  SH     DEFINED     04      11,080           0      14,509
MILLER HERMAN INC                 COM   600544100         112       3,500  SH     OTHER       04           0           0       3,500
MILLER HERMAN INC                 COM   600544100       6,913     215,607  SH     DEFINED  01,08     215,607           0           0
MILLER HERMAN INC                 COM   600544100       3,937     122,800  SH     DEFINED     10      89,600      33,200           0

MILLER INDS INC TENN              COM   600551105          53      57,023  SH     DEFINED  01,08      57,023           0           0

MILLIPORE CORP                    COM   601073109       3,537      73,018  SH     DEFINED     01      64,363       4,833       3,822
MILLIPORE CORP                    COM   601073109          34         700  SH     DEFINED     03           0         700           0
MILLIPORE CORP                    COM   601073109         368       7,600  SH     DEFINED     04       2,600           0       5,000
MILLIPORE CORP                    COM   601073109       3,332      68,785  SH     DEFINED  01,08      68,785           0           0
MILLIPORE CORP                    COM   601073109           7         143  SH     DEFINED     10         143           0           0

MILLS CORP                        COM   601148109         318      16,813  SH     DEFINED     01      16,535           0         278
MILLS CORP                        COM   601148109          47       2,480  SH     DEFINED     04       2,480           0           0
MILLS CORP                        COM   601148109          72       3,818  SH     DEFINED  01,08       3,818           0           0

MILTOPE GROUP INC                 COM   602191108          18      10,000  SH     DEFINED     04      10,000           0           0
MILTOPE GROUP INC                 COM   602191108          42      23,034  SH     DEFINED  01,08      23,034           0           0

MINE SAFETY APPLIANCES CO         COM   602720104         509      23,071  SH     DEFINED     01      21,403           0       1,668
MINE SAFETY APPLIANCES CO         COM   602720104       1,568      71,054  SH     DEFINED  01,08      71,054           0           0

MINERALS TECHNOLOGIES INC         COM   603158106       1,114      24,216  SH     DEFINED     01      19,746           0       4,470
MINERALS TECHNOLOGIES INC         COM   603158106       2,758      59,949  SH     DEFINED  01,08      59,949           0           0

MINIMED INC                       COM   60365K108       3,940      44,086  SH     DEFINED     01      39,206           0       4,880
MINIMED INC                       COM   60365K108           9         100  SH     DEFINED     03           0         100           0
MINIMED INC                       COM   60365K108          18         200  SH     DEFINED     04         200           0           0
MINIMED INC                       COM   60365K108      15,448     172,846  SH     DEFINED  01,08     172,846           0           0
MINIMED INC                       COM   60365K108         179       2,000  SH     DEFINED     10           0       2,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    310
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MINNESOTA MNG & MFG CO            COM   604059105     103,410   1,134,811  SH     DEFINED     01     867,701     215,804      51,306
MINNESOTA MNG & MFG CO            COM   604059105      34,856     382,507  SH     OTHER       01     167,129     188,178      27,200
MINNESOTA MNG & MFG CO            COM   604059105       6,415      70,397  SH     DEFINED     02      40,942      24,583       4,872
MINNESOTA MNG & MFG CO            COM   604059105       5,478      60,111  SH     OTHER       02      40,540      15,321       4,250
MINNESOTA MNG & MFG CO            COM   604059105       7,873      86,394  SH     DEFINED     03      49,300      35,459       1,635
MINNESOTA MNG & MFG CO            COM   604059105       4,368      47,937  SH     OTHER       03      35,391      10,146       2,400
MINNESOTA MNG & MFG CO            COM   604059105      21,557     236,561  SH     DEFINED     04     230,961           0       5,600
MINNESOTA MNG & MFG CO            COM   604059105      20,317     222,961  SH     OTHER       04     216,035           0       6,926
MINNESOTA MNG & MFG CO            COM   604059105         804       8,827  SH     DEFINED     05       8,827           0           0
MINNESOTA MNG & MFG CO            COM   604059105       1,525      16,733  SH     OTHER       05      14,633       2,100           0
MINNESOTA MNG & MFG CO            COM   604059105      90,050     988,207  SH     DEFINED  01,08     651,556     277,394      59,257
MINNESOTA MNG & MFG CO            COM   604059105          97       1,068  SH     DEFINED     09       1,068           0           0
MINNESOTA MNG & MFG CO            COM   604059105          92       1,012  SH     OTHER       09       1,012           0           0
MINNESOTA MNG & MFG CO            COM   604059105       3,167      34,757  SH     DEFINED     10      17,469      17,288           0
MINNESOTA MNG & MFG CO            COM   604059105       2,189      24,017  SH     OTHER       10       7,374      16,543         100

MINNTECH CORP                     COM   604258103          25       3,700  SH     DEFINED     01       3,700           0           0
MINNTECH CORP                     COM   604258103         148      21,489  SH     DEFINED  01,08      21,489           0           0

MINOLTA-QMS INC                   COM   604312108          86      14,615  SH     DEFINED  01,08      14,615           0           0

MIPS TECHNOLOGIES INC             COM   604567107       1,941      42,203  SH     DEFINED     01      41,114           0       1,089
MIPS TECHNOLOGIES INC             COM   604567107       2,510      54,557  SH     DEFINED  01,08      54,557           0           0

MIRAVANT MED TECHNOLOGIES         COM   604690107         312      14,351  SH     DEFINED     01      14,101           0         250
MIRAVANT MED TECHNOLOGIES         COM   604690107         603      27,743  SH     DEFINED  01,08      27,743           0           0

MISSISSIPPI CHEM CORP             COM   605288208         199      49,655  SH     DEFINED  01,08      49,655           0           0

MISSISSIPPI VY BANCSHARES INC     COM   605720101          97       3,749  SH     DEFINED     01       2,774           0         975
MISSISSIPPI VY BANCSHARES INC     COM   605720101         312      12,102  SH     DEFINED  01,08      12,102           0           0

MITCHAM INDS INC                  COM   606501104          63      10,600  SH     DEFINED  01,08      10,600           0           0

MITCHELL ENERGY & DEV CORP        COM   606592202         998      21,409  SH     DEFINED     01      20,642           0         767
MITCHELL ENERGY & DEV CORP        COM   606592202       4,543      97,446  SH     DEFINED  01,08      97,446           0           0

MITEK SYS INC                     COM   606710200          87      20,800  SH     DEFINED  01,08      20,800           0           0

MOBIUS MGMT SYSTEMS INC           COM   606925105          72      16,600  SH     DEFINED     01           0      16,600           0
MOBIUS MGMT SYSTEMS INC           COM   606925105         105      24,338  SH     DEFINED  01,08      24,338           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    311
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MOBILE MINI INC                   COM   60740F105         182       9,464  SH     DEFINED     01       9,299           0         165
MOBILE MINI INC                   COM   60740F105           5         250  SH     OTHER       02         250           0           0
MOBILE MINI INC                   COM   60740F105          58       3,000  SH     DEFINED     04           0           0       3,000
MOBILE MINI INC                   COM   60740F105         210      10,926  SH     DEFINED  01,08      10,926           0           0

MOCON INC                         COM   607494101          45       7,781  SH     DEFINED     01       7,781           0           0
MOCON INC                         COM   607494101          51       8,813  SH     OTHER       01       8,813           0           0
MOCON INC                         COM   607494101         401      69,798  SH     DEFINED  01,08      69,798           0           0

MODEM MEDIA INC                   COM   607533106          35       8,210  SH     DEFINED     01       7,135           0       1,075
MODEM MEDIA INC                   COM   607533106           0         100  SH     DEFINED     04         100           0           0
MODEM MEDIA INC                   COM   607533106         118      27,335  SH     DEFINED  01,08      27,335           0           0

MODINE MFG CO                     COM   607828100       1,022      36,272  SH     DEFINED     01      31,232         840       4,200
MODINE MFG CO                     COM   607828100         288      10,238  SH     DEFINED     03           0      10,238           0
MODINE MFG CO                     COM   607828100       2,361      83,811  SH     DEFINED  01,08      83,811           0           0

MODTECH HLDGS INC                 COM   60783C100         171      17,326  SH     DEFINED  01,08      17,326           0           0

MODIS PROFESSIONAL SVCS INC       COM   607830106         650     125,348  SH     DEFINED     01     105,693       7,900      11,755
MODIS PROFESSIONAL SVCS INC       COM   607830106           3         600  SH     DEFINED     04         600           0           0
MODIS PROFESSIONAL SVCS INC       COM   607830106       1,433     276,249  SH     DEFINED  01,08     276,249           0           0

MOHAWK INDS INC                   COM   608190104       1,223      56,054  SH     DEFINED     01      47,801       1,100       7,153
MOHAWK INDS INC                   COM   608190104       3,307     151,594  SH     DEFINED  01,08     151,594           0           0

MOLECULAR DEVICES CORP            COM   60851C107       1,926      19,604  SH     DEFINED     01      15,843       2,500       1,261
MOLECULAR DEVICES CORP            COM   60851C107       1,616      16,447  SH     DEFINED  01,08      16,447           0           0

MOLEX INC                         COM   608554101      28,554     524,530  SH     DEFINED     01     321,346     180,200      22,984
MOLEX INC                         COM   608554101       6,537     120,092  SH     OTHER       01      35,722      79,605       4,765
MOLEX INC                         COM   608554101          39         710  SH     DEFINED     02         710           0           0
MOLEX INC                         COM   608554101         101       1,848  SH     OTHER       02       1,148         500         200
MOLEX INC                         COM   608554101       2,902      53,306  SH     DEFINED     03      17,952      29,604       5,750
MOLEX INC                         COM   608554101       1,449      26,609  SH     OTHER       03      11,755       9,291       5,563
MOLEX INC                         COM   608554101       2,529      46,449  SH     DEFINED     04      46,449           0           0
MOLEX INC                         COM   608554101       1,208      22,199  SH     OTHER       04      22,199           0           0
MOLEX INC                         COM   608554101         244       4,483  SH     DEFINED     05       1,562       2,921           0
MOLEX INC                         COM   608554101         502       9,227  SH     OTHER       05         187       1,413       7,627
MOLEX INC                         COM   608554101      17,056     313,311  SH     DEFINED  01,08     313,311           0           0
MOLEX INC                         COM   608554101          16         290  SH     DEFINED     09         290           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    312
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MOLEX INC                         COM   608554200       5,834     140,804  SH     DEFINED     01      26,107     111,809       2,888
MOLEX INC                         COM   608554200       6,135     148,059  SH     OTHER       01      31,734      45,119      71,206
MOLEX INC                         COM   608554200          16         383  SH     DEFINED     02           0         383           0
MOLEX INC                         COM   608554200          21         500  SH     OTHER       02           0         500           0
MOLEX INC                         COM   608554200         191       4,600  SH     DEFINED     03           0       4,600           0
MOLEX INC                         COM   608554200       6,328     152,723  SH     DEFINED     04     128,633           0      24,090
MOLEX INC                         COM   608554200       1,959      47,265  SH     OTHER       04      43,180           0       4,085

MONACO COACH CORP                 COM   60886R103         149       9,018  SH     DEFINED     01       6,238           0       2,780
MONACO COACH CORP                 COM   60886R103          12         750  SH     OTHER       01           0           0         750
MONACO COACH CORP                 COM   60886R103         579      35,115  SH     DEFINED  01,08      35,115           0           0

MONARCH CASINO & RESORT INC       COM   609027107          66      11,300  SH     DEFINED  01,08      11,300           0           0

MONARCH DENTAL CORP               COM   609044102          27      15,591  SH     DEFINED  01,08      15,591           0           0

MONDAVI ROBERT CORP               COM   609200100         201       4,916  SH     DEFINED     01       3,473           0       1,443
MONDAVI ROBERT CORP               COM   609200100           4         100  SH     DEFINED     04         100           0           0
MONDAVI ROBERT CORP               COM   609200100         820      20,067  SH     DEFINED  01,08      20,067           0           0

MONRO MUFFLER BRAKE INC           COM   610236101          46       4,205  SH     DEFINED     01       4,205           0           0
MONRO MUFFLER BRAKE INC           COM   610236101         142      13,025  SH     DEFINED  01,08      13,025           0           0

MONTANA POWER CO                  COM   612085100       2,692      80,653  SH     DEFINED     01      70,483       4,576       5,594
MONTANA POWER CO                  COM   612085100         272       8,136  SH     OTHER       01       8,136           0           0
MONTANA POWER CO                  COM   612085100          13         400  SH     DEFINED     02         400           0           0
MONTANA POWER CO                  COM   612085100          63       1,900  SH     OTHER       02         700           0       1,200
MONTANA POWER CO                  COM   612085100         102       3,070  SH     DEFINED     03       1,200           0       1,870
MONTANA POWER CO                  COM   612085100         110       3,300  SH     DEFINED     04       3,300           0           0
MONTANA POWER CO                  COM   612085100          58       1,723  SH     DEFINED     05       1,723           0           0
MONTANA POWER CO                  COM   612085100       9,775     292,887  SH     DEFINED  01,08     292,887           0           0

MONTEREY PASTA CO                 COM   612570101          64      12,599  SH     DEFINED  01,08      12,599           0           0

MONTGOMERY STR INCOME SECS INC UNDEFIND 614115103           5      32,059         DEFINED     01       4,359      27,700           0
MONTGOMERY STR INCOME SECS INC UNDEFIND 614115103           0         517         DEFINED     03         517           0           0
MONTGOMERY STR INCOME SECS INC UNDEFIND 614115103          25       1,500         DEFINED     04       1,500           0           0

MONY GROUP INC                    COM   615337102       1,534      38,471  SH     DEFINED     01      35,506         793       2,172
MONY GROUP INC                    COM   615337102         112       2,816  SH     OTHER       01       2,816           0           0
MONY GROUP INC                    COM   615337102          13         327  SH     OTHER       02         327           0           0
MONY GROUP INC                    COM   615337102          37         939  SH     DEFINED     04         939           0           0
MONY GROUP INC                    COM   615337102           4          91  SH     OTHER       04          91           0           0
MONY GROUP INC                    COM   615337102          16         397  SH     OTHER       05           0           0         397
MONY GROUP INC                    COM   615337102       5,131     128,669  SH     DEFINED  01,08     128,669           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    313
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MOOG INC                          COM   615394202         129       4,291  SH     DEFINED     01       2,959           0       1,332
MOOG INC                          COM   615394202         280       9,300  SH     DEFINED     04           0           0       9,300
MOOG INC                          COM   615394202         618      20,506  SH     DEFINED  01,08      20,506           0           0

MOOG INC                          COM   615394301         225       5,587  SH     DEFINED  01,08       5,587           0           0

MOORE MED CORP                    COM   615799103          90      11,831  SH     DEFINED  01,08      11,831           0           0

MORGAN J P & CO INC               COM   616880100      72,377     443,011  SH     DEFINED     01     347,486      72,134      23,391
MORGAN J P & CO INC               COM   616880100      25,665     157,092  SH     OTHER       01      80,549      64,003      12,540
MORGAN J P & CO INC               COM   616880100       2,011      12,308  SH     DEFINED     02      11,358         750         200
MORGAN J P & CO INC               COM   616880100       1,756      10,750  SH     OTHER       02       4,750       3,600       2,400
MORGAN J P & CO INC               COM   616880100       2,717      16,629  SH     DEFINED     03       6,319       6,210       4,100
MORGAN J P & CO INC               COM   616880100       4,580      28,035  SH     OTHER       03      20,402       3,633       4,000
MORGAN J P & CO INC               COM   616880100       8,620      52,762  SH     DEFINED     04      50,451           0       2,311
MORGAN J P & CO INC               COM   616880100      16,665     102,006  SH     OTHER       04      98,131           0       3,875
MORGAN J P & CO INC               COM   616880100          29         178  SH     DEFINED     05         178           0           0
MORGAN J P & CO INC               COM   616880100          16         100  SH     OTHER       05           0         100           0
MORGAN J P & CO INC               COM   616880100      40,396     247,260  SH     DEFINED  01,08     247,260           0           0
MORGAN J P & CO INC               COM   616880100         147         900  SH     DEFINED     09         900           0           0
MORGAN J P & CO INC               COM   616880100         116         712  SH     OTHER       09         712           0           0
MORGAN J P & CO INC               COM   616880100         960       5,875  SH     DEFINED     10       5,625         250           0
MORGAN J P & CO INC               COM   616880100         339       2,075  SH     OTHER       10         700       1,375           0

MORGAN STANLEY FIN PLC            PFD   616906707         116       4,700         DEFINED     04       4,700           0           0
MORGAN STANLEY FIN PLC            PFD   616906707         150       6,100         OTHER       04       6,100           0           0

MORGAN KEEGAN INC                 COM   617410105         253      14,445  SH     DEFINED     01       8,849           0       5,596
MORGAN KEEGAN INC                 COM   617410105       2,109     120,489  SH     DEFINED  01,08     120,489           0           0

MORGAN STANLEY DEAN WITTER&CO     COM   617446448     268,606   2,937,605  SH     DEFINED     01   2,338,255     455,432     143,918
MORGAN STANLEY DEAN WITTER&CO     COM   617446448      12,571     137,487  SH     OTHER       01      74,416      50,772      12,299
MORGAN STANLEY DEAN WITTER&CO     COM   617446448       1,379      15,078  SH     DEFINED     02       2,626      11,952         500
MORGAN STANLEY DEAN WITTER&CO     COM   617446448         994      10,876  SH     OTHER       02       2,664       8,212           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448      15,141     165,587  SH     DEFINED     03      69,864      87,193       8,530
MORGAN STANLEY DEAN WITTER&CO     COM   617446448       3,034      33,181  SH     OTHER       03      16,320      11,766       5,095
MORGAN STANLEY DEAN WITTER&CO     COM   617446448      12,811     140,104  SH     DEFINED     04     140,104           0           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448       7,759      84,861  SH     OTHER       04      82,861           0       2,000
MORGAN STANLEY DEAN WITTER&CO     COM   617446448       3,357      36,712  SH     DEFINED     05      29,842       5,020       1,850
MORGAN STANLEY DEAN WITTER&CO     COM   617446448         235       2,570  SH     OTHER       05       1,370       1,200           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448     159,286   1,742,029  SH     DEFINED  01,08   1,742,029           0           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448          95       1,038  SH     DEFINED     09         150         888           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448       1,688      18,462  SH     DEFINED     10      13,950       4,512           0
MORGAN STANLEY DEAN WITTER&CO     COM   617446448         494       5,400  SH     OTHER       10       2,100       3,300           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    314
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P429           0       4,600         DEFINED     01       4,600           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P429           0       1,755         OTHER       01           0       1,755           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P429           0       5,118         OTHER       02           0       5,118           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P429          21       2,503         OTHER       04       2,503           0           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452           2      19,106         DEFINED     01      19,106           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452           0       3,000         DEFINED     02           0       3,000           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452           1       6,700         OTHER       02           0       6,700           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452          50       6,000         DEFINED     04       6,000           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452          21       2,500         OTHER       04       2,500           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P452           0         623         DEFINED     10           0         623           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P478           0       3,561         DEFINED     01       2,561       1,000           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P478           0         500         DEFINED     02           0         500           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P478           0       3,422         DEFINED     03       3,422           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P478         329      35,333         DEFINED     04      35,333           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P478          36       3,848         OTHER       04       3,848           0           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486           1      10,083         DEFINED     01          83      10,000           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486           0       1,737         OTHER       01           0       1,737           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486           0       1,346         DEFINED     02           0       1,346           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486           0       1,233         DEFINED     03       1,233           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486          60       6,505         DEFINED     04       6,505           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486          30       3,210         OTHER       04       3,210           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P486           1      10,179         DEFINED     10           0      10,179           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P585           3      27,377         DEFINED     01      20,160       7,217           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P585          18       1,421         DEFINED     04       1,421           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P585          51       4,000         OTHER       04       4,000           0           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P668           0       1,150         DEFINED     01           0           0       1,150
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P668         156      11,300         DEFINED     04      11,300           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P668          41       3,000         OTHER       04       3,000           0           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P734           1       8,234         DEFINED     01       1,300       6,934           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P734           1       3,821         OTHER       02           0       3,821           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P734         123       9,100         DEFINED     04       9,100           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P734          83       6,132         OTHER       04       6,132           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P734           0       3,200         DEFINED     10           0       3,200           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P791           1      11,300         DEFINED     01       2,500       8,800           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P791           0         404         OTHER       02         404           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P791         272      20,745         DEFINED     04      20,745           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P791          25       1,888         OTHER       04       1,888           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    315
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P817           0       3,000         DEFINED     01           0       3,000           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P817          98       7,200         DEFINED     04       7,200           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P817          47       3,500         OTHER       04       3,500           0           0

MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P866           3      20,367         DEFINED     01           0      20,367           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P866           1       5,538         OTHER       01           0       5,538           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P866         100       6,936         DEFINED     04       6,936           0           0
MORGAN STANLEY DEAN WITTER     UNDEFIND 61745P866         147      10,258         OTHER       04      10,258           0           0

MORRISON MGMT SPECIALISTS INC     COM   618459101         473      16,023  SH     DEFINED     01      15,593           0         430
MORRISON MGMT SPECIALISTS INC     COM   618459101         154       5,225  SH     DEFINED     04         825           0       4,400
MORRISON MGMT SPECIALISTS INC     COM   618459101         784      26,529  SH     DEFINED  01,08      26,529           0           0

MORTGAGE COM INC                  COM   61910V102           1       1,200  SH     DEFINED     04       1,200           0           0
MORTGAGE COM INC                  COM   61910V102          15      14,885  SH     DEFINED  01,08      14,885           0           0

MORTONS RESTAURANT GROUP INC      COM   619429103         419      20,700  SH     DEFINED     01           0      20,700           0
MORTONS RESTAURANT GROUP INC      COM   619429103          99       4,900  SH     DEFINED  01,08       4,900           0           0

MOTHERNATURE COM INC              COM   61978K105           9      10,900  SH     DEFINED  01,08      10,900           0           0

MOTO PHOTO INC                    COM   619821101          35      35,800  SH     DEFINED  01,08      35,800           0           0

MOTOR CLUB AMER                   COM   619823107         148      17,399  SH     DEFINED     01           0      17,399           0
MOTOR CLUB AMER                   COM   619823107          81       9,549  SH     DEFINED  01,08       9,549           0           0

MOTIENT CORP                      COM   619908106         746      52,822  SH     DEFINED     01      50,993           0       1,829
MOTIENT CORP                      COM   619908106           7         500  SH     DEFINED     04         500           0           0
MOTIENT CORP                      COM   619908106         967      68,449  SH     DEFINED  01,08      68,449           0           0

MOTOROLA INC                      COM   620076109     236,120   8,358,247  SH     DEFINED     01   6,344,314   1,543,063     470,870
MOTOROLA INC                      COM   620076109     137,168   4,855,491  SH     OTHER       01   3,567,976   1,082,741     204,774
MOTOROLA INC                      COM   620076109       8,788     311,079  SH     DEFINED     02     159,044     135,649      16,386
MOTOROLA INC                      COM   620076109       7,489     265,080  SH     OTHER       02     200,147      39,823      25,110
MOTOROLA INC                      COM   620076109       8,272     292,817  SH     DEFINED     03     161,908     121,505       9,404
MOTOROLA INC                      COM   620076109       5,022     177,782  SH     OTHER       03     120,016      32,091      25,675
MOTOROLA INC                      COM   620076109      59,563   2,108,440  SH     DEFINED     04   2,042,551           0      65,889
MOTOROLA INC                      COM   620076109      38,454   1,361,200  SH     OTHER       04   1,290,869           0      70,331
MOTOROLA INC                      COM   620076109       3,234     114,485  SH     DEFINED     05      78,760      15,725      20,000
MOTOROLA INC                      COM   620076109       1,287      45,550  SH     OTHER       05      28,600      14,100       2,850
MOTOROLA INC                      COM   620076109      99,089   3,507,581  SH     DEFINED  01,08   3,507,581           0           0
MOTOROLA INC                      COM   620076109         153       5,400  SH     DEFINED     09       5,400           0           0
MOTOROLA INC                      COM   620076109          34       1,200  SH     OTHER       09       1,200           0           0
MOTOROLA INC                      COM   620076109         995      35,227  SH     DEFINED     10      29,707       5,520           0
MOTOROLA INC                      COM   620076109       1,162      41,130  SH     OTHER       10       4,800      36,330           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    316
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MOVADO GROUP INC                  COM   624580106         582      33,500  SH     DEFINED     01           0      33,500           0
MOVADO GROUP INC                  COM   624580106         279      16,040  SH     DEFINED  01,08      16,040           0           0

MOVIE GALLERY INC                 COM   624581104          90      23,200  SH     DEFINED  01,08      23,200           0           0

MOVIE STAR INC                    COM   624591103          42      55,861  SH     DEFINED  01,08      55,861           0           0

MPOWER COMMUNICATIONS CORP        COM   62473J106         431      49,406  SH     DEFINED     01      47,929         474       1,003
MPOWER COMMUNICATIONS CORP        COM   62473J106           1          75  SH     DEFINED     04          75           0           0
MPOWER COMMUNICATIONS CORP        COM   62473J106         732      83,964  SH     DEFINED  01,08      83,964           0           0

MP3 COM INC                       COM   62473M109          46      11,807  SH     DEFINED     01       8,241           0       3,566
MP3 COM INC                       COM   62473M109         469     119,007  SH     DEFINED  01,08     119,007           0           0

MUELLER INDS INC                  COM   624756102         529      23,563  SH     DEFINED     01      15,030         800       7,733
MUELLER INDS INC                  COM   624756102       1,644      73,260  SH     DEFINED  01,08      73,260           0           0

MULTIPLE ZONES INTERNATIONAL      COM   624906103          57      14,306  SH     DEFINED  01,08      14,306           0           0

MULTEX COM INC                    COM   625367107         293      17,116  SH     DEFINED     01      16,637           0         479
MULTEX COM INC                    COM   625367107         547      31,941  SH     DEFINED  01,08      31,941           0           0

MUNICIPAL HIGH INCOME FD INC   UNDEFIND 626214100           0          15         OTHER       01           0          15           0
MUNICIPAL HIGH INCOME FD INC   UNDEFIND 626214100           1       6,000         DEFINED     03           0       6,000           0
MUNICIPAL HIGH INCOME FD INC   UNDEFIND 626214100         107      12,812         DEFINED     04      12,812           0           0
MUNICIPAL HIGH INCOME FD INC   UNDEFIND 626214100          50       6,000         OTHER       04       6,000           0           0

MUNICIPAL MTG & EQUITY L L C      COM   62624B101          20         952  SH     DEFINED     03           0           0         952
MUNICIPAL MTG & EQUITY L L C      COM   62624B101         267      12,577  SH     DEFINED     04      12,577           0           0
MUNICIPAL MTG & EQUITY L L C      COM   62624B101          16         740  SH     OTHER       04         740           0           0

MUNIHOLDINGS FLA INSD FD       UNDEFIND 62624W105           0       2,806         OTHER       01       2,806           0           0
MUNIHOLDINGS FLA INSD FD       UNDEFIND 62624W105         707      62,479         DEFINED     04      62,479           0           0
MUNIHOLDINGS FLA INSD FD       UNDEFIND 62624W105         289      25,569         OTHER       04      25,569           0           0

MUNIENHANCED FD INC            UNDEFIND 626243109           1       7,581         DEFINED     01       7,581           0           0
MUNIENHANCED FD INC            UNDEFIND 626243109           0       2,000         OTHER       01           0       2,000           0
MUNIENHANCED FD INC            UNDEFIND 626243109           0         715         DEFINED     02           0         715           0
MUNIENHANCED FD INC            UNDEFIND 626243109         103      10,545         DEFINED     04      10,545           0           0

MUNIHOLDINGS FD INC            UNDEFIND 62625H107          37       3,000         DEFINED     04       3,000           0           0
MUNIHOLDINGS FD INC            UNDEFIND 62625H107         188      15,233         OTHER       04      15,233           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    317
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MUNIVEST FD II INC                COM   62629P105          59       5,000  SH     DEFINED     01           0           0       5,000
MUNIVEST FD II INC                COM   62629P105          57       4,793  SH     DEFINED     04       4,793           0           0
MUNIVEST FD II INC                COM   62629P105          24       2,020  SH     OTHER       04       2,020           0           0
MUNIVEST FD II INC                COM   62629P105          56       4,750  SH     OTHER       05           0       4,750           0

MUNIVEST FD INC                UNDEFIND 626295109           0       3,315         OTHER       01           0       3,315           0
MUNIVEST FD INC                UNDEFIND 626295109         139      16,935         DEFINED     04      16,935           0           0
MUNIVEST FD INC                UNDEFIND 626295109          88      10,803         OTHER       04       9,892           0         911

MUNIYIELD FLA FD               UNDEFIND 626297105         113       9,863         DEFINED     04       9,863           0           0
MUNIYIELD FLA FD               UNDEFIND 626297105          77       6,735         OTHER       04       6,735           0           0

MUNIYIELD FLA INSD FD          UNDEFIND 626298103          50       3,961         DEFINED     04       3,961           0           0
MUNIYIELD FLA INSD FD          UNDEFIND 626298103         163      12,868         OTHER       04      12,868           0           0

MUNIYIELD FD INC               UNDEFIND 626299101           0         493         DEFINED     01           0         493           0
MUNIYIELD FD INC               UNDEFIND 626299101         194      15,040         DEFINED     04      15,040           0           0
MUNIYIELD FD INC               UNDEFIND 626299101           0       1,726         DEFINED     10       1,726           0           0

MUNIYIELD INSD FD INC          UNDEFIND 62630E107           0       1,181         DEFINED     01           0           0       1,181
MUNIYIELD INSD FD INC          UNDEFIND 62630E107           1       5,500         OTHER       01       5,500           0           0
MUNIYIELD INSD FD INC          UNDEFIND 62630E107           0       2,100         DEFINED     02       2,100           0           0
MUNIYIELD INSD FD INC          UNDEFIND 62630E107         158      12,186         DEFINED     04      12,186           0           0
MUNIYIELD INSD FD INC          UNDEFIND 62630E107          35       2,706         OTHER       04       2,706           0           0
MUNIYIELD INSD FD INC          UNDEFIND 62630E107           0       1,203         DEFINED     10           0       1,203           0

MUNIYIELD QUALITY FD II        UNDEFIND 62630T104           0       3,900         OTHER       03           0       3,900           0
MUNIYIELD QUALITY FD II        UNDEFIND 62630T104          36       3,029         DEFINED     04       2,776           0         253
MUNIYIELD QUALITY FD II        UNDEFIND 62630T104          33       2,780         OTHER       04       2,780           0           0
MUNIYIELD QUALITY FD II        UNDEFIND 62630T104           0       1,000         DEFINED     10           0       1,000           0

MUNIYIELD QUALITY FD INC       UNDEFIND 626302103           1       4,100         DEFINED     01           0       4,100           0
MUNIYIELD QUALITY FD INC       UNDEFIND 626302103         440      35,035         DEFINED     04      35,035           0           0
MUNIYIELD QUALITY FD INC       UNDEFIND 626302103         140      11,150         OTHER       04      11,150           0           0

MURPHY OIL CORP                   COM   626717102       1,982      30,580  SH     DEFINED     01      28,173           0       2,407
MURPHY OIL CORP                   COM   626717102          32         500  SH     OTHER       01         200         300           0
MURPHY OIL CORP                   COM   626717102           8         119  SH     OTHER       05         119           0           0
MURPHY OIL CORP                   COM   626717102       9,137     140,972  SH     DEFINED  01,08     140,972           0           0

MUSICMAKER COM INC                COM   62757C108          10      15,856  SH     DEFINED  01,08      15,856           0           0

MUSICLAND STORES CORP             COM   62758B109         297      42,076  SH     DEFINED     01      37,267           0       4,809
MUSICLAND STORES CORP             COM   62758B109         482      68,315  SH     DEFINED  01,08      68,315           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    318
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
MUTUAL RISK MGMT LTD              COM   628351108          44       2,000  SH     DEFINED     01           0           0       2,000
MUTUAL RISK MGMT LTD              COM   628351108       1,173      53,462  SH     OTHER       01      31,896       1,300      20,266
MUTUAL RISK MGMT LTD              COM   628351108          16         750  SH     DEFINED     03         750           0           0
MUTUAL RISK MGMT LTD              COM   628351108           3         150  SH     OTHER       03         150           0           0
MUTUAL RISK MGMT LTD              COM   628351108          13         600  SH     OTHER       04         600           0           0
MUTUAL RISK MGMT LTD              COM   628351108         250      11,400  SH     DEFINED  01,08      11,400           0           0

MYERS INDS INC                    COM   628464109         143      11,288  SH     DEFINED     01       6,659       1,383       3,246
MYERS INDS INC                    COM   628464109       2,967     233,893  SH     OTHER       01     233,893           0           0
MYERS INDS INC                    COM   628464109         872      68,747  SH     DEFINED  01,08      68,747           0           0

MYLAN LABS INC                    COM   628530107       2,845     105,617  SH     DEFINED     01      99,197           0       6,420
MYLAN LABS INC                    COM   628530107         687      25,500  SH     OTHER       01      25,500           0           0
MYLAN LABS INC                    COM   628530107         106       3,950  SH     DEFINED     04       3,950           0           0
MYLAN LABS INC                    COM   628530107         154       5,700  SH     OTHER       04       5,700           0           0
MYLAN LABS INC                    COM   628530107       9,307     345,509  SH     DEFINED  01,08     345,509           0           0
MYLAN LABS INC                    COM   628530107         159       5,905  SH     OTHER       09           0       5,905           0

MYRIAD GENETICS INC               COM   62855J104       1,885      21,824  SH     DEFINED     01      19,096       2,400         328
MYRIAD GENETICS INC               COM   62855J104       3,244      37,554  SH     DEFINED  01,08      37,554           0           0

MYPOINTS COM INC                  COM   62855T102         135      24,500  SH     DEFINED     01      24,187           0         313
MYPOINTS COM INC                  COM   62855T102         255      46,346  SH     DEFINED  01,08      46,346           0           0

NABI INC                          COM   628716102         454      64,831  SH     DEFINED     01      64,228           0         603
NABI INC                          COM   628716102          66       9,391  SH     OTHER       01           0           0       9,391
NABI INC                          COM   628716102           1         200  SH     DEFINED     04         200           0           0
NABI INC                          COM   628716102         534      76,331  SH     DEFINED  01,08      76,331           0           0

NBC INTERNET INC                  COM   62873D105         139      21,224  SH     DEFINED     01      14,351           0       6,873
NBC INTERNET INC                  COM   62873D105           2         300  SH     DEFINED     02         300           0           0
NBC INTERNET INC                  COM   62873D105           0          75  SH     DEFINED     04          75           0           0
NBC INTERNET INC                  COM   62873D105           3         400  SH     OTHER       04           0           0         400
NBC INTERNET INC                  COM   62873D105          59       9,040  SH     DEFINED  01,08       9,040           0           0

NBT BANCORP INC                   COM   628778102         185      15,421  SH     DEFINED     01      11,755           0       3,666
NBT BANCORP INC                   COM   628778102           1          45  SH     OTHER       04           0           0          45
NBT BANCORP INC                   COM   628778102         354      29,467  SH     DEFINED  01,08      29,467           0           0

NBTY INC                          COM   628782104         707     108,315  SH     DEFINED     01     100,811       2,200       5,304
NBTY INC                          COM   628782104         684     104,757  SH     DEFINED  01,08     104,757           0           0

NCH CORP                          COM   628850109         275       7,799  SH     DEFINED     01       7,254           0         545
NCH CORP                          COM   628850109         524      14,842  SH     DEFINED  01,08      14,842           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    319
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NCI BUILDING SYS INC              COM   628852105         199      13,617  SH     DEFINED     01      10,292           0       3,325
NCI BUILDING SYS INC              COM   628852105          44       3,000  SH     OTHER       04           0           0       3,000
NCI BUILDING SYS INC              COM   628852105         419      28,654  SH     DEFINED  01,08      28,654           0           0

NCO GROUP INC                     COM   628858102         553      46,559  SH     DEFINED     01      45,212           0       1,347
NCO GROUP INC                     COM   628858102          59       5,000  SH     DEFINED     04           0           0       5,000
NCO GROUP INC                     COM   628858102         856      72,094  SH     DEFINED  01,08      72,094           0           0

NCR CORP NEW                      COM   62886E108       6,560     173,495  SH     DEFINED     01     139,174      27,593       6,728
NCR CORP NEW                      COM   62886E108         138       3,639  SH     OTHER       01       3,121         376         142
NCR CORP NEW                      COM   62886E108          12         319  SH     DEFINED     02         196         123           0
NCR CORP NEW                      COM   62886E108          25         665  SH     OTHER       02         305         360           0
NCR CORP NEW                      COM   62886E108           8         221  SH     DEFINED     03          12         209           0
NCR CORP NEW                      COM   62886E108           7         192  SH     OTHER       03         124          43          25
NCR CORP NEW                      COM   62886E108         194       5,137  SH     DEFINED     04       5,046           0          91
NCR CORP NEW                      COM   62886E108          15         398  SH     OTHER       04         367           0          31
NCR CORP NEW                      COM   62886E108           0          12  SH     OTHER       05          12           0           0
NCR CORP NEW                      COM   62886E108       5,868     155,202  SH     DEFINED  01,08     155,202           0           0
NCR CORP NEW                      COM   62886E108           0           6  SH     OTHER       09           0           6           0
NCR CORP NEW                      COM   62886E108          25         662  SH     DEFINED     10           0         662           0

NS GROUP INC                      COM   628916108         198       9,961  SH     DEFINED     01       6,961           0       3,000
NS GROUP INC                      COM   628916108          28       1,400  SH     OTHER       01           0       1,400           0
NS GROUP INC                      COM   628916108         155       7,800  SH     DEFINED     04           0           0       7,800
NS GROUP INC                      COM   628916108         868      43,682  SH     DEFINED  01,08      43,682           0           0

NL INDS INC                       COM   629156407         306      14,440  SH     DEFINED     01      10,955           0       3,485
NL INDS INC                       COM   629156407           1          68  SH     DEFINED     04          68           0           0
NL INDS INC                       COM   629156407       1,713      80,840  SH     DEFINED  01,08      80,840           0           0

NMT MED INC                       COM   629294109          25      11,600  SH     DEFINED  01,08      11,600           0           0

NN INC                            COM   629337106         210      23,332  SH     DEFINED  01,08      23,332           0           0

NPS PHARMACEUTICALS INC           COM   62936P103       1,780      31,464  SH     DEFINED     01      31,118           0         346
NPS PHARMACEUTICALS INC           COM   62936P103       2,027      35,832  SH     DEFINED  01,08      35,832           0           0

NPC INTERNATIONAL INC             COM   629360306          61       6,186  SH     DEFINED     01       4,726           0       1,460
NPC INTERNATIONAL INC             COM   629360306         406      41,473  SH     DEFINED  01,08      41,473           0           0

NQL INC                           COM   629369109          48      16,219  SH     DEFINED  01,08      16,219           0           0

NRG ENERGY INC                    COM   629377102         720      19,731  SH     DEFINED     01      18,908           0         823
NRG ENERGY INC                    COM   629377102         875      23,981  SH     DEFINED  01,08      23,981           0           0
NRG ENERGY INC                    COM   629377102          10         280  SH     DEFINED     10         280           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    320
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NTL INC                           COM   629407107         886      19,136  SH     DEFINED     01      13,731       2,341       3,064
NTL INC                           COM   629407107          58       1,250  SH     DEFINED     04       1,250           0           0
NTL INC                           COM   629407107       5,524     119,278  SH     DEFINED  01,08     119,278           0           0

NTN COMMUNUNICATIONS INC          COM   629410309           3       1,000  SH     DEFINED     04       1,000           0           0
NTN COMMUNUNICATIONS INC          COM   629410309          95      35,200  SH     DEFINED  01,08      35,200           0           0

NUCO2 INC                         COM   629428103          16       2,600  SH     DEFINED     01       2,600           0           0
NUCO2 INC                         COM   629428103          56       9,000  SH     DEFINED  01,08       9,000           0           0

NUI CORP                          COM   629430109         577      19,113  SH     DEFINED     01      16,580           0       2,533
NUI CORP                          COM   629430109         151       5,000  SH     OTHER       04       5,000           0           0
NUI CORP                          COM   629430109         832      27,547  SH     DEFINED  01,08      27,547           0           0

NVR INC                           COM   62944T105       1,969      24,314  SH     DEFINED     01      22,806           0       1,508
NVR INC                           COM   62944T105       1,393      17,202  SH     DEFINED  01,08      17,202           0           0

NYMAGIC INC                       COM   629484106         103       7,000  SH     DEFINED     01       7,000           0           0
NYMAGIC INC                       COM   629484106         424      28,779  SH     DEFINED  01,08      28,779           0           0

NABISCO GROUP HLDG CORP           COM   62952P102      16,617     583,064  SH     DEFINED     01     464,980      92,887      25,197
NABISCO GROUP HLDG CORP           COM   62952P102          83       2,908  SH     OTHER       01       2,723          85         100
NABISCO GROUP HLDG CORP           COM   62952P102          25         860  SH     DEFINED     02         211         649           0
NABISCO GROUP HLDG CORP           COM   62952P102           6         200  SH     DEFINED     03         200           0           0
NABISCO GROUP HLDG CORP           COM   62952P102         144       5,054  SH     DEFINED     04       5,054           0           0
NABISCO GROUP HLDG CORP           COM   62952P102         124       4,364  SH     OTHER       04       4,364           0           0
NABISCO GROUP HLDG CORP           COM   62952P102          60       2,105  SH     OTHER       05           0           0       2,105
NABISCO GROUP HLDG CORP           COM   62952P102      13,695     480,514  SH     DEFINED  01,08     480,514           0           0
NABISCO GROUP HLDG CORP           COM   62952P102           6         200  SH     OTHER       10         200           0           0

NABISCO HLDGS CORP                COM   629526104         324       6,032  SH     DEFINED     01       4,611           0       1,421
NABISCO HLDGS CORP                COM   629526104          11         200  SH     DEFINED     04         200           0           0
NABISCO HLDGS CORP                COM   629526104          27         500  SH     OTHER       04         500           0           0
NABISCO HLDGS CORP                COM   629526104       4,184      77,843  SH     DEFINED  01,08      77,843           0           0
NABISCO HLDGS CORP                COM   629526104           8         158  SH     DEFINED     10         158           0           0

NABORS INDS INC                   COM   629568106       5,691     108,613  SH     DEFINED     01      89,089      11,600       7,924
NABORS INDS INC                   COM   629568106          31         600  SH     OTHER       01         600           0           0
NABORS INDS INC                   COM   629568106          10         200  SH     OTHER       02           0         200           0
NABORS INDS INC                   COM   629568106         414       7,900  SH     DEFINED     04       7,900           0           0
NABORS INDS INC                   COM   629568106          34         651  SH     OTHER       04         651           0           0
NABORS INDS INC                   COM   629568106      20,967     400,139  SH     DEFINED  01,08     400,139           0           0
NABORS INDS INC                   COM   629568106         204       3,900  SH     DEFINED     10       1,800       2,100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    321
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NACCO INDS INC                    COM   629579103         158       3,762  SH     DEFINED     01       2,643           3       1,116
NACCO INDS INC                    COM   629579103          13         300  SH     DEFINED     02           0         300           0
NACCO INDS INC                    COM   629579103          63       1,500  SH     DEFINED     04       1,500           0           0
NACCO INDS INC                    COM   629579103         362       8,611  SH     DEFINED  01,08       8,611           0           0

NANOGEN INC                       COM   630075109         282      14,567  SH     DEFINED     01      14,310           0         257
NANOGEN INC                       COM   630075109           3         180  SH     DEFINED     03         180           0           0
NANOGEN INC                       COM   630075109         321      16,563  SH     DEFINED  01,08      16,563           0           0

NANOMETRICS INC                   COM   630077105         245       4,576  SH     DEFINED     01       4,496           0          80
NANOMETRICS INC                   COM   630077105       1,633      30,564  SH     DEFINED  01,08      30,564           0           0

NANOPHASE TCHNOLOGIES CORP        COM   630079101         101       7,500  SH     DEFINED     04       7,500           0           0
NANOPHASE TCHNOLOGIES CORP        COM   630079101          43       3,192  SH     DEFINED  01,08       3,192           0           0

NAPCO SEC SYS INC                 COM   630402105          94      21,500  SH     DEFINED  01,08      21,500           0           0

NASDAQ 100 TR                     COM   631100104         633       7,137  SH     DEFINED     01       2,025       3,458       1,654
NASDAQ 100 TR                     COM   631100104           9         100  SH     DEFINED     02           0           0         100
NASDAQ 100 TR                     COM   631100104       1,069      12,056  SH     DEFINED     04       8,006           0       4,050
NASDAQ 100 TR                     COM   631100104         488       5,498  SH     OTHER       04       5,223           0         275
NASDAQ 100 TR                     COM   631100104          89       1,000  SH     DEFINED     09       1,000           0           0
NASDAQ 100 TR                     COM   631100104          18         200  SH     DEFINED     10           0         200           0

NASH FINCH CO                     COM   631158102           1         100  SH     DEFINED     01           0           0         100
NASH FINCH CO                     COM   631158102         184      17,600  SH     DEFINED     04           0           0      17,600
NASH FINCH CO                     COM   631158102         340      32,584  SH     DEFINED  01,08      32,584           0           0

NASHUA CORP                       COM   631226107          45       5,300  SH     DEFINED     01       5,300           0           0
NASHUA CORP                       COM   631226107         138      16,345  SH     DEFINED  01,08      16,345           0           0

NATCO GROUP INC                   COM   63227W203          96      11,105  SH     DEFINED     02      11,105           0           0
NATCO GROUP INC                   COM   63227W203          27       3,100  SH     DEFINED  01,08       3,100           0           0

NATIONAL BEVERAGE CORP            COM   635017106         271      37,041  SH     DEFINED  01,08      37,041           0           0

NATIONAL CITY BANCORPORATION      COM   635312101         135       7,200  SH     DEFINED     01       7,200           0           0
NATIONAL CITY BANCORPORATION      COM   635312101         592      31,661  SH     DEFINED  01,08      31,661           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    322
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NATIONAL CITY CORP                COM   635405103      28,974   1,309,561  SH     DEFINED     01     978,545     272,846      58,170
NATIONAL CITY CORP                COM   635405103         645      29,146  SH     OTHER       01      28,746           0         400
NATIONAL CITY CORP                COM   635405103          84       3,792  SH     DEFINED     02       1,350           0       2,442
NATIONAL CITY CORP                COM   635405103         210       9,500  SH     OTHER       02       9,500           0           0
NATIONAL CITY CORP                COM   635405103         485      21,900  SH     DEFINED     03           0         500      21,400
NATIONAL CITY CORP                COM   635405103          44       2,000  SH     OTHER       03       2,000           0           0
NATIONAL CITY CORP                COM   635405103      21,497     971,608  SH     DEFINED     04     961,456           0      10,152
NATIONAL CITY CORP                COM   635405103       5,016     226,718  SH     OTHER       04     212,548           0      14,170
NATIONAL CITY CORP                COM   635405103           2          85  SH     DEFINED     05          85           0           0
NATIONAL CITY CORP                COM   635405103      20,852     942,479  SH     DEFINED  01,08     942,479           0           0
NATIONAL CITY CORP                COM   635405103         671      30,347  SH     DEFINED     10       7,379      18,568       4,400
NATIONAL CITY CORP                COM   635405103         148       6,678  SH     OTHER       10           0       6,678           0

NATIONAL COMM BANCORP             COM   635449101       2,784     139,633  SH     DEFINED     01     131,108         862       7,663
NATIONAL COMM BANCORP             COM   635449101          42       2,120  SH     OTHER       01           0       2,120           0
NATIONAL COMM BANCORP             COM   635449101          39       1,960  SH     OTHER       04       1,960           0           0
NATIONAL COMM BANCORP             COM   635449101      11,959     599,830  SH     DEFINED  01,08     599,830           0           0

NATIONAL DATA CORP                COM   635621105         820      24,997  SH     DEFINED     01      16,213       2,100       6,684
NATIONAL DATA CORP                COM   635621105          20         600  SH     OTHER       01           0           0         600
NATIONAL DATA CORP                COM   635621105       3,102      94,530  SH     DEFINED  01,08      94,530           0           0

NATIONAL DISC BROKERS GROUP       COM   635646102         607      19,628  SH     DEFINED     01      17,334           0       2,294
NATIONAL DISC BROKERS GROUP       COM   635646102          12         400  SH     OTHER       03           0         400           0
NATIONAL DISC BROKERS GROUP       COM   635646102       1,160      37,502  SH     DEFINED  01,08      37,502           0           0

NATIONAL EQUIP SVCS INC           COM   635847106         135      27,745  SH     DEFINED  01,08      27,745           0           0

NATIONAL FUEL GAS CO N J          COM   636180101       1,567      27,949  SH     DEFINED     01      25,347         470       2,132
NATIONAL FUEL GAS CO N J          COM   636180101          63       1,130  SH     OTHER       02         800         330           0
NATIONAL FUEL GAS CO N J          COM   636180101         165       2,940  SH     DEFINED     04       2,940           0           0
NATIONAL FUEL GAS CO N J          COM   636180101         303       5,400  SH     OTHER       04       5,400           0           0
NATIONAL FUEL GAS CO N J          COM   636180101       6,106     108,907  SH     DEFINED  01,08     108,907           0           0
NATIONAL FUEL GAS CO N J          COM   636180101          14         250  SH     DEFINED     10           0         250           0

NATIONAL GOLF PPTYS INC           COM   63623G109         170       8,232  SH     DEFINED     01       5,891           0       2,341
NATIONAL GOLF PPTYS INC           COM   63623G109          62       3,000  SH     OTHER       01       3,000           0           0
NATIONAL GOLF PPTYS INC           COM   63623G109          10         500  SH     DEFINED     02         500           0           0
NATIONAL GOLF PPTYS INC           COM   63623G109          69       3,356  SH     DEFINED  01,08       3,356           0           0
NATIONAL GOLF PPTYS INC           COM   63623G109           6         300  SH     OTHER       10         300           0           0

NATIONAL HEALTH INVS INC          COM   63633D104          94      13,964  SH     DEFINED     01       9,727           0       4,237
NATIONAL HEALTH INVS INC          COM   63633D104          41       6,000  SH     DEFINED     05       6,000           0           0
NATIONAL HEALTH INVS INC          COM   63633D104          41       6,033  SH     DEFINED  01,08       6,033           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    323
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NATIONAL INFO CONSORTIUM INC      COM   636491102          65      16,337  SH     DEFINED     01      16,048           0         289
NATIONAL INFO CONSORTIUM INC      COM   636491102         266      67,040  SH     DEFINED  01,08      67,040           0           0

NATIONAL INSTRS CORP              COM   636518102         284       6,437  SH     DEFINED     01       1,494       1,000       3,943
NATIONAL INSTRS CORP              COM   636518102       3,530      80,006  SH     DEFINED  01,08      80,006           0           0

NATIONAL-OILWELL INC              COM   637071101         264       8,452  SH     DEFINED     01       5,262         803       2,387
NATIONAL-OILWELL INC              COM   637071101         178       5,700  SH     DEFINED     04           0           0       5,700
NATIONAL-OILWELL INC              COM   637071101          16         500  SH     OTHER       04         500           0           0
NATIONAL-OILWELL INC              COM   637071101       3,790     121,267  SH     DEFINED  01,08     121,267           0           0

NATIONAL PENN BANCSHARES INC      COM   637138108         304      15,802  SH     DEFINED     01      14,297           0       1,505
NATIONAL PENN BANCSHARES INC      COM   637138108         571      29,692  SH     DEFINED  01,08      29,692           0           0

NATIONAL PRESTO INDS INC          COM   637215104         362      12,081  SH     DEFINED     01      11,299           0         782
NATIONAL PRESTO INDS INC          COM   637215104          13         450  SH     OTHER       04         450           0           0
NATIONAL PRESTO INDS INC          COM   637215104         364      12,167  SH     DEFINED  01,08      12,167           0           0

NATIONAL PROCESSING INC           COM   637229105         597      42,862  SH     DEFINED     01      41,753           0       1,109
NATIONAL PROCESSING INC           COM   637229105         338      24,284  SH     DEFINED  01,08      24,284           0           0

NATIONAL R V HLDGS INC            COM   637277104         129      12,850  SH     DEFINED  01,08      12,850           0           0

NATIONAL SEMICONDUCTOR CORP       COM   637640103      64,277   1,596,941  SH     DEFINED     01   1,085,950     477,703      33,288
NATIONAL SEMICONDUCTOR CORP       COM   637640103       2,254      56,009  SH     OTHER       01      21,294      31,265       3,450
NATIONAL SEMICONDUCTOR CORP       COM   637640103       2,449      60,850  SH     DEFINED     02      19,975      37,875       3,000
NATIONAL SEMICONDUCTOR CORP       COM   637640103         479      11,900  SH     OTHER       02       5,000       5,000       1,900
NATIONAL SEMICONDUCTOR CORP       COM   637640103       5,920     147,073  SH     DEFINED     03      52,081      87,462       7,530
NATIONAL SEMICONDUCTOR CORP       COM   637640103         986      24,500  SH     OTHER       03       7,050      13,050       4,400
NATIONAL SEMICONDUCTOR CORP       COM   637640103         607      15,075  SH     DEFINED     04      15,075           0           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103          22         550  SH     OTHER       04         550           0           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103       5,979     148,555  SH     DEFINED     05     107,455      30,500      10,600
NATIONAL SEMICONDUCTOR CORP       COM   637640103         181       4,495  SH     OTHER       05       4,145         350           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103      11,017     273,719  SH     DEFINED  01,08     273,719           0           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103         756      18,780  SH     DEFINED     09      18,780           0           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103          10         250  SH     OTHER       09         100         150           0
NATIONAL SEMICONDUCTOR CORP       COM   637640103         101       2,500  SH     DEFINED     10       1,450         750         300

NATIONAL SVC INDS INC             COM   637657107       1,745      89,205  SH     DEFINED     01      70,960      10,414       7,831
NATIONAL SVC INDS INC             COM   637657107          98       5,000  SH     OTHER       05       5,000           0           0
NATIONAL SVC INDS INC             COM   637657107       1,344      68,726  SH     DEFINED  01,08      68,726           0           0

NATIONAL STL CORP                 COM   637844309          35      11,699  SH     DEFINED     01       8,137           0       3,562
NATIONAL STL CORP                 COM   637844309           0         100  SH     OTHER       03          50           0          50
NATIONAL STL CORP                 COM   637844309         180      59,838  SH     DEFINED  01,08      59,838           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    324
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NATIONAL TECHNICAL SYS INC        COM   638104109          70      22,408  SH     DEFINED  01,08      22,408           0           0

NATIONAL TECHTEAM INC             COM   638108100          26       8,200  SH     DEFINED     01       8,200           0           0
NATIONAL TECHTEAM INC             COM   638108100          63      20,300  SH     DEFINED  01,08      20,300           0           0

NATIONAL WESTN LIFE INS CO        COM   638522102          86       1,179  SH     DEFINED     01         843           0         336
NATIONAL WESTN LIFE INS CO        COM   638522102         849      11,624  SH     DEFINED  01,08      11,624           0           0

NATIONSRENT INC                   COM   638588103          83      21,060  SH     DEFINED     01      14,598           0       6,462
NATIONSRENT INC                   COM   638588103         153      38,804  SH     DEFINED  01,08      38,804           0           0

NATIONWIDE FINL SVCS INC          COM   638612101         367       9,807  SH     DEFINED     01       3,390           0       6,417
NATIONWIDE FINL SVCS INC          COM   638612101          26         700  SH     OTHER       01           0         700           0
NATIONWIDE FINL SVCS INC          COM   638612101           4         100  SH     DEFINED     03         100           0           0
NATIONWIDE FINL SVCS INC          COM   638612101         726      19,425  SH     DEFINED     05      11,650       7,500         275
NATIONWIDE FINL SVCS INC          COM   638612101         293       7,850  SH     OTHER       05       4,250       3,600           0
NATIONWIDE FINL SVCS INC          COM   638612101       1,326      35,487  SH     DEFINED  01,08      35,487           0           0

NATIONWIDE HEALTH PPTYS INC       COM   638620104         440      27,629  SH     DEFINED     01      18,700           0       8,929
NATIONWIDE HEALTH PPTYS INC       COM   638620104          22       1,392  SH     OTHER       04       1,392           0           0
NATIONWIDE HEALTH PPTYS INC       COM   638620104         187      11,735  SH     DEFINED  01,08      11,735           0           0

NATROL INC                        COM   638789107          44      17,932  SH     DEFINED  01,08      17,932           0           0

NATURAL MICROSYSTEMS CORP         COM   638882100       8,791     163,406  SH     DEFINED     01     151,414         800      11,192
NATURAL MICROSYSTEMS CORP         COM   638882100       2,023      37,604  SH     DEFINED  01,08      37,604           0           0

NAVIGATORS GROUP INC              COM   638904102          14       1,300  SH     DEFINED     01       1,300           0           0
NAVIGATORS GROUP INC              COM   638904102         191      17,989  SH     DEFINED  01,08      17,989           0           0

NATURAL WONDERS INC               COM   639014109          22      12,300  SH     DEFINED  01,08      12,300           0           0

NATURES SUNSHINE PRODUCTS INC     COM   639027101         265      35,626  SH     DEFINED  01,08      35,626           0           0

NAUTICA ENTERPRISES INC           COM   639089101         461      35,619  SH     DEFINED     01      28,460           0       7,159
NAUTICA ENTERPRISES INC           COM   639089101       1,676     129,560  SH     DEFINED  01,08     129,560           0           0

NAVARRE CORP                      COM   639208107          42      27,200  SH     DEFINED  01,08      27,200           0           0

NAVISTAR INTL CORP NEW            COM   63934E108       3,245     108,399  SH     DEFINED     01      85,138      15,123       8,138
NAVISTAR INTL CORP NEW            COM   63934E108       2,678      89,446  SH     DEFINED  01,08      89,446           0           0

NAVIDEC INC                       COM   63934Q101          78      10,000  SH     DEFINED     01      10,000           0           0
NAVIDEC INC                       COM   63934Q101         115      14,828  SH     DEFINED  01,08      14,828           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    325
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NAVISITE INC                      COM   63935M109          28       1,045  SH     DEFINED     01         743           0         302
NAVISITE INC                      COM   63935M109           5         200  SH     OTHER       04         200           0           0
NAVISITE INC                      COM   63935M109       2,138      79,361  SH     DEFINED  01,08      79,361           0           0

NAVIGANT CONSULTING INC           COM   63935N107         173      50,221  SH     DEFINED     01      46,001           0       4,220
NAVIGANT CONSULTING INC           COM   63935N107         405     117,967  SH     DEFINED  01,08     117,967           0           0

NEFF CORP                         COM   640094108          89      20,368  SH     DEFINED  01,08      20,368           0           0

NEIMAN MARCUS GROUP INC           COM   640204202       1,560      48,085  SH     DEFINED     01      40,912           0       7,173
NEIMAN MARCUS GROUP INC           COM   640204202       4,369     134,686  SH     DEFINED  01,08     134,686           0           0

NELSON THOMAS INC                 COM   640376109          49       6,000  SH     DEFINED     01       6,000           0           0
NELSON THOMAS INC                 COM   640376109         378      46,159  SH     DEFINED  01,08      46,159           0           0

NEOFORMA COM INC                  COM   640475109          27       7,300  SH     DEFINED     01       7,075           0         225
NEOFORMA COM INC                  COM   640475109           4       1,000  SH     DEFINED     04       1,000           0           0
NEOFORMA COM INC                  COM   640475109         306      82,308  SH     DEFINED  01,08      82,308           0           0

NEOMAGIC CORP                     COM   640497103         126      32,963  SH     DEFINED  01,08      32,963           0           0

NEOMEDIA TECHNOLOGIES INC         COM   640505103         171      26,800  SH     DEFINED     04      26,800           0           0
NEOMEDIA TECHNOLOGIES INC         COM   640505103          25       3,959  SH     DEFINED  01,08       3,959           0           0

NEON COMMUNICATIONS INC           COM   640506101         192       5,509  SH     DEFINED     01       5,314           0         195
NEON COMMUNICATIONS INC           COM   640506101          35       1,000  SH     DEFINED     04       1,000           0           0
NEON COMMUNICATIONS INC           COM   640506101         811      23,255  SH     DEFINED  01,08      23,255           0           0

NEON SYS INC                      COM   640509105          48       4,359  SH     DEFINED     01       4,287           0          72
NEON SYS INC                      COM   640509105          69       6,273  SH     DEFINED  01,08       6,273           0           0

NEORX CORP                        COM   640520300         495      20,203  SH     DEFINED     01      19,850           0         353
NEORX CORP                        COM   640520300         672      27,411  SH     DEFINED  01,08      27,411           0           0

NEOSE TECHNOLOGIES INC            COM   640522108         553      11,428  SH     DEFINED     01      11,234           0         194
NEOSE TECHNOLOGIES INC            COM   640522108         737      15,236  SH     DEFINED  01,08      15,236           0           0

NEOPHARM INC                      COM   640919106         573      14,500  SH     DEFINED  01,08      14,500           0           0

NETBANK INC                       COM   640933107         238      20,163  SH     DEFINED     01      18,167           0       1,996
NETBANK INC                       COM   640933107          17       1,400  SH     OTHER       03       1,400           0           0
NETBANK INC                       COM   640933107         358      30,294  SH     DEFINED  01,08      30,294           0           0

NETWORKS ASSOCS INC            CONV DEB 640938AB2         755   2,000,000  PRN    DEFINED     01   2,000,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    326
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NETWORKS ASSOCS INC               COM   640938106       2,737     120,985  SH     DEFINED     01      86,020      28,160       6,805
NETWORKS ASSOCS INC               COM   640938106         730      32,252  SH     OTHER       01      17,187       6,765       8,300
NETWORKS ASSOCS INC               COM   640938106          26       1,150  SH     DEFINED     02         700         450           0
NETWORKS ASSOCS INC               COM   640938106           5         200  SH     OTHER       02         200           0           0
NETWORKS ASSOCS INC               COM   640938106          39       1,725  SH     OTHER       03       1,725           0           0
NETWORKS ASSOCS INC               COM   640938106         118       5,200  SH     DEFINED     04       5,200           0           0
NETWORKS ASSOCS INC               COM   640938106          25       1,100  SH     OTHER       04       1,100           0           0
NETWORKS ASSOCS INC               COM   640938106         744      32,895  SH     DEFINED     05      19,075       9,990       3,830
NETWORKS ASSOCS INC               COM   640938106       8,829     390,236  SH     DEFINED  01,08     390,236           0           0

NET GENESIS CORP                  COM   64107E107          38       4,375  SH     DEFINED     01       4,214           0         161
NET GENESIS CORP                  COM   64107E107         176      20,307  SH     DEFINED  01,08      20,307           0           0

NET PERCEPTIONS INC               COM   64107U101          65      13,822  SH     DEFINED     01      13,390           0         432
NET PERCEPTIONS INC               COM   64107U101           5       1,000  SH     DEFINED     04           0           0       1,000
NET PERCEPTIONS INC               COM   64107U101         164      34,765  SH     DEFINED  01,08      34,765           0           0

NET2PHONE                         COM   64108N106         432      19,189  SH     DEFINED     01      18,782           0         407
NET2PHONE                         COM   64108N106           2          82  SH     OTHER       01          82           0           0
NET2PHONE                         COM   64108N106         614      27,311  SH     DEFINED  01,08      27,311           0           0

NETCENTIVES INC                   COM   64108P101         181      23,611  SH     DEFINED     01      23,198           0         413
NETCENTIVES INC                   COM   64108P101         349      45,586  SH     DEFINED  01,08      45,586           0           0

NETCREATIONS INC                  COM   64110N102          48       4,534  SH     DEFINED     01       4,473           0          61
NETCREATIONS INC                  COM   64110N102         224      20,991  SH     DEFINED  01,08      20,991           0           0

NETEGRITY INC                     COM   64110P107       1,888      26,976  SH     DEFINED     01      26,211           0         765
NETEGRITY INC                     COM   64110P107          26         375  SH     OTHER       01           0           0         375
NETEGRITY INC                     COM   64110P107       2,926      41,806  SH     DEFINED  01,08      41,806           0           0

NETERGY NETWORKS INC              COM   64111F108         215      23,940  SH     DEFINED  01,08      23,940           0           0

NETGURU COM INC                   COM   64111K107          90       5,283  SH     DEFINED     01       5,200           0          83
NETGURU COM INC                   COM   64111K107         111       6,536  SH     DEFINED  01,08       6,536           0           0

NETGATEWAY INC                    COM   641111109          16      20,889  SH     DEFINED  01,08      20,889           0           0

NETOPIA INC                       COM   64114K104         270      24,525  SH     DEFINED     01      24,187           0         338
NETOPIA INC                       COM   64114K104           1         100  SH     DEFINED     02           0         100           0
NETOPIA INC                       COM   64114K104         264      23,957  SH     DEFINED  01,08      23,957           0           0

NETOBJECTS INC                    COM   64114L102          35      11,286  SH     DEFINED     01      11,111           0         175
NETOBJECTS INC                    COM   64114L102          82      26,234  SH     DEFINED  01,08      26,234           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    327
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NETRO CORP                        COM   64114R109       2,083      35,148  SH     DEFINED     01      34,537           0         611
NETRO CORP                        COM   64114R109           9         150  SH     DEFINED     03           0           0         150
NETRO CORP                        COM   64114R109           6         100  SH     DEFINED     04         100           0           0
NETRO CORP                        COM   64114R109       4,350      73,422  SH     DEFINED  01,08      73,422           0           0

NETMANAGE INC                     COM   641144100         150      70,469  SH     DEFINED     01      68,224           0       2,245
NETMANAGE INC                     COM   641144100           4       1,900  SH     OTHER       01           0       1,900           0
NETMANAGE INC                     COM   641144100         276     130,092  SH     DEFINED  01,08     130,092           0           0

NETPLEX GROUP INC                 COM   641147103          13      16,750  SH     DEFINED  01,08      16,750           0           0

NETSOLVE INC                      COM   64115J106          41       5,736  SH     DEFINED     01       5,457           0         279
NETSOLVE INC                      COM   64115J106          13       1,837  SH     OTHER       04           0           0       1,837
NETSOLVE INC                      COM   64115J106         136      19,046  SH     DEFINED  01,08      19,046           0           0

NETPLIANCE INC                    COM   64115K103          13       8,511  SH     DEFINED     01       7,309       1,000         202
NETPLIANCE INC                    COM   64115K103           1         400  SH     OTHER       04         400           0           0
NETPLIANCE INC                    COM   64115K103          87      57,735  SH     DEFINED  01,08      57,735           0           0

NETIQ CORP                        COM   64115P102       2,670      40,640  SH     DEFINED     01      40,014           0         626
NETIQ CORP                        COM   64115P102       3,961      60,303  SH     DEFINED  01,08      60,303           0           0

NETSCOUT SYS INC                  COM   64115T104         349      14,708  SH     DEFINED     01      14,241           0         467
NETSCOUT SYS INC                  COM   64115T104         534      22,494  SH     DEFINED  01,08      22,494           0           0

NETSILICON INC                    COM   64115X105         127       6,042  SH     DEFINED     01       5,894           0         148
NETSILICON INC                    COM   64115X105         314      14,987  SH     DEFINED  01,08      14,987           0           0

NETRATINGS INC                    COM   64116M108          40       2,153  SH     DEFINED     01       1,484           0         669
NETRATINGS INC                    COM   64116M108         812      43,308  SH     DEFINED  01,08      43,308           0           0

NETWORK APPLIANCE INC             COM   64120L104     114,619     899,858  SH     DEFINED     01     860,504       7,000      32,354
NETWORK APPLIANCE INC             COM   64120L104         124         970  SH     OTHER       01           0         570         400
NETWORK APPLIANCE INC             COM   64120L104          41         320  SH     DEFINED     02           0         220         100
NETWORK APPLIANCE INC             COM   64120L104          64         500  SH     OTHER       02           0         500           0
NETWORK APPLIANCE INC             COM   64120L104         136       1,066  SH     DEFINED     03         200         866           0
NETWORK APPLIANCE INC             COM   64120L104         352       2,766  SH     DEFINED     04       1,416           0       1,350
NETWORK APPLIANCE INC             COM   64120L104         732       5,750  SH     OTHER       04       5,550           0         200
NETWORK APPLIANCE INC             COM   64120L104      57,850     454,170  SH     DEFINED  01,08     454,170           0           0
NETWORK APPLIANCE INC             COM   64120L104          32         252  SH     DEFINED     10         252           0           0

NETWORK COMPUTING DEVICES INC     COM   64120N100          17      21,100  SH     DEFINED     01      21,100           0           0
NETWORK COMPUTING DEVICES INC     COM   64120N100          18      22,713  SH     DEFINED  01,08      22,713           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    328
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NETWORK ACCESS SOLUTIONS CORP     COM   64120S109          69      16,848  SH     DEFINED     01      16,554           0         294
NETWORK ACCESS SOLUTIONS CORP     COM   64120S109           1         200  SH     DEFINED     04         200           0           0
NETWORK ACCESS SOLUTIONS CORP     COM   64120S109         207      50,167  SH     DEFINED  01,08      50,167           0           0

NETWORK EQUIP TECHNOLOGIES        COM   641208103         441      41,247  SH     DEFINED     01      36,163           0       5,084
NETWORK EQUIP TECHNOLOGIES        COM   641208103         557      52,077  SH     DEFINED  01,08      52,077           0           0

NETWORK ENGINES INC               COM   64121A107           8         185  SH     OTHER       01           0         185           0
NETWORK ENGINES INC               COM   64121A107         897      21,900  SH     DEFINED  01,08      21,900           0           0

NETWORK PERIPHERALS INC           COM   64121R100         391      23,013  SH     DEFINED     01      22,735           0         278
NETWORK PERIPHERALS INC           COM   64121R100         381      22,435  SH     DEFINED  01,08      22,435           0           0

NETWORK PLUS CORP                 COM   64122D506          95      10,990  SH     DEFINED     01      10,813           0         177
NETWORK PLUS CORP                 COM   64122D506         711      82,459  SH     DEFINED  01,08      82,459           0           0

NET2000 COMMUNICATIONS INC        COM   64122G103          63       9,900  SH     DEFINED     01       9,393           0         507
NET2000 COMMUNICATIONS INC        COM   64122G103           0          78  SH     DEFINED     03           0          78           0
NET2000 COMMUNICATIONS INC        COM   64122G103         170      26,733  SH     DEFINED  01,08      26,733           0           0

NETZERO INC                       COM   64122R109          65      30,540  SH     DEFINED     01      29,631           0         909
NETZERO INC                       COM   64122R109         217     101,884  SH     DEFINED  01,08     101,884           0           0

NETWORK COMM INC                  COM   64122T105         153      27,305  SH     DEFINED     01      26,437           0         868
NETWORK COMM INC                  COM   64122T105           6       1,000  SH     DEFINED     04       1,000           0           0
NETWORK COMM INC                  COM   64122T105           2         300  SH     OTHER       04           0           0         300
NETWORK COMM INC                  COM   64122T105         278      49,609  SH     DEFINED  01,08      49,609           0           0

NETZEE INC                        COM   64122W108         108      28,289  SH     DEFINED  01,08      28,289           0           0

NEUBERGER BERMAN INC              COM   641234109         271       4,411  SH     DEFINED     01       3,426           0         985
NEUBERGER BERMAN INC              COM   641234109          92       1,500  SH     DEFINED     04       1,500           0           0
NEUBERGER BERMAN INC              COM   641234109       4,431      72,047  SH     DEFINED  01,08      72,047           0           0

NEUROGEN CORP                     COM   64124E106         685      21,992  SH     DEFINED     01      21,569           0         423
NEUROGEN CORP                     COM   64124E106         794      25,502  SH     DEFINED  01,08      25,502           0           0

NEUROCRINE BIOSCIENCES INC        COM   64125C109       1,569      34,871  SH     DEFINED     01      34,410           0         461
NEUROCRINE BIOSCIENCES INC        COM   64125C109       1,029      22,868  SH     OTHER       01       2,000           0      20,868
NEUROCRINE BIOSCIENCES INC        COM   64125C109       1,339      29,746  SH     DEFINED  01,08      29,746           0           0

NEW BRUNSWICK SCIENTIFIC INC      COM   642876106         169      22,227  SH     DEFINED  01,08      22,227           0           0

NEW CENTURY FINANCIAL CORP        COM   64352D101          80       6,900  SH     DEFINED     01       6,900           0           0
NEW CENTURY FINANCIAL CORP        COM   64352D101         375      32,300  SH     DEFINED  01,08      32,300           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    329
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NEW ENGLAND BUSINESS SVC INC      COM   643872104         147       8,095  SH     DEFINED     01       4,971           0       3,124
NEW ENGLAND BUSINESS SVC INC      COM   643872104          55       3,030  SH     DEFINED     04       3,030           0           0
NEW ENGLAND BUSINESS SVC INC      COM   643872104         725      40,000  SH     OTHER       04      40,000           0           0
NEW ENGLAND BUSINESS SVC INC      COM   643872104         737      40,647  SH     DEFINED  01,08      40,647           0           0

NEW ERA OF NETWORKS INC           COM   644312100         620      25,499  SH     DEFINED     01      24,672           0         827
NEW ERA OF NETWORKS INC           COM   644312100          10         400  SH     OTHER       01           0         400           0
NEW ERA OF NETWORKS INC           COM   644312100           6         250  SH     DEFINED     04         250           0           0
NEW ERA OF NETWORKS INC           COM   644312100       1,184      48,663  SH     DEFINED  01,08      48,663           0           0

NEW FOCUS INC                     COM   644383101          33         417  SH     DEFINED     01         214           0         203
NEW FOCUS INC                     COM   644383101         320       4,051  SH     DEFINED  01,08       4,051           0           0

NEW HORIZONS WORLDWIDE INC        COM   645526104           1          75  SH     DEFINED     01          75           0           0
NEW HORIZONS WORLDWIDE INC        COM   645526104         330      27,538  SH     DEFINED  01,08      27,538           0           0

NEW JERSEY RES                    COM   646025106         467      11,499  SH     DEFINED     01       7,282           0       4,217
NEW JERSEY RES                    COM   646025106          47       1,146  SH     OTHER       01       1,146           0           0
NEW JERSEY RES                    COM   646025106          39         950  SH     OTHER       04         950           0           0
NEW JERSEY RES                    COM   646025106       1,577      38,820  SH     DEFINED  01,08      38,820           0           0
NEW JERSEY RES                    COM   646025106          16         400  SH     DEFINED     09           0         400           0

NEW PLAN EXCEL RLTY TR INC        COM   648053106         726      53,068  SH     DEFINED     01      36,596         400      16,072
NEW PLAN EXCEL RLTY TR INC        COM   648053106          70       5,100  SH     OTHER       01           0       5,100           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106          34       2,500  SH     DEFINED     02       2,500           0           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106          11         800  SH     OTHER       02           0         800           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106          10         750  SH     DEFINED     03         750           0           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106          54       3,950  SH     OTHER       03       3,950           0           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106          15       1,090  SH     DEFINED     04       1,090           0           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106         159      11,600  SH     OTHER       04      11,600           0           0
NEW PLAN EXCEL RLTY TR INC        COM   648053106         306      22,361  SH     DEFINED  01,08      22,361           0           0

NEW YORK TIMES CO                 COM   650111107      12,757     324,516  SH     DEFINED     01     247,585      55,094      21,837
NEW YORK TIMES CO                 COM   650111107           8         200  SH     OTHER       01           0           0         200
NEW YORK TIMES CO                 COM   650111107         265       6,736  SH     DEFINED     04       6,736           0           0
NEW YORK TIMES CO                 COM   650111107          43       1,090  SH     OTHER       04       1,090           0           0
NEW YORK TIMES CO                 COM   650111107      10,083     256,482  SH     DEFINED  01,08     256,482           0           0

NEWCOR INC                        COM   651186108          36      20,775  SH     DEFINED  01,08      20,775           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    330
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NEWELL RUBBERMAID INC             COM   651229106      14,447     633,327  SH     DEFINED     01     493,678     106,779      32,870
NEWELL RUBBERMAID INC             COM   651229106       1,586      69,513  SH     OTHER       01      29,830      28,214      11,469
NEWELL RUBBERMAID INC             COM   651229106         325      14,244  SH     DEFINED     02      10,544       1,800       1,900
NEWELL RUBBERMAID INC             COM   651229106          21         925  SH     OTHER       02         800           0         125
NEWELL RUBBERMAID INC             COM   651229106         257      11,282  SH     DEFINED     03       9,230       2,052           0
NEWELL RUBBERMAID INC             COM   651229106         144       6,322  SH     OTHER       03       5,322           0       1,000
NEWELL RUBBERMAID INC             COM   651229106         509      22,307  SH     DEFINED     04      22,007           0         300
NEWELL RUBBERMAID INC             COM   651229106       1,476      64,713  SH     OTHER       04      64,563           0         150
NEWELL RUBBERMAID INC             COM   651229106          11         500  SH     DEFINED     05         500           0           0
NEWELL RUBBERMAID INC             COM   651229106       9,241     405,108  SH     DEFINED  01,08     405,108           0           0
NEWELL RUBBERMAID INC             COM   651229106         622      27,250  SH     DEFINED     10       7,800      19,050         400
NEWELL RUBBERMAID INC             COM   651229106         192       8,436  SH     OTHER       10       1,400       7,036           0

NEWFIELD EXPL CO                  COM   651290108       9,117     195,289  SH     DEFINED     01     178,214       1,800      15,275
NEWFIELD EXPL CO                  COM   651290108         171       3,666  SH     DEFINED     05           0           0       3,666
NEWFIELD EXPL CO                  COM   651290108       2,980      63,838  SH     DEFINED  01,08      63,838           0           0

NEWGEN RESULTS CORP               COM   651359101          27       1,800  SH     OTHER       01           0           0       1,800
NEWGEN RESULTS CORP               COM   651359101         155      10,300  SH     DEFINED     04           0           0      10,300
NEWGEN RESULTS CORP               COM   651359101          62       4,160  SH     DEFINED  01,08       4,160           0           0

NEWHALL LAND & FARMING CO CAL     COM   651426108          47       2,000  SH     OTHER       01           0           0       2,000
NEWHALL LAND & FARMING CO CAL     COM   651426108         205       8,700  SH     DEFINED  01,08       8,700           0           0

NEWMIL BANCORP INC                COM   651633109         263      25,074  SH     DEFINED  01,08      25,074           0           0

NEWMONT MINING CORP               COM   651639106       5,417     318,626  SH     DEFINED     01     261,664      48,568       8,394
NEWMONT MINING CORP               COM   651639106         196      11,556  SH     OTHER       01       5,456       6,100           0
NEWMONT MINING CORP               COM   651639106           4         245  SH     OTHER       02         245           0           0
NEWMONT MINING CORP               COM   651639106           8         498  SH     DEFINED     03           0         249         249
NEWMONT MINING CORP               COM   651639106           8         499  SH     OTHER       03           0         499           0
NEWMONT MINING CORP               COM   651639106           7         400  SH     DEFINED     04           0           0         400
NEWMONT MINING CORP               COM   651639106          42       2,496  SH     OTHER       04       2,496           0           0
NEWMONT MINING CORP               COM   651639106       4,429     260,554  SH     DEFINED  01,08     260,554           0           0
NEWMONT MINING CORP               COM   651639106         113       6,647  SH     DEFINED     10       6,647           0           0

NEWPARK RES INC                   COM   651718504         694      74,976  SH     DEFINED     01      69,647       2,100       3,229
NEWPARK RES INC                   COM   651718504         217      23,500  SH     OTHER       01      13,000      10,500           0
NEWPARK RES INC                   COM   651718504          13       1,400  SH     OTHER       04       1,400           0           0
NEWPARK RES INC                   COM   651718504       1,014     109,575  SH     DEFINED  01,08     109,575           0           0

NEWPORT CORP                      COM   651824104      23,174     145,503  SH     DEFINED     01     134,540           0      10,963
NEWPORT CORP                      COM   651824104      13,951      87,596  SH     DEFINED  01,08      87,596           0           0
NEWPORT CORP                      COM   651824104          29         180  SH     DEFINED     10         180           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    331
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>

NEWPORT NEWS SHIPBUILDING INC     COM   652228107      12,061     278,055  SH     DEFINED     01     256,203         146      21,706
NEWPORT NEWS SHIPBUILDING INC     COM   652228107           5         107  SH     OTHER       01           0           0         107
NEWPORT NEWS SHIPBUILDING INC     COM   652228107          30         684  SH     DEFINED     02         684           0           0
NEWPORT NEWS SHIPBUILDING INC     COM   652228107           5         111  SH     DEFINED     03         111           0           0
NEWPORT NEWS SHIPBUILDING INC     COM   652228107           5         111  SH     OTHER       03         111           0           0
NEWPORT NEWS SHIPBUILDING INC     COM   652228107           9         200  SH     DEFINED     04         200           0           0
NEWPORT NEWS SHIPBUILDING INC     COM   652228107       3,104      71,566  SH     DEFINED  01,08      71,566           0           0

NEWS CORP LTD                     COM   652487703          62       1,100  SH     OTHER       01         600         500           0
NEWS CORP LTD                     COM   652487703         280       5,000  SH     DEFINED     02       5,000           0           0
NEWS CORP LTD                     COM   652487703         114       2,025  SH     DEFINED     03       2,025           0           0
NEWS CORP LTD                     COM   652487703          15         274  SH     OTHER       03         274           0           0
NEWS CORP LTD                     COM   652487703         112       2,000  SH     DEFINED     04       2,000           0           0
NEWS CORP LTD                     COM   652487703         112       2,000  SH     OTHER       05           0       2,000           0

NEWS CORP LTD                     PFD   652487802          79       1,691         DEFINED     01       1,691           0           0
NEWS CORP LTD                     PFD   652487802         994      21,200         OTHER       01       6,000           0      15,200
NEWS CORP LTD                     PFD   652487802           4          75         DEFINED     03           0          75           0
NEWS CORP LTD                     PFD   652487802         164       3,500         OTHER       05           0       3,500           0
NEWS CORP LTD                     PFD   652487802          17         354         DEFINED     10         354           0           0

NEWSEDGE CORP                     COM   65249Q106           3       1,600  SH     DEFINED     01       1,600           0           0
NEWSEDGE CORP                     COM   65249Q106          41      21,996  SH     DEFINED  01,08      21,996           0           0

NEXTERA ENTERPRISES INC           COM   65332E101          69      18,602  SH     DEFINED  01,08      18,602           0           0

NEXELL THERAPEUTICS INC           COM   65332H203         174      18,964  SH     DEFINED     01      18,771           0         193
NEXELL THERAPEUTICS INC           COM   65332H203           5         500  SH     DEFINED     03         500           0           0
NEXELL THERAPEUTICS INC           COM   65332H203           1         125  SH     OTHER       03         125           0           0
NEXELL THERAPEUTICS INC           COM   65332H203          58       6,350  SH     DEFINED     04       6,350           0           0
NEXELL THERAPEUTICS INC           COM   65332H203          94      10,241  SH     DEFINED  01,08      10,241           0           0

NEXTCARD INC                      COM   65332K107         262      28,809  SH     DEFINED     01      26,561           0       2,248
NEXTCARD INC                      COM   65332K107           5         500  SH     OTHER       04           0           0         500
NEXTCARD INC                      COM   65332K107         712      78,340  SH     DEFINED  01,08      78,340           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    332
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NEXTEL COMMUNICATIONS INC         COM   65332V103      81,432   1,741,869  SH     DEFINED     01   1,524,488     142,748      74,633
NEXTEL COMMUNICATIONS INC         COM   65332V103       2,080      44,490  SH     OTHER       01      33,010      11,000         480
NEXTEL COMMUNICATIONS INC         COM   65332V103       4,317      92,350  SH     DEFINED     02      41,350      44,470       6,530
NEXTEL COMMUNICATIONS INC         COM   65332V103         960      20,540  SH     OTHER       02      10,050       7,830       2,660
NEXTEL COMMUNICATIONS INC         COM   65332V103      20,917     447,419  SH     DEFINED     03     192,538     228,813      26,068
NEXTEL COMMUNICATIONS INC         COM   65332V103       3,334      71,314  SH     OTHER       03      29,994      34,470       6,850
NEXTEL COMMUNICATIONS INC         COM   65332V103      36,629     783,516  SH     DEFINED     04     762,926           0      20,590
NEXTEL COMMUNICATIONS INC         COM   65332V103      13,607     291,051  SH     OTHER       04     283,561           0       7,490
NEXTEL COMMUNICATIONS INC         COM   65332V103       2,323      49,695  SH     DEFINED     05      37,795      10,800       1,100
NEXTEL COMMUNICATIONS INC         COM   65332V103         273       5,850  SH     OTHER       05       2,800       2,250         800
NEXTEL COMMUNICATIONS INC         COM   65332V103      51,240   1,096,034  SH     DEFINED  01,08   1,096,034           0           0
NEXTEL COMMUNICATIONS INC         COM   65332V103       1,943      41,566  SH     DEFINED     10      28,316      13,250           0
NEXTEL COMMUNICATIONS INC         COM   65332V103          80       1,710  SH     OTHER       10         385       1,325           0

NEXTEL PARTNERS INC               COM   65333F107       1,186      40,706  SH     DEFINED     01      31,912           0       8,794
NEXTEL PARTNERS INC               COM   65333F107          47       1,600  SH     DEFINED     04       1,600           0           0
NEXTEL PARTNERS INC               COM   65333F107       4,290     147,283  SH     DEFINED  01,08     147,283           0           0

NEXTHEALTH INC                    COM   65333G105          83      22,200  SH     DEFINED  01,08      22,200           0           0

NEXTLINK COMMUNICATIONS INC       COM   65333H707      19,770     561,869  SH     DEFINED     01     544,794         400      16,675
NEXTLINK COMMUNICATIONS INC       COM   65333H707         299       8,495  SH     OTHER       01         257           0       8,238
NEXTLINK COMMUNICATIONS INC       COM   65333H707         183       5,200  SH     DEFINED     04       4,300           0         900
NEXTLINK COMMUNICATIONS INC       COM   65333H707          14         400  SH     OTHER       04         400           0           0
NEXTLINK COMMUNICATIONS INC       COM   65333H707       7,215     205,039  SH     DEFINED  01,08     205,039           0           0

NEXT LEVEL COMM INC               COM   65333U104      14,940     225,931  SH     DEFINED     01     225,593           0         338
NEXT LEVEL COMM INC               COM   65333U104       4,150      62,761  SH     DEFINED  01,08      62,761           0           0

NHANCEMENT TECHNOLOGIES INC       COM   65334P104         163       9,566  SH     DEFINED     01       9,400           0         166
NHANCEMENT TECHNOLOGIES INC       COM   65334P104          92       5,392  SH     DEFINED  01,08       5,392           0           0

NIAGARA MOHAWK HLDGS INC          COM   653520106       4,606     292,449  SH     DEFINED     01     233,217      41,458      17,774
NIAGARA MOHAWK HLDGS INC          COM   653520106          33       2,100  SH     DEFINED     04       2,100           0           0
NIAGARA MOHAWK HLDGS INC          COM   653520106          59       3,734  SH     OTHER       04       2,345           0       1,389
NIAGARA MOHAWK HLDGS INC          COM   653520106       3,934     249,773  SH     DEFINED  01,08     249,773           0           0

NICE SYS LTD                      COM   653656108       9,900     137,500  SH     DEFINED     01     126,700           0      10,800
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    333
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NICOR INC                         COM   654086107       3,623     100,116  SH     DEFINED     01      76,766      18,422       4,928
NICOR INC                         COM   654086107         303       8,368  SH     OTHER       01       3,024       4,698         646
NICOR INC                         COM   654086107           9         246  SH     DEFINED     02         200          46           0
NICOR INC                         COM   654086107           5         134  SH     OTHER       02         134           0           0
NICOR INC                         COM   654086107          21         568  SH     DEFINED     03           0         568           0
NICOR INC                         COM   654086107          14         400  SH     OTHER       03           0         400           0
NICOR INC                         COM   654086107         319       8,818  SH     DEFINED     04       8,818           0           0
NICOR INC                         COM   654086107         437      12,079  SH     OTHER       04      12,079           0           0
NICOR INC                         COM   654086107       2,587      71,486  SH     DEFINED  01,08      71,486           0           0
NICOR INC                         COM   654086107           7         200  SH     OTHER       10         200           0           0

NIKE INC                          COM   654106103      18,589     463,995  SH     DEFINED     01     380,870      68,063      15,062
NIKE INC                          COM   654106103         203       5,068  SH     OTHER       01       3,650         618         800
NIKE INC                          COM   654106103          28         700  SH     DEFINED     02         500         200           0
NIKE INC                          COM   654106103           8         200  SH     OTHER       02         200           0           0
NIKE INC                          COM   654106103          18         455  SH     DEFINED     03         100         355           0
NIKE INC                          COM   654106103         450      11,235  SH     DEFINED     04      11,235           0           0
NIKE INC                          COM   654106103         519      12,950  SH     OTHER       04      12,650           0         300
NIKE INC                          COM   654106103           8         200  SH     DEFINED     05         200           0           0
NIKE INC                          COM   654106103      15,426     385,057  SH     DEFINED  01,08     385,057           0           0
NIKE INC                          COM   654106103           4         100  SH     OTHER       09           0         100           0
NIKE INC                          COM   654106103          28         700  SH     DEFINED     10         700           0           0
NIKE INC                          COM   654106103           7         175  SH     OTHER       10           0         175           0

NIKU CORP                         COM   654113109         335      13,729  SH     DEFINED     01       8,086       5,400         243
NIKU CORP                         COM   654113109         219       8,994  SH     DEFINED  01,08       8,994           0           0

99 CENTS ONLY STORES              COM   65440K106         716      14,267  SH     DEFINED     01      12,251           0       2,016
99 CENTS ONLY STORES              COM   65440K106       2,434      48,507  SH     DEFINED  01,08      48,507           0           0

NISOURCE INC                      COM   65473P105       2,396      98,302  SH     DEFINED     01      88,919       3,504       5,879
NISOURCE INC                      COM   65473P105         149       6,124  SH     OTHER       01       4,924         200       1,000
NISOURCE INC                      COM   65473P105          87       3,560  SH     DEFINED     02       3,048         512           0
NISOURCE INC                      COM   65473P105          62       2,548  SH     OTHER       02       2,548           0           0
NISOURCE INC                      COM   65473P105         212       8,700  SH     DEFINED     03       1,600       4,100       3,000
NISOURCE INC                      COM   65473P105         183       7,500  SH     OTHER       03       6,000       1,500           0
NISOURCE INC                      COM   65473P105         234       9,588  SH     DEFINED     04       5,588           0       4,000
NISOURCE INC                      COM   65473P105         212       8,716  SH     OTHER       04       8,716           0           0
NISOURCE INC                      COM   65473P105       8,189     335,950  SH     DEFINED  01,08     335,950           0           0
NISOURCE INC                      COM   65473P105          15         600  SH     DEFINED     10           0         600           0
NISOURCE INC                      COM   65473P105          17         700  SH     OTHER       10           0         700           0

NOBILITY HOMES INC                COM   654892108         100      17,459  SH     DEFINED  01,08      17,459           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    334
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NOBLE AFFILIATES INC              COM   654894104       8,240     221,945  SH     DEFINED     01     197,401      17,460       7,084
NOBLE AFFILIATES INC              COM   654894104       3,305      89,013  SH     OTHER       01      77,350       9,863       1,800
NOBLE AFFILIATES INC              COM   654894104         127       3,425  SH     DEFINED     02       1,250       2,175           0
NOBLE AFFILIATES INC              COM   654894104       1,251      33,710  SH     DEFINED     03      17,060      16,150         500
NOBLE AFFILIATES INC              COM   654894104         310       8,350  SH     OTHER       03       3,800       2,500       2,050
NOBLE AFFILIATES INC              COM   654894104         135       3,636  SH     DEFINED     04       3,136           0         500
NOBLE AFFILIATES INC              COM   654894104         522      14,051  SH     OTHER       04      12,778           0       1,273
NOBLE AFFILIATES INC              COM   654894104         759      20,443  SH     DEFINED     05      16,734       1,400       2,309
NOBLE AFFILIATES INC              COM   654894104          85       2,300  SH     OTHER       05         800         500       1,000
NOBLE AFFILIATES INC              COM   654894104       5,749     154,842  SH     DEFINED  01,08     154,842           0           0
NOBLE AFFILIATES INC              COM   654894104         128       3,450  SH     DEFINED     09       3,450           0           0

NOKIA CORP                        COM   654902204      57,974   1,456,196  SH     DEFINED     01   1,134,911     307,550      13,735
NOKIA CORP                        COM   654902204       8,395     210,855  SH     OTHER       01     122,580      64,005      24,270
NOKIA CORP                        COM   654902204       4,853     121,890  SH     DEFINED     02      57,000      49,145      15,745
NOKIA CORP                        COM   654902204       1,710      42,945  SH     OTHER       02      20,325      13,620       9,000
NOKIA CORP                        COM   654902204      18,046     453,273  SH     DEFINED     03     189,181     228,684      35,408
NOKIA CORP                        COM   654902204       2,502      62,850  SH     OTHER       03      28,075      27,550       7,225
NOKIA CORP                        COM   654902204     107,969   2,711,976  SH     DEFINED     04   2,602,461           0     109,515
NOKIA CORP                        COM   654902204      48,391   1,215,486  SH     OTHER       04   1,134,591           0      80,895
NOKIA CORP                        COM   654902204       4,971     124,860  SH     DEFINED     05      83,075      32,550       9,235
NOKIA CORP                        COM   654902204         196       4,930  SH     OTHER       05       2,430       1,500       1,000
NOKIA CORP                        COM   654902204       1,462      36,728  SH     DEFINED  01,08           0      36,728           0
NOKIA CORP                        COM   654902204          20         500  SH     DEFINED     09         500           0           0
NOKIA CORP                        COM   654902204          36         900  SH     OTHER       09         900           0           0
NOKIA CORP                        COM   654902204       2,076      52,150  SH     DEFINED     10      37,850      13,700         600
NOKIA CORP                        COM   654902204          67       1,690  SH     OTHER       10         290       1,400           0

NOBLE DRILLING CORP               COM   655042109       5,018      99,862  SH     DEFINED     01      88,339           0      11,523
NOBLE DRILLING CORP               COM   655042109           5         100  SH     OTHER       01           0         100           0
NOBLE DRILLING CORP               COM   655042109          50       1,000  SH     DEFINED     04       1,000           0           0
NOBLE DRILLING CORP               COM   655042109           9         175  SH     DEFINED     05         175           0           0
NOBLE DRILLING CORP               COM   655042109      18,349     365,150  SH     DEFINED  01,08     365,150           0           0
NOBLE DRILLING CORP               COM   655042109          38         765  SH     DEFINED     10         765           0           0

NOLAND CO                         COM   655286102         667      38,687  SH     OTHER       04      38,687           0           0
NOLAND CO                         COM   655286102         195      11,301  SH     DEFINED  01,08      11,301           0           0

NORDSON CORP                      COM   655663102       1,118      39,316  SH     DEFINED     01      35,264           0       4,052
NORDSON CORP                      COM   655663102          47       1,670  SH     OTHER       01           0       1,670           0
NORDSON CORP                      COM   655663102       2,642      92,923  SH     DEFINED  01,08      92,923           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    335
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NORDSTROM INC                     COM   655664100       3,629     233,189  SH     DEFINED     01     193,389      32,648       7,152
NORDSTROM INC                     COM   655664100          75       4,832  SH     OTHER       01       4,832           0           0
NORDSTROM INC                     COM   655664100          12         790  SH     DEFINED     02           0         790           0
NORDSTROM INC                     COM   655664100          65       4,200  SH     OTHER       02           0       4,200           0
NORDSTROM INC                     COM   655664100          68       4,400  SH     DEFINED     03           0       4,400           0
NORDSTROM INC                     COM   655664100         139       8,928  SH     OTHER       03       5,200       3,728           0
NORDSTROM INC                     COM   655664100          16       1,000  SH     DEFINED     04       1,000           0           0
NORDSTROM INC                     COM   655664100       3,020     194,062  SH     DEFINED  01,08     194,062           0           0
NORDSTROM INC                     COM   655664100          12         800  SH     DEFINED     10           0         800           0
NORDSTROM INC                     COM   655664100       1,780     114,360  SH     OTHER       10           0           0     114,360

NORFOLK SOUTHERN CORP             COM   655844108      10,895     744,972  SH     DEFINED     01     582,294     134,043      28,635
NORFOLK SOUTHERN CORP             COM   655844108         973      66,510  SH     OTHER       01      39,354      25,356       1,800
NORFOLK SOUTHERN CORP             COM   655844108         162      11,090  SH     DEFINED     02      10,865         225           0
NORFOLK SOUTHERN CORP             COM   655844108         176      12,050  SH     OTHER       02      12,050           0           0
NORFOLK SOUTHERN CORP             COM   655844108         622      42,553  SH     DEFINED     03      35,550       6,303         700
NORFOLK SOUTHERN CORP             COM   655844108         320      21,886  SH     OTHER       03      13,236       8,650           0
NORFOLK SOUTHERN CORP             COM   655844108         554      37,869  SH     DEFINED     04      36,969           0         900
NORFOLK SOUTHERN CORP             COM   655844108         496      33,940  SH     OTHER       04      32,140           0       1,800
NORFOLK SOUTHERN CORP             COM   655844108          79       5,400  SH     OTHER       05           0       5,400           0
NORFOLK SOUTHERN CORP             COM   655844108       8,694     594,477  SH     DEFINED  01,08     594,477           0           0
NORFOLK SOUTHERN CORP             COM   655844108          19       1,300  SH     DEFINED     10       1,300           0           0
NORFOLK SOUTHERN CORP             COM   655844108          60       4,120  SH     OTHER       10       4,120           0           0

NORSK HYDRO A S                   COM   656531605          89       2,100  SH     DEFINED     01       1,000       1,100           0
NORSK HYDRO A S                   COM   656531605          85       2,000  SH     OTHER       01       2,000           0           0
NORSK HYDRO A S                   COM   656531605          19         455  SH     DEFINED     02         455           0           0
NORSK HYDRO A S                   COM   656531605          85       2,000  SH     OTHER       02       2,000           0           0
NORSK HYDRO A S                   COM   656531605          47       1,100  SH     DEFINED     03         800         300           0
NORSK HYDRO A S                   COM   656531605          26         625  SH     DEFINED     04         625           0           0
NORSK HYDRO A S                   COM   656531605          42       1,000  SH     OTHER       04       1,000           0           0

NORSTAN INC                       COM   656535101          71      23,597  SH     DEFINED  01,08      23,597           0           0

NORTEK INC                        COM   656559101         278      15,877  SH     DEFINED     01      14,306           0       1,571
NORTEK INC                        COM   656559101          89       5,100  SH     DEFINED     04           0           0       5,100
NORTEK INC                        COM   656559101           5         300  SH     OTHER       04         300           0           0
NORTEK INC                        COM   656559101         660      37,709  SH     DEFINED  01,08      37,709           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    336
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NORTEL NETWORKS CORP NEW          COM   656568102     513,614   8,623,184  SH     DEFINED     01   7,174,647   1,040,559     407,978
NORTEL NETWORKS CORP NEW          COM   656568102      17,479     293,456  SH     OTHER       01     126,447     107,632      59,377
NORTEL NETWORKS CORP NEW          COM   656568102       7,056     118,470  SH     DEFINED     02      58,386      53,264       6,820
NORTEL NETWORKS CORP NEW          COM   656568102       1,484      24,910  SH     OTHER       02       9,770      12,800       2,340
NORTEL NETWORKS CORP NEW          COM   656568102      25,307     424,892  SH     DEFINED     03     171,563     232,253      21,076
NORTEL NETWORKS CORP NEW          COM   656568102       2,815      47,255  SH     OTHER       03      27,405      16,025       3,825
NORTEL NETWORKS CORP NEW          COM   656568102     113,407   1,904,024  SH     DEFINED     04   1,821,954           0      82,070
NORTEL NETWORKS CORP NEW          COM   656568102      44,796     752,089  SH     OTHER       04     703,023           0      49,066
NORTEL NETWORKS CORP NEW          COM   656568102       6,336     106,380  SH     DEFINED     05      77,505      23,625       5,250
NORTEL NETWORKS CORP NEW          COM   656568102         901      15,125  SH     OTHER       05       9,990       5,135           0
NORTEL NETWORKS CORP NEW          COM   656568102     251,350   4,219,980  SH     DEFINED  01,08   4,219,980           0           0
NORTEL NETWORKS CORP NEW          COM   656568102         555       9,310  SH     DEFINED     09       9,310           0           0
NORTEL NETWORKS CORP NEW          COM   656568102          48         800  SH     OTHER       09         800           0           0
NORTEL NETWORKS CORP NEW          COM   656568102       6,232     104,624  SH     DEFINED     10      66,799      37,225         600
NORTEL NETWORKS CORP NEW          COM   656568102         807      13,545  SH     OTHER       10       2,855      10,690           0

NORTH AMERN SCIENTIFIC INC        COM   65715D100         281       8,846  SH     DEFINED  01,08       8,846           0           0

NORTH FORK BANCORPORATION NY      COM   659424105       4,567     211,196  SH     DEFINED     01     170,904      35,032       5,260
NORTH FORK BANCORPORATION NY      COM   659424105         627      29,000  SH     DEFINED     04      29,000           0           0
NORTH FORK BANCORPORATION NY      COM   659424105          23       1,071  SH     OTHER       04       1,071           0           0
NORTH FORK BANCORPORATION NY      COM   659424105      11,066     511,707  SH     DEFINED  01,08     511,707           0           0

NORTH PITTSBURGH SYS INC          COM   661562108         154      11,294  SH     DEFINED     01       9,665           0       1,629
NORTH PITTSBURGH SYS INC          COM   661562108         542      39,800  SH     DEFINED     04      39,800           0           0
NORTH PITTSBURGH SYS INC          COM   661562108         139      10,188  SH     DEFINED  01,08      10,188           0           0

NORTHEAST UTILS                   COM   664397106       2,312     106,619  SH     DEFINED     01      98,591          52       7,976
NORTHEAST UTILS                   COM   664397106          27       1,241  SH     DEFINED     04       1,241           0           0
NORTHEAST UTILS                   COM   664397106           9         400  SH     OTHER       04         400           0           0
NORTHEAST UTILS                   COM   664397106       9,812     452,456  SH     DEFINED  01,08     452,456           0           0

NORTHERN BORDER PARTNERS L P      COM   664785102          16         500  SH     DEFINED     01           0         500           0
NORTHERN BORDER PARTNERS L P      COM   664785102         173       5,475  SH     DEFINED     04       5,475           0           0
NORTHERN BORDER PARTNERS L P      COM   664785102          63       2,000  SH     OTHER       04       2,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    337
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NORTHERN TR CORP                  COM   665859104     273,511   3,077,482  SH     DEFINED     01     604,730   1,209,237   1,263,515
NORTHERN TR CORP                  COM   665859104   1,370,595  15,421,603  SH     OTHER       01     440,364     250,828  14,730,411
NORTHERN TR CORP                  COM   665859104          64         720  SH     DEFINED     02         700          20           0
NORTHERN TR CORP                  COM   665859104         289       3,250  SH     OTHER       02       3,250           0           0
NORTHERN TR CORP                  COM   665859104         308       3,466  SH     DEFINED     03           0       3,266         200
NORTHERN TR CORP                  COM   665859104          40         450  SH     OTHER       03         300         150           0
NORTHERN TR CORP                  COM   665859104     110,959   1,248,487  SH     DEFINED     04   1,222,937           0      25,550
NORTHERN TR CORP                  COM   665859104     120,854   1,359,821  SH     OTHER       04     998,611           0     361,210
NORTHERN TR CORP                  COM   665859104       1,422      16,000  SH     OTHER    04,07           0           0      16,000
NORTHERN TR CORP                  COM   665859104       6,189      69,632  SH     DEFINED  01,08      69,632           0           0
NORTHERN TR CORP                  COM   665859104         427       4,800  SH     DEFINED     10       4,500         300           0
NORTHERN TR CORP                  COM   665859104          20         220  SH     OTHER       10         100         120           0

NORTHFIELD LABS INC               COM   666135108         261      20,700  SH     DEFINED     01      17,700       3,000           0
NORTHFIELD LABS INC               COM   666135108         233      18,450  SH     DEFINED     04      18,450           0           0
NORTHFIELD LABS INC               COM   666135108         215      17,000  SH     OTHER       04      17,000           0           0
NORTHFIELD LABS INC               COM   666135108         309      24,449  SH     DEFINED  01,08      24,449           0           0

NORTHLAND CRANBERRIES INC         COM   666499108          29      25,941  SH     DEFINED  01,08      25,941           0           0

NORTHPOINT COMMUNICATIONS HLDG    COM   666610100          80       9,063  SH     DEFINED     01       7,438         100       1,525
NORTHPOINT COMMUNICATIONS HLDG    COM   666610100       1,161     130,828  SH     DEFINED  01,08     130,828           0           0

NORTHROP GRUMMAN CORP             COM   666807102      16,660     183,325  SH     DEFINED     01     153,008      24,424       5,893
NORTHROP GRUMMAN CORP             COM   666807102           9         100  SH     OTHER       01           0           0         100
NORTHROP GRUMMAN CORP             COM   666807102          36         400  SH     DEFINED     04         400           0           0
NORTHROP GRUMMAN CORP             COM   666807102          27         300  SH     OTHER       04         300           0           0
NORTHROP GRUMMAN CORP             COM   666807102       9,304     102,380  SH     DEFINED  01,08     102,380           0           0

NORTHWEST AIRLS CORP              COM   667280101          80       3,239  SH     DEFINED     01       2,432           0         807
NORTHWEST AIRLS CORP              COM   667280101           2         100  SH     DEFINED     02           0         100           0
NORTHWEST AIRLS CORP              COM   667280101          40       1,627  SH     DEFINED     04       1,527           0         100
NORTHWEST AIRLS CORP              COM   667280101       2,834     115,401  SH     DEFINED  01,08     115,401           0           0

NORTHWEST BANCORP INC PA          COM   667328108          69       8,271  SH     DEFINED     01       5,712           0       2,559
NORTHWEST BANCORP INC PA          COM   667328108         493      58,915  SH     DEFINED  01,08      58,915           0           0

NORTHWEST NAT GAS CO              COM   667655104         959      42,146  SH     DEFINED     01      33,994       2,700       5,452
NORTHWEST NAT GAS CO              COM   667655104          14         625  SH     OTHER       02         625           0           0
NORTHWEST NAT GAS CO              COM   667655104          17         750  SH     DEFINED     04         750           0           0
NORTHWEST NAT GAS CO              COM   667655104       1,220      53,617  SH     DEFINED  01,08      53,617           0           0

NORTHWEST PIPE CO                 COM   667746101         124      11,000  SH     DEFINED     04           0           0      11,000
NORTHWEST PIPE CO                 COM   667746101          77       6,868  SH     DEFINED  01,08       6,868           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    338
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NORTHWESTERN CORP                 COM   668074107         482      24,693  SH     DEFINED     01      19,778           0       4,915
NORTHWESTERN CORP                 COM   668074107          16         800  SH     OTHER       02           0         800           0
NORTHWESTERN CORP                 COM   668074107          41       2,120  SH     OTHER       03           0       2,120           0
NORTHWESTERN CORP                 COM   668074107       1,442      73,932  SH     DEFINED  01,08      73,932           0           0
NORTHWESTERN CORP                 COM   668074107          23       1,200  SH     DEFINED     10           0       1,200           0

NOVA CORP GA                      COM   669784100         740      43,222  SH     DEFINED     01      41,760           0       1,462
NOVA CORP GA                      COM   669784100          14         800  SH     DEFINED     04         800           0           0
NOVA CORP GA                      COM   669784100       3,255     190,059  SH     DEFINED  01,08     190,059           0           0

NOVAMED EYECARE INC               COM   66986W108          40      15,000  SH     DEFINED     01       5,000      10,000           0
NOVAMED EYECARE INC               COM   66986W108          21       7,752  SH     DEFINED  01,08       7,752           0           0

NOVARTIS A G                      COM   66987V109          77       2,000  SH     DEFINED     01           0       2,000           0
NOVARTIS A G                      COM   66987V109         290       7,500  SH     OTHER       01           0       2,600       4,900
NOVARTIS A G                      COM   66987V109          15         400  SH     DEFINED     02         400           0           0
NOVARTIS A G                      COM   66987V109         129       3,334  SH     DEFINED     03         600       2,734           0
NOVARTIS A G                      COM   66987V109         231       5,982  SH     DEFINED     04       5,982           0           0
NOVARTIS A G                      COM   66987V109         201       5,198  SH     OTHER       04       5,198           0           0

NOVAMETRIX MED SYS INC            COM   669870107         114      19,000  SH     DEFINED  01,08      19,000           0           0

NU HORIZONS ELECTRS CORP          COM   669908105         854      30,719  SH     DEFINED  01,08      30,719           0           0

NOVADIGM INC                      COM   669937104         289      18,676  SH     DEFINED     01      18,460           0         216
NOVADIGM INC                      COM   669937104         455      29,404  SH     DEFINED  01,08      29,404           0           0

NUANCE COMMUNICATIONS INC         COM   669967101      23,285     191,352  SH     DEFINED     01     187,230           0       4,122
NUANCE COMMUNICATIONS INC         COM   669967101          24         200  SH     OTHER       01         200           0           0
NUANCE COMMUNICATIONS INC         COM   669967101       8,104      66,598  SH     DEFINED  01,08      66,598           0           0

NOVAVAX INC                       COM   670002104         266      29,246  SH     DEFINED  01,08      29,246           0           0

NOVELL INC                        COM   670006105       5,722     575,819  SH     DEFINED     01     462,044      86,015      27,760
NOVELL INC                        COM   670006105           2         200  SH     OTHER       01           0           0         200
NOVELL INC                        COM   670006105           2         200  SH     OTHER       02         200           0           0
NOVELL INC                        COM   670006105           3         340  SH     DEFINED     03          40           0         300
NOVELL INC                        COM   670006105          46       4,675  SH     DEFINED     04       4,675           0           0
NOVELL INC                        COM   670006105          24       2,400  SH     OTHER       04       2,400           0           0
NOVELL INC                        COM   670006105          15       1,500  SH     DEFINED     05       1,500           0           0
NOVELL INC                        COM   670006105       4,851     488,126  SH     DEFINED  01,08     488,126           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    339
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NOVELLUS SYS INC                  COM   670008101      13,323     286,132  SH     DEFINED     01     234,177      34,075      17,880
NOVELLUS SYS INC                  COM   670008101          26         550  SH     DEFINED     02         550           0           0
NOVELLUS SYS INC                  COM   670008101          27         570  SH     DEFINED     04         570           0           0
NOVELLUS SYS INC                  COM   670008101       9,613     206,449  SH     DEFINED  01,08     206,449           0           0

NOVEN PHARMACEUTICALS INC         COM   670009109       1,058      24,748  SH     DEFINED     01      22,909         400       1,439
NOVEN PHARMACEUTICALS INC         COM   670009109          98       2,300  SH     OTHER       01           0       2,300           0
NOVEN PHARMACEUTICALS INC         COM   670009109          64       1,500  SH     DEFINED     04       1,500           0           0
NOVEN PHARMACEUTICALS INC         COM   670009109           9         200  SH     OTHER       04         200           0           0
NOVEN PHARMACEUTICALS INC         COM   670009109       1,898      44,394  SH     DEFINED  01,08      44,394           0           0

NOVOSTE CORP                      COM   67010C100       9,854     231,860  SH     DEFINED     01     216,906           0      14,954
NOVOSTE CORP                      COM   67010C100         149       3,500  SH     DEFINED     04       3,500           0           0
NOVOSTE CORP                      COM   67010C100       3,621      85,209  SH     DEFINED  01,08      85,209           0           0

NSTOR TECHNOLOGIES INC            COM   67018N108          24      11,272  SH     DEFINED  01,08      11,272           0           0

NU SKIN ENTERPRISES INC           COM   67018T105         171      25,790  SH     DEFINED     01      17,978           0       7,812
NU SKIN ENTERPRISES INC           COM   67018T105         374      56,388  SH     DEFINED  01,08      56,388           0           0

NSTAR                             COM   67019E107       1,550      38,521  SH     DEFINED     01      35,354           0       3,167
NSTAR                             COM   67019E107          24         600  SH     OTHER       02           0           0         600
NSTAR                             COM   67019E107          23         571  SH     DEFINED     03           0           0         571
NSTAR                             COM   67019E107         171       4,239  SH     DEFINED     04       3,819           0         420
NSTAR                             COM   67019E107         207       5,141  SH     OTHER       04       5,141           0           0
NSTAR                             COM   67019E107       5,997     148,984  SH     DEFINED  01,08     148,984           0           0
NSTAR                             COM   67019E107          20         500  SH     DEFINED     10         500           0           0

N2H2 INC                          COM   67019F104           0         100  SH     OTHER       04           0           0         100
N2H2 INC                          COM   67019F104          53      21,272  SH     DEFINED  01,08      21,272           0           0
N2H2 INC                          COM   67019F104           1         400  SH     DEFINED     10         400           0           0

NUCENTRIX BROADBAND NETWORKS      COM   670198100         165       6,450  SH     DEFINED     01       5,410           0       1,040
NUCENTRIX BROADBAND NETWORKS      COM   670198100          97       3,781  SH     DEFINED  01,08       3,781           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    340
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NUCOR CORP                        COM   670346105       8,117     269,440  SH     DEFINED     01     239,744      25,699       3,997
NUCOR CORP                        COM   670346105       1,438      47,725  SH     OTHER       01      38,470       4,355       4,900
NUCOR CORP                        COM   670346105          44       1,450  SH     DEFINED     02       1,400          50           0
NUCOR CORP                        COM   670346105          38       1,250  SH     OTHER       02       1,250           0           0
NUCOR CORP                        COM   670346105         169       5,600  SH     DEFINED     03       1,400       4,200           0
NUCOR CORP                        COM   670346105          21         700  SH     OTHER       03         700           0           0
NUCOR CORP                        COM   670346105         107       3,550  SH     DEFINED     04       3,550           0           0
NUCOR CORP                        COM   670346105          75       2,500  SH     OTHER       04       2,500           0           0
NUCOR CORP                        COM   670346105          15         500  SH     DEFINED     05         500           0           0
NUCOR CORP                        COM   670346105       3,724     123,627  SH     DEFINED  01,08     123,627           0           0
NUCOR CORP                        COM   670346105          89       2,950  SH     DEFINED     09       2,950           0           0
NUCOR CORP                        COM   670346105          36       1,200  SH     DEFINED     10       1,200           0           0

NUEVO ENERGY CO                   COM   670509108         217      11,805  SH     DEFINED     01       8,731           0       3,074
NUEVO ENERGY CO                   COM   670509108         685      37,299  SH     DEFINED  01,08      37,299           0           0

NUMEREX CORP PA                   COM   67053A102         346      26,600  SH     DEFINED  01,08      26,600           0           0

NUMERICAL TECHNOLOGIES INC        COM   67053T101         508      17,623  SH     DEFINED     01      17,522           0         101
NUMERICAL TECHNOLOGIES INC        COM   67053T101           9         300  SH     DEFINED     04         300           0           0
NUMERICAL TECHNOLOGIES INC        COM   67053T101       1,010      35,060  SH     DEFINED  01,08      35,060           0           0

NUVEEN INSD PREM INCOME MUN 2  UNDEFIND 6706D8104           2      13,726         DEFINED     01       4,550       7,271       1,905
NUVEEN INSD PREM INCOME MUN 2  UNDEFIND 6706D8104           1       8,569         OTHER       01           0       8,369         200
NUVEEN INSD PREM INCOME MUN 2  UNDEFIND 6706D8104           0       2,278         DEFINED     02       2,278           0           0
NUVEEN INSD PREM INCOME MUN 2  UNDEFIND 6706D8104         100       8,800         DEFINED     04       8,800           0           0
NUVEEN INSD PREM INCOME MUN 2  UNDEFIND 6706D8104          68       5,995         OTHER       04       5,995           0           0

NUVEEN PREM INCOME MUN FD 4    UNDEFIND 6706K4105           1       8,841         DEFINED     01       3,007       5,834           0
NUVEEN PREM INCOME MUN FD 4    UNDEFIND 6706K4105           1       7,569         OTHER       01       4,179       3,390           0
NUVEEN PREM INCOME MUN FD 4    UNDEFIND 6706K4105           0       1,000         DEFINED     03           0       1,000           0
NUVEEN PREM INCOME MUN FD 4    UNDEFIND 6706K4105         103       8,333         DEFINED     04       8,333           0           0
NUVEEN PREM INCOME MUN FD 4    UNDEFIND 6706K4105         446      36,195         OTHER       04      36,195           0           0

NUVEEN SELECT MAT MUN FD       UNDEFIND 67061T101         233      22,600         DEFINED     04      22,600           0           0
NUVEEN SELECT MAT MUN FD       UNDEFIND 67061T101          21       2,000         OTHER       04       2,000           0           0

NUVEEN ARIZ PREM INCOME MUN FD UNDEFIND 67061W104           3      22,500         DEFINED     02           0      22,500           0
NUVEEN ARIZ PREM INCOME MUN FD UNDEFIND 67061W104           1      10,098         OTHER       02       9,398         700           0

NUVEEN CA INVT QUALITY MUN FD  UNDEFIND 67062A101           1       4,600         OTHER       01           0       4,600           0
NUVEEN CA INVT QUALITY MUN FD  UNDEFIND 67062A101           0       2,288         DEFINED     03           0       2,288           0
NUVEEN CA INVT QUALITY MUN FD  UNDEFIND 67062A101           1       4,666         OTHER       03       2,333           0       2,333
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    341
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NUVEEN CALIF MUN VALUE FD      UNDEFIND 67062C107           0       3,500         DEFINED     03       1,500       2,000           0
NUVEEN CALIF MUN VALUE FD      UNDEFIND 67062C107           1      10,000         OTHER       03       5,000           0       5,000

NUVEEN INVT QUALITY MUN FD INC UNDEFIND 67062E103           1       5,340         DEFINED     01       4,000       1,340           0
NUVEEN INVT QUALITY MUN FD INC UNDEFIND 67062E103          93       7,150         DEFINED     04       7,150           0           0
NUVEEN INVT QUALITY MUN FD INC UNDEFIND 67062E103          61       4,656         OTHER       04       4,656           0           0

NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67062F100           1       5,034         DEFINED     01       1,700       3,334           0
NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67062F100           0       3,300         OTHER       01           0       3,300           0
NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67062F100           0         400         DEFINED     02         400           0           0
NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67062F100          85       5,890         DEFINED     04       5,000           0         890

NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106           1       4,168         DEFINED     01       2,663       1,505           0
NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106           0         662         OTHER       01           0         662           0
NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106           0       1,200         OTHER       02         900           0         300
NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106         748      57,530         DEFINED     04      53,530           0       4,000
NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106          55       4,239         OTHER       04       2,661           0       1,578
NUVEEN MUN ADVANTAGE FD INC    UNDEFIND 67062H106           0       1,330         DEFINED     10           0       1,330           0

NUVEEN MUN INCOME FD INC       UNDEFIND 67062J102         101       8,600         DEFINED     04       8,600           0           0
NUVEEN MUN INCOME FD INC       UNDEFIND 67062J102          47       4,000         OTHER       04       4,000           0           0
NUVEEN MUN INCOME FD INC       UNDEFIND 67062J102           0       2,500         DEFINED     10           0       2,500           0

NUVEEN INSD QUALITY MUN FD INC UNDEFIND 67062N103           1       4,850         DEFINED     01       1,350       3,500           0
NUVEEN INSD QUALITY MUN FD INC UNDEFIND 67062N103         119       8,786         DEFINED     04       8,786           0           0
NUVEEN INSD QUALITY MUN FD INC UNDEFIND 67062N103         102       7,500         OTHER       04       7,500           0           0

NUVEEN PERFORMANCE PLUS MUN FD UNDEFIND 67062P108           3      23,407         DEFINED     01       9,500      13,907           0
NUVEEN PERFORMANCE PLUS MUN FD UNDEFIND 67062P108           1      10,000         OTHER       01       7,000       3,000           0
NUVEEN PERFORMANCE PLUS MUN FD UNDEFIND 67062P108           4      34,750         DEFINED     02           0      34,750           0
NUVEEN PERFORMANCE PLUS MUN FD UNDEFIND 67062P108          90       7,344         DEFINED     04       7,344           0           0
NUVEEN PERFORMANCE PLUS MUN FD UNDEFIND 67062P108         130      10,617         OTHER       04      10,617           0           0

NUVEEN PREM INCOME MUN FD      UNDEFIND 67062T100           1       7,834         DEFINED     01       6,334       1,500           0
NUVEEN PREM INCOME MUN FD      UNDEFIND 67062T100           0       1,080         OTHER       01         500         580           0
NUVEEN PREM INCOME MUN FD      UNDEFIND 67062T100         187      15,430         DEFINED     04      15,430           0           0
NUVEEN PREM INCOME MUN FD      UNDEFIND 67062T100         269      22,172         OTHER       04      22,172           0           0
NUVEEN PREM INCOME MUN FD      UNDEFIND 67062T100           1       8,800         DEFINED     10       3,000       5,800           0

NUVEEN CA MUN MKT OPPORTUNT FD UNDEFIND 67062U107           1       6,261         DEFINED     03           0       6,261           0
NUVEEN CA MUN MKT OPPORTUNT FD UNDEFIND 67062U107           1       6,700         OTHER       03       6,700           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    342
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NUVEEN MUN MKT OPPORTUNITY FD  UNDEFIND 67062W103           0       3,520         DEFINED     01       1,200       2,320           0
NUVEEN MUN MKT OPPORTUNITY FD  UNDEFIND 67062W103           1       4,071         OTHER       01           0       4,071           0
NUVEEN MUN MKT OPPORTUNITY FD  UNDEFIND 67062W103           0       3,718         DEFINED     02       3,718           0           0
NUVEEN MUN MKT OPPORTUNITY FD  UNDEFIND 67062W103         105       7,905         DEFINED     04       7,905           0           0
NUVEEN MUN MKT OPPORTUNITY FD  UNDEFIND 67062W103         276      20,750         OTHER       04      20,750           0           0

NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67063C106           0       1,000         DEFINED     03       1,000           0           0
NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67063C106         110       7,879         DEFINED     04       7,879           0           0
NUVEEN SELECT TAX FREE INCM PT UNDEFIND 67063C106         153      10,966         OTHER       04      10,966           0           0

NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           1       3,700         DEFINED     01       2,700       1,000           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           0         700         OTHER       01           0         700           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           0       3,300         OTHER       02       3,300           0           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           0       1,500         DEFINED     03           0       1,500           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           0         956         OTHER       03           0         956           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102         118       8,663         OTHER       04       3,833           0       4,830
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102           2      14,000         DEFINED     05      14,000           0           0

NUVEEN SELECT TAX FREE INCM 3  UNDEFIND 67063X100           2      11,535         OTHER       01      11,535           0           0
NUVEEN SELECT TAX FREE INCM 3  UNDEFIND 67063X100          69       5,150         DEFINED     04       5,150           0           0

NVEST L P                         COM   67065F107         138       3,500  SH     DEFINED     01           0       3,500           0
NVEST L P                         COM   67065F107         654      16,600  SH     DEFINED  01,08      16,600           0           0

NUWAVE TECHNOLOGIES INC           COM   67065M102          36      20,394  SH     DEFINED  01,08      20,394           0           0

NVIDIA CORP                       COM   67066G104       4,627      56,509  SH     DEFINED     01      49,584           0       6,925
NVIDIA CORP                       COM   67066G104          41         500  SH     DEFINED     03         100           0         400
NVIDIA CORP                       COM   67066G104           8         100  SH     OTHER       04         100           0           0
NVIDIA CORP                       COM   67066G104      23,220     283,599  SH     DEFINED  01,08     283,599           0           0

NYFIX INC                         COM   670712108         980      21,906  SH     DEFINED     01      21,254         275         377
NYFIX INC                         COM   670712108       1,096      24,497  SH     DEFINED  01,08      24,497           0           0

OAO TECHNOLOGY SOLUTIONS INC      COM   67082B105          72      18,661  SH     DEFINED  01,08      18,661           0           0

O CHARLEYS INC                    COM   670823103         129      10,449  SH     DEFINED     01       9,010           0       1,439
O CHARLEYS INC                    COM   670823103          74       6,000  SH     DEFINED     04           0           0       6,000
O CHARLEYS INC                    COM   670823103         296      24,012  SH     DEFINED  01,08      24,012           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    343
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
OGE ENERGY CORP                   COM   670837103       1,945      91,267  SH     DEFINED     01      75,615         355      15,297
OGE ENERGY CORP                   COM   670837103          85       3,984  SH     OTHER       01       3,984           0           0
OGE ENERGY CORP                   COM   670837103          53       2,508  SH     OTHER       02       1,028         880         600
OGE ENERGY CORP                   COM   670837103          43       2,000  SH     DEFINED     03       2,000           0           0
OGE ENERGY CORP                   COM   670837103         141       6,600  SH     OTHER       03       6,600           0           0
OGE ENERGY CORP                   COM   670837103          27       1,248  SH     DEFINED     04       1,248           0           0
OGE ENERGY CORP                   COM   670837103         177       8,310  SH     OTHER       04       8,310           0           0
OGE ENERGY CORP                   COM   670837103       4,833     226,796  SH     DEFINED  01,08     226,796           0           0

O I CORP                          COM   670841105          53      16,200  SH     DEFINED  01,08      16,200           0           0

OM GROUP INC                      COM   670872100         781      17,894  SH     DEFINED     01      11,347       1,100       5,447
OM GROUP INC                      COM   670872100       2,029      46,501  SH     DEFINED  01,08      46,501           0           0

NUVEEN MUN VALUE FD INC        UNDEFIND 670928100           6      69,193         DEFINED     01      14,665      44,528      10,000
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100           1      15,533         OTHER       01       8,983       4,500       2,050
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100           1      14,900         DEFINED     02           0      14,900           0
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100           2      28,112         OTHER       02      14,779      13,333           0
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100           0       3,000         DEFINED     03           0       3,000           0
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100         754      86,750         DEFINED     04      86,750           0           0
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100       1,308     150,624         OTHER       04     149,624           0       1,000

NUVEEN FLA INVT QUALITY MUN FD UNDEFIND 670970102           0       1,700         DEFINED     01       1,700           0           0
NUVEEN FLA INVT QUALITY MUN FD UNDEFIND 670970102         587      41,730         DEFINED     04      41,730           0           0
NUVEEN FLA INVT QUALITY MUN FD UNDEFIND 670970102         566      40,257         OTHER       04      30,932           0       9,325
NUVEEN FLA INVT QUALITY MUN FD UNDEFIND 670970102           0       2,626         DEFINED     10           0       2,626           0

NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106           1       4,258         DEFINED     01       2,000       2,258           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106           1       6,700         OTHER       01       6,700           0           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106           0       3,000         OTHER       02       3,000           0           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106           1       5,000         DEFINED     03       5,000           0           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106          97       7,300         DEFINED     04       7,300           0           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106          44       3,300         OTHER       04       3,300           0           0
NUVEEN SELECT QUALITY MUN FD   UNDEFIND 670973106           0       2,900         DEFINED     10           0       2,900           0

NUVEEN QUALITY INCOME MUN FD   UNDEFIND 670977107           2      12,389         DEFINED     01       1,712      10,677           0
NUVEEN QUALITY INCOME MUN FD   UNDEFIND 670977107           1       7,151         OTHER       01       6,700         451           0
NUVEEN QUALITY INCOME MUN FD   UNDEFIND 670977107           0       2,000         DEFINED     03       2,000           0           0
NUVEEN QUALITY INCOME MUN FD   UNDEFIND 670977107          70       5,240         DEFINED     04       5,240           0           0
NUVEEN QUALITY INCOME MUN FD   UNDEFIND 670977107         241      17,900         OTHER       04      13,500           0       4,400

NUVEEN FLA QUALITY INCOME MUN  UNDEFIND 670978105         509      36,060         DEFINED     04      36,060           0           0
NUVEEN FLA QUALITY INCOME MUN  UNDEFIND 670978105         494      34,953         OTHER       04      34,953           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    344
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
NUVEEN INSD MUN OPPORTUNITY FD UNDEFIND 670984103           1       5,614         DEFINED     01       1,661       3,668         285
NUVEEN INSD MUN OPPORTUNITY FD UNDEFIND 670984103           1       5,335         OTHER       01           0       4,635         700
NUVEEN INSD MUN OPPORTUNITY FD UNDEFIND 670984103         205      15,731         DEFINED     04      11,731           0       4,000
NUVEEN INSD MUN OPPORTUNITY FD UNDEFIND 670984103         509      38,988         OTHER       04      38,238           0         750
NUVEEN INSD MUN OPPORTUNITY FD UNDEFIND 670984103           0       3,103         DEFINED     10       1,333       1,770           0

NUVEEN CALIF QUALITY INCM MUN  UNDEFIND 670985100           0       1,000         OTHER       01           0       1,000           0
NUVEEN CALIF QUALITY INCM MUN  UNDEFIND 670985100           2       9,788         DEFINED     03       1,000       7,788       1,000
NUVEEN CALIF QUALITY INCM MUN  UNDEFIND 670985100           1       4,000         OTHER       03       2,000           0       2,000

NUVEEN PREMIER INSD MUN INCOME UNDEFIND 670987106           1       7,397         DEFINED     01           0       2,397       5,000
NUVEEN PREMIER INSD MUN INCOME UNDEFIND 670987106           2      14,837         OTHER       01      13,400       1,437           0
NUVEEN PREMIER INSD MUN INCOME UNDEFIND 670987106          14       1,000         DEFINED     04       1,000           0           0
NUVEEN PREMIER INSD MUN INCOME UNDEFIND 670987106         226      16,477         OTHER       04      13,144           0       3,333

NUVEEN PREMIER MUN INCOME FD   UNDEFIND 670988104           0       1,324         DEFINED     01         724         600           0
NUVEEN PREMIER MUN INCOME FD   UNDEFIND 670988104          65       4,700         DEFINED     04       4,700           0           0
NUVEEN PREMIER MUN INCOME FD   UNDEFIND 670988104          58       4,200         OTHER       04       4,200           0           0

NUVEEN INSD FLA PREM INCOME FD UNDEFIND 67101V108         271      20,658         DEFINED     04      20,658           0           0
NUVEEN INSD FLA PREM INCOME FD UNDEFIND 67101V108         214      16,323         OTHER       04      16,323           0           0
NUVEEN INSD FLA PREM INCOME FD UNDEFIND 67101V108           0          11         DEFINED     10           0          11           0

OSI PHARMACEUTICALS INC           COM   671040103       3,663      52,325  SH     DEFINED     01      51,706           0         619
OSI PHARMACEUTICALS INC           COM   671040103       4,224      60,342  SH     DEFINED  01,08      60,342           0           0

OSI SYSTEMS INC                   COM   671044105         108      10,300  SH     DEFINED     04           0           0      10,300
OSI SYSTEMS INC                   COM   671044105           1         100  SH     OTHER       04         100           0           0
OSI SYSTEMS INC                   COM   671044105         163      15,500  SH     DEFINED  01,08      15,500           0           0

OTG SOFTWARE INC                  COM   671059103         204       5,001  SH     DEFINED     01       4,895           0         106
OTG SOFTWARE INC                  COM   671059103         827      20,228  SH     DEFINED  01,08      20,228           0           0

OAK TECHNOLOGY INC                COM   671802106       1,648      60,183  SH     DEFINED     01      59,046           0       1,137
OAK TECHNOLOGY INC                COM   671802106       2,214      80,873  SH     DEFINED  01,08      80,873           0           0

OAKLEY INC                        COM   673662102         384      21,889  SH     DEFINED     01      20,431           0       1,458
OAKLEY INC                        COM   673662102          18       1,000  SH     DEFINED     03           0       1,000           0
OAKLEY INC                        COM   673662102       1,636      93,143  SH     DEFINED  01,08      93,143           0           0

OAKWOOD HOMES CORP                COM   674098108          46      30,920  SH     DEFINED     01      27,800       3,120           0
OAKWOOD HOMES CORP                COM   674098108         131      87,549  SH     DEFINED  01,08      87,549           0           0

OBJECTIVE SYS INTEGRATORS INC     COM   674424106         176      20,281  SH     DEFINED     01      19,927           0         354
OBJECTIVE SYS INTEGRATORS INC     COM   674424106         358      41,259  SH     DEFINED  01,08      41,259           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    345
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
OCCIDENTAL PETE CORP DEL          COM   674599105      14,729     675,276  SH     DEFINED     01     537,796     108,893      28,587
OCCIDENTAL PETE CORP DEL          COM   674599105         130       5,980  SH     OTHER       01       3,068         612       2,300
OCCIDENTAL PETE CORP DEL          COM   674599105          44       2,023  SH     DEFINED     02           0       2,023           0
OCCIDENTAL PETE CORP DEL          COM   674599105          23       1,056  SH     OTHER       02         950         106           0
OCCIDENTAL PETE CORP DEL          COM   674599105          34       1,550  SH     DEFINED     03         300       1,250           0
OCCIDENTAL PETE CORP DEL          COM   674599105         236      10,820  SH     DEFINED     04      10,820           0           0
OCCIDENTAL PETE CORP DEL          COM   674599105          79       3,630  SH     OTHER       04       3,529           0         101
OCCIDENTAL PETE CORP DEL          COM   674599105      12,561     575,898  SH     DEFINED  01,08     575,898           0           0

OCEAN ENERGY INC TEX              COM   67481E106       1,784     115,578  SH     DEFINED     01     107,736           0       7,842
OCEAN ENERGY INC TEX              COM   67481E106          49       3,202  SH     OTHER       05       3,202           0           0
OCEAN ENERGY INC TEX              COM   67481E106       7,131     461,968  SH     DEFINED  01,08     461,968           0           0

OCEANEERING INTL INC              COM   675232102         240      14,428  SH     DEFINED     01       9,544           0       4,884
OCEANEERING INTL INC              COM   675232102       1,186      71,309  SH     DEFINED  01,08      71,309           0           0

OCEANFIRST FINL CORP              COM   675234108         371      17,874  SH     DEFINED     01      15,659           0       2,215
OCEANFIRST FINL CORP              COM   675234108         386      18,587  SH     DEFINED  01,08      18,587           0           0

OCULAR SCIENCES INC               COM   675744106         142      11,831  SH     DEFINED     01      10,095           0       1,736
OCULAR SCIENCES INC               COM   675744106       1,253     104,443  SH     DEFINED  01,08     104,443           0           0

OCWEN FINL CORP                   COM   675746101         515      87,690  SH     DEFINED     01      81,705           0       5,985
OCWEN FINL CORP                   COM   675746101          59      10,000  SH     OTHER       01      10,000           0           0
OCWEN FINL CORP                   COM   675746101         345      58,794  SH     OTHER       04      58,794           0           0
OCWEN FINL CORP                   COM   675746101           1         100  SH     OTHER       05         100           0           0
OCWEN FINL CORP                   COM   675746101         375      63,755  SH     DEFINED  01,08      63,755           0           0

ODETICS INC DEL                   COM   676065204         264      15,387  SH     DEFINED  01,08      15,387           0           0

OFFICEMAX INC                     COM   67622M108         656     184,260  SH     DEFINED     01     164,838           0      19,422
OFFICEMAX INC                     COM   67622M108       1,172     328,991  SH     DEFINED  01,08     328,991           0           0

OFFICE DEPOT INC                  COM   676220106       4,114     526,661  SH     DEFINED     01     438,356      77,277      11,028
OFFICE DEPOT INC                  COM   676220106           1          97  SH     DEFINED     03           0          97           0
OFFICE DEPOT INC                  COM   676220106          27       3,425  SH     DEFINED     04       3,425           0           0
OFFICE DEPOT INC                  COM   676220106           7         900  SH     OTHER       04         900           0           0
OFFICE DEPOT INC                  COM   676220106          19       2,400  SH     DEFINED     05         900       1,500           0
OFFICE DEPOT INC                  COM   676220106       3,653     467,613  SH     DEFINED  01,08     467,613           0           0

OFFICIAL PMTS CORP                COM   676235104          86      10,626  SH     DEFINED  01,08      10,626           0           0

OFFSHORE LOGISTICS INC            COM   676255102         637      35,662  SH     DEFINED     01      26,683       3,800       5,179
OFFSHORE LOGISTICS INC            COM   676255102       1,078      60,323  SH     DEFINED  01,08      60,323           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    346
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
OGDEN CORP                        COM   676346109         767      56,558  SH     DEFINED     01      47,570           0       8,988
OGDEN CORP                        COM   676346109           4         304  SH     OTHER       01         304           0           0
OGDEN CORP                        COM   676346109       1,592     117,410  SH     DEFINED  01,08     117,410           0           0

OGLEBAY NORTON CO                 COM   677007106         115       4,100  SH     DEFINED     01       4,100           0           0
OGLEBAY NORTON CO                 COM   677007106         472      16,846  SH     DEFINED  01,08      16,846           0           0

OHIO CAS CORP                     COM   677240103         432      68,077  SH     DEFINED     01      57,599           0      10,478
OHIO CAS CORP                     COM   677240103          10       1,500  SH     OTHER       01           0       1,500           0
OHIO CAS CORP                     COM   677240103         272      42,928  SH     OTHER       04      42,928           0           0
OHIO CAS CORP                     COM   677240103       1,101     173,536  SH     DEFINED  01,08     173,536           0           0

OHIO VY BANC CORP                 COM   677719106         205       7,700  SH     DEFINED  01,08       7,700           0           0

OIL DRI CORP AMER                 COM   677864100           6         700  SH     DEFINED     01         700           0           0
OIL DRI CORP AMER                 COM   677864100         173      19,784  SH     DEFINED  01,08      19,784           0           0

OLD DOMINION FGHT LINES INC       COM   679580100          55       5,400  SH     DEFINED     01       5,400           0           0
OLD DOMINION FGHT LINES INC       COM   679580100         106      10,430  SH     DEFINED  01,08      10,430           0           0

OLD KENT FINL CORP                COM   679833103      15,298     528,652  SH     DEFINED     01     483,745      34,230      10,677
OLD KENT FINL CORP                COM   679833103       4,498     155,441  SH     OTHER       01           0     155,441           0
OLD KENT FINL CORP                COM   679833103          40       1,389  SH     DEFINED     02       1,389           0           0
OLD KENT FINL CORP                COM   679833103         215       7,418  SH     OTHER       02       2,473       3,058       1,887
OLD KENT FINL CORP                COM   679833103       1,876      64,829  SH     DEFINED     04      64,295           0         534
OLD KENT FINL CORP                COM   679833103       1,259      43,500  SH     OTHER       04      34,921           0       8,579
OLD KENT FINL CORP                COM   679833103       6,308     218,005  SH     DEFINED  01,08     218,005           0           0
OLD KENT FINL CORP                COM   679833103       5,838     201,738  SH     DEFINED     10      72,560     129,178           0
OLD KENT FINL CORP                COM   679833103       4,759     164,470  SH     OTHER       10     144,470      20,000           0

OLD NATL BANCORP IND              COM   680033107         605      19,994  SH     DEFINED     01       8,244      10,235       1,515
OLD NATL BANCORP IND              COM   680033107          64       2,118  SH     DEFINED     04       2,118           0           0
OLD NATL BANCORP IND              COM   680033107          19         630  SH     OTHER       04         630           0           0
OLD NATL BANCORP IND              COM   680033107       3,308     109,344  SH     DEFINED  01,08     109,344           0           0

OLD REP INTL CORP                 COM   680223104       5,209     216,486  SH     DEFINED     01     154,163      56,500       5,823
OLD REP INTL CORP                 COM   680223104         242      10,052  SH     DEFINED     02      10,052           0           0
OLD REP INTL CORP                 COM   680223104           7         300  SH     DEFINED     03           0         300           0
OLD REP INTL CORP                 COM   680223104          36       1,500  SH     DEFINED     04       1,500           0           0
OLD REP INTL CORP                 COM   680223104       7,832     325,504  SH     DEFINED  01,08     325,504           0           0
OLD REP INTL CORP                 COM   680223104           8         320  SH     DEFINED     10         320           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    347
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
OLD SECOND BANCORP INC ILL        COM   680277100         167       6,950  SH     DEFINED     01       6,950           0           0
OLD SECOND BANCORP INC ILL        COM   680277100         579      24,128  SH     OTHER       01      18,796       5,332           0
OLD SECOND BANCORP INC ILL        COM   680277100          29       1,200  SH     OTHER       04         200           0       1,000
OLD SECOND BANCORP INC ILL        COM   680277100         180       7,500  SH     DEFINED  01,08       7,500           0           0

OLIN CORP                         COM   680665205         821      50,689  SH     DEFINED     01      43,850           0       6,839
OLIN CORP                         COM   680665205           5         300  SH     OTHER       02         300           0           0
OLIN CORP                         COM   680665205         470      29,056  SH     OTHER       04      29,056           0           0
OLIN CORP                         COM   680665205       1,693     104,576  SH     DEFINED  01,08     104,576           0           0
OLIN CORP                         COM   680665205           2         116  SH     DEFINED     10         116           0           0

OLYMPIC STEEL INC                 COM   68162K106           4       1,600  SH     DEFINED     01       1,600           0           0
OLYMPIC STEEL INC                 COM   68162K106          16       6,500  SH     OTHER       01           0       6,500           0
OLYMPIC STEEL INC                 COM   68162K106          34      13,400  SH     DEFINED  01,08      13,400           0           0

OMNICARE INC                      COM   681904108       2,088     129,516  SH     DEFINED     01     113,140       1,970      14,406
OMNICARE INC                      COM   681904108          40       2,500  SH     OTHER       01       1,000           0       1,500
OMNICARE INC                      COM   681904108          10         600  SH     OTHER       02           0           0         600
OMNICARE INC                      COM   681904108          19       1,200  SH     DEFINED     03           0       1,200           0
OMNICARE INC                      COM   681904108           6         400  SH     DEFINED     04         400           0           0
OMNICARE INC                      COM   681904108          49       3,009  SH     OTHER       04       3,009           0           0
OMNICARE INC                      COM   681904108       4,328     268,420  SH     DEFINED  01,08     268,420           0           0
OMNICARE INC                      COM   681904108           4         275  SH     DEFINED     10           0         275           0

OMNICOM GROUP INC                 COM   681919106      19,892     272,726  SH     DEFINED     01     246,404       6,461      19,861
OMNICOM GROUP INC                 COM   681919106         109       1,500  SH     OTHER       01           0       1,300         200
OMNICOM GROUP INC                 COM   681919106         282       3,865  SH     DEFINED     02       3,450         415           0
OMNICOM GROUP INC                 COM   681919106         318       4,360  SH     OTHER       02       4,200         160           0
OMNICOM GROUP INC                 COM   681919106           7         100  SH     DEFINED     03         100           0           0
OMNICOM GROUP INC                 COM   681919106          40         547  SH     OTHER       03         142         405           0
OMNICOM GROUP INC                 COM   681919106         849      11,641  SH     DEFINED     04      10,761           0         880
OMNICOM GROUP INC                 COM   681919106         149       2,045  SH     OTHER       04       1,985           0          60
OMNICOM GROUP INC                 COM   681919106      19,440     266,537  SH     DEFINED  01,08     266,537           0           0
OMNICOM GROUP INC                 COM   681919106          15         200  SH     DEFINED     09         200           0           0
OMNICOM GROUP INC                 COM   681919106         309       4,231  SH     DEFINED     10         131       4,100           0

OMTOOL LTD                        COM   681974101          52      17,300  SH     DEFINED  01,08      17,300           0           0

1-800 CONTACTS INC                COM   681977104           5         100  SH     DEFINED     03           0         100           0
1-800 CONTACTS INC                COM   681977104         568      11,834  SH     DEFINED  01,08      11,834           0           0

OMEGA FINL CORP                   COM   682092101         154       5,099  SH     DEFINED     01       3,541           0       1,558
OMEGA FINL CORP                   COM   682092101         437      14,434  SH     DEFINED  01,08      14,434           0           0

OMEGA PROTEIN CORP                COM   68210P107          46      21,757  SH     DEFINED  01,08      21,757           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    348
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
OMEGA RESEARCH INC                COM   68211E101           5       2,000  SH     DEFINED     04       2,000           0           0
OMEGA RESEARCH INC                COM   68211E101          78      29,619  SH     DEFINED  01,08      29,619           0           0

OMNIVISION TECHNOLOGIES INC       COM   682128103         695      19,200  SH     DEFINED  01,08      19,200           0           0

OMNOVA SOLUTIONS INC              COM   682129101         112      20,058  SH     DEFINED     01      13,642           0       6,416
OMNOVA SOLUTIONS INC              COM   682129101         413      74,330  SH     DEFINED  01,08      74,330           0           0

ON ASSIGNMENT INC                 COM   682159108         742      23,658  SH     DEFINED     01      21,869           0       1,789
ON ASSIGNMENT INC                 COM   682159108       1,207      38,460  SH     DEFINED  01,08      38,460           0           0

ON COMMAND CORP                   COM   682160106         331      26,935  SH     DEFINED     01      26,705           0         230
ON COMMAND CORP                   COM   682160106         226      18,436  SH     DEFINED  01,08      18,436           0           0

ON SEMICONDUCTOR CORP             COM   682189105       1,873     172,241  SH     DEFINED     01     171,568           0         673
ON SEMICONDUCTOR CORP             COM   682189105           9         800  SH     DEFINED     02           0         800           0
ON SEMICONDUCTOR CORP             COM   682189105         266      24,423  SH     DEFINED  01,08      24,423           0           0

ON TECHNOLOGY CORP                COM   68219P108           2       1,000  SH     DEFINED     04       1,000           0           0
ON TECHNOLOGY CORP                COM   68219P108          46      18,446  SH     DEFINED  01,08      18,446           0           0

ONE PRICE CLOTHING STORES INC     COM   682411103          49      31,350  SH     DEFINED  01,08      31,350           0           0

1 800 FLOWERS COM                 COM   68243Q106          34       6,742  SH     DEFINED     01       5,916           0         826
1 800 FLOWERS COM                 COM   68243Q106          70      14,115  SH     DEFINED  01,08      14,115           0           0

ONEIDA LTD                        COM   682505102         116       8,365  SH     DEFINED     01       6,263           0       2,102
ONEIDA LTD                        COM   682505102           7         500  SH     DEFINED     04           0           0         500
ONEIDA LTD                        COM   682505102         122       8,780  SH     OTHER       04       8,327           0         453
ONEIDA LTD                        COM   682505102         808      58,215  SH     DEFINED  01,08      58,215           0           0

ONEOK INC NEW                     COM   682680103       3,772      94,886  SH     DEFINED     01      80,216       7,618       7,052
ONEOK INC NEW                     COM   682680103         325       8,168  SH     OTHER       01       8,000         168           0
ONEOK INC NEW                     COM   682680103          20         500  SH     DEFINED     03         500           0           0
ONEOK INC NEW                     COM   682680103           6         150  SH     DEFINED     04         150           0           0
ONEOK INC NEW                     COM   682680103          38         965  SH     OTHER       04         965           0           0
ONEOK INC NEW                     COM   682680103       2,770      69,686  SH     DEFINED  01,08      69,686           0           0

ONESOURCE INFORMATION SVCS INC    COM   68272J106          43       4,000  SH     DEFINED     01       3,000       1,000           0
ONESOURCE INFORMATION SVCS INC    COM   68272J106         247      23,130  SH     DEFINED  01,08      23,130           0           0

ONLINE RES & COMMUNICATIONS       COM   68273G101           3         855  SH     DEFINED     04         855           0           0
ONLINE RES & COMMUNICATIONS       COM   68273G101          55      14,565  SH     DEFINED  01,08      14,565           0           0

ONTRACK DATA INTL INC             COM   683372106         179      13,400  SH     DEFINED  01,08      13,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    349
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>         <C>             <C>        <C>         <C>          <C>
ON2 COM INC                       COM   68338A107          48      19,235  SH     DEFINED     01      18,902           0         333
ON2 COM INC                       COM   68338A107          86      34,357  SH     DEFINED  01,08      34,357           0           0

ONVIA COM INC                     COM   68338T106         207      46,562  SH     DEFINED     01      46,227         150         185
ONVIA COM INC                     COM   68338T106           0          12  SH     DEFINED     03           0          12           0
ONVIA COM INC                     COM   68338T106          31       6,910  SH     DEFINED  01,08       6,910           0           0
ONVIA COM INC                     COM   68338T106           0          24  SH     DEFINED     10           0          24           0

ONYX PHARMACEUTICALS INC          COM   683399109          94       3,806  SH     DEFINED     01       3,600           0         206
ONYX PHARMACEUTICALS INC          COM   683399109         283      11,479  SH     OTHER       01           0           0      11,479
ONYX PHARMACEUTICALS INC          COM   683399109         446      18,100  SH     DEFINED  01,08      18,100           0           0

ONYX SOFTWARE CORP                COM   683402101         462      22,403  SH     DEFINED     01      21,339           0       1,064
ONYX SOFTWARE CORP                COM   683402101         945      45,811  SH     DEFINED  01,08      45,811           0           0

OPEN MKT INC                      COM   68370M100         231      36,855  SH     DEFINED     01      35,968           0         887
OPEN MKT INC                      COM   68370M100          31       5,000  SH     DEFINED     04       5,000           0           0
OPEN MKT INC                      COM   68370M100         443      70,518  SH     DEFINED  01,08      70,518           0           0

OPTA FOOD INGREDIENTS INC         COM   68381N105          13       6,100  SH     DEFINED     01       6,100           0           0
OPTA FOOD INGREDIENTS INC         COM   68381N105          36      17,000  SH     DEFINED  01,08      17,000           0           0

OPTICAL CABLE CORP                COM   683827109          63       2,597  SH     DEFINED     01       2,553           0          44
OPTICAL CABLE CORP                COM   683827109       1,065      43,686  SH     DEFINED  01,08      43,686           0           0

ORACLE CORP                       COM   68389X105     651,263   8,270,012  SH     DEFINED     01   6,921,646     846,133     502,233
ORACLE CORP                       COM   68389X105      34,320     435,811  SH     OTHER       01     212,251     187,170      36,390
ORACLE CORP                       COM   68389X105      14,745     187,233  SH     DEFINED     02      82,859      93,654      10,720
ORACLE CORP                       COM   68389X105       6,384      81,068  SH     OTHER       02      34,845      37,359       8,864
ORACLE CORP                       COM   68389X105      29,068     369,114  SH     DEFINED     03     162,481     191,608      15,025
ORACLE CORP                       COM   68389X105       5,366      68,140  SH     OTHER       03      27,990      33,300       6,850
ORACLE CORP                       COM   68389X105     146,433   1,859,471  SH     DEFINED     04   1,782,606          50      76,815
ORACLE CORP                       COM   68389X105      61,652     782,881  SH     OTHER       04     715,108           0      67,773
ORACLE CORP                       COM   68389X105       4,945      62,790  SH     DEFINED     05      46,880      13,060       2,850
ORACLE CORP                       COM   68389X105       1,814      23,040  SH     OTHER       05      16,540       6,500           0
ORACLE CORP                       COM   68389X105     330,479   4,196,556  SH     DEFINED  01,08   4,172,045      24,511           0
ORACLE CORP                       COM   68389X105         964      12,235  SH     DEFINED     09      12,235           0           0
ORACLE CORP                       COM   68389X105          28         350  SH     OTHER       09         250         100           0
ORACLE CORP                       COM   68389X105       6,603      83,848  SH     DEFINED     10      34,824      49,024           0
ORACLE CORP                       COM   68389X105         646       8,203  SH     OTHER       10         914       7,089         200

OPPENHEIMER MULTI-SECTOR INCOM    COM   683933105         420      51,308  SH     DEFINED     01       1,908      49,400           0
OPPENHEIMER MULTI-SECTOR INCOM    COM   683933105          10       1,200  SH     DEFINED     03       1,200           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    350
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
OPTION CARE INC                   COM   683948103          15       2,000  SH     DEFINED     01           0           0       2,000
OPTION CARE INC                   COM   683948103         119      16,300  SH     DEFINED  01,08      16,300           0           0

OPTI INC                          COM   683960108          72      13,000  SH     DEFINED     01      13,000           0           0
OPTI INC                          COM   683960108          92      16,700  SH     DEFINED  01,08      16,700           0           0

OPTIKA INC                        COM   683973101           2         500  SH     DEFINED     02           0         500           0
OPTIKA INC                        COM   683973101          48      13,727  SH     DEFINED  01,08      13,727           0           0

OPUS360 CORP                      COM   68400F109          10       4,504  SH     DEFINED     01       3,201           8       1,295
OPUS360 CORP                      COM   68400F109           0          10  SH     DEFINED     02          10           0           0
OPUS360 CORP                      COM   68400F109           0          10  SH     DEFINED     04          10           0           0
OPUS360 CORP                      COM   68400F109           0         100  SH     OTHER       04         100           0           0
OPUS360 CORP                      COM   68400F109          28      12,193  SH     DEFINED  01,08      12,193           0           0

ORAPHARMA INC                     COM   68554E106         232      17,249  SH     DEFINED  01,08      17,249           0           0

ORATEC INTERVENTIONS INC          COM   68554M108         535      43,661  SH     DEFINED     01      36,342       1,500       5,819
ORATEC INTERVENTIONS INC          COM   68554M108         375      30,643  SH     DEFINED  01,08      30,643           0           0

ORBITAL SCIENCES CORP             COM   685564106         655      78,180  SH     DEFINED     01      75,410           0       2,770
ORBITAL SCIENCES CORP             COM   685564106           9       1,100  SH     OTHER       04       1,000           0         100
ORBITAL SCIENCES CORP             COM   685564106         571      68,125  SH     DEFINED  01,08      68,125           0           0

ORCHID BIOSCIENCES INC            COM   68571P100         209       6,138  SH     DEFINED     01       6,022           0         116
ORCHID BIOSCIENCES INC            COM   68571P100         105       3,085  SH     OTHER       05       3,085           0           0
ORCHID BIOSCIENCES INC            COM   68571P100       1,030      30,294  SH     DEFINED  01,08      30,294           0           0

ORGANOGENESIS INC                 COM   685906109         542      36,890  SH     DEFINED     01      34,283           0       2,607
ORGANOGENESIS INC                 COM   685906109          15       1,000  SH     OTHER       04           0           0       1,000
ORGANOGENESIS INC                 COM   685906109         817      55,592  SH     DEFINED  01,08      55,592           0           0

OREGON STL MLS INC                COM   686079104          53      28,200  SH     DEFINED     01      28,200           0           0
OREGON STL MLS INC                COM   686079104          63      33,391  SH     DEFINED  01,08      33,391           0           0

O REILLY AUTOMOTIVE INC           COM   686091109         421      28,812  SH     DEFINED     01      21,341           0       7,471
O REILLY AUTOMOTIVE INC           COM   686091109          86       5,900  SH     DEFINED     04       5,900           0           0
O REILLY AUTOMOTIVE INC           COM   686091109       1,376      94,097  SH     DEFINED  01,08      94,097           0           0

ORGANIC INC                       COM   68617E101          16       3,543  SH     DEFINED     01       2,533           0       1,010
ORGANIC INC                       COM   68617E101           0         100  SH     DEFINED     04         100           0           0
ORGANIC INC                       COM   68617E101         363      80,591  SH     DEFINED  01,08      80,591           0           0

ORIENTAL FINL GROUP INC           COM   68618W100         108       6,982  SH     DEFINED     01       5,046           0       1,936
ORIENTAL FINL GROUP INC           COM   68618W100         197      12,691  SH     DEFINED  01,08      12,691           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    351
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
ORIGINAL SIXTEEN TO ONE MINE      COM   686203100           8       9,452  SH     OTHER       01       2,452       7,000           0
ORIGINAL SIXTEEN TO ONE MINE      COM   686203100          11      12,354  SH     DEFINED     02      12,354           0           0

ORIOLE HOMES CORP              CONV PFD 686264102          14      10,860         DEFINED  01,08      10,860           0           0

ORLEANS HOMEBUILDERS INC          COM   686588104          23      16,850  SH     DEFINED  01,08      16,850           0           0

ORPHAN MED INC                    COM   687303107         149      12,046  SH     DEFINED  01,08      12,046           0           0

ORTEC INTL INC                    COM   68749B108          47       4,000  SH     DEFINED     04       4,000           0           0
ORTEC INTL INC                    COM   68749B108          71       6,026  SH     DEFINED  01,08       6,026           0           0

ORTHOLOGIC CORP                   COM   68750J107          33      10,900  SH     DEFINED     01      10,900           0           0
ORTHOLOGIC CORP                   COM   68750J107         124      41,274  SH     DEFINED  01,08      41,274           0           0

ORTHODONTIC CTRS AMER INC         COM   68750P103       1,563      46,910  SH     DEFINED     01      41,080       2,000       3,830
ORTHODONTIC CTRS AMER INC         COM   68750P103       3,833     115,053  SH     DEFINED  01,08     115,053           0           0

OSCA INC                          COM   687836106          67       4,000  SH     DEFINED     01           0       4,000           0
OSCA INC                          COM   687836106         118       7,100  SH     DEFINED  01,08       7,100           0           0

OSHKOSH B GOSH INC                COM   688222207         183      12,041  SH     DEFINED     01      10,841           0       1,200
OSHKOSH B GOSH INC                COM   688222207          78       5,140  SH     OTHER       04       5,140           0           0
OSHKOSH B GOSH INC                COM   688222207         618      40,589  SH     DEFINED  01,08      40,589           0           0

OSHKOSH TRUCK CORP                COM   688239201         539      13,921  SH     DEFINED     01       9,120       1,600       3,201
OSHKOSH TRUCK CORP                COM   688239201          29         750  SH     OTHER       01           0         750           0
OSHKOSH TRUCK CORP                COM   688239201       2,494      64,352  SH     DEFINED  01,08      64,352           0           0

OSHMANS SPORTING GOODS INC        COM   688260108         118      19,818  SH     DEFINED  01,08      19,818           0           0

OSICOM TECHNOLOGIES INC           COM   688271501         188       7,606  SH     DEFINED     01       6,426           0       1,180
OSICOM TECHNOLOGIES INC           COM   688271501         315      12,711  SH     DEFINED  01,08      12,711           0           0

OSMONICS INC                      COM   688350107          47       5,900  SH     DEFINED     01       5,900           0           0
OSMONICS INC                      COM   688350107           2         280  SH     OTHER       02           0         280           0
OSMONICS INC                      COM   688350107         285      35,681  SH     DEFINED  01,08      35,681           0           0

OSTEOTECH INC                     COM   688582105           4         375  SH     DEFINED     01           0         375           0
OSTEOTECH INC                     COM   688582105         243      25,462  SH     DEFINED  01,08      25,462           0           0

OSTEX INTL INC                    COM   68859Q101          36      18,686  SH     DEFINED  01,08      18,686           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    352
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
OTTAWA FINL CORP                  COM   689389104          76       2,670  SH     DEFINED     01       2,670           0           0
OTTAWA FINL CORP                  COM   689389104          22         780  SH     DEFINED     03           0         780           0
OTTAWA FINL CORP                  COM   689389104         281       9,853  SH     DEFINED  01,08       9,853           0           0
OTTAWA FINL CORP                  COM   689389104          22         765  SH     DEFINED     10         765           0           0

OTTER TAIL PWR CO                 COM   689648103         399      17,244  SH     DEFINED     01      11,023       2,000       4,221
OTTER TAIL PWR CO                 COM   689648103          46       2,000  SH     OTHER       02           0       2,000           0
OTTER TAIL PWR CO                 COM   689648103       1,751      75,705  SH     DEFINED  01,08      75,705           0           0
OTTER TAIL PWR CO                 COM   689648103           5         200  SH     DEFINED     10         200           0           0

OUTBACK STEAKHOUSE INC            COM   689899102       1,457      53,713  SH     DEFINED     01      48,978       2,000       2,735
OUTBACK STEAKHOUSE INC            COM   689899102         272      10,028  SH     DEFINED     04       6,528           0       3,500
OUTBACK STEAKHOUSE INC            COM   689899102          50       1,850  SH     OTHER       04       1,850           0           0
OUTBACK STEAKHOUSE INC            COM   689899102       4,610     169,963  SH     DEFINED  01,08     169,963           0           0
OUTBACK STEAKHOUSE INC            COM   689899102           9         327  SH     DEFINED     10         327           0           0

OUTLOOK GROUP CORP                COM   690113105          65      11,200  SH     DEFINED  01,08      11,200           0           0

OVERLAND DATA INC                 COM   690213103          23       2,600  SH     DEFINED     01       2,600           0           0
OVERLAND DATA INC                 COM   690213103         175      19,772  SH     DEFINED  01,08      19,772           0           0

OVERSEAS SHIPHOLDING GROUP INC    COM   690368105       1,947      71,129  SH     DEFINED     01      65,947           0       5,182
OVERSEAS SHIPHOLDING GROUP INC    COM   690368105       2,643      96,535  SH     DEFINED  01,08      96,535           0           0

OWENS CORNING                     COM   69073F103         268     101,978  SH     DEFINED     01      93,046          19       8,913
OWENS CORNING                     COM   69073F103           0         100  SH     DEFINED     02           0         100           0
OWENS CORNING                     COM   69073F103           1         500  SH     DEFINED     04         500           0           0
OWENS CORNING                     COM   69073F103         166      63,413  SH     DEFINED  01,08      63,413           0           0

OWENS & MINOR INC NEW             COM   690732102         749      47,561  SH     DEFINED     01      39,872           0       7,689
OWENS & MINOR INC NEW             COM   690732102       1,571      99,738  SH     DEFINED  01,08      99,738           0           0

OWENS ILL INC                     COM   690768403       2,333     252,267  SH     DEFINED     01     208,192      37,268       6,807
OWENS ILL INC                     COM   690768403           3         300  SH     DEFINED     03           0         300           0
OWENS ILL INC                     COM   690768403           1         100  SH     DEFINED     04         100           0           0
OWENS ILL INC                     COM   690768403           5         500  SH     OTHER       04         500           0           0
OWENS ILL INC                     COM   690768403       2,098     226,832  SH     DEFINED  01,08     226,832           0           0

OXFORD HEALTH PLANS INC           COM   691471106       1,648      53,619  SH     DEFINED     01      50,477           0       3,142
OXFORD HEALTH PLANS INC           COM   691471106          12         400  SH     DEFINED     04         400           0           0
OXFORD HEALTH PLANS INC           COM   691471106          15         500  SH     OTHER       04         500           0           0
OXFORD HEALTH PLANS INC           COM   691471106       7,056     229,589  SH     DEFINED  01,08     229,589           0           0
OXFORD HEALTH PLANS INC           COM   691471106         182       5,913  SH     DEFINED     10       5,913           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    353
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
OXFORD INDS INC                   COM   691497309           7         400  SH     DEFINED     01           0         400           0
OXFORD INDS INC                   COM   691497309         560      31,336  SH     DEFINED  01,08      31,336           0           0

OXFORD TAX EXEMPT FD L P       UNDEFIND 69181P100         206       7,750         DEFINED     04       7,750           0           0
OXFORD TAX EXEMPT FD L P       UNDEFIND 69181P100          73       2,750         OTHER       04       2,750           0           0

OXIGENE INC                       COM   691828107          41       4,000  SH     DEFINED     04       4,000           0           0
OXIGENE INC                       COM   691828107         131      12,800  SH     DEFINED  01,08      12,800           0           0

OXIS INTERNATIONAL INC            COM   691829402          12      10,941  SH     DEFINED  01,08      10,941           0           0

P A M TRANSN SVCS INC             COM   693149106         178      20,060  SH     DEFINED  01,08      20,060           0           0

PBOC HLDGS INC                    COM   69316G108         218      25,693  SH     DEFINED  01,08      25,693           0           0

P C CONNECTION                    COM   69318J100         284       4,988  SH     DEFINED     01       4,753           0         235
P C CONNECTION                    COM   69318J100       1,717      30,118  SH     DEFINED  01,08      30,118           0           0

PCD INC                           COM   69318P106         130      11,400  SH     DEFINED  01,08      11,400           0           0

PC-TEL INC                        COM   69325Q105         316      13,591  SH     DEFINED     01      13,368           0         223
PC-TEL INC                        COM   69325Q105         592      25,448  SH     DEFINED  01,08      25,448           0           0

P-COM INC                         COM   693262107         552      83,249  SH     DEFINED     01      77,767           0       5,482
P-COM INC                         COM   693262107         612      92,377  SH     DEFINED  01,08      92,377           0           0

PECO ENERGY CO                    COM   693304107      22,295     368,142  SH     DEFINED     01     270,293      73,039      24,810
PECO ENERGY CO                    COM   693304107         206       3,400  SH     OTHER       01       2,700           0         700
PECO ENERGY CO                    COM   693304107          81       1,339  SH     DEFINED     02       1,339           0           0
PECO ENERGY CO                    COM   693304107          18         300  SH     OTHER       02           0           0         300
PECO ENERGY CO                    COM   693304107          18         300  SH     DEFINED     03         300           0           0
PECO ENERGY CO                    COM   693304107         127       2,095  SH     OTHER       03       2,095           0           0
PECO ENERGY CO                    COM   693304107         185       3,053  SH     DEFINED     04       3,053           0           0
PECO ENERGY CO                    COM   693304107         316       5,215  SH     OTHER       04       5,215           0           0
PECO ENERGY CO                    COM   693304107           9         150  SH     DEFINED     05         150           0           0
PECO ENERGY CO                    COM   693304107      15,758     260,203  SH     DEFINED  01,08     260,203           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    354
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PG&E CORP                         COM   69331C108      17,039     704,483  SH     DEFINED     01     564,274     102,250      37,959
PG&E CORP                         COM   69331C108         196       8,123  SH     OTHER       01       3,700       4,123         300
PG&E CORP                         COM   69331C108          29       1,183  SH     DEFINED     02       1,129          54           0
PG&E CORP                         COM   69331C108         151       6,232  SH     OTHER       02       4,700       1,532           0
PG&E CORP                         COM   69331C108         254      10,515  SH     DEFINED     03       5,967       1,700       2,848
PG&E CORP                         COM   69331C108         104       4,283  SH     OTHER       03       3,683         600           0
PG&E CORP                         COM   69331C108         215       8,890  SH     DEFINED     04       8,890           0           0
PG&E CORP                         COM   69331C108         335      13,835  SH     OTHER       04      10,694           0       3,141
PG&E CORP                         COM   69331C108          15         631  SH     DEFINED     05         631           0           0
PG&E CORP                         COM   69331C108      14,314     591,806  SH     DEFINED  01,08     591,806           0           0
PG&E CORP                         COM   69331C108          10         400  SH     OTHER       10         400           0           0

PFF BANCORP INC                   COM   69331W104         418      19,220  SH     DEFINED     01      16,384         300       2,536
PFF BANCORP INC                   COM   69331W104         463      21,280  SH     DEFINED  01,08      21,280           0           0

PE CORP                           COM   69332S102      91,132     782,246  SH     DEFINED     01     556,378     167,875      57,993
PE CORP                           COM   69332S102       3,577      30,707  SH     OTHER       01      14,820      11,632       4,255
PE CORP                           COM   69332S102       4,114      35,315  SH     DEFINED     02      16,515      13,550       5,250
PE CORP                           COM   69332S102         874       7,500  SH     OTHER       02       2,175       4,650         675
PE CORP                           COM   69332S102       6,554      56,261  SH     DEFINED     03      20,736      29,640       5,885
PE CORP                           COM   69332S102       1,213      10,410  SH     OTHER       03       4,400       4,710       1,300
PE CORP                           COM   69332S102      32,365     277,810  SH     DEFINED     04     267,635           0      10,175
PE CORP                           COM   69332S102      10,397      89,245  SH     OTHER       04      82,670           0       6,575
PE CORP                           COM   69332S102       1,627      13,965  SH     DEFINED     05       7,345       4,145       2,475
PE CORP                           COM   69332S102         160       1,375  SH     OTHER       05       1,025         350           0
PE CORP                           COM   69332S102      39,656     340,397  SH     DEFINED  01,08     340,397           0           0
PE CORP                           COM   69332S102          47         400  SH     DEFINED     09         400           0           0
PE CORP                           COM   69332S102          49         422  SH     DEFINED     10         422           0           0

PE CORP                           COM   69332S201       1,282      12,866  SH     DEFINED     01      10,059         350       2,457
PE CORP                           COM   69332S201          50         502  SH     OTHER       01         400         102           0
PE CORP                           COM   69332S201          20         200  SH     OTHER       02         100         100           0
PE CORP                           COM   69332S201         139       1,400  SH     DEFINED     03           0       1,400           0
PE CORP                           COM   69332S201          47         475  SH     DEFINED     04         475           0           0
PE CORP                           COM   69332S201         159       1,600  SH     OTHER       04       1,400           0         200
PE CORP                           COM   69332S201       9,054      90,881  SH     DEFINED  01,08      90,881           0           0
PE CORP                           COM   69332S201          20         200  SH     DEFINED     09         200           0           0
PE CORP                           COM   69332S201          40         400  SH     DEFINED     10           0         400           0

P F CHANGS CHINA BISTRO INC       COM   69333Y108       7,702     222,851  SH     DEFINED     01     208,237           0      14,614
P F CHANGS CHINA BISTRO INC       COM   69333Y108         171       4,959  SH     OTHER       04       4,959           0           0
P F CHANGS CHINA BISTRO INC       COM   69333Y108         350      10,120  SH     DEFINED  01,08      10,120           0           0

PICO HLDGS INC                    COM   693366205         166      12,706  SH     DEFINED     01      10,368           0       2,338
PICO HLDGS INC                    COM   693366205         335      25,622  SH     DEFINED  01,08      25,622           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    355
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>

PLC SYS INC                       COM   69341D104          24      24,400  SH     DEFINED  01,08      24,400           0           0

PLM INTL INC                      COM   69341L205           4         540  SH     OTHER       01         540           0           0
PLM INTL INC                      COM   69341L205         155      23,200  SH     DEFINED  01,08      23,200           0           0

PLX TECHNOLOGY INC                COM   693417107         425      15,806  SH     DEFINED     01      15,331           0         475
PLX TECHNOLOGY INC                COM   693417107           5         200  SH     OTHER       04         200           0           0
PLX TECHNOLOGY INC                COM   693417107         853      31,737  SH     DEFINED  01,08      31,737           0           0

PMA CAP CORP                      COM   693419202         181      10,073  SH     DEFINED     01       6,868           0       3,205
PMA CAP CORP                      COM   693419202         300      16,682  SH     DEFINED  01,08      16,682           0           0

PMC CAP INC                       COM   693430100          11       1,200  SH     DEFINED     04       1,200           0           0
PMC CAP INC                       COM   693430100           4         400  SH     OTHER       04           0           0         400
PMC CAP INC                       COM   693430100         227      24,245  SH     DEFINED  01,08      24,245           0           0

PMC-SIERRA INC                    COM   69344F106      84,973     394,763  SH     DEFINED     01     368,336       5,985      20,442
PMC-SIERRA INC                    COM   69344F106         352       1,635  SH     OTHER       01         400       1,235           0
PMC-SIERRA INC                    COM   69344F106           5          25  SH     DEFINED     02          25           0           0
PMC-SIERRA INC                    COM   69344F106          82         381  SH     DEFINED     03         150          31         200
PMC-SIERRA INC                    COM   69344F106          11          50  SH     OTHER       03           0          50           0
PMC-SIERRA INC                    COM   69344F106         180         837  SH     DEFINED     04         837           0           0
PMC-SIERRA INC                    COM   69344F106         626       2,906  SH     OTHER       04       2,906           0           0
PMC-SIERRA INC                    COM   69344F106       3,034      14,095  SH     DEFINED  01,08      14,095           0           0
PMC-SIERRA INC                    COM   69344F106          35         162  SH     DEFINED     10         162           0           0

PMI GROUP INC                     COM   69344M101       1,972      29,103  SH     DEFINED     01      27,129           0       1,974
PMI GROUP INC                     COM   69344M101       8,178     120,711  SH     DEFINED  01,08     120,711           0           0

PNC FINL SVCS GROUP INC           COM   693475105      35,445     545,315  SH     DEFINED     01     424,975      85,205      35,135
PNC FINL SVCS GROUP INC           COM   693475105       1,231      18,946  SH     OTHER       01      13,296       5,450         200
PNC FINL SVCS GROUP INC           COM   693475105          33         500  SH     DEFINED     02         500           0           0
PNC FINL SVCS GROUP INC           COM   693475105          83       1,275  SH     OTHER       02       1,275           0           0
PNC FINL SVCS GROUP INC           COM   693475105         147       2,260  SH     DEFINED     03         100       1,760         400
PNC FINL SVCS GROUP INC           COM   693475105          94       1,440  SH     OTHER       03           0       1,440           0
PNC FINL SVCS GROUP INC           COM   693475105       3,071      47,247  SH     DEFINED     04      42,847           0       4,400
PNC FINL SVCS GROUP INC           COM   693475105       2,959      45,518  SH     OTHER       04      43,272           0       2,246
PNC FINL SVCS GROUP INC           COM   693475105      61,661     948,638  SH     DEFINED  01,08     450,041     409,187      89,410
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    356
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PPG INDS INC                      COM   693506107      12,447     313,629  SH     DEFINED     01     256,983      45,444      11,202
PPG INDS INC                      COM   693506107         402      10,140  SH     OTHER       01       9,540         600           0
PPG INDS INC                      COM   693506107         208       5,248  SH     DEFINED     02       5,248           0           0
PPG INDS INC                      COM   693506107         229       5,760  SH     OTHER       02       4,560       1,200           0
PPG INDS INC                      COM   693506107         798      20,108  SH     DEFINED     03       7,133      12,575         400
PPG INDS INC                      COM   693506107         685      17,268  SH     OTHER       03      16,068           0       1,200
PPG INDS INC                      COM   693506107         573      14,443  SH     DEFINED     04      14,443           0           0
PPG INDS INC                      COM   693506107       2,212      55,730  SH     OTHER       04      51,730           0       4,000
PPG INDS INC                      COM   693506107      15,819     398,593  SH     DEFINED  01,08     281,827     116,766           0
PPG INDS INC                      COM   693506107         139       3,500  SH     DEFINED     10         600       2,900           0
PPG INDS INC                      COM   693506107          49       1,236  SH     OTHER       10           0       1,236           0

PPL CORP                          COM   69351T106      10,842     259,695  SH     DEFINED     01     205,767      40,018      13,910
PPL CORP                          COM   69351T106          42       1,000  SH     OTHER       01           0         900         100
PPL CORP                          COM   69351T106           4         100  SH     DEFINED     03         100           0           0
PPL CORP                          COM   69351T106         478      11,450  SH     DEFINED     04      11,450           0           0
PPL CORP                          COM   69351T106         911      21,819  SH     OTHER       04      21,819           0           0
PPL CORP                          COM   69351T106       9,205     220,470  SH     DEFINED  01,08     220,470           0           0

PRI AUTOMATION INC                COM   69357H106         409      22,395  SH     DEFINED     01      20,735           0       1,660
PRI AUTOMATION INC                COM   69357H106         647      35,462  SH     DEFINED  01,08      35,462           0           0

PS BUSINESS PKS INC CALIF         COM   69360J107         377      13,826  SH     DEFINED     01       9,406           0       4,420
PS BUSINESS PKS INC CALIF         COM   69360J107         164       6,016  SH     DEFINED  01,08       6,016           0           0

PSC INC                           COM   69361E107          59      19,650  SH     DEFINED  01,08      19,650           0           0

PSS WORLD MED INC                 COM   69366A100         488     134,485  SH     DEFINED     01     122,211           0      12,274
PSS WORLD MED INC                 COM   69366A100           2         500  SH     DEFINED     04         500           0           0
PSS WORLD MED INC                 COM   69366A100           1         300  SH     OTHER       04         300           0           0
PSS WORLD MED INC                 COM   69366A100         746     205,759  SH     DEFINED  01,08     205,759           0           0

PTEK HLDGS INC                    COM   69366M104          16       5,100  SH     DEFINED     01       5,100           0           0
PTEK HLDGS INC                    COM   69366M104          64      20,700  SH     DEFINED     04           0           0      20,700
PTEK HLDGS INC                    COM   69366M104         190      61,322  SH     DEFINED  01,08      61,322           0           0

PAC-WEST TELECOM INC              COM   69371Y101         150      16,395  SH     DEFINED     01      15,500           0         895
PAC-WEST TELECOM INC              COM   69371Y101           0          10  SH     DEFINED     04          10           0           0
PAC-WEST TELECOM INC              COM   69371Y101         470      51,469  SH     DEFINED  01,08      51,469           0           0

PACCAR INC                        COM   693718108       5,088     137,286  SH     DEFINED     01     110,542      19,528       7,216
PACCAR INC                        COM   693718108          19         500  SH     OTHER       04         500           0           0
PACCAR INC                        COM   693718108       4,317     116,481  SH     DEFINED  01,08     116,481           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    357
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PACIFIC AMERN INCOME SHS INC   UNDEFIND 693796104           5      40,000         DEFINED     01           0      40,000           0
PACIFIC AMERN INCOME SHS INC   UNDEFIND 693796104           0         500         OTHER       03         500           0           0

PACER TECHNOLOGY                  COM   693905101          23      25,400  SH     DEFINED  01,08      25,400           0           0

PACIFIC CAP BANCORP NEW           COM   69404P101         895      33,460  SH     DEFINED     01      23,085       9,488         887
PACIFIC CAP BANCORP NEW           COM   69404P101         231       8,651  SH     OTHER       01           0       8,651           0
PACIFIC CAP BANCORP NEW           COM   69404P101         526      19,667  SH     DEFINED     03      15,292       1,264       3,111
PACIFIC CAP BANCORP NEW           COM   69404P101       1,187      44,384  SH     OTHER       03           0      44,384           0
PACIFIC CAP BANCORP NEW           COM   69404P101         782      29,248  SH     DEFINED  01,08      29,248           0           0

PACIFIC CENTY FINL CORP           COM   694058108       1,295      75,620  SH     DEFINED     01      51,223      22,000       2,397
PACIFIC CENTY FINL CORP           COM   694058108       1,434      83,748  SH     DEFINED     03       4,050           0      79,698
PACIFIC CENTY FINL CORP           COM   694058108          15         900  SH     OTHER       04         900           0           0
PACIFIC CENTY FINL CORP           COM   694058108       3,768     220,011  SH     DEFINED  01,08     220,011           0           0

PACIFIC GATEWAY EXCHANGE INC      COM   694327107          39      24,724  SH     DEFINED  01,08      24,724           0           0

PACIFIC GULF PPTYS INC            COM   694396102         300      11,230  SH     DEFINED     01       7,699           0       3,531
PACIFIC GULF PPTYS INC            COM   694396102          13         500  SH     DEFINED     03         500           0           0
PACIFIC GULF PPTYS INC            COM   694396102           3         100  SH     OTHER       04           0           0         100
PACIFIC GULF PPTYS INC            COM   694396102         127       4,750  SH     DEFINED  01,08       4,750           0           0

PACIFIC NORTHWEST BANCORP         COM   69466M103         186      14,395  SH     DEFINED     01      11,748           0       2,647
PACIFIC NORTHWEST BANCORP         COM   69466M103         304      23,532  SH     DEFINED  01,08      23,532           0           0

PACIFIC SUNWEAR CALIF INC         COM   694873100         634      33,826  SH     DEFINED     01      31,908           0       1,918
PACIFIC SUNWEAR CALIF INC         COM   694873100          19       1,000  SH     OTHER       01           0           0       1,000
PACIFIC SUNWEAR CALIF INC         COM   694873100           6         300  SH     DEFINED     03           0         300           0
PACIFIC SUNWEAR CALIF INC         COM   694873100         119       6,350  SH     DEFINED     04           0           0       6,350
PACIFIC SUNWEAR CALIF INC         COM   694873100           4         200  SH     OTHER       04         200           0           0
PACIFIC SUNWEAR CALIF INC         COM   694873100         929      49,557  SH     DEFINED  01,08      49,557           0           0

PACIFIC UN BK CALIF               COM   695025106          76       8,100  SH     DEFINED     04           0           0       8,100
PACIFIC UN BK CALIF               COM   695025106          44       4,700  SH     DEFINED  01,08       4,700           0           0

PACIFICARE HEALTH SYS DEL         COM   695112102         807      23,176  SH     DEFINED     01      21,327           0       1,849
PACIFICARE HEALTH SYS DEL         COM   695112102           3         100  SH     OTHER       01         100           0           0
PACIFICARE HEALTH SYS DEL         COM   695112102           3         100  SH     DEFINED     03           0         100           0
PACIFICARE HEALTH SYS DEL         COM   695112102       3,336      95,821  SH     DEFINED  01,08      95,821           0           0
PACIFICARE HEALTH SYS DEL         COM   695112102          29         828  SH     DEFINED     09         828           0           0

PACKAGED ICE INC                  COM   695148106          67      24,442  SH     DEFINED  01,08      24,442           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    358
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PACKAGING CORP AMER               COM   695156109       3,501     316,485  SH     DEFINED     01     268,969      22,800      24,716
PACKAGING CORP AMER               COM   695156109       1,273     115,082  SH     DEFINED  01,08     115,082           0           0

PACKARD BIOSCIENCE INC            COM   695172205         885      45,377  SH     DEFINED     01      44,560           0         817
PACKARD BIOSCIENCE INC            COM   695172205       1,151      59,048  SH     DEFINED  01,08      59,048           0           0

PACKETEER INC                     COM   695210104         643      16,949  SH     DEFINED     01      16,655           0         294
PACKETEER INC                     COM   695210104       1,387      36,554  SH     DEFINED  01,08      36,554           0           0

PACTIV CORP                       COM   695257105       4,202     375,611  SH     DEFINED     01     295,523      43,223      36,865
PACTIV CORP                       COM   695257105          21       1,844  SH     OTHER       01         555         748         541
PACTIV CORP                       COM   695257105           2         212  SH     DEFINED     03         157          55           0
PACTIV CORP                       COM   695257105           6         558  SH     OTHER       03         558           0           0
PACTIV CORP                       COM   695257105          16       1,410  SH     DEFINED     04       1,410           0           0
PACTIV CORP                       COM   695257105          25       2,200  SH     OTHER       04       1,200           0       1,000
PACTIV CORP                       COM   695257105       3,212     287,112  SH     DEFINED  01,08     287,112           0           0

PAIN THERATEUTICS INC             COM   69562K100         429      21,650  SH     DEFINED  01,08      21,650           0           0

PAINE WEBBER GROUP INC            COM   695629105      17,745     260,482  SH     DEFINED     01     207,368      40,000      13,114
PAINE WEBBER GROUP INC            COM   695629105           7         100  SH     DEFINED     03         100           0           0
PAINE WEBBER GROUP INC            COM   695629105         139       2,038  SH     DEFINED     04       2,038           0           0
PAINE WEBBER GROUP INC            COM   695629105         115       1,688  SH     OTHER       04       1,688           0           0
PAINE WEBBER GROUP INC            COM   695629105      15,855     232,741  SH     DEFINED  01,08     232,741           0           0
PAINE WEBBER GROUP INC            COM   695629105          46         670  SH     DEFINED     10         670           0           0

PALL CORP                         COM   696429307       4,412     221,322  SH     DEFINED     01     179,092      33,009       9,221
PALL CORP                         COM   696429307          28       1,400  SH     OTHER       01       1,400           0           0
PALL CORP                         COM   696429307           3         145  SH     DEFINED     03           0         145           0
PALL CORP                         COM   696429307           2         100  SH     DEFINED     04         100           0           0
PALL CORP                         COM   696429307      32,633   1,636,805  SH     DEFINED  01,08     191,661   1,177,594     267,550
PALL CORP                         COM   696429307           2         100  SH     DEFINED     10           0         100           0

PALM HARBOR HOMES                 COM   696639103         149      10,856  SH     DEFINED     01       7,628           0       3,228
PALM HARBOR HOMES                 COM   696639103         471      34,239  SH     DEFINED  01,08      34,239           0           0

PALM INC                          COM   696642107      75,345   1,423,305  SH     DEFINED     01   1,332,671      23,394      67,240
PALM INC                          COM   696642107         398       7,513  SH     OTHER       01       3,559       3,606         348
PALM INC                          COM   696642107         101       1,905  SH     DEFINED     02       1,705         200           0
PALM INC                          COM   696642107         232       4,374  SH     OTHER       02         222       2,669       1,483
PALM INC                          COM   696642107         373       7,038  SH     DEFINED     03         444       6,594           0
PALM INC                          COM   696642107           0           4  SH     OTHER       03           4           0           0
PALM INC                          COM   696642107         681      12,869  SH     DEFINED     04      12,869           0           0
PALM INC                          COM   696642107         401       7,572  SH     OTHER       04       7,572           0           0
PALM INC                          COM   696642107      43,741     826,286  SH     DEFINED  01,08     826,286           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    359
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PANAMSAT CORP NEW                 COM   697933109          97       3,036  SH     DEFINED     01       2,121           0         915
PANAMSAT CORP NEW                 COM   697933109         989      30,977  SH     DEFINED  01,08      30,977           0           0

PANERA BREAD CO                   COM   69840W108          15         700  SH     DEFINED     01           0           0         700
PANERA BREAD CO                   COM   69840W108          73       3,500  SH     OTHER       01           0       3,500           0
PANERA BREAD CO                   COM   69840W108         430      20,600  SH     DEFINED  01,08      20,600           0           0

PANJA INC                         COM   698493103         143      14,525  SH     DEFINED  01,08      14,525           0           0

PANTRY INC                        COM   698657103         187      14,228  SH     DEFINED  01,08      14,228           0           0

PAPA JOHNS INTL INC               COM   698813102         818      32,645  SH     DEFINED     01      31,669           0         976
PAPA JOHNS INTL INC               COM   698813102           3         100  SH     DEFINED     04         100           0           0
PAPA JOHNS INTL INC               COM   698813102       1,740      69,428  SH     DEFINED  01,08      69,428           0           0

PAR TECHNOLOGY CORP               COM   698884103          37      12,100  SH     DEFINED     01      12,100           0           0
PAR TECHNOLOGY CORP               COM   698884103          10       3,188  SH     DEFINED  01,08       3,188           0           0

PARADIGM GENETICS INC             COM   69900R106         129       5,396  SH     DEFINED     01       5,219           0         177
PARADIGM GENETICS INC             COM   69900R106          24       1,000  SH     OTHER       04       1,000           0           0
PARADIGM GENETICS INC             COM   69900R106         679      28,451  SH     DEFINED  01,08      28,451           0           0

PARADYNE NETWORKS INC             COM   69911G107          92      17,047  SH     DEFINED     01      16,754           0         293
PARADYNE NETWORKS INC             COM   69911G107         200      36,945  SH     DEFINED  01,08      36,945           0           0

PARAGON TECHNOLOGIES INC          COM   69912T108         104      14,689  SH     DEFINED  01,08      14,689           0           0

PARALLEL PETE CORP DEL            COM   699157103         210      46,600  SH     DEFINED  01,08      46,600           0           0

PARAMETRIC TECHNOLOGY CORP        COM   699173100       5,072     463,721  SH     DEFINED     01     379,489      69,792      14,440
PARAMETRIC TECHNOLOGY CORP        COM   699173100           2         200  SH     OTHER       02         200           0           0
PARAMETRIC TECHNOLOGY CORP        COM   699173100           9         800  SH     DEFINED     03           0         800           0
PARAMETRIC TECHNOLOGY CORP        COM   699173100          22       2,000  SH     OTHER       03       2,000           0           0
PARAMETRIC TECHNOLOGY CORP        COM   699173100          44       3,979  SH     DEFINED     04       3,907           0          72
PARAMETRIC TECHNOLOGY CORP        COM   699173100       4,447     406,628  SH     DEFINED  01,08     406,628           0           0
PARAMETRIC TECHNOLOGY CORP        COM   699173100           8         735  SH     DEFINED     10         735           0           0

PAREXEL INTL CORP                 COM   699462107         140      16,449  SH     DEFINED     01      11,708         650       4,091
PAREXEL INTL CORP                 COM   699462107          18       2,100  SH     DEFINED     04           0           0       2,100
PAREXEL INTL CORP                 COM   699462107         405      47,649  SH     DEFINED  01,08      47,649           0           0

PARIS CORP                        COM   699556106          36      17,600  SH     DEFINED  01,08      17,600           0           0

PARK ELECTROCHEMICAL CORP         COM   700416209       1,361      24,470  SH     DEFINED     01      21,601         500       2,369
PARK ELECTROCHEMICAL CORP         COM   700416209       1,642      29,522  SH     DEFINED  01,08      29,522           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    360
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PARK NATL CORP                    COM   700658107         928       9,664  SH     DEFINED     01       9,513           0         151
PARK NATL CORP                    COM   700658107         101       1,050  SH     OTHER       04       1,050           0           0
PARK NATL CORP                    COM   700658107       1,543      16,070  SH     DEFINED  01,08      16,070           0           0

PARK OHIO HLDGS CORP              COM   700666100          39       5,000  SH     DEFINED     01       5,000           0           0
PARK OHIO HLDGS CORP              COM   700666100          54       6,800  SH     DEFINED     04           0           0       6,800
PARK OHIO HLDGS CORP              COM   700666100         240      30,475  SH     DEFINED  01,08      30,475           0           0

PARK PL ENTMT CORP                COM   700690100       3,135     207,292  SH     DEFINED     01     186,251       7,200      13,841
PARK PL ENTMT CORP                COM   700690100          20       1,350  SH     OTHER       01           0       1,350           0
PARK PL ENTMT CORP                COM   700690100           8         500  SH     OTHER       02           0           0         500
PARK PL ENTMT CORP                COM   700690100         928      61,358  SH     DEFINED     03           0      61,358           0
PARK PL ENTMT CORP                COM   700690100       6,785     448,568  SH     OTHER       03     448,568           0           0
PARK PL ENTMT CORP                COM   700690100          82       5,400  SH     DEFINED     04       4,200           0       1,200
PARK PL ENTMT CORP                COM   700690100       9,843     650,783  SH     DEFINED  01,08     650,783           0           0

PARKER DRILLING CO                COM   701081101         277      39,592  SH     DEFINED     01      27,117           0      12,475
PARKER DRILLING CO                COM   701081101           2         300  SH     OTHER       03           0         300           0
PARKER DRILLING CO                COM   701081101         634      90,547  SH     DEFINED  01,08      90,547           0           0

PARKER HANNIFIN CORP              COM   701094104       8,737     258,871  SH     DEFINED     01     201,209      44,250      13,412
PARKER HANNIFIN CORP              COM   701094104           2          50  SH     OTHER       01           0           0          50
PARKER HANNIFIN CORP              COM   701094104         140       4,150  SH     DEFINED     02           0       4,150           0
PARKER HANNIFIN CORP              COM   701094104         170       5,034  SH     OTHER       02       5,034           0           0
PARKER HANNIFIN CORP              COM   701094104           8         225  SH     DEFINED     03           0         225           0
PARKER HANNIFIN CORP              COM   701094104          69       2,050  SH     DEFINED     04       2,050           0           0
PARKER HANNIFIN CORP              COM   701094104          45       1,334  SH     OTHER       04       1,334           0           0
PARKER HANNIFIN CORP              COM   701094104       5,794     171,667  SH     DEFINED  01,08     171,667           0           0
PARKER HANNIFIN CORP              COM   701094104         159       4,701  SH     DEFINED     09       4,701           0           0

PARKERVISION INC                  COM   701354102         394       8,187  SH     DEFINED     01       7,957           0         230
PARKERVISION INC                  COM   701354102           5         100  SH     DEFINED     04         100           0           0
PARKERVISION INC                  COM   701354102         409       8,497  SH     DEFINED  01,08       8,497           0           0

PARKWAY PPTYS INC                 COM   70159Q104         177       5,791  SH     DEFINED     01       3,914           0       1,877
PARKWAY PPTYS INC                 COM   70159Q104          73       2,400  SH     DEFINED  01,08       2,400           0           0

PARLEX CORP                       COM   701630105         239      14,453  SH     DEFINED  01,08      14,453           0           0

PARTSBASE COM INC                 COM   70214P109           1         350  SH     DEFINED     01         350           0           0
PARTSBASE COM INC                 COM   70214P109          61      17,291  SH     DEFINED  01,08      17,291           0           0

PATINA OIL & GAS CORP             COM   703224105         135       6,743  SH     DEFINED     01       4,642           0       2,101
PATINA OIL & GAS CORP             COM   703224105         384      19,179  SH     DEFINED  01,08      19,179           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    361
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PATRICK INDS INC                  COM   703343103           5         700  SH     DEFINED     01         700           0           0
PATRICK INDS INC                  COM   703343103         109      16,937  SH     DEFINED  01,08      16,937           0           0

PATTERSON DENTAL CO               COM   703412106       1,085      48,210  SH     DEFINED     01       2,744      40,000       5,466
PATTERSON DENTAL CO               COM   703412106          36       1,600  SH     OTHER       01           0       1,600           0
PATTERSON DENTAL CO               COM   703412106       3,404     151,282  SH     DEFINED  01,08     151,282           0           0
PATTERSON DENTAL CO               COM   703412106           5         200  SH     DEFINED     10         200           0           0

PATTERSON ENERGY INC              COM   703414102       1,176      34,197  SH     DEFINED     01      33,009           0       1,188
PATTERSON ENERGY INC              COM   703414102       1,861      54,144  SH     DEFINED  01,08      54,144           0           0

PAUL HARRIS STORES INC            COM   703555201          15      14,900  SH     DEFINED  01,08      14,900           0           0

PAXAR CORP                        COM   704227107         470      52,611  SH     DEFINED     01      42,704           0       9,907
PAXAR CORP                        COM   704227107         170      18,995  SH     DEFINED     04      18,995           0           0
PAXAR CORP                        COM   704227107         110      12,345  SH     OTHER       04           0           0      12,345
PAXAR CORP                        COM   704227107         753      84,297  SH     DEFINED  01,08      84,297           0           0

PAXSON COMMUNICATIONS CORP        COM   704231109         467      40,606  SH     DEFINED     01      40,014           0         592
PAXSON COMMUNICATIONS CORP        COM   704231109          58       5,000  SH     DEFINED     04       5,000           0           0
PAXSON COMMUNICATIONS CORP        COM   704231109         254      22,100  SH     OTHER       04           0           0      22,100
PAXSON COMMUNICATIONS CORP        COM   704231109         938      81,570  SH     DEFINED  01,08      81,570           0           0

PAYCHEX INC                       COM   704326107      93,956   1,789,646  SH     DEFINED     01   1,336,057     389,994      63,595
PAYCHEX INC                       COM   704326107       4,994      95,121  SH     OTHER       01      15,418      76,696       3,007
PAYCHEX INC                       COM   704326107         898      17,107  SH     DEFINED     02      14,107       2,850         150
PAYCHEX INC                       COM   704326107         422       8,037  SH     OTHER       02         550       5,650       1,837
PAYCHEX INC                       COM   704326107       6,466     123,153  SH     DEFINED     03      44,501      71,242       7,410
PAYCHEX INC                       COM   704326107         236       4,500  SH     OTHER       03       4,500           0           0
PAYCHEX INC                       COM   704326107      28,396     540,869  SH     DEFINED     04     497,303           0      43,566
PAYCHEX INC                       COM   704326107       9,545     181,806  SH     OTHER       04     178,049           0       3,757
PAYCHEX INC                       COM   704326107      28,073     534,717  SH     DEFINED  01,08     534,717           0           0
PAYCHEX INC                       COM   704326107       3,057      58,228  SH     DEFINED     10      34,341      23,887           0
PAYCHEX INC                       COM   704326107         117       2,235  SH     OTHER       10       1,160       1,075           0

PAYLESS SHOESOURCE INC            COM   704379106       1,532      27,364  SH     DEFINED     01      22,465           0       4,899
PAYLESS SHOESOURCE INC            COM   704379106          13         240  SH     DEFINED     03           0         240           0
PAYLESS SHOESOURCE INC            COM   704379106          14         244  SH     DEFINED     04         244           0           0
PAYLESS SHOESOURCE INC            COM   704379106          38         670  SH     OTHER       04         670           0           0
PAYLESS SHOESOURCE INC            COM   704379106       3,623      64,695  SH     DEFINED  01,08      64,695           0           0

PEAPOD INC                        COM   704718105           8       6,150  SH     DEFINED     01           0       6,150           0
PEAPOD INC                        COM   704718105          20      15,000  SH     DEFINED  01,08      15,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    362
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PEC SOLUTIONS INC                 COM   705107100          19       2,923  SH     DEFINED     01       2,861           0          62
PEC SOLUTIONS INC                 COM   705107100          56       8,750  SH     DEFINED  01,08       8,750           0           0

PECO II INC                       COM   705221109         243       5,200  SH     DEFINED     01           0       5,200           0
PECO II INC                       COM   705221109         683      14,600  SH     DEFINED  01,08      14,600           0           0

PEDIATRIX MED GROUP               COM   705324101           1         100  SH     DEFINED     01           0           0         100
PEDIATRIX MED GROUP               COM   705324101         451      34,831  SH     DEFINED     04      34,831           0           0
PEDIATRIX MED GROUP               COM   705324101         334      25,838  SH     DEFINED  01,08      25,838           0           0

PEERLESS SYS CORP                 COM   705536100          34      21,912  SH     DEFINED  01,08      21,912           0           0

PEGASYSTEMS INC                   COM   705573103         258      39,552  SH     DEFINED  01,08      39,552           0           0

PEGASUS COMMUNICATIONS CORP       COM   705904100         149       3,075  SH     DEFINED     01       2,242           0         833
PEGASUS COMMUNICATIONS CORP       COM   705904100          48       1,000  SH     OTHER       04       1,000           0           0
PEGASUS COMMUNICATIONS CORP       COM   705904100       3,169      65,592  SH     DEFINED  01,08      65,592           0           0
PEGASUS COMMUNICATIONS CORP       COM   705904100           2          40  SH     DEFINED     10          40           0           0

PEGASUS SOLUTIONS INC             COM   705906105         319      16,290  SH     DEFINED     01       9,837         600       5,853
PEGASUS SOLUTIONS INC             COM   705906105         547      27,981  SH     OTHER       01           0           0      27,981
PEGASUS SOLUTIONS INC             COM   705906105       1,104      56,451  SH     DEFINED  01,08      56,451           0           0

PENFORD CORP                      COM   707051108           5         300  SH     DEFINED     01           0           0         300
PENFORD CORP                      COM   707051108         331      21,366  SH     DEFINED  01,08      21,366           0           0

PENN-AMER GROUP INC               COM   707247102         182      24,300  SH     DEFINED  01,08      11,100      13,200           0

PENN ENGR & MFG CORP              COM   707389300         130       4,143  SH     DEFINED     01       3,382           0         761
PENN ENGR & MFG CORP              COM   707389300         101       3,200  SH     DEFINED     04           0           0       3,200
PENN ENGR & MFG CORP              COM   707389300         127       4,040  SH     DEFINED  01,08       4,040           0           0

PENN NATL GAMING INC              COM   707569109         122       8,016  SH     DEFINED     01       7,873           0         143
PENN NATL GAMING INC              COM   707569109         324      21,314  SH     DEFINED  01,08      21,314           0           0

PENN TREATY AMERN CORP            COM   707874103          82       4,500  SH     DEFINED     01       4,500           0           0
PENN TREATY AMERN CORP            COM   707874103         208      11,415  SH     DEFINED  01,08      11,415           0           0

PENN VA CORP                      COM   707882106         410      15,774  SH     DEFINED     01      14,368         800         606
PENN VA CORP                      COM   707882106         601      23,105  SH     DEFINED  01,08      23,105           0           0

PENNACO ENERGY INC                COM   708046107         276      15,910  SH     DEFINED     01      15,633           0         277
PENNACO ENERGY INC                COM   708046107          52       3,000  SH     DEFINED     02           0       1,000       2,000
PENNACO ENERGY INC                COM   708046107         354      20,401  SH     DEFINED  01,08      20,401           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    363
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PENNEY J C INC                    COM   708160106       5,694     482,071  SH     DEFINED     01     390,501      68,512      23,058
PENNEY J C INC                    COM   708160106         392      33,156  SH     OTHER       01      24,028       2,720       6,408
PENNEY J C INC                    COM   708160106         132      11,213  SH     DEFINED     02      10,003       1,210           0
PENNEY J C INC                    COM   708160106          53       4,450  SH     OTHER       02       1,600       2,850           0
PENNEY J C INC                    COM   708160106          41       3,500  SH     DEFINED     03       2,000       1,500           0
PENNEY J C INC                    COM   708160106          44       3,724  SH     OTHER       03       3,474         250           0
PENNEY J C INC                    COM   708160106          54       4,592  SH     DEFINED     04       4,592           0           0
PENNEY J C INC                    COM   708160106          68       5,766  SH     OTHER       04       5,766           0           0
PENNEY J C INC                    COM   708160106          12       1,000  SH     OTHER       05           0           0       1,000
PENNEY J C INC                    COM   708160106       4,745     401,691  SH     DEFINED  01,08     401,446         245           0
PENNEY J C INC                    COM   708160106           5         400  SH     DEFINED     09           0         400           0

PENNFED FINL SVCS INC             COM   708167101          58       3,800  SH     DEFINED     01       3,800           0           0
PENNFED FINL SVCS INC             COM   708167101         171      11,100  SH     DEFINED  01,08      11,100           0           0

PENNSYLVANIA RL ESTATE INVT TR    COM   709102107         122       6,986  SH     DEFINED     01       4,866           0       2,120
PENNSYLVANIA RL ESTATE INVT TR    COM   709102107          54       3,102  SH     DEFINED  01,08       3,102           0           0

PENNZOIL-QUAKER STATE COMPANY     COM   709323109       1,020      97,097  SH     DEFINED     01      82,445           0      14,652
PENNZOIL-QUAKER STATE COMPANY     COM   709323109           9         834  SH     OTHER       01           0         834           0
PENNZOIL-QUAKER STATE COMPANY     COM   709323109           2         150  SH     OTHER       02           0         150           0
PENNZOIL-QUAKER STATE COMPANY     COM   709323109          10         973  SH     DEFINED     04         973           0           0
PENNZOIL-QUAKER STATE COMPANY     COM   709323109           2         200  SH     OTHER       04         200           0           0
PENNZOIL-QUAKER STATE COMPANY     COM   709323109       2,395     228,089  SH     DEFINED  01,08     228,089           0           0

PENTAIR INC                       COM   709631105         914      34,163  SH     DEFINED     01      31,454         500       2,209
PENTAIR INC                       COM   709631105          24         900  SH     DEFINED     03         900           0           0
PENTAIR INC                       COM   709631105       3,599     134,525  SH     DEFINED  01,08     134,525           0           0
PENTAIR INC                       COM   709631105         107       4,000  SH     OTHER       10           0       4,000           0

PENTON MEDIA INC                  COM   709668107         898      32,668  SH     DEFINED     01      19,447       8,200       5,021
PENTON MEDIA INC                  COM   709668107          14         500  SH     DEFINED     04         500           0           0
PENTON MEDIA INC                  COM   709668107          50       1,806  SH     OTHER       04       1,806           0           0
PENTON MEDIA INC                  COM   709668107       1,558      56,637  SH     DEFINED  01,08      56,637           0           0

PENWEST PHARMACEUTICALS CO        COM   709754105         488      38,482  SH     DEFINED  01,08      38,482           0           0

PEOPLEPC INC                      COM   709776108         108      18,400  SH     DEFINED  01,08      18,400           0           0

PEOPLES BANCSHARES INC MASS       COM   709795108         211      12,212  SH     DEFINED  01,08      12,212           0           0

PEOPLES BK BRIDGEPORT CONN        COM   710198102         354      16,800  SH     DEFINED     01      11,196         909       4,695
PEOPLES BK BRIDGEPORT CONN        COM   710198102       1,833      87,039  SH     DEFINED  01,08      87,039           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    364
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PEOPLES BK N C                    COM   710577107         108       8,593  SH     DEFINED     04       8,593           0           0
PEOPLES BK N C                    COM   710577107          44       3,484  SH     DEFINED  01,08       3,484           0           0

PEOPLES ENERGY CORP               COM   711030106       3,218      96,415  SH     DEFINED     01      74,095      13,190       9,130
PEOPLES ENERGY CORP               COM   711030106         372      11,151  SH     OTHER       01       8,653       2,498           0
PEOPLES ENERGY CORP               COM   711030106          41       1,233  SH     OTHER       02         733         500           0
PEOPLES ENERGY CORP               COM   711030106          45       1,360  SH     DEFINED     03       1,360           0           0
PEOPLES ENERGY CORP               COM   711030106          23         678  SH     OTHER       03         678           0           0
PEOPLES ENERGY CORP               COM   711030106         105       3,149  SH     DEFINED     04       3,149           0           0
PEOPLES ENERGY CORP               COM   711030106          41       1,227  SH     OTHER       04       1,227           0           0
PEOPLES ENERGY CORP               COM   711030106       1,945      58,287  SH     DEFINED  01,08      58,287           0           0
PEOPLES ENERGY CORP               COM   711030106         196       5,859  SH     DEFINED     10       5,859           0           0
PEOPLES ENERGY CORP               COM   711030106          25         750  SH     OTHER       10         750           0           0

PEOPLESOFT INC                    COM   712713106      13,281     475,406  SH     DEFINED     01     386,672      70,500      18,234
PEOPLESOFT INC                    COM   712713106         140       5,000  SH     OTHER       01       5,000           0           0
PEOPLESOFT INC                    COM   712713106          14         500  SH     DEFINED     02         500           0           0
PEOPLESOFT INC                    COM   712713106          45       1,600  SH     DEFINED     03         600       1,000           0
PEOPLESOFT INC                    COM   712713106          56       2,000  SH     OTHER       03           0       2,000           0
PEOPLESOFT INC                    COM   712713106         417      14,916  SH     DEFINED     04      13,916           0       1,000
PEOPLESOFT INC                    COM   712713106          43       1,550  SH     OTHER       04       1,550           0           0
PEOPLESOFT INC                    COM   712713106         124       4,450  SH     DEFINED     05       3,250         900         300
PEOPLESOFT INC                    COM   712713106          11         400  SH     OTHER       05         400           0           0
PEOPLESOFT INC                    COM   712713106      11,614     415,730  SH     DEFINED  01,08     415,730           0           0
PEOPLESOFT INC                    COM   712713106          28       1,000  SH     DEFINED     10       1,000           0           0

PEP BOYS MANNY MOE & JACK         COM   713278109         138      27,575  SH     DEFINED     01      18,620          15       8,940
PEP BOYS MANNY MOE & JACK         COM   713278109           5       1,060  SH     OTHER       04           0           0       1,060
PEP BOYS MANNY MOE & JACK         COM   713278109         375      75,040  SH     DEFINED  01,08      75,040           0           0

PEPSI BOTTLING GROUP INC          COM   713409100         299       9,940  SH     DEFINED     01       7,168          50       2,722
PEPSI BOTTLING GROUP INC          COM   713409100         361      12,000  SH     DEFINED     04           0           0      12,000
PEPSI BOTTLING GROUP INC          COM   713409100          30       1,000  SH     OTHER       04           0           0       1,000
PEPSI BOTTLING GROUP INC          COM   713409100       3,600     119,746  SH     DEFINED  01,08     119,746           0           0

PEPSIAMERICAS INC                 COM   71343P101          74      21,184  SH     DEFINED     01      19,208           0       1,976
PEPSIAMERICAS INC                 COM   71343P101          81      23,139  SH     DEFINED  01,08      23,139           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    365
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PEPSICO INC                       COM   713448108     173,637   3,774,708  SH     DEFINED     01   3,087,198     391,146     296,364
PEPSICO INC                       COM   713448108      16,765     364,464  SH     OTHER       01     211,588     125,451      27,425
PEPSICO INC                       COM   713448108       6,777     147,325  SH     DEFINED     02      96,253      43,444       7,628
PEPSICO INC                       COM   713448108       3,081      66,983  SH     OTHER       02      42,148      20,895       3,940
PEPSICO INC                       COM   713448108      16,886     367,094  SH     DEFINED     03     205,486     144,528      17,080
PEPSICO INC                       COM   713448108       8,897     193,418  SH     OTHER       03     137,067      42,301      14,050
PEPSICO INC                       COM   713448108      37,004     804,445  SH     DEFINED     04     772,000           0      32,445
PEPSICO INC                       COM   713448108      30,272     658,084  SH     OTHER       04     603,584           0      54,500
PEPSICO INC                       COM   713448108       2,432      52,864  SH     DEFINED     05      37,564       5,550       9,750
PEPSICO INC                       COM   713448108       2,351      51,099  SH     OTHER       05      17,339      28,660       5,100
PEPSICO INC                       COM   713448108     103,767   2,255,805  SH     DEFINED  01,08   2,255,805           0           0
PEPSICO INC                       COM   713448108         208       4,520  SH     DEFINED     09       4,520           0           0
PEPSICO INC                       COM   713448108         143       3,100  SH     OTHER       09       3,000         100           0
PEPSICO INC                       COM   713448108       3,249      70,639  SH     DEFINED     10      31,632      39,007           0
PEPSICO INC                       COM   713448108         942      20,471  SH     OTHER       10       8,475      11,696         300

PER-SE TECHNOLOGIES INC           COM   713569309         427      33,654  SH     DEFINED     01      32,376         206       1,072
PER-SE TECHNOLOGIES INC           COM   713569309           1          68  SH     DEFINED     04          68           0           0
PER-SE TECHNOLOGIES INC           COM   713569309         634      49,998  SH     DEFINED  01,08      49,998           0           0

PERCEPTRON INC                    COM   71361F100          40      12,200  SH     DEFINED  01,08      12,200           0           0

PEREGRINE SYSTEMS INC             COM   71366Q101         347      18,328  SH     DEFINED     01      12,818           0       5,510
PEREGRINE SYSTEMS INC             COM   71366Q101          38       2,000  SH     OTHER       01           0       2,000           0
PEREGRINE SYSTEMS INC             COM   71366Q101           0          11  SH     DEFINED     03           0           0          11
PEREGRINE SYSTEMS INC             COM   71366Q101           2         100  SH     OTHER       03           0         100           0
PEREGRINE SYSTEMS INC             COM   71366Q101          14         754  SH     DEFINED     04         754           0           0
PEREGRINE SYSTEMS INC             COM   71366Q101           0           4  SH     OTHER       04           4           0           0
PEREGRINE SYSTEMS INC             COM   71366Q101       2,237     118,118  SH     DEFINED  01,08     118,118           0           0

PERFORMANCE FOOD GROUP CO         COM   713755106         531      14,101  SH     DEFINED     01       9,902       2,414       1,785
PERFORMANCE FOOD GROUP CO         COM   713755106         425      11,300  SH     DEFINED     04           0           0      11,300
PERFORMANCE FOOD GROUP CO         COM   713755106       1,023      27,200  SH     DEFINED  01,08      27,200           0           0

PERFORMANCE TECHNOLOGIES INC      COM   71376K102         187      13,275  SH     DEFINED  01,08      13,275           0           0

PERICOM SEMICONDUCTOR CORP        COM   713831105       9,012     239,914  SH     DEFINED     01     220,488           0      19,426
PERICOM SEMICONDUCTOR CORP        COM   713831105          75       2,000  SH     DEFINED     04       2,000           0           0
PERICOM SEMICONDUCTOR CORP        COM   713831105       1,350      35,950  SH     DEFINED  01,08      35,950           0           0

PERINI CORP                       COM   713839108          17       4,000  SH     DEFINED     04       4,000           0           0
PERINI CORP                       COM   713839108          69      16,200  SH     DEFINED  01,08      16,200           0           0

PERKINELMER INC                CONV DEB 714046AA7       1,361   2,002,000  PRN    DEFINED     01   2,002,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    366
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PERKINELMER INC                   COM   714046109      10,801     103,487  SH     DEFINED     01      77,543      16,016       9,928
PERKINELMER INC                   COM   714046109           2          18  SH     OTHER       01          18           0           0
PERKINELMER INC                   COM   714046109         115       1,100  SH     DEFINED     03       1,100           0           0
PERKINELMER INC                   COM   714046109          16         150  SH     DEFINED     04         150           0           0
PERKINELMER INC                   COM   714046109          21         200  SH     DEFINED     05         200           0           0
PERKINELMER INC                   COM   714046109       7,965      76,311  SH     DEFINED  01,08      76,311           0           0

PEROT SYS CORP                    COM   714265105         640      59,579  SH     DEFINED     01      58,546           0       1,033
PEROT SYS CORP                    COM   714265105         517      48,100  SH     DEFINED     04      48,100           0           0
PEROT SYS CORP                    COM   714265105          16       1,533  SH     DEFINED     05       1,533           0           0
PEROT SYS CORP                    COM   714265105       1,303     121,248  SH     DEFINED  01,08     121,248           0           0

PERRIGO CO                        COM   714290103         744     108,741  SH     DEFINED     01      98,034           0      10,707
PERRIGO CO                        COM   714290103       1,434     209,575  SH     DEFINED  01,08     209,575           0           0

PERSISTENCE SOFTWARE INC          COM   715329108         121      11,024  SH     DEFINED     01      10,832           0         192
PERSISTENCE SOFTWARE INC          COM   715329108         106       9,731  SH     OTHER       01           0           0       9,731
PERSISTENCE SOFTWARE INC          COM   715329108         314      28,694  SH     DEFINED  01,08      28,694           0           0

PERSONNEL GROUP AMER INC          COM   715338109          98      31,500  SH     DEFINED     01      31,500           0           0
PERSONNEL GROUP AMER INC          COM   715338109          99      31,766  SH     DEFINED  01,08      31,766           0           0

PERVASIVE SOFTWARE INC            COM   715710109         755     366,320  SH     DEFINED     05       1,000     365,320           0
PERVASIVE SOFTWARE INC            COM   715710109          31      14,995  SH     DEFINED  01,08      14,995           0           0

PETCO ANIMAL SUPPLIES             COM   716016100         309      14,185  SH     DEFINED     01      10,653           0       3,532
PETCO ANIMAL SUPPLIES             COM   716016100           3         150  SH     DEFINED     03           0         150           0
PETCO ANIMAL SUPPLIES             COM   716016100         721      33,073  SH     DEFINED  01,08      33,073           0           0

PETROCORP INC                     COM   71645N101          13       1,300  SH     DEFINED     01       1,300           0           0
PETROCORP INC                     COM   71645N101         104      10,500  SH     DEFINED  01,08      10,500           0           0

PETROLEUM & RES CORP              COM   716549100         413       9,811  SH     DEFINED     01           0       6,061       3,750
PETROLEUM & RES CORP              COM   716549100          25         600  SH     DEFINED     02         600           0           0
PETROLEUM & RES CORP              COM   716549100          13         300  SH     OTHER       02         300           0           0
PETROLEUM & RES CORP              COM   716549100          25         600  SH     OTHER       04         600           0           0

PETROLEUM DEV CORP                COM   716578109          26       3,600  SH     DEFINED     04       3,600           0           0
PETROLEUM DEV CORP                COM   716578109         219      30,684  SH     DEFINED  01,08      30,684           0           0

PETROLEUM GEO-SVCS A/S            COM   716597109         897      52,000  SH     DEFINED     01           0      52,000           0
PETROLEUM GEO-SVCS A/S            COM   716597109         343      19,900  SH     OTHER       01           0           0      19,900
PETROLEUM GEO-SVCS A/S            COM   716597109           1          35  SH     DEFINED     03          35           0           0
PETROLEUM GEO-SVCS A/S            COM   716597109          17       1,000  SH     DEFINED     04       1,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    367
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PETROLEUM HELICOPTERS INC         COM   716604202         146      10,445  SH     DEFINED  01,08      10,445           0           0

PETSMART INC                      COM   716768106         426      90,929  SH     DEFINED     01      76,690         300      13,939
PETSMART INC                      COM   716768106          28       6,000  SH     OTHER       04           0           0       6,000
PETSMART INC                      COM   716768106         888     189,448  SH     DEFINED  01,08     189,448           0           0

PHARMACYCLICS INC                 COM   716933106         815      16,431  SH     DEFINED     01      15,945           0         486
PHARMACYCLICS INC                 COM   716933106         417       8,412  SH     OTHER       01           0           0       8,412
PHARMACYCLICS INC                 COM   716933106       1,279      25,775  SH     DEFINED  01,08      25,775           0           0

PFIZER INC                        COM   717081103     912,667  20,309,922  SH     DEFINED     01  15,157,121   3,726,897   1,425,904
PFIZER INC                        COM   717081103     183,643   4,086,670  SH     OTHER       01   1,827,607   2,045,238     213,825
PFIZER INC                        COM   717081103      32,806     730,037  SH     DEFINED     02     412,584     277,433      40,020
PFIZER INC                        COM   717081103      19,440     432,613  SH     OTHER       02     199,970     178,386      54,257
PFIZER INC                        COM   717081103      61,061   1,358,805  SH     DEFINED     03     607,046     661,931      89,828
PFIZER INC                        COM   717081103      20,175     448,955  SH     OTHER       03     226,753     168,441      53,761
PFIZER INC                        COM   717081103     193,566   4,307,503  SH     DEFINED     04   4,104,783           0     202,720
PFIZER INC                        COM   717081103     152,461   3,392,779  SH     OTHER       04   3,270,577           0     122,202
PFIZER INC                        COM   717081103      28,019     623,526  SH     DEFINED     05     370,444     190,810      62,272
PFIZER INC                        COM   717081103       7,565     168,354  SH     OTHER       05      47,160     116,244       4,950
PFIZER INC                        COM   717081103         458      10,200  SH     OTHER    04,07           0           0      10,200
PFIZER INC                        COM   717081103     426,929   9,500,606  SH     DEFINED  01,08   9,500,606           0           0
PFIZER INC                        COM   717081103       1,659      36,928  SH     DEFINED     09      30,878       6,050           0
PFIZER INC                        COM   717081103         154       3,420  SH     OTHER       09         360       3,060           0
PFIZER INC                        COM   717081103      15,609     347,350  SH     DEFINED     10     223,020     123,080       1,250
PFIZER INC                        COM   717081103       4,664     103,793  SH     OTHER       10      32,649      70,944         200

PFSWEB INC                        COM   717098107           2         810  SH     DEFINED     01           0         810           0
PFSWEB INC                        COM   717098107           1         563  SH     OTHER       01           0         158         405
PFSWEB INC                        COM   717098107          83      40,016  SH     DEFINED  01,08      40,016           0           0

PHARMACEUTICAL PROD DEV INC       COM   717124101         498      18,760  SH     DEFINED     01      15,942         716       2,102
PHARMACEUTICAL PROD DEV INC       COM   717124101       1,235      46,491  SH     DEFINED  01,08      46,491           0           0

PHARMACEUTICAL RES INC            COM   717125108         180      24,800  SH     DEFINED     01      24,800           0           0
PHARMACEUTICAL RES INC            COM   717125108         362      49,921  SH     DEFINED  01,08      49,921           0           0

PHARMACOPEIA INC                  COM   71713B104         957      37,519  SH     DEFINED     01      30,493       6,700         326
PHARMACOPEIA INC                  COM   71713B104         741      29,058  SH     DEFINED  01,08      29,058           0           0

PHARMANETICS INC                  COM   71713J107          10         500  SH     DEFINED     04         500           0           0
PHARMANETICS INC                  COM   71713J107         189       9,971  SH     DEFINED  01,08       9,971           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    368
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PHARMACIA CORP                    COM   71713U102     211,456   3,513,319  SH     DEFINED     01   2,394,063     439,975     679,281
PHARMACIA CORP                    COM   71713U102      25,813     428,884  SH     OTHER       01     144,504     254,108      30,272
PHARMACIA CORP                    COM   71713U102       3,297      54,771  SH     DEFINED     02      42,750       9,940       2,081
PHARMACIA CORP                    COM   71713U102       6,103     101,402  SH     OTHER       02      59,032      20,320      22,050
PHARMACIA CORP                    COM   71713U102       2,264      37,608  SH     DEFINED     03      21,783      15,550         275
PHARMACIA CORP                    COM   71713U102       2,102      34,924  SH     OTHER       03      18,047      13,877       3,000
PHARMACIA CORP                    COM   71713U102       6,849     113,793  SH     DEFINED     04      96,321           0      17,472
PHARMACIA CORP                    COM   71713U102      21,882     363,559  SH     OTHER       04     359,569           0       3,990
PHARMACIA CORP                    COM   71713U102         668      11,093  SH     DEFINED     05      10,368         725           0
PHARMACIA CORP                    COM   71713U102          45         750  SH     OTHER       05           0         750           0
PHARMACIA CORP                    COM   71713U102     119,019   1,977,481  SH     DEFINED  01,08   1,977,481           0           0
PHARMACIA CORP                    COM   71713U102          48         800  SH     DEFINED     09         800           0           0
PHARMACIA CORP                    COM   71713U102       2,063      34,280  SH     DEFINED     10      27,570       6,710           0
PHARMACIA CORP                    COM   71713U102       1,253      20,825  SH     OTHER       10       7,825      13,000           0

PHARMCHEM INC                     COM   717133102          57      16,300  SH     DEFINED  01,08      16,300           0           0

PHARMOS CORP                      COM   717139208          69      21,073  SH     DEFINED  01,08      21,073           0           0

PHELPS DODGE CORP                 COM   717265102       5,807     139,090  SH     DEFINED     01     114,335      20,141       4,614
PHELPS DODGE CORP                 COM   717265102          17         400  SH     OTHER       01         306          80          14
PHELPS DODGE CORP                 COM   717265102          21         500  SH     OTHER       02           0         500           0
PHELPS DODGE CORP                 COM   717265102           3          70  SH     DEFINED     04          70           0           0
PHELPS DODGE CORP                 COM   717265102          88       2,104  SH     OTHER       04       2,104           0           0
PHELPS DODGE CORP                 COM   717265102      11,321     271,170  SH     DEFINED  01,08     122,020     149,150           0
PHELPS DODGE CORP                 COM   717265102           5         108  SH     DEFINED     09         108           0           0
PHELPS DODGE CORP                 COM   717265102          84       2,020  SH     OTHER       09           0       2,020           0

PHILADELPHIA CONS HLDG CORP       COM   717528103          78       3,750  SH     DEFINED     01       2,537           0       1,213
PHILADELPHIA CONS HLDG CORP       COM   717528103         372      17,814  SH     DEFINED  01,08      17,814           0           0

PHILADELPHIA SUBN CORP            COM   718009608         933      40,227  SH     DEFINED     01      30,943       1,300       7,984
PHILADELPHIA SUBN CORP            COM   718009608          25       1,088  SH     DEFINED     04       1,088           0           0
PHILADELPHIA SUBN CORP            COM   718009608          51       2,216  SH     OTHER       04       2,216           0           0
PHILADELPHIA SUBN CORP            COM   718009608       1,945      83,893  SH     DEFINED  01,08      83,893           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    369
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PHILIP MORRIS COS INC             COM   718154107     134,706   4,576,074  SH     DEFINED     01   3,539,070     728,388     308,616
PHILIP MORRIS COS INC             COM   718154107      11,899     404,217  SH     OTHER       01     278,276     117,067       8,874
PHILIP MORRIS COS INC             COM   718154107       2,569      87,265  SH     DEFINED     02      66,176      15,125       5,964
PHILIP MORRIS COS INC             COM   718154107       1,435      48,749  SH     OTHER       02      39,733       7,191       1,825
PHILIP MORRIS COS INC             COM   718154107       3,526     119,798  SH     DEFINED     03      75,024      41,674       3,100
PHILIP MORRIS COS INC             COM   718154107       3,683     125,120  SH     OTHER       03     121,635       3,485           0
PHILIP MORRIS COS INC             COM   718154107       2,377      80,733  SH     DEFINED     04      76,933           0       3,800
PHILIP MORRIS COS INC             COM   718154107       6,084     206,679  SH     OTHER       04     194,379           0      12,300
PHILIP MORRIS COS INC             COM   718154107         745      25,298  SH     DEFINED     05      22,298       3,000           0
PHILIP MORRIS COS INC             COM   718154107       1,799      61,100  SH     OTHER       05      13,950      44,400       2,750
PHILIP MORRIS COS INC             COM   718154107      89,937   3,055,247  SH     DEFINED  01,08   3,055,247           0           0
PHILIP MORRIS COS INC             COM   718154107           9         300  SH     DEFINED     09         300           0           0
PHILIP MORRIS COS INC             COM   718154107         369      12,550  SH     DEFINED     10      10,850       1,500         200
PHILIP MORRIS COS INC             COM   718154107         146       4,964  SH     OTHER       10       3,284       1,680           0

PHILLIPS PETE CO                  COM   718507106      32,473     517,502  SH     DEFINED     01     424,239      67,208      26,055
PHILLIPS PETE CO                  COM   718507106         822      13,096  SH     OTHER       01      12,896           0         200
PHILLIPS PETE CO                  COM   718507106         107       1,700  SH     OTHER       02       1,300         400           0
PHILLIPS PETE CO                  COM   718507106          71       1,125  SH     DEFINED     03         100       1,025           0
PHILLIPS PETE CO                  COM   718507106         645      10,280  SH     DEFINED     04      10,280           0           0
PHILLIPS PETE CO                  COM   718507106         349       5,557  SH     OTHER       04       3,557           0       2,000
PHILLIPS PETE CO                  COM   718507106          63       1,000  SH     OTHER       05           0       1,000           0
PHILLIPS PETE CO                  COM   718507106      24,524     390,824  SH     DEFINED  01,08     390,824           0           0
PHILLIPS PETE CO                  COM   718507106          31         500  SH     DEFINED     10         500           0           0

PHILLIPS VAN HEUSEN CORP          COM   718592108         415      40,229  SH     DEFINED     01      34,653           0       5,576
PHILLIPS VAN HEUSEN CORP          COM   718592108         569      55,222  SH     DEFINED  01,08      55,222           0           0

PHOENIX INTL INC                  COM   719078107          32      10,607  SH     DEFINED  01,08      10,607           0           0

PHOENIX INVT PARTNERS LTD         COM   719085102         846      54,551  SH     DEFINED     01      46,157           0       8,394
PHOENIX INVT PARTNERS LTD         COM   719085102       1,385      89,360  SH     DEFINED  01,08      89,360           0           0

PHOENIX TECHNOLOGY LTD            COM   719153108         586      36,774  SH     DEFINED     01      35,864           0         910
PHOENIX TECHNOLOGY LTD            COM   719153108         869      54,522  SH     DEFINED  01,08      54,522           0           0

PHONE COM INC                     COM   71920Q100       1,109       9,759  SH     DEFINED     01       1,306       7,900         553
PHONE COM INC                     COM   71920Q100          57         500  SH     OTHER       02           0           0         500
PHONE COM INC                     COM   71920Q100         118       1,037  SH     DEFINED     03           0       1,037           0
PHONE COM INC                     COM   71920Q100       6,892      60,658  SH     DEFINED  01,08      60,658           0           0

PHOTOGEN TECHNOLOGIES INC         COM   71932A101          38       8,859  SH     DEFINED     01       8,534           0         325
PHOTOGEN TECHNOLOGIES INC         COM   71932A101           9       2,217  SH     DEFINED  01,08       2,217           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    370
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PHOTON DYNAMICS INC               COM   719364101         451      11,957  SH     DEFINED     01      11,750           0         207
PHOTON DYNAMICS INC               COM   719364101         179       4,750  SH     DEFINED     04       4,750           0           0
PHOTON DYNAMICS INC               COM   719364101         523      13,859  SH     DEFINED  01,08      13,859           0           0

PHOTOWORKS INC                    COM   71940B109         169      59,992  SH     DEFINED  01,08      59,992           0           0

PHOTRONICS INC                    COM   719405102         591      27,105  SH     DEFINED     01      25,131           0       1,974
PHOTRONICS INC                    COM   719405102          13         600  SH     OTHER       04         600           0           0
PHOTRONICS INC                    COM   719405102       2,329     106,790  SH     DEFINED  01,08     106,790           0           0

PICCADILLY CAFETERIAS INC         COM   719567109           4       1,775  SH     DEFINED     01       1,400         375           0
PICCADILLY CAFETERIAS INC         COM   719567109          78      35,587  SH     DEFINED  01,08      35,587           0           0

PICTURETEL CORP                   COM   720035302         518      73,687  SH     DEFINED  01,08      73,687           0           0

PIEDMONT NAT GAS INC              COM   720186105         616      20,105  SH     DEFINED     01      12,948           0       7,157
PIEDMONT NAT GAS INC              COM   720186105          12         400  SH     OTHER       01           0         400           0
PIEDMONT NAT GAS INC              COM   720186105           9         303  SH     DEFINED     04         303           0           0
PIEDMONT NAT GAS INC              COM   720186105          68       2,230  SH     OTHER       04       2,230           0           0
PIEDMONT NAT GAS INC              COM   720186105       1,881      61,430  SH     DEFINED  01,08      61,430           0           0

PIER 1 IMPORTS INC                COM   720279108         931      68,627  SH     DEFINED     01      43,155       3,300      22,172
PIER 1 IMPORTS INC                COM   720279108          67       4,941  SH     DEFINED     04       4,941           0           0
PIER 1 IMPORTS INC                COM   720279108          34       2,500  SH     OTHER       04       2,500           0           0
PIER 1 IMPORTS INC                COM   720279108       3,921     289,089  SH     DEFINED  01,08     289,089           0           0

PIERRE FOODS INC                  COM   720830108          23      15,659  SH     DEFINED  01,08      15,659           0           0

PILGRIMS PRIDE CORP               COM   721467108         240      34,841  SH     DEFINED     01      31,650           0       3,191
PILGRIMS PRIDE CORP               COM   721467108         535      77,772  SH     DEFINED  01,08      77,772           0           0

PILGRIMS PRIDE CORP               COM   721467207          66      12,650  SH     DEFINED     01      12,650           0           0
PILGRIMS PRIDE CORP               COM   721467207         177      33,696  SH     DEFINED  01,08      33,696           0           0

PILLOWTEX CORP                    COM   721501104          13       4,462  SH     DEFINED     01       4,462           0           0
PILLOWTEX CORP                    COM   721501104           1         400  SH     DEFINED     04         400           0           0
PILLOWTEX CORP                    COM   721501104           6       2,161  SH     OTHER       04       2,161           0           0
PILLOWTEX CORP                    COM   721501104         340     118,254  SH     DEFINED  01,08     118,254           0           0

PILOT NETWORK SVCS INC            COM   721596104         113      10,859  SH     DEFINED  01,08      10,859           0           0

PINNACLE ENTMT INC                COM   723456109         963      44,289  SH     DEFINED     01      41,667           0       2,622
PINNACLE ENTMT INC                COM   723456109          13         576  SH     OTHER       02           0         576           0
PINNACLE ENTMT INC                COM   723456109          78       3,605  SH     DEFINED     03       3,605           0           0
PINNACLE ENTMT INC                COM   723456109         263      12,073  SH     DEFINED  01,08      12,073           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    371
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PINNACLE HLDGS INC                COM   72346N101       8,328     312,789  SH     DEFINED     01     310,659         700       1,430
PINNACLE HLDGS INC                COM   72346N101          35       1,300  SH     OTHER       01           0           0       1,300
PINNACLE HLDGS INC                COM   72346N101          21         800  SH     DEFINED     03           0         800           0
PINNACLE HLDGS INC                COM   72346N101          16         600  SH     OTHER       04         600           0           0
PINNACLE HLDGS INC                COM   72346N101       2,156      80,968  SH     DEFINED  01,08      80,968           0           0

PINNACLE SYS INC                  COM   723481107         524      46,610  SH     DEFINED     01      45,535           0       1,075
PINNACLE SYS INC                  COM   723481107         976      86,746  SH     DEFINED  01,08      86,746           0           0

PINNACLE WEST CAP CORP            COM   723484101       7,602     149,434  SH     DEFINED     01     121,003      21,630       6,801
PINNACLE WEST CAP CORP            COM   723484101          41         812  SH     DEFINED     02         508         304           0
PINNACLE WEST CAP CORP            COM   723484101          36         700  SH     OTHER       02         400         300           0
PINNACLE WEST CAP CORP            COM   723484101          10         200  SH     DEFINED     04         200           0           0
PINNACLE WEST CAP CORP            COM   723484101       6,632     130,349  SH     DEFINED  01,08     130,349           0           0
PINNACLE WEST CAP CORP            COM   723484101          86       1,700  SH     DEFINED     10         700       1,000           0

PIONEER GROUP INC                 COM   723684106       1,140      25,926  SH     DEFINED     01      23,706           0       2,220
PIONEER GROUP INC                 COM   723684106         332       7,560  SH     OTHER       04       7,560           0           0
PIONEER GROUP INC                 COM   723684106       1,279      29,088  SH     DEFINED  01,08      29,088           0           0

PIONEER INTREST SHS               COM   723703104         661      59,100  SH     DEFINED     01           0      59,100           0

PIONEER NAT RES CO                COM   723787107       1,628     114,741  SH     DEFINED     01      95,054           0      19,687
PIONEER NAT RES CO                COM   723787107           9         630  SH     OTHER       02           0         630           0
PIONEER NAT RES CO                COM   723787107           0          28  SH     DEFINED     03          28           0           0
PIONEER NAT RES CO                COM   723787107          15       1,078  SH     DEFINED     04       1,073           0           5
PIONEER NAT RES CO                COM   723787107       4,103     289,176  SH     DEFINED  01,08     289,176           0           0

PIONEER STD ELECTRS INC           COM   723877106         785      57,868  SH     DEFINED     01      47,010       3,472       7,386
PIONEER STD ELECTRS INC           COM   723877106       1,110      81,843  SH     DEFINED  01,08      81,843           0           0

PITNEY BOWES INC                  COM   724479100      19,343     490,481  SH     DEFINED     01     385,449      75,642      29,390
PITNEY BOWES INC                  COM   724479100       1,781      45,155  SH     OTHER       01      28,055      15,900       1,200
PITNEY BOWES INC                  COM   724479100         422      10,700  SH     DEFINED     02       5,400       2,350       2,950
PITNEY BOWES INC                  COM   724479100         301       7,620  SH     OTHER       02       4,020       2,000       1,600
PITNEY BOWES INC                  COM   724479100         280       7,094  SH     DEFINED     03       6,389         705           0
PITNEY BOWES INC                  COM   724479100           3          80  SH     OTHER       03          80           0           0
PITNEY BOWES INC                  COM   724479100         891      22,589  SH     DEFINED     04      22,139           0         450
PITNEY BOWES INC                  COM   724479100       1,366      34,627  SH     OTHER       04      33,590           0       1,037
PITNEY BOWES INC                  COM   724479100         117       2,967  SH     DEFINED     05       2,967           0           0
PITNEY BOWES INC                  COM   724479100          65       1,640  SH     OTHER       05       1,640           0           0
PITNEY BOWES INC                  COM   724479100      28,852     731,608  SH     DEFINED  01,08     513,703     217,905           0
PITNEY BOWES INC                  COM   724479100           4         100  SH     DEFINED     09         100           0           0
PITNEY BOWES INC                  COM   724479100         323       8,200  SH     DEFINED     10       3,200       5,000           0
PITNEY BOWES INC                  COM   724479100         241       6,100  SH     OTHER       10       4,800       1,300           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    372
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PITT DESMOINES INC                COM   724508106         219       7,200  SH     DEFINED     01       7,200           0           0
PITT DESMOINES INC                COM   724508106         601      19,775  SH     DEFINED  01,08      19,775           0           0

PITTSTON CO                       COM   725701106       1,257      81,066  SH     DEFINED     01      50,904      21,200       8,962
PITTSTON CO                       COM   725701106          18       1,190  SH     OTHER       04       1,190           0           0
PITTSTON CO                       COM   725701106       2,334     150,599  SH     DEFINED  01,08     150,599           0           0

PIXELWORKS INC                    COM   72581M107         259       5,425  SH     DEFINED     01       5,245           0         180
PIXELWORKS INC                    COM   72581M107          60       1,250  SH     DEFINED     04       1,250           0           0
PIXELWORKS INC                    COM   72581M107       1,648      34,554  SH     DEFINED  01,08      34,554           0           0

PIVOTAL CORP                      COM   72581R106       1,008      19,200  SH     DEFINED     01      19,000         200           0
PIVOTAL CORP                      COM   72581R106         887      16,900  SH     DEFINED  01,08      16,900           0           0

PIXAR                             COM   725811103          52       1,627  SH     DEFINED     01       1,243         100         284
PIXAR                             COM   725811103         421      13,100  SH     OTHER       01           0      13,100           0
PIXAR                             COM   725811103           3         100  SH     DEFINED     03           0           0         100
PIXAR                             COM   725811103          19         600  SH     DEFINED     04         600           0           0
PIXAR                             COM   725811103           8         250  SH     OTHER       04         250           0           0
PIXAR                             COM   725811103       1,931      60,115  SH     DEFINED  01,08      60,115           0           0

PLACER DOME INC                   COM   725906101       5,027     532,677  SH     DEFINED     01     439,282      82,810      10,585
PLACER DOME INC                   COM   725906101         123      13,042  SH     OTHER       01       4,042       9,000           0
PLACER DOME INC                   COM   725906101          39       4,170  SH     OTHER       02       4,170           0           0
PLACER DOME INC                   COM   725906101          28       3,000  SH     DEFINED     04       3,000           0           0
PLACER DOME INC                   COM   725906101         235      24,950  SH     OTHER       04      24,950           0           0
PLACER DOME INC                   COM   725906101       4,372     463,247  SH     DEFINED  01,08     463,247           0           0
PLACER DOME INC                   COM   725906101          28       3,000  SH     DEFINED     10           0       3,000           0

PLAINS ALL AMERN PIPELINE L P     COM   726503105          30       1,525  SH     DEFINED     03           0       1,525           0
PLAINS ALL AMERN PIPELINE L P     COM   726503105         198      10,200  SH     DEFINED  01,08      10,200           0           0

PLAINS RES INC                    COM   726540503         369      19,535  SH     DEFINED     01      16,147       2,000       1,388
PLAINS RES INC                    COM   726540503         589      31,182  SH     DEFINED  01,08      31,182           0           0

PLANAR SYS INC                    COM   726900103          50       2,700  SH     DEFINED     01       2,700           0           0
PLANAR SYS INC                    COM   726900103         251      13,500  SH     DEFINED     04           0           0      13,500
PLANAR SYS INC                    COM   726900103         258      13,853  SH     DEFINED  01,08      13,853           0           0

PLANETRX COM INC                  COM   727049108          28      64,955  SH     DEFINED  01,08      64,955           0           0

PLANTRONICS INC NEW               COM   727493108       2,130      56,044  SH     DEFINED     01      49,162       2,700       4,182
PLANTRONICS INC NEW               COM   727493108          57       1,500  SH     DEFINED     04       1,500           0           0
PLANTRONICS INC NEW               COM   727493108           5         120  SH     OTHER       04         120           0           0
PLANTRONICS INC NEW               COM   727493108       3,330      87,632  SH     DEFINED  01,08      87,632           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    373
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PLASTIC SURGERY CO                COM   727557100          33      10,000  SH     DEFINED     01      10,000           0           0
PLASTIC SURGERY CO                COM   727557100           7       2,200  SH     DEFINED  01,08       2,200           0           0

PLATO LEARNING INC                COM   72764Y100         150       7,300  SH     DEFINED     04           0           0       7,300
PLATO LEARNING INC                COM   72764Y100         237      11,500  SH     DEFINED  01,08      11,500           0           0

PLAYBOY ENTERPRISES INC           COM   728117201           1         100  SH     DEFINED     04         100           0           0
PLAYBOY ENTERPRISES INC           COM   728117201         198      14,768  SH     DEFINED  01,08      14,768           0           0

PLAYBOY ENTERPRISES INC           COM   728117300         185      12,407  SH     DEFINED     01       9,080           0       3,327
PLAYBOY ENTERPRISES INC           COM   728117300         946      63,333  SH     DEFINED  01,08      63,333           0           0

PLAYTEX PRODS INC                 COM   72813P100         704      59,632  SH     DEFINED     01      56,030           0       3,602
PLAYTEX PRODS INC                 COM   72813P100       1,047      88,599  SH     DEFINED  01,08      88,599           0           0

PLEXUS CORP                       COM   729132100       6,471      91,794  SH     DEFINED     01      86,662       2,100       3,032
PLEXUS CORP                       COM   729132100           7         100  SH     OTHER       04         100           0           0
PLEXUS CORP                       COM   729132100       6,252      88,680  SH     DEFINED  01,08      88,680           0           0

PLUG POWER INC                    COM   72919P103          20         529  SH     DEFINED     01         380           0         149
PLUG POWER INC                    COM   72919P103           2          50  SH     OTHER       02           0           0          50
PLUG POWER INC                    COM   72919P103           7         200  SH     DEFINED     04         200           0           0
PLUG POWER INC                    COM   72919P103           7         200  SH     OTHER       04         200           0           0
PLUG POWER INC                    COM   72919P103       2,208      59,275  SH     DEFINED  01,08      59,275           0           0

PLUM CREEK TIMBER CO INC          COM   729251108         140       6,292  SH     DEFINED     01       5,289           0       1,003
PLUM CREEK TIMBER CO INC          COM   729251108         100       4,500  SH     DEFINED     02           0       4,500           0
PLUM CREEK TIMBER CO INC          COM   729251108         174       7,800  SH     DEFINED     04       7,800           0           0
PLUM CREEK TIMBER CO INC          COM   729251108         112       5,000  SH     OTHER       04       5,000           0           0
PLUM CREEK TIMBER CO INC          COM   729251108         132       5,900  SH     DEFINED  01,08       5,900           0           0

POGO TR I                      CONV PFD 73044P208       1,488      25,000         DEFINED     01      25,000           0           0

POGO PRODUCING CO                 COM   730448107       1,180      46,497  SH     DEFINED     01      40,573       2,300       3,624
POGO PRODUCING CO                 COM   730448107       2,261      89,113  SH     DEFINED  01,08      89,113           0           0

POINTE FINANCIAL CORP             COM   73084P100          46       5,000  SH     DEFINED     01           0       5,000           0
POINTE FINANCIAL CORP             COM   73084P100          69       7,500  SH     DEFINED     04       7,500           0           0

POLARIS INDS INC                  COM   731068102         925      26,246  SH     DEFINED     01      22,022       1,600       2,624
POLARIS INDS INC                  COM   731068102          63       1,800  SH     DEFINED     04       1,800           0           0
POLARIS INDS INC                  COM   731068102       3,127      88,705  SH     DEFINED  01,08      88,705           0           0
POLARIS INDS INC                  COM   731068102           4         120  SH     DEFINED     10         120           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    374
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
POLAROID CORP                     COM   731095105       1,310      97,515  SH     DEFINED     01      78,295      11,315       7,905
POLAROID CORP                     COM   731095105           1         104  SH     OTHER       01           0         104           0
POLAROID CORP                     COM   731095105         987      73,477  SH     DEFINED  01,08      73,477           0           0

POLICY MGMT SYS CORP              COM   731108106         499      36,947  SH     DEFINED     01      34,370           0       2,577
POLICY MGMT SYS CORP              COM   731108106          68       5,000  SH     OTHER       01       5,000           0           0
POLICY MGMT SYS CORP              COM   731108106         950      70,389  SH     DEFINED  01,08      70,389           0           0

POLO RALPH LAUREN CORP            COM   731572103         527      32,659  SH     DEFINED     01      23,590           0       9,069
POLO RALPH LAUREN CORP            COM   731572103          16       1,000  SH     OTHER       04       1,000           0           0
POLO RALPH LAUREN CORP            COM   731572103         758      47,028  SH     DEFINED  01,08      47,028           0           0

POLYCOM INC                       COM   73172K104       3,488      52,080  SH     DEFINED     01      41,596       7,000       3,484
POLYCOM INC                       COM   73172K104         221       3,300  SH     DEFINED     04           0           0       3,300
POLYCOM INC                       COM   73172K104          67       1,000  SH     OTHER       04       1,000           0           0
POLYCOM INC                       COM   73172K104      12,824     191,486  SH     DEFINED  01,08     191,486           0           0

POLYMEDICA CORP                   COM   731738100         999      23,306  SH     DEFINED     01      22,622           0         684
POLYMEDICA CORP                   COM   731738100          26         600  SH     DEFINED     04         600           0           0
POLYMEDICA CORP                   COM   731738100         869      20,277  SH     DEFINED  01,08      20,277           0           0

POLYMER GROUP INC                 COM   731745105         227      30,719  SH     DEFINED     01      27,148           0       3,571
POLYMER GROUP INC                 COM   731745105         350      47,524  SH     DEFINED  01,08      47,524           0           0

POLYONE CORP                      COM   73179P106         736     100,689  SH     DEFINED     01      81,932       1,485      17,272
POLYONE CORP                      COM   73179P106          41       5,625  SH     OTHER       01       5,625           0           0
POLYONE CORP                      COM   73179P106       1,200     164,146  SH     DEFINED  01,08     164,146           0           0

POMEROY COMPUTER RES              COM   731822102         163       8,600  SH     DEFINED     04           0           0       8,600
POMEROY COMPUTER RES              COM   731822102         241      12,750  SH     DEFINED  01,08      12,750           0           0

POPE & TALBOT INC                 COM   732827100         465      32,476  SH     DEFINED     01      29,315           0       3,161
POPE & TALBOT INC                 COM   732827100          57       4,000  SH     OTHER       02           0       4,000           0
POPE & TALBOT INC                 COM   732827100          57       4,000  SH     OTHER       04       4,000           0           0
POPE & TALBOT INC                 COM   732827100         197      13,778  SH     DEFINED  01,08      13,778           0           0

POPULAR INC                       COM   733174106         448      16,569  SH     DEFINED     01      12,536           0       4,033
POPULAR INC                       COM   733174106       3,168     117,082  SH     DEFINED  01,08     117,082           0           0

PORTA SYS CORP                    COM   735647307          11      11,712  SH     DEFINED  01,08      11,712           0           0

PORTAL SOFTWARE INC               COM   736126103         261       6,518  SH     DEFINED     01       4,568           0       1,950
PORTAL SOFTWARE INC               COM   736126103          20         500  SH     DEFINED     04         500           0           0
PORTAL SOFTWARE INC               COM   736126103          16         400  SH     OTHER       04         400           0           0
PORTAL SOFTWARE INC               COM   736126103       5,071     126,768  SH     DEFINED  01,08     126,768           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    375
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
POSSIS MEDICAL INC                COM   737407106          68      10,000  SH     DEFINED     01      10,000           0           0
POSSIS MEDICAL INC                COM   737407106           3         500  SH     DEFINED     02         500           0           0
POSSIS MEDICAL INC                COM   737407106         213      31,541  SH     DEFINED  01,08      31,541           0           0

POST PPTYS INC                    COM   737464107         207       4,755  SH     DEFINED     01       3,650           0       1,105
POST PPTYS INC                    COM   737464107       1,120      25,700  SH     DEFINED     04      25,700           0           0
POST PPTYS INC                    COM   737464107          17         400  SH     OTHER       04         200           0         200
POST PPTYS INC                    COM   737464107         202       4,626  SH     DEFINED  01,08       4,626           0           0

POTLATCH CORP                     COM   737628107       1,984      62,737  SH     DEFINED     01      49,921       7,211       5,605
POTLATCH CORP                     COM   737628107          63       2,000  SH     DEFINED     03           0       2,000           0
POTLATCH CORP                     COM   737628107         174       5,500  SH     OTHER       03       1,500       4,000           0
POTLATCH CORP                     COM   737628107       2,292      72,467  SH     DEFINED  01,08      72,467           0           0

POTOMAC ELEC PWR CO               COM   737679100       1,996      79,241  SH     DEFINED     01      73,863         352       5,026
POTOMAC ELEC PWR CO               COM   737679100          72       2,858  SH     OTHER       01       1,958         900           0
POTOMAC ELEC PWR CO               COM   737679100          10         400  SH     DEFINED     02         400           0           0
POTOMAC ELEC PWR CO               COM   737679100           8         300  SH     OTHER       02         300           0           0
POTOMAC ELEC PWR CO               COM   737679100          66       2,633  SH     DEFINED     03       1,000       1,000         633
POTOMAC ELEC PWR CO               COM   737679100          10         405  SH     OTHER       03         405           0           0
POTOMAC ELEC PWR CO               COM   737679100         149       5,920  SH     DEFINED     04       5,920           0           0
POTOMAC ELEC PWR CO               COM   737679100         142       5,650  SH     OTHER       04       5,650           0           0
POTOMAC ELEC PWR CO               COM   737679100       7,936     315,102  SH     DEFINED  01,08     315,102           0           0
POTOMAC ELEC PWR CO               COM   737679100          32       1,276  SH     DEFINED     10       1,276           0           0
POTOMAC ELEC PWR CO               COM   737679100          11         420  SH     OTHER       10         420           0           0

POWELL INDS INC                   COM   739128106         359      30,223  SH     DEFINED  01,08      30,223           0           0

POWER INTEGRATIONS INC            COM   739276103         389      27,877  SH     DEFINED     01      27,389           0         488
POWER INTEGRATIONS INC            COM   739276103          47       3,338  SH     OTHER       04           0           0       3,338
POWER INTEGRATIONS INC            COM   739276103         445      31,939  SH     DEFINED  01,08      31,939           0           0

POWER-ONE INC                     COM   739308104         339       5,600  SH     DEFINED     01       3,452           0       2,148
POWER-ONE INC                     COM   739308104          48         790  SH     OTHER       01           0         790           0
POWER-ONE INC                     COM   739308104          24         400  SH     OTHER       02         400           0           0
POWER-ONE INC                     COM   739308104          21         350  SH     DEFINED     04         350           0           0
POWER-ONE INC                     COM   739308104          31         520  SH     OTHER       04         520           0           0
POWER-ONE INC                     COM   739308104       8,747     144,542  SH     DEFINED  01,08     144,542           0           0
POWER-ONE INC                     COM   739308104          17         276  SH     DEFINED     10         276           0           0

POWERCERV CORP                    COM   73931P105          17      16,801  SH     DEFINED  01,08      16,801           0           0

POWERTEL INC                      COM   73936C109         192       2,526  SH     DEFINED     01       1,361           0       1,165
POWERTEL INC                      COM   73936C109       3,374      44,361  SH     DEFINED  01,08      44,361           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    376
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
POWERWAVE TECHNOLOGIES INC        COM   739363109       1,621      42,682  SH     DEFINED     01      36,242       1,500       4,940
POWERWAVE TECHNOLOGIES INC        COM   739363109           6         150  SH     DEFINED     03           0         150           0
POWERWAVE TECHNOLOGIES INC        COM   739363109       6,304     166,041  SH     DEFINED  01,08     166,041           0           0

PRAECIS PHARMACEUTICALS INC       COM   739421105       1,174      27,616  SH     DEFINED     01      26,173           0       1,443
PRAECIS PHARMACEUTICALS INC       COM   739421105           9         200  SH     OTHER       02           0         200           0
PRAECIS PHARMACEUTICALS INC       COM   739421105       1,843      43,354  SH     DEFINED  01,08      43,354           0           0

PRAXAIR INC                       COM   74005P104      15,086     403,633  SH     DEFINED     01     281,386      97,754      24,493
PRAXAIR INC                       COM   74005P104       2,482      66,420  SH     OTHER       01      30,945      19,475      16,000
PRAXAIR INC                       COM   74005P104         583      15,609  SH     DEFINED     02       6,730       8,239         640
PRAXAIR INC                       COM   74005P104         400      10,706  SH     OTHER       02       1,706       8,300         700
PRAXAIR INC                       COM   74005P104         590      15,785  SH     DEFINED     03       3,335      12,450           0
PRAXAIR INC                       COM   74005P104         125       3,357  SH     OTHER       03       1,266       2,091           0
PRAXAIR INC                       COM   74005P104         632      16,900  SH     DEFINED     04      16,900           0           0
PRAXAIR INC                       COM   74005P104         265       7,103  SH     OTHER       04       7,103           0           0
PRAXAIR INC                       COM   74005P104         815      21,805  SH     DEFINED     05      15,280       6,025         500
PRAXAIR INC                       COM   74005P104          47       1,250  SH     OTHER       05       1,150         100           0
PRAXAIR INC                       COM   74005P104       9,159     245,056  SH     DEFINED  01,08     245,056           0           0
PRAXAIR INC                       COM   74005P104          15         400  SH     DEFINED     10         400           0           0

PRE PAID LEGAL SVCS INC           COM   740065107         677      20,957  SH     DEFINED     01      19,314           0       1,643
PRE PAID LEGAL SVCS INC           COM   740065107       1,728      53,474  SH     DEFINED  01,08      53,474           0           0

PRECISION CASTPARTS CORP          COM   740189105       2,208      57,540  SH     DEFINED     01      47,460           0      10,080
PRECISION CASTPARTS CORP          COM   740189105       5,537     144,294  SH     DEFINED  01,08     144,294           0           0

PRECISION DRILLING CORP           COM   74022D100         399      11,200  SH     OTHER       01           0           0      11,200
PRECISION DRILLING CORP           COM   74022D100           2          64  SH     DEFINED     10          64           0           0

PRECISION OPTICS INC MASS         COM   740294103          96      12,185  SH     DEFINED  01,08      12,185           0           0

PREDICTIVE SYS INC                COM   74036W102          78       4,059  SH     DEFINED     01       3,987           0          72
PREDICTIVE SYS INC                COM   74036W102         611      31,653  SH     DEFINED  01,08      31,653           0           0

PREMIER NATL BANCORP INC          COM   74053F107         503      24,860  SH     DEFINED     01      22,186           0       2,674
PREMIER NATL BANCORP INC          COM   74053F107         905      44,692  SH     DEFINED  01,08      44,692           0           0

PRENTISS PPTYS TR                 COM   740706106       1,001      38,328  SH     DEFINED     01      14,681      16,600       7,047
PRENTISS PPTYS TR                 COM   740706106          26       1,000  SH     OTHER       04       1,000           0           0
PRENTISS PPTYS TR                 COM   740706106         242       9,258  SH     DEFINED  01,08       9,258           0           0

PRESIDENTIAL LIFE CORP            COM   740884101         762      51,012  SH     DEFINED     01      47,044           0       3,968
PRESIDENTIAL LIFE CORP            COM   740884101       1,046      70,056  SH     DEFINED  01,08      70,056           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    377
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PRESSTEK INC                      COM   741113104         556      28,998  SH     DEFINED     01      28,000           0         998
PRESSTEK INC                      COM   741113104         201      10,500  SH     DEFINED     04      10,500           0           0
PRESSTEK INC                      COM   741113104         955      49,770  SH     DEFINED  01,08      49,770           0           0

PREVIEW SYS INC                   COM   741379101          35       3,652  SH     DEFINED     01       3,543           0         109
PREVIEW SYS INC                   COM   741379101         213      22,522  SH     DEFINED  01,08      22,522           0           0

PREVIO INC                        COM   74138B105          60      10,074  SH     DEFINED  01,08      10,074           0           0

PRICE COMMUNICATIONS CORP         COM   741437305         917      46,882  SH     DEFINED     01      45,340           0       1,542
PRICE COMMUNICATIONS CORP         COM   741437305          48       2,435  SH     OTHER       01           0       2,435           0
PRICE COMMUNICATIONS CORP         COM   741437305       1,735      88,703  SH     DEFINED  01,08      88,703           0           0

PRICE T ROWE & ASSOCIATES         COM   741477103      11,407     243,035  SH     DEFINED     01     185,109      46,208      11,718
PRICE T ROWE & ASSOCIATES         COM   741477103         865      18,425  SH     OTHER       01       3,800      14,625           0
PRICE T ROWE & ASSOCIATES         COM   741477103       2,768      58,965  SH     DEFINED     02      32,165      17,600       9,200
PRICE T ROWE & ASSOCIATES         COM   741477103         854      18,194  SH     OTHER       02      12,544       3,000       2,650
PRICE T ROWE & ASSOCIATES         COM   741477103       3,198      68,124  SH     DEFINED     03      38,422      29,230         472
PRICE T ROWE & ASSOCIATES         COM   741477103         742      15,801  SH     OTHER       03       8,250       3,551       4,000
PRICE T ROWE & ASSOCIATES         COM   741477103         214       4,550  SH     DEFINED     04       2,550           0       2,000
PRICE T ROWE & ASSOCIATES         COM   741477103         213       4,540  SH     OTHER       04       4,540           0           0
PRICE T ROWE & ASSOCIATES         COM   741477103         687      14,640  SH     DEFINED     05      11,740       2,450         450
PRICE T ROWE & ASSOCIATES         COM   741477103         133       2,830  SH     OTHER       05       1,280         350       1,200
PRICE T ROWE & ASSOCIATES         COM   741477103       8,609     183,425  SH     DEFINED  01,08     183,425           0           0

PRICELINE COM INC                 COM   741503106          61       5,104  SH     DEFINED     01       3,454         400       1,250
PRICELINE COM INC                 COM   741503106          13       1,060  SH     DEFINED     04       1,060           0           0
PRICELINE COM INC                 COM   741503106           1          70  SH     OTHER       04          70           0           0
PRICELINE COM INC                 COM   741503106       1,575     132,633  SH     DEFINED  01,08     132,633           0           0

PRICESMART INC                    COM   741511109          64       1,669  SH     DEFINED     01       1,443           0         226
PRICESMART INC                    COM   741511109         301       7,805  SH     DEFINED  01,08       7,805           0           0

PRIME MED SVCS INC NEW            COM   74156D108         126      16,300  SH     DEFINED     01      16,300           0           0
PRIME MED SVCS INC NEW            COM   74156D108         299      38,584  SH     DEFINED  01,08      38,584           0           0

PRIMEDIA INC                      COM   74157K101         275      16,764  SH     DEFINED     01      12,424           0       4,340
PRIMEDIA INC                      COM   74157K101          15         925  SH     DEFINED     04         925           0           0
PRIMEDIA INC                      COM   74157K101       2,907     177,527  SH     DEFINED  01,08     177,527           0           0

PRIME RESPONSE INC                COM   74158B100         131      32,727  SH     DEFINED  01,08      32,727           0           0

PRIMEENERGY CORP                  COM   74158E104         134      16,767  SH     DEFINED  01,08      16,767           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    378
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PRIMESOURCE CORP                  COM   741593107          27       5,400  SH     DEFINED     01       5,400           0           0
PRIMESOURCE CORP                  COM   741593107          53      10,518  SH     DEFINED  01,08      10,518           0           0

PRIMEX TECHNOLOGIES INC           COM   741597108         432      14,868  SH     DEFINED     01      13,001           0       1,867
PRIMEX TECHNOLOGIES INC           COM   741597108         169       5,810  SH     OTHER       04       5,810           0           0
PRIMEX TECHNOLOGIES INC           COM   741597108         472      16,241  SH     DEFINED  01,08      16,241           0           0

PRIMIX SOLUTIONS INC              COM   741620108         116      66,500  SH     DEFINED     04      66,500           0           0
PRIMIX SOLUTIONS INC              COM   741620108          40      23,025  SH     DEFINED  01,08      23,025           0           0

PRIMUS KNOWLEDGE SOLUTIONS INC    COM   74163Q100         182      12,268  SH     DEFINED     01      12,056           0         212
PRIMUS KNOWLEDGE SOLUTIONS INC    COM   74163Q100         357      24,077  SH     DEFINED  01,08      24,077           0           0

PRIMA ENERGY CORP                 COM   741901201         316       5,933  SH     DEFINED     01       5,827           0         106
PRIMA ENERGY CORP                 COM   741901201         678      12,728  SH     DEFINED  01,08      12,728           0           0

PRIME HOSPITALITY CORP            COM   741917108         739      72,975  SH     DEFINED     01      62,870           0      10,105
PRIME HOSPITALITY CORP            COM   741917108         922      91,105  SH     DEFINED  01,08      91,105           0           0

PRIMUS TELECOMMUNICATIONS GRP     COM   741929103         263      27,693  SH     DEFINED     01      27,243           0         450
PRIMUS TELECOMMUNICATIONS GRP     COM   741929103         581      61,119  SH     DEFINED  01,08      61,119           0           0

PRIDE INTL INC                    COM   741932107         430      16,208  SH     DEFINED     01       5,839       4,900       5,469
PRIDE INTL INC                    COM   741932107       3,004     113,372  SH     DEFINED  01,08     113,372           0           0

PRINCETON VIDEO IMAGE INC         COM   742476104          20       4,000  SH     OTHER       04       4,000           0           0
PRINCETON VIDEO IMAGE INC         COM   742476104          59      11,697  SH     DEFINED  01,08      11,697           0           0

PRINTRAK INTL INC                 COM   742574106         195      16,242  SH     DEFINED  01,08      16,242           0           0

PRINTRONIX INC                    COM   742578107          28       2,900  SH     DEFINED     01       2,900           0           0
PRINTRONIX INC                    COM   742578107         283      29,714  SH     DEFINED  01,08      29,714           0           0

PRISON RLTY TR                    COM   74264N105          83      69,985  SH     DEFINED     01      47,261       2,100      20,624
PRISON RLTY TR                    COM   74264N105         237     200,000  SH     DEFINED     04     200,000           0           0
PRISON RLTY TR                    COM   74264N105           1       1,000  SH     OTHER       04       1,000           0           0
PRISON RLTY TR                    COM   74264N105          33      28,048  SH     DEFINED  01,08      28,048           0           0

PRIORITY HEALTHCARE CORP          COM   74264T102       1,045      13,702  SH     DEFINED     01      11,442         909       1,351
PRIORITY HEALTHCARE CORP          COM   74264T102          23         304  SH     DEFINED     03         304           0           0
PRIORITY HEALTHCARE CORP          COM   74264T102       3,151      41,331  SH     DEFINED  01,08      41,331           0           0

PRIVATE MEDIA GROUP INC           COM   74266R104          75      13,418  SH     DEFINED     01      13,183           0         235
PRIVATE MEDIA GROUP INC           COM   74266R104          17       3,046  SH     DEFINED  01,08       3,046           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    379
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PRIVATE BUSINESS INC              COM   74267D104          18      15,840  SH     DEFINED  01,08      15,840           0           0

PROBUSINESS SERVICES INC          COM   742674104         464      15,328  SH     DEFINED     01      14,666         300         362
PROBUSINESS SERVICES INC          COM   742674104         932      30,824  SH     DEFINED  01,08      30,824           0           0

PROCOM TECHNOLOGY INC             COM   74270W107         148       4,992  SH     DEFINED     01       4,905           0          87
PROCOM TECHNOLOGY INC             COM   74270W107          15         500  SH     DEFINED     04         500           0           0
PROCOM TECHNOLOGY INC             COM   74270W107         484      16,361  SH     DEFINED  01,08      16,361           0           0

PROCTER & GAMBLE CO               COM   742718109     243,406   3,632,926  SH     DEFINED     01   2,783,524     672,712     176,690
PROCTER & GAMBLE CO               COM   742718109      68,908   1,028,473  SH     OTHER       01     388,568     599,902      40,003
PROCTER & GAMBLE CO               COM   742718109       9,532     142,263  SH     DEFINED     02      87,081      47,408       7,774
PROCTER & GAMBLE CO               COM   742718109       6,623      98,858  SH     OTHER       02      59,977      27,603      11,278
PROCTER & GAMBLE CO               COM   742718109      20,334     303,494  SH     DEFINED     03     152,422     135,350      15,722
PROCTER & GAMBLE CO               COM   742718109      12,610     188,213  SH     OTHER       03     134,586      37,627      16,000
PROCTER & GAMBLE CO               COM   742718109      89,597   1,337,268  SH     DEFINED     04   1,267,583           0      69,685
PROCTER & GAMBLE CO               COM   742718109      63,393     946,167  SH     OTHER       04     897,463           0      48,704
PROCTER & GAMBLE CO               COM   742718109       6,655      99,321  SH     DEFINED     05      67,096      29,125       3,100
PROCTER & GAMBLE CO               COM   742718109       2,365      35,295  SH     OTHER       05      10,895      21,400       3,000
PROCTER & GAMBLE CO               COM   742718109     153,216   2,286,803  SH     DEFINED  01,08   2,029,103     220,680      37,020
PROCTER & GAMBLE CO               COM   742718109         465       6,942  SH     DEFINED     09       6,942           0           0
PROCTER & GAMBLE CO               COM   742718109          47         700  SH     OTHER       09         700           0           0
PROCTER & GAMBLE CO               COM   742718109      10,673     159,297  SH     DEFINED     10      58,627     100,470         200
PROCTER & GAMBLE CO               COM   742718109       1,566      23,374  SH     OTHER       10      17,210       5,864         300

PRODIGY COMMUNICATIONS CORP       COM   74283P206         109      21,295  SH     DEFINED     01      20,921           0         374
PRODIGY COMMUNICATIONS CORP       COM   74283P206         399      77,807  SH     DEFINED  01,08      77,807           0           0

PROFESSIONALS GROUP INC           COM   742954100         180       8,057  SH     DEFINED     01       7,557         500           0
PROFESSIONALS GROUP INC           COM   742954100         261      11,685  SH     DEFINED     04      11,685           0           0
PROFESSIONALS GROUP INC           COM   742954100          23       1,045  SH     OTHER       04       1,045           0           0
PROFESSIONALS GROUP INC           COM   742954100         420      18,838  SH     DEFINED  01,08      18,838           0           0

PRIVATEBANCORP INC                COM   742962103          76       5,500  SH     DEFINED     01       4,000       1,500           0
PRIVATEBANCORP INC                COM   742962103          76       5,505  SH     DEFINED  01,08       5,505           0           0

PROFESSIONAL DETAILING INC        COM   74312N107         231       4,061  SH     DEFINED     01       3,988           0          73
PROFESSIONAL DETAILING INC        COM   74312N107         454       7,967  SH     DEFINED  01,08       7,967           0           0

PROFIT RECOVERY GROUP INTL INC    COM   743168106         425      43,066  SH     DEFINED     01      42,024           0       1,042
PROFIT RECOVERY GROUP INTL INC    COM   743168106         836      84,685  SH     DEFINED  01,08      84,685           0           0

PROGENICS PHARMACEUTICALS INC     COM   743187106         435      15,858  SH     DEFINED  01,08      15,858           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    380
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PROGRESS SOFTWARE CORP            COM   743312100         681      49,991  SH     DEFINED     01      46,731       1,455       1,805
PROGRESS SOFTWARE CORP            COM   743312100         123       9,000  SH     DEFINED     04         400           0       8,600
PROGRESS SOFTWARE CORP            COM   743312100       1,007      73,915  SH     DEFINED  01,08      73,915           0           0

PROGRESSIVE CORP OHIO             COM   743315103      11,012     134,497  SH     DEFINED     01     105,646      23,510       5,341
PROGRESSIVE CORP OHIO             COM   743315103       2,067      25,240  SH     OTHER       01       1,300      23,940           0
PROGRESSIVE CORP OHIO             COM   743315103          16         200  SH     DEFINED     03         200           0           0
PROGRESSIVE CORP OHIO             COM   743315103      11,255     137,469  SH     DEFINED     04      45,867           0      91,602
PROGRESSIVE CORP OHIO             COM   743315103         489       5,975  SH     OTHER       04       5,975           0           0
PROGRESSIVE CORP OHIO             COM   743315103         260       3,180  SH     DEFINED     05       2,580         600           0
PROGRESSIVE CORP OHIO             COM   743315103          29         350  SH     OTHER       05         350           0           0
PROGRESSIVE CORP OHIO             COM   743315103       8,824     107,768  SH     DEFINED  01,08     107,768           0           0
PROGRESSIVE CORP OHIO             COM   743315103         239       2,925  SH     DEFINED     09       2,925           0           0

PROJECT SOFTWARE & DEV INC        COM   74339P101         230      14,823  SH     DEFINED     01      13,786         700         337
PROJECT SOFTWARE & DEV INC        COM   74339P101          12         800  SH     OTHER       01           0           0         800
PROJECT SOFTWARE & DEV INC        COM   74339P101         544      34,969  SH     DEFINED  01,08      34,969           0           0

PROMOTIONS COM INC                COM   74341U106          29      18,100  SH     DEFINED  01,08      18,100           0           0

PROLOGIS TR                       COM   743410102         410      17,262  SH     DEFINED     01       9,389       5,000       2,873
PROLOGIS TR                       COM   743410102       4,805     202,312  SH     OTHER       01       3,500           0     198,812
PROLOGIS TR                       COM   743410102          36       1,500  SH     OTHER       03       1,500           0           0
PROLOGIS TR                       COM   743410102         219       9,208  SH     DEFINED  01,08       9,208           0           0

PROLOGIS TR                    CONV PFD 743410300       1,230      40,000         DEFINED     01      40,000           0           0

PROSOFTTRAINING COM INC           COM   743477101         289      20,252  SH     DEFINED     01      19,956           0         296
PROSOFTTRAINING COM INC           COM   743477101          29       2,000  SH     DEFINED     04       2,000           0           0
PROSOFTTRAINING COM INC           COM   743477101         219      15,391  SH     DEFINED  01,08      15,391           0           0

PROTECTION ONE INC                COM   743663304          59      42,679  SH     DEFINED     01      39,326           0       3,353
PROTECTION ONE INC                COM   743663304         233     169,491  SH     DEFINED  01,08     169,491           0           0

PROTECTIVE LIFE CORP              COM   743674103       9,527     318,880  SH     DEFINED     01     290,160           0      28,720
PROTECTIVE LIFE CORP              COM   743674103          24         800  SH     DEFINED     02           0         800           0
PROTECTIVE LIFE CORP              COM   743674103          12         400  SH     DEFINED     04         400           0           0
PROTECTIVE LIFE CORP              COM   743674103          12         400  SH     OTHER       04         400           0           0
PROTECTIVE LIFE CORP              COM   743674103       5,286     176,930  SH     DEFINED  01,08     176,930           0           0

PROTEIN DESIGN LABS INC           COM   74369L103       1,245      10,336  SH     DEFINED     01       2,140       4,500       3,696
PROTEIN DESIGN LABS INC           COM   74369L103      16,583     137,616  SH     DEFINED  01,08     137,616           0           0
PROTEIN DESIGN LABS INC           COM   74369L103          36         300  SH     DEFINED     10           0         300           0

PROVANT INC                       COM   743724106         186      26,581  SH     DEFINED  01,08      26,581           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    381
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PROVIDENCE ENERGY CORP            COM   743743106         413       9,743  SH     DEFINED     01       8,786           0         957
PROVIDENCE ENERGY CORP            COM   743743106         546      12,861  SH     DEFINED  01,08      12,861           0           0

PROVIDENT BANKSHARES CORP         COM   743859100         502      29,974  SH     DEFINED     01      24,403           0       5,571
PROVIDENT BANKSHARES CORP         COM   743859100       1,162      69,361  SH     DEFINED  01,08      69,361           0           0
PROVIDENT BANKSHARES CORP         COM   743859100           4         254  SH     DEFINED     10           0         254           0

PROVIDENT FINL GROUP INC          COM   743866105       1,168      39,767  SH     DEFINED     01      35,974           0       3,793
PROVIDENT FINL GROUP INC          COM   743866105          50       1,695  SH     OTHER       01       1,695           0           0
PROVIDENT FINL GROUP INC          COM   743866105         610      20,755  SH     DEFINED     04      20,755           0           0
PROVIDENT FINL GROUP INC          COM   743866105         260       8,856  SH     OTHER       04       8,856           0           0
PROVIDENT FINL GROUP INC          COM   743866105       3,961     134,850  SH     DEFINED  01,08     134,850           0           0

PROVINCE HEALTHCARE CO            COM   743977100       5,775     144,597  SH     DEFINED     01     139,680           0       4,917
PROVINCE HEALTHCARE CO            COM   743977100          36         910  SH     OTHER       01           0           0         910
PROVINCE HEALTHCARE CO            COM   743977100       1,266      31,699  SH     DEFINED  01,08      31,699           0           0

PROVIDIAN FINL CORP            CONV DEB 74406AAA0         839     750,000  PRN    DEFINED     01     750,000           0           0

PROVIDIAN FINL CORP               COM   74406A102      66,224     521,450  SH     DEFINED     01     453,781      38,399      29,270
PROVIDIAN FINL CORP               COM   74406A102       7,635      60,117  SH     OTHER       01      33,192      24,925       2,000
PROVIDIAN FINL CORP               COM   74406A102         365       2,875  SH     DEFINED     02       2,875           0           0
PROVIDIAN FINL CORP               COM   74406A102         248       1,950  SH     OTHER       02       1,950           0           0
PROVIDIAN FINL CORP               COM   74406A102       8,000      62,989  SH     DEFINED     03      28,339      29,910       4,740
PROVIDIAN FINL CORP               COM   74406A102       2,039      16,053  SH     OTHER       03       8,953       4,400       2,700
PROVIDIAN FINL CORP               COM   74406A102       2,838      22,350  SH     DEFINED     04      20,850           0       1,500
PROVIDIAN FINL CORP               COM   74406A102       5,083      40,025  SH     OTHER       04      40,025           0           0
PROVIDIAN FINL CORP               COM   74406A102         679       5,350  SH     DEFINED     05       5,350           0           0
PROVIDIAN FINL CORP               COM   74406A102         762       6,000  SH     OTHER       05           0           0       6,000
PROVIDIAN FINL CORP               COM   74406A102      32,384     254,993  SH     DEFINED  01,08     254,993           0           0
PROVIDIAN FINL CORP               COM   74406A102         171       1,350  SH     DEFINED     10           0       1,350           0

PROXICOM INC                      COM   744282104          51       2,638  SH     DEFINED     01       1,422           0       1,216
PROXICOM INC                      COM   744282104       1,350      69,207  SH     DEFINED  01,08      69,207           0           0

PROXIM INC                        COM   744284100       1,677      37,696  SH     DEFINED     01      34,944         700       2,052
PROXIM INC                        COM   744284100           9         200  SH     DEFINED     05         200           0           0
PROXIM INC                        COM   744284100       1,817      40,832  SH     DEFINED  01,08      40,832           0           0

PROXYMED PHARMACY INC             COM   744290107           3       3,001  SH     DEFINED     04       3,001           0           0
PROXYMED PHARMACY INC             COM   744290107          32      28,813  SH     DEFINED  01,08      28,813           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    382
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PSINET INC                        COM   74437C101         406      42,210  SH     DEFINED     01      37,482       1,440       3,288
PSINET INC                        COM   74437C101          24       2,453  SH     OTHER       01           0           0       2,453
PSINET INC                        COM   74437C101          12       1,250  SH     DEFINED     04       1,250           0           0
PSINET INC                        COM   74437C101       1,751     181,974  SH     DEFINED  01,08     181,974           0           0

PSYCHEMEDICS CORP                 COM   744375106          37       7,500  SH     DEFINED     01       7,500           0           0
PSYCHEMEDICS CORP                 COM   744375106         146      29,566  SH     DEFINED  01,08      29,566           0           0

PUBLIC SVC CO N MEX               COM   744499104       2,323      89,781  SH     DEFINED     01      47,155      35,900       6,726
PUBLIC SVC CO N MEX               COM   744499104          52       2,000  SH     DEFINED     03       2,000           0           0
PUBLIC SVC CO N MEX               COM   744499104          13         500  SH     DEFINED     04         500           0           0
PUBLIC SVC CO N MEX               COM   744499104       2,952     114,083  SH     DEFINED  01,08     114,083           0           0
PUBLIC SVC CO N MEX               COM   744499104           3         100  SH     DEFINED     10         100           0           0

PUBLIC SVC ENTERPRISE GROUP       COM   744573106      17,543     392,575  SH     DEFINED     01     312,377      54,675      25,523
PUBLIC SVC ENTERPRISE GROUP       COM   744573106         189       4,239  SH     OTHER       01       1,836       2,203         200
PUBLIC SVC ENTERPRISE GROUP       COM   744573106          64       1,442  SH     OTHER       02         822         150         470
PUBLIC SVC ENTERPRISE GROUP       COM   744573106         203       4,550  SH     DEFINED     03       1,500       2,750         300
PUBLIC SVC ENTERPRISE GROUP       COM   744573106          25         550  SH     OTHER       03         550           0           0
PUBLIC SVC ENTERPRISE GROUP       COM   744573106         483      10,801  SH     DEFINED     04      10,801           0           0
PUBLIC SVC ENTERPRISE GROUP       COM   744573106         739      16,529  SH     OTHER       04      16,342           0         187
PUBLIC SVC ENTERPRISE GROUP       COM   744573106          13         300  SH     DEFINED     05         300           0           0
PUBLIC SVC ENTERPRISE GROUP       COM   744573106      14,794     331,069  SH     DEFINED  01,08     331,069           0           0

PUBLIC STORAGE INC                COM   74460D109         254      10,593  SH     DEFINED     01       8,209           0       2,384
PUBLIC STORAGE INC                COM   74460D109         791      33,048  SH     OTHER       01       3,448           0      29,600
PUBLIC STORAGE INC                COM   74460D109           7         300  SH     OTHER       03         300           0           0
PUBLIC STORAGE INC                COM   74460D109          18         764  SH     DEFINED     04         764           0           0
PUBLIC STORAGE INC                COM   74460D109          15         628  SH     OTHER       04         628           0           0
PUBLIC STORAGE INC                COM   74460D109         228       9,529  SH     DEFINED  01,08       9,529           0           0

PUBLICARD INC                     COM   744627100         112      54,333  SH     DEFINED  01,08      54,333           0           0

PUGET SOUND ENERGY INC            COM   745332106       1,501      59,150  SH     DEFINED     01      55,043           0       4,107
PUGET SOUND ENERGY INC            COM   745332106          16         635  SH     DEFINED     02         635           0           0
PUGET SOUND ENERGY INC            COM   745332106          31       1,203  SH     DEFINED     03           0           0       1,203
PUGET SOUND ENERGY INC            COM   745332106          38       1,500  SH     OTHER       03       1,500           0           0
PUGET SOUND ENERGY INC            COM   745332106         328      12,939  SH     DEFINED     04      12,939           0           0
PUGET SOUND ENERGY INC            COM   745332106          51       2,000  SH     OTHER       04       2,000           0           0
PUGET SOUND ENERGY INC            COM   745332106       6,008     236,769  SH     DEFINED  01,08     236,769           0           0
PUGET SOUND ENERGY INC            COM   745332106          26       1,032  SH     DEFINED     10       1,032           0           0

PULITZER INC                      COM   745769109         309       7,190  SH     DEFINED     01       5,736           0       1,454
PULITZER INC                      COM   745769109          34         794  SH     DEFINED     04         794           0           0
PULITZER INC                      COM   745769109         332       7,720  SH     DEFINED  01,08       7,720           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    383
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
PULTE CORP                        COM   745867101       2,848      86,289  SH     DEFINED     01      67,359      10,114       8,816
PULTE CORP                        COM   745867101       2,105      63,779  SH     DEFINED  01,08      63,779           0           0

PUMA TECHNOLOGY INC               COM   745887109         695      34,232  SH     DEFINED     01      33,673           0         559
PUMA TECHNOLOGY INC               COM   745887109       1,191      58,645  SH     DEFINED  01,08      58,645           0           0

PURCHASEPRO COM                   COM   746144104         976      11,111  SH     DEFINED     01      10,925           0         186
PURCHASEPRO COM                   COM   746144104       3,602      40,993  SH     DEFINED  01,08      40,993           0           0

PURE WORLD INC                    COM   74622C106          94      37,435  SH     DEFINED  01,08      37,435           0           0

PURE RES INC                      COM   74622E102       1,278      60,325  SH     DEFINED     01      56,204           0       4,121
PURE RES INC                      COM   74622E102         183       8,653  SH     DEFINED     04           0           0       8,653
PURE RES INC                      COM   74622E102         815      38,457  SH     DEFINED  01,08      38,457           0           0

PUTNAM HIGH YIELD MUN TR       UNDEFIND 746781103           0       2,347         DEFINED     01       1,347       1,000           0
PUTNAM HIGH YIELD MUN TR       UNDEFIND 746781103          91      11,250         DEFINED     04      11,250           0           0

PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103           0       2,000         DEFINED     01       1,000       1,000           0
PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103           1      11,000         OTHER       02      11,000           0           0
PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103           1       6,000         DEFINED     03       6,000           0           0
PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103           0       4,754         OTHER       03       2,377           0       2,377
PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103         323      35,354         DEFINED     04      35,354           0           0
PUTNAM MANAGED MUN INCOM TR    UNDEFIND 746823103         119      13,035         OTHER       04      13,035           0           0

PUTNAM PREMIER INCOME TR       UNDEFIND 746853100           0         950         DEFINED     01         150         800           0
PUTNAM PREMIER INCOME TR       UNDEFIND 746853100           0       1,232         OTHER       01           0       1,232           0
PUTNAM PREMIER INCOME TR       UNDEFIND 746853100          45       6,936         DEFINED     04       6,686           0         250
PUTNAM PREMIER INCOME TR       UNDEFIND 746853100         101      15,700         OTHER       04      15,700           0           0

PUTNAM TAX FREE HEALTH CARE FD UNDEFIND 746920107           1       4,900         DEFINED     01       2,000       2,900           0
PUTNAM TAX FREE HEALTH CARE FD UNDEFIND 746920107           0       1,000         DEFINED     03         300         700           0
PUTNAM TAX FREE HEALTH CARE FD UNDEFIND 746920107           1       5,500         OTHER       03       2,750           0       2,750
PUTNAM TAX FREE HEALTH CARE FD UNDEFIND 746920107          96       7,500         DEFINED     04       7,500           0           0

QLT INC                           COM   746927102         730      10,300  SH     DEFINED     01           0      10,300           0
QLT INC                           COM   746927102         142       2,000  SH     DEFINED     03           0           0       2,000
QLT INC                           COM   746927102         227       3,200  SH     DEFINED     04       3,200           0           0
QLT INC                           COM   746927102           3          43  SH     DEFINED     10          43           0           0

QRS CORP                          COM   74726X105         197      13,105  SH     DEFINED     01      12,876           0         229
QRS CORP                          COM   74726X105         409      27,125  SH     DEFINED  01,08      27,125           0           0

QAD INC                           COM   74727D108          84      32,700  SH     DEFINED  01,08      32,700           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    384
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
QLOGIC CORP                       COM   747277101       5,269      59,870  SH     DEFINED     01      55,488         100       4,282
QLOGIC CORP                       COM   747277101           4          50  SH     DEFINED     02           0           0          50
QLOGIC CORP                       COM   747277101          16         184  SH     OTHER       02         184           0           0
QLOGIC CORP                       COM   747277101          63         720  SH     DEFINED     03         720           0           0
QLOGIC CORP                       COM   747277101          18         200  SH     OTHER       03           0         200           0
QLOGIC CORP                       COM   747277101         139       1,581  SH     DEFINED     04       1,581           0           0
QLOGIC CORP                       COM   747277101      21,555     244,947  SH     DEFINED  01,08     244,947           0           0

QUADRAMED CORP                    COM   74730W101          43      32,443  SH     DEFINED  01,08      32,443           0           0
QUADRAMED CORP                    COM   74730W101           3       2,500  SH     DEFINED     10           0           0       2,500

QUAKER CHEM CORP                  COM   747316107         117       6,900  SH     DEFINED     01       6,400           0         500
QUAKER CHEM CORP                  COM   747316107         869      51,123  SH     DEFINED  01,08      51,123           0           0

QUAKER FABRIC CORP NEW            COM   747399103          42       8,000  SH     OTHER       01           0       8,000           0
QUAKER FABRIC CORP NEW            COM   747399103         104      19,900  SH     DEFINED     04           0           0      19,900
QUAKER FABRIC CORP NEW            COM   747399103         108      20,649  SH     DEFINED  01,08      20,649           0           0

QUAKER OATS CO                    COM   747402105      33,129     418,697  SH     DEFINED     01     335,945      57,997      24,755
QUAKER OATS CO                    COM   747402105       8,846     111,792  SH     OTHER       01      85,782      19,710       6,300
QUAKER OATS CO                    COM   747402105         924      11,682  SH     DEFINED     02      11,082         600           0
QUAKER OATS CO                    COM   747402105         857      10,832  SH     OTHER       02      10,832           0           0
QUAKER OATS CO                    COM   747402105       1,203      15,198  SH     DEFINED     03      10,452       3,530       1,216
QUAKER OATS CO                    COM   747402105       1,274      16,100  SH     OTHER       03      11,200       4,900           0
QUAKER OATS CO                    COM   747402105         655       8,284  SH     DEFINED     04       8,284           0           0
QUAKER OATS CO                    COM   747402105       5,524      69,812  SH     OTHER       04      60,212           0       9,600
QUAKER OATS CO                    COM   747402105          21         269  SH     DEFINED     05         269           0           0
QUAKER OATS CO                    COM   747402105      16,650     210,421  SH     DEFINED  01,08     198,726       9,985       1,710
QUAKER OATS CO                    COM   747402105         265       3,349  SH     DEFINED     10         760       2,589           0
QUAKER OATS CO                    COM   747402105          95       1,200  SH     OTHER       10           0       1,200           0

QUALCOMM INC                      COM   747525103      82,603   1,159,347  SH     DEFINED     01   1,053,042      33,970      72,335
QUALCOMM INC                      COM   747525103         606       8,500  SH     OTHER       01       5,600       2,200         700
QUALCOMM INC                      COM   747525103         103       1,450  SH     DEFINED     02         250         100       1,100
QUALCOMM INC                      COM   747525103         328       4,610  SH     OTHER       02       3,060       1,450         100
QUALCOMM INC                      COM   747525103       4,037      56,654  SH     DEFINED     03      19,095      27,665       9,894
QUALCOMM INC                      COM   747525103         135       1,900  SH     OTHER       03         725       1,000         175
QUALCOMM INC                      COM   747525103       7,736     108,580  SH     DEFINED     04     104,055           0       4,525
QUALCOMM INC                      COM   747525103       4,020      56,420  SH     OTHER       04      51,845           0       4,575
QUALCOMM INC                      COM   747525103          36         500  SH     OTHER       05           0         500           0
QUALCOMM INC                      COM   747525103      78,523   1,102,079  SH     DEFINED  01,08   1,102,079           0           0
QUALCOMM INC                      COM   747525103       1,532      21,500  SH     DEFINED     10      11,425      10,075           0
QUALCOMM INC                      COM   747525103          53         750  SH     OTHER       10         250         500           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    385
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
QUALITY DINING INC                COM   74756P105           2         750  SH     DEFINED     01         750           0           0
QUALITY DINING INC                COM   74756P105          52      25,990  SH     DEFINED  01,08      25,990           0           0

QUALITY SYS INC                   COM   747582104          97      14,320  SH     DEFINED  01,08      14,320           0           0

QUANTA SVCS INC                   COM   74762E102       1,787      64,965  SH     DEFINED     01      38,011      25,000       1,954
QUANTA SVCS INC                   COM   74762E102           2          80  SH     DEFINED     04          80           0           0
QUANTA SVCS INC                   COM   74762E102       6,907     251,154  SH     DEFINED  01,08     251,154           0           0

QUANEX CORP                       COM   747620102         520      27,265  SH     DEFINED     01      24,109         700       2,456
QUANEX CORP                       COM   747620102          10         505  SH     DEFINED     03           0           0         505
QUANEX CORP                       COM   747620102         400      21,000  SH     OTHER       04      21,000           0           0
QUANEX CORP                       COM   747620102         705      36,995  SH     DEFINED  01,08      36,995           0           0

QUANTUM CORP                      COM   747906204       1,557     103,381  SH     DEFINED     01      97,073           0       6,308
QUANTUM CORP                      COM   747906204          27       1,800  SH     OTHER       01           0       1,800           0
QUANTUM CORP                      COM   747906204           7         485  SH     DEFINED     03         185         300           0
QUANTUM CORP                      COM   747906204          53       3,500  SH     OTHER       04       3,500           0           0
QUANTUM CORP                      COM   747906204       6,230     413,640  SH     DEFINED  01,08     413,640           0           0

QUANTUM CORP                      COM   747906303         739      74,339  SH     DEFINED     01      70,164           0       4,175
QUANTUM CORP                      COM   747906303           9         900  SH     OTHER       01           0         900           0
QUANTUM CORP                      COM   747906303           3         277  SH     DEFINED     03         277           0           0
QUANTUM CORP                      COM   747906303          17       1,750  SH     OTHER       04       1,750           0           0
QUANTUM CORP                      COM   747906303       1,028     103,494  SH     DEFINED  01,08     103,494           0           0

Q MED                             COM   747914109         244      30,985  SH     DEFINED  01,08      30,985           0           0

QUEENS CNTY BANCORP INC           COM   748242104         945      32,730  SH     DEFINED     01      29,213           0       3,517
QUEENS CNTY BANCORP INC           COM   748242104       1,452      50,291  SH     DEFINED  01,08      50,291           0           0

QUENTRA NETWORKS INC              COM   748337102          68      20,028  SH     DEFINED  01,08      20,028           0           0

QUEST DIAGNOSTICS INC             COM   74834L100       3,494      30,448  SH     DEFINED     01      27,122       1,300       2,026
QUEST DIAGNOSTICS INC             COM   74834L100           3          25  SH     OTHER       02          25           0           0
QUEST DIAGNOSTICS INC             COM   74834L100         308       2,681  SH     DEFINED     03           0       2,681           0
QUEST DIAGNOSTICS INC             COM   74834L100         196       1,712  SH     DEFINED     04       1,712           0           0
QUEST DIAGNOSTICS INC             COM   74834L100         155       1,350  SH     OTHER       04         250           0       1,100
QUEST DIAGNOSTICS INC             COM   74834L100      14,163     123,425  SH     DEFINED  01,08     123,425           0           0

QUEST SOFTWARE INC                COM   74834T103         473       7,620  SH     DEFINED     01       1,011       6,000         609
QUEST SOFTWARE INC                COM   74834T103       4,225      68,032  SH     DEFINED  01,08      68,032           0           0

QUESTCOR PHARMACEUTICALS INC      COM   74835Y101          53      31,600  SH     DEFINED  01,08      31,600           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    386
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
QUESTAR CORP                      COM   748356102       1,711      61,533  SH     DEFINED     01      57,730           0       3,803
QUESTAR CORP                      COM   748356102         184       6,600  SH     OTHER       01       1,200           0       5,400
QUESTAR CORP                      COM   748356102          72       2,600  SH     DEFINED     03           0       2,000         600
QUESTAR CORP                      COM   748356102           9         340  SH     DEFINED     04         340           0           0
QUESTAR CORP                      COM   748356102       6,185     222,404  SH     DEFINED  01,08     222,404           0           0
QUESTAR CORP                      COM   748356102         111       4,000  SH     DEFINED     10       4,000           0           0
QUESTAR CORP                      COM   748356102          69       2,492  SH     OTHER       10       2,492           0           0

QUICKLOGIC CORP                   COM   74837P108         350      21,213  SH     DEFINED     01      20,617           0         596
QUICKLOGIC CORP                   COM   74837P108         515      31,241  SH     DEFINED  01,08      31,241           0           0

QUICKSILVER RESOURCES INC         COM   74837R104          74       7,600  SH     DEFINED     04           0           0       7,600
QUICKSILVER RESOURCES INC         COM   74837R104          64       6,609  SH     DEFINED  01,08       6,609           0           0

QUIKSILVER INC                    COM   74838C106         353      18,337  SH     DEFINED     01      14,905           0       3,432
QUIKSILVER INC                    COM   74838C106           2         100  SH     OTHER       04         100           0           0
QUIKSILVER INC                    COM   74838C106       1,359      70,585  SH     DEFINED  01,08      70,585           0           0

QUIDEL CORP                       COM   74838J101          86      19,997  SH     DEFINED     01      19,997           0           0
QUIDEL CORP                       COM   74838J101           4         900  SH     DEFINED     04           0           0         900
QUIDEL CORP                       COM   74838J101         161      37,295  SH     DEFINED  01,08      37,295           0           0

QUINTEL COMMUNICATIONS INC        COM   748762101         133      22,000  SH     DEFINED  01,08      22,000           0           0

QUINTILES TRANSNATIONAL CORP      COM   748767100       3,156     198,023  SH     DEFINED     01     163,930      29,540       4,553
QUINTILES TRANSNATIONAL CORP      COM   748767100           3         195  SH     DEFINED     02         195           0           0
QUINTILES TRANSNATIONAL CORP      COM   748767100          49       3,051  SH     DEFINED     04       3,051           0           0
QUINTILES TRANSNATIONAL CORP      COM   748767100       2,789     175,009  SH     DEFINED  01,08     175,009           0           0

QUINTUS CORP                      COM   748798105         150      17,491  SH     DEFINED     01      16,943           0         548
QUINTUS CORP                      COM   748798105           0          13  SH     OTHER       01           0          13           0
QUINTUS CORP                      COM   748798105         426      49,755  SH     DEFINED  01,08      49,755           0           0

QUIPP INC                         COM   748802105         505      20,000  SH     DEFINED     04      20,000           0           0
QUIPP INC                         COM   748802105         168       6,643  SH     DEFINED  01,08       6,643           0           0

QUIXOTE CORP                      COM   749056107          44       2,600  SH     DEFINED     01       2,600           0           0
QUIXOTE CORP                      COM   749056107         382      22,797  SH     DEFINED  01,08      22,797           0           0

QUOKKA SPORTS INC                 COM   749077103          90      22,660  SH     DEFINED     01      21,756           0         904
QUOKKA SPORTS INC                 COM   749077103         118      29,610  SH     DEFINED  01,08      29,610           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    387
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
QUORUM HEALTH GROUP INC           COM   749084109       2,021     155,495  SH     DEFINED     01     141,228           0      14,267
QUORUM HEALTH GROUP INC           COM   749084109          52       4,000  SH     OTHER       01           0       4,000           0
QUORUM HEALTH GROUP INC           COM   749084109          13       1,000  SH     DEFINED     04       1,000           0           0
QUORUM HEALTH GROUP INC           COM   749084109       2,697     207,430  SH     DEFINED  01,08     207,430           0           0

QUOTESMITH COM INC                COM   749117107          67      33,741  SH     DEFINED  01,08      33,741           0           0

R & B FALCON CORP                 COM   74912E101         526      18,861  SH     DEFINED     01      10,917       3,000       4,944
R & B FALCON CORP                 COM   74912E101          75       2,675  SH     DEFINED     04       2,675           0           0
R & B FALCON CORP                 COM   74912E101       4,628     166,024  SH     DEFINED  01,08     166,024           0           0

QWEST COMMUNICATIONS INTL INC     COM   749121109     187,913   3,909,796  SH     DEFINED     01   3,081,794     569,527     258,475
QWEST COMMUNICATIONS INTL INC     COM   749121109      12,613     262,430  SH     OTHER       01     113,737     108,671      40,022
QWEST COMMUNICATIONS INTL INC     COM   749121109       5,945     123,684  SH     DEFINED     02      82,516      34,000       7,168
QWEST COMMUNICATIONS INTL INC     COM   749121109       2,803      58,325  SH     OTHER       02      31,011      20,467       6,847
QWEST COMMUNICATIONS INTL INC     COM   749121109      15,150     315,223  SH     DEFINED     03     146,195     153,773      15,255
QWEST COMMUNICATIONS INTL INC     COM   749121109       3,400      70,742  SH     OTHER       03      31,938      31,099       7,705
QWEST COMMUNICATIONS INTL INC     COM   749121109      12,412     258,245  SH     DEFINED     04     230,243           0      28,002
QWEST COMMUNICATIONS INTL INC     COM   749121109       8,735     181,739  SH     OTHER       04     168,087           0      13,652
QWEST COMMUNICATIONS INTL INC     COM   749121109       4,835     100,601  SH     DEFINED     05      52,511      40,610       7,480
QWEST COMMUNICATIONS INTL INC     COM   749121109         558      11,602  SH     OTHER       05       4,002       7,600           0
QWEST COMMUNICATIONS INTL INC     COM   749121109     114,548   2,383,330  SH     DEFINED  01,08   2,383,330           0           0
QWEST COMMUNICATIONS INTL INC     COM   749121109       1,046      21,771  SH     DEFINED     09      21,771           0           0
QWEST COMMUNICATIONS INTL INC     COM   749121109          24         493  SH     OTHER       09         200         293           0
QWEST COMMUNICATIONS INTL INC     COM   749121109       2,754      57,295  SH     DEFINED     10      28,840      28,455           0
QWEST COMMUNICATIONS INTL INC     COM   749121109         302       6,287  SH     OTHER       10       2,322       3,965           0

R & B INC                         COM   749124103           8       3,000  SH     DEFINED     01       3,000           0           0
R & B INC                         COM   749124103          20       7,400  SH     DEFINED  01,08       7,400           0           0

R & G FINANCIAL CORP              COM   749136107          55       5,702  SH     DEFINED     01       4,020           0       1,682
R & G FINANCIAL CORP              COM   749136107         221      23,001  SH     DEFINED  01,08      23,001           0           0

RCM STRATEGIC GLOBAL GOVT FD   UNDEFIND 74936A101           7      70,000         DEFINED     01           0      70,000           0
RCM STRATEGIC GLOBAL GOVT FD   UNDEFIND 74936A101           0         433         DEFINED     03         433           0           0
RCM STRATEGIC GLOBAL GOVT FD   UNDEFIND 74936A101          57       5,922         DEFINED     04       5,922           0           0
RCM STRATEGIC GLOBAL GOVT FD   UNDEFIND 74936A101          52       5,397         OTHER       04       5,397           0           0

RCM TECHNOLOGIES INC              COM   749360400          55      13,831  SH     DEFINED  01,08      13,831           0           0

RCN CORP                          COM   749361101         172       8,292  SH     DEFINED     01       4,448       2,600       1,244
RCN CORP                          COM   749361101          31       1,500  SH     OTHER       01       1,500           0           0
RCN CORP                          COM   749361101           2         100  SH     OTHER       04         100           0           0
RCN CORP                          COM   749361101       1,358      65,429  SH     DEFINED  01,08      65,429           0           0
RCN CORP                          COM   749361101           2         100  SH     DEFINED     10           0         100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    388
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RFS HOTEL INVS INC                COM   74955J108         423      33,469  SH     DEFINED     01       9,830      19,000       4,639
RFS HOTEL INVS INC                COM   74955J108         158      12,500  SH     DEFINED     04           0           0      12,500
RFS HOTEL INVS INC                COM   74955J108          19       1,500  SH     OTHER       04       1,500           0           0
RFS HOTEL INVS INC                COM   74955J108          77       6,135  SH     DEFINED  01,08       6,135           0           0

R H DONNELLEY CORP                COM   74955W307       1,402      66,378  SH     DEFINED     01      31,284      32,917       2,177
R H DONNELLEY CORP                COM   74955W307         895      42,356  SH     OTHER       01       2,666      11,818      27,872
R H DONNELLEY CORP                COM   74955W307           3         160  SH     DEFINED     02           0         160           0
R H DONNELLEY CORP                COM   74955W307          41       1,940  SH     OTHER       02         340       1,600           0
R H DONNELLEY CORP                COM   74955W307           4         200  SH     DEFINED     03           0         200           0
R H DONNELLEY CORP                COM   74955W307         111       5,257  SH     DEFINED     04         297           0       4,960
R H DONNELLEY CORP                COM   74955W307          46       2,163  SH     OTHER       04       2,143           0          20
R H DONNELLEY CORP                COM   74955W307       1,564      74,045  SH     DEFINED  01,08      74,045           0           0
R H DONNELLEY CORP                COM   74955W307           3         140  SH     OTHER       10         140           0           0

R G S ENERGY GROUP INC            COM   74956K104       1,639      58,156  SH     DEFINED     01      51,419           0       6,737
R G S ENERGY GROUP INC            COM   74956K104           6         200  SH     OTHER       01           0         200           0
R G S ENERGY GROUP INC            COM   74956K104          46       1,649  SH     OTHER       04       1,649           0           0
R G S ENERGY GROUP INC            COM   74956K104       1,860      66,002  SH     DEFINED  01,08      66,002           0           0

RLI CORP                          COM   749607107         620      16,082  SH     DEFINED     01      14,040           0       2,042
RLI CORP                          COM   749607107         154       4,000  SH     OTHER       04       4,000           0           0
RLI CORP                          COM   749607107       1,286      33,351  SH     DEFINED  01,08      33,351           0           0

RMI NET INC                       COM   74961K107          31      22,215  SH     DEFINED  01,08      22,215           0           0

RPC INC                           COM   749660106         172      14,618  SH     DEFINED     01      12,339           0       2,279
RPC INC                           COM   749660106         933      79,376  SH     DEFINED  01,08      79,376           0           0

RPM INC OHIO                      COM   749685103       1,114     122,917  SH     DEFINED     01      99,660       1,508      21,749
RPM INC OHIO                      COM   749685103          76       8,338  SH     OTHER       01       2,000       6,338           0
RPM INC OHIO                      COM   749685103           3         375  SH     OTHER       02           0         375           0
RPM INC OHIO                      COM   749685103          13       1,463  SH     DEFINED     04       1,463           0           0
RPM INC OHIO                      COM   749685103          23       2,544  SH     OTHER       04       2,544           0           0
RPM INC OHIO                      COM   749685103       2,745     302,959  SH     DEFINED  01,08     302,959           0           0
RPM INC OHIO                      COM   749685103         289      31,932  SH     DEFINED     10           0      31,932           0

RSA SEC INC                       COM   749719100       1,217      28,211  SH     DEFINED     01      16,699       2,150       9,362
RSA SEC INC                       COM   749719100         265       6,154  SH     OTHER       01           0           0       6,154
RSA SEC INC                       COM   749719100         487      11,300  SH     DEFINED     04       7,900           0       3,400
RSA SEC INC                       COM   749719100       4,689     108,741  SH     DEFINED  01,08     108,741           0           0

RTI INTL METALS INC               COM   74973W107         164      11,339  SH     DEFINED     01       7,704           0       3,635
RTI INTL METALS INC               COM   74973W107         599      41,485  SH     DEFINED  01,08      41,485           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    389
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RTW INC                           COM   74974R107          37      11,000  SH     DEFINED     01      11,000           0           0
RTW INC                           COM   74974R107          66      19,700  SH     DEFINED  01,08      19,700           0           0

RWD TECHNOLOGIES INC              COM   74975B101         174      20,523  SH     DEFINED  01,08      20,523           0           0

RMH TELESERVICES INC              COM   749938106         181      11,292  SH     DEFINED  01,08      11,292           0           0

RF MICRODEVICES INC               COM   749941100         311       9,729  SH     DEFINED     01       5,872         300       3,557
RF MICRODEVICES INC               COM   749941100           3         100  SH     DEFINED     03           0         100           0
RF MICRODEVICES INC               COM   749941100           3         100  SH     OTHER       03           0         100           0
RF MICRODEVICES INC               COM   749941100         361      11,280  SH     DEFINED     04      11,280           0           0
RF MICRODEVICES INC               COM   749941100          51       1,600  SH     OTHER       04       1,600           0           0
RF MICRODEVICES INC               COM   749941100       4,160     130,007  SH     DEFINED  01,08     130,007           0           0
RF MICRODEVICES INC               COM   749941100           6         202  SH     DEFINED     10         202           0           0

RADIAN GROUP INC                  COM   750236101       2,465      36,517  SH     DEFINED     01      26,688       1,700       8,129
RADIAN GROUP INC                  COM   750236101       1,384      20,500  SH     OTHER       01      20,500           0           0
RADIAN GROUP INC                  COM   750236101       5,088      75,373  SH     DEFINED  01,08      75,373           0           0

RADIANCE MEDICAL SYSTEMS INC      COM   750241101          12       1,000  SH     DEFINED     01       1,000           0           0
RADIANCE MEDICAL SYSTEMS INC      COM   750241101         190      16,311  SH     DEFINED  01,08      16,311           0           0

RADIANT SYSTEMS INC               COM   75025N102         366      17,145  SH     DEFINED     01      16,553           0         592
RADIANT SYSTEMS INC               COM   75025N102         630      29,451  SH     DEFINED  01,08      29,451           0           0

RADIOLOGIX INC                    COM   75040K109         149      24,604  SH     DEFINED     04      24,604           0           0
RADIOLOGIX INC                    COM   75040K109          18       2,962  SH     DEFINED  01,08       2,962           0           0

RADIO ONE INC                     COM   75040P108          57       6,820  SH     DEFINED     01       5,723           0       1,097
RADIO ONE INC                     COM   75040P108         216      25,964  SH     DEFINED  01,08      25,964           0           0

RADIO ONE INC                     COM   75040P405         186      26,400  SH     DEFINED  01,08      26,400           0           0

RADIO UNICA COMMUNICATIONS CP     COM   75040Q106          88      22,650  SH     DEFINED     04      22,650           0           0
RADIO UNICA COMMUNICATIONS CP     COM   75040Q106          14       3,500  SH     OTHER       04       3,500           0           0
RADIO UNICA COMMUNICATIONS CP     COM   75040Q106          27       6,880  SH     DEFINED  01,08       6,880           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    390
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RADIOSHACK CORP                   COM   750438103      22,021     340,746  SH     DEFINED     01     305,482       7,066      28,198
RADIOSHACK CORP                   COM   750438103          13         200  SH     OTHER       01           0           0         200
RADIOSHACK CORP                   COM   750438103          35         546  SH     DEFINED     02           0         546           0
RADIOSHACK CORP                   COM   750438103           6         100  SH     OTHER       02         100           0           0
RADIOSHACK CORP                   COM   750438103           6         100  SH     DEFINED     03         100           0           0
RADIOSHACK CORP                   COM   750438103         189       2,930  SH     DEFINED     04       2,930           0           0
RADIOSHACK CORP                   COM   750438103          31         475  SH     OTHER       04         475           0           0
RADIOSHACK CORP                   COM   750438103          52         800  SH     OTHER       05           0         800           0
RADIOSHACK CORP                   COM   750438103      17,567     271,824  SH     DEFINED  01,08     271,824           0           0
RADIOSHACK CORP                   COM   750438103       7,807     120,800  SH     DEFINED     10     120,800           0           0

RADISYS CORP                      COM   750459109         837      16,560  SH     DEFINED     01      14,656         700       1,204
RADISYS CORP                      COM   750459109         263       5,200  SH     DEFINED     04           0           0       5,200
RADISYS CORP                      COM   750459109       1,212      23,970  SH     DEFINED  01,08      23,970           0           0

RAG SHOPS INC                     COM   750624108          66      30,429  SH     DEFINED  01,08      30,429           0           0

RAILAMERICA INC                   COM   750753105          84      10,800  SH     DEFINED     01      10,800           0           0
RAILAMERICA INC                   COM   750753105           1         100  SH     OTHER       04         100           0           0
RAILAMERICA INC                   COM   750753105         202      25,799  SH     DEFINED  01,08      25,799           0           0

RAINFOREST CAFE INC               COM   75086K104          70      22,950  SH     DEFINED  01,08      22,950           0           0

RAINBOW TECHNOLOGIES INC          COM   750862104         396      11,208  SH     DEFINED     01      10,523         500         185
RAINBOW TECHNOLOGIES INC          COM   750862104         124       3,500  SH     DEFINED     04           0           0       3,500
RAINBOW TECHNOLOGIES INC          COM   750862104         978      27,642  SH     DEFINED  01,08      27,642           0           0

RAINMAKER SYSTEMS                 COM   750875106          81      43,425  SH     DEFINED  01,08      43,425           0           0

RAMBUS INC DEL                    COM   750917106         931      11,793  SH     DEFINED     01       4,031         500       7,262
RAMBUS INC DEL                    COM   750917106       2,408      30,500  SH     OTHER       01         100           0      30,400
RAMBUS INC DEL                    COM   750917106          20         250  SH     DEFINED     02           0         250           0
RAMBUS INC DEL                    COM   750917106          32         400  SH     DEFINED     03           0           0         400
RAMBUS INC DEL                    COM   750917106         869      11,012  SH     OTHER       03           0      11,012           0
RAMBUS INC DEL                    COM   750917106          72         912  SH     DEFINED     04         912           0           0
RAMBUS INC DEL                    COM   750917106         193       2,450  SH     OTHER       04       2,450           0           0
RAMBUS INC DEL                    COM   750917106       6,360      80,568  SH     DEFINED  01,08      80,568           0           0
RAMBUS INC DEL                    COM   750917106          47         600  SH     DEFINED     10           0         600           0

RALCORP HLDGS INC NEW             COM   751028101         271      19,164  SH     DEFINED     01      11,396       2,666       5,102
RALCORP HLDGS INC NEW             COM   751028101           4         260  SH     DEFINED     04         260           0           0
RALCORP HLDGS INC NEW             COM   751028101           1          66  SH     OTHER       04          66           0           0
RALCORP HLDGS INC NEW             COM   751028101         919      65,082  SH     DEFINED  01,08      65,082           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    391
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RALSTON PURINA CO                 COM   751277302      14,237     601,043  SH     DEFINED     01     446,270     110,783      43,990
RALSTON PURINA CO                 COM   751277302         269      11,351  SH     OTHER       01           0      11,151         200
RALSTON PURINA CO                 COM   751277302          36       1,500  SH     DEFINED     02       1,500           0           0
RALSTON PURINA CO                 COM   751277302          78       3,275  SH     OTHER       02       3,275           0           0
RALSTON PURINA CO                 COM   751277302         166       6,992  SH     DEFINED     03       6,992           0           0
RALSTON PURINA CO                 COM   751277302         118       5,000  SH     OTHER       03       5,000           0           0
RALSTON PURINA CO                 COM   751277302         287      12,115  SH     DEFINED     04      12,115           0           0
RALSTON PURINA CO                 COM   751277302         303      12,789  SH     OTHER       04       9,393           0       3,396
RALSTON PURINA CO                 COM   751277302      15,243     643,506  SH     DEFINED  01,08     643,506           0           0
RALSTON PURINA CO                 COM   751277302         168       7,100  SH     DEFINED     10       7,100           0           0
RALSTON PURINA CO                 COM   751277302          22         945  SH     OTHER       10           0         945           0

RAMCO-GERSHENSON PPTYS TR         COM   751452202         178      12,012  SH     OTHER       04      12,012           0           0

RAMP NETWORKS INC                 COM   751567108          53      14,871  SH     DEFINED     01      14,612           0         259
RAMP NETWORKS INC                 COM   751567108          99      27,943  SH     DEFINED  01,08      27,943           0           0

RAMSAY YOUTH SVCS INC             COM   75158K206         195     156,000  SH     DEFINED     04     156,000           0           0
RAMSAY YOUTH SVCS INC             COM   75158K206          12       9,373  SH     DEFINED  01,08       9,373           0           0

RAMTRON INTL CORP                 COM   751907304           1         100  SH     DEFINED     01         100           0           0
RAMTRON INTL CORP                 COM   751907304          59       5,000  SH     DEFINED     03           0       5,000           0
RAMTRON INTL CORP                 COM   751907304          12       1,050  SH     DEFINED     04       1,050           0           0
RAMTRON INTL CORP                 COM   751907304         281      23,957  SH     DEFINED  01,08      23,957           0           0

RANGE RES CORP                    COM   75281A109         122      25,356  SH     DEFINED  01,08      25,356           0           0

RARE MEDIUM GROUP INC             COM   75382N109         216      29,105  SH     DEFINED     01      28,604           0         501
RARE MEDIUM GROUP INC             COM   75382N109         445      59,889  SH     DEFINED  01,08      55,889       4,000           0

RARE HOSPITALITY INTL INC         COM   753820109         537      26,372  SH     DEFINED     01      25,159           0       1,213
RARE HOSPITALITY INTL INC         COM   753820109         679      33,302  SH     DEFINED  01,08      33,302           0           0

RATIONAL SOFTWARE CORP         CONV DEB 75409PAA1       2,070   1,000,000  PRN    DEFINED     01   1,000,000           0           0

RATIONAL SOFTWARE CORP            COM   75409P202       8,790     126,704  SH     DEFINED     01     112,304       3,200      11,200
RATIONAL SOFTWARE CORP            COM   75409P202         209       3,013  SH     DEFINED     04       3,013           0           0
RATIONAL SOFTWARE CORP            COM   75409P202      35,286     508,630  SH     DEFINED  01,08     508,630           0           0

RAVEN INDS INC                    COM   754212108         199      12,564  SH     DEFINED  01,08      12,564           0           0

RAVISENT TECHNOLOGIES INC         COM   754440105          29      10,429  SH     DEFINED  01,08      10,429           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    392
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RAYMOND JAMES FINANCIAL INC       COM   754730109         882      26,780  SH     DEFINED     01      15,950       1,100       9,730
RAYMOND JAMES FINANCIAL INC       COM   754730109          33       1,000  SH     DEFINED     04       1,000           0           0
RAYMOND JAMES FINANCIAL INC       COM   754730109           7         200  SH     OTHER       04         200           0           0
RAYMOND JAMES FINANCIAL INC       COM   754730109       2,885      87,595  SH     DEFINED  01,08      87,595           0           0

RAYONIER INC                      COM   754907103       1,143      31,808  SH     DEFINED     01      26,092          25       5,691
RAYONIER INC                      COM   754907103           1          25  SH     OTHER       02          25           0           0
RAYONIER INC                      COM   754907103           2          50  SH     DEFINED     03           0           0          50
RAYONIER INC                      COM   754907103           8         229  SH     DEFINED     04         229           0           0
RAYONIER INC                      COM   754907103          16         450  SH     OTHER       04         350           0         100
RAYONIER INC                      COM   754907103       2,844      79,141  SH     DEFINED  01,08      79,141           0           0

RAYOVAC CORP                      COM   755081106         481      28,088  SH     DEFINED     01      27,595           0         493
RAYOVAC CORP                      COM   755081106       1,300      75,901  SH     DEFINED  01,08      75,901           0           0

RAYTECH CORP DEL                  COM   755103108          39      13,200  SH     DEFINED  01,08      13,200           0           0

RAYTEL MED CORP                   COM   755107109           1         800  SH     DEFINED     01         800           0           0
RAYTEL MED CORP                   COM   755107109          12       9,200  SH     DEFINED  01,08       9,200           0           0

RAYTHEON CO                       COM   755111309          54       1,974  SH     DEFINED     01       1,768         206           0
RAYTHEON CO                       COM   755111309          24         861  SH     OTHER       01         288         573           0
RAYTHEON CO                       COM   755111309          12         430  SH     DEFINED     02         405          25           0
RAYTHEON CO                       COM   755111309           8         299  SH     OTHER       02         217           0          82
RAYTHEON CO                       COM   755111309          28       1,041  SH     DEFINED     03         397         644           0
RAYTHEON CO                       COM   755111309           8         276  SH     OTHER       03         162         108           6
RAYTHEON CO                       COM   755111309          92       3,356  SH     DEFINED     04       3,301           0          55
RAYTHEON CO                       COM   755111309         126       4,588  SH     OTHER       04       3,636           0         952
RAYTHEON CO                       COM   755111309           0           6  SH     DEFINED  01,08           6           0           0

RAYTHEON CO                       COM   755111408      19,201     675,212  SH     DEFINED     01     552,058      91,710      31,444
RAYTHEON CO                       COM   755111408         926      32,580  SH     OTHER       01      21,968       8,916       1,696
RAYTHEON CO                       COM   755111408         195       6,850  SH     DEFINED     02       1,650       5,200           0
RAYTHEON CO                       COM   755111408         139       4,900  SH     OTHER       02       3,800         700         400
RAYTHEON CO                       COM   755111408         163       5,742  SH     DEFINED     03       3,554       2,035         153
RAYTHEON CO                       COM   755111408         315      11,061  SH     OTHER       03       6,086       3,975       1,000
RAYTHEON CO                       COM   755111408         471      16,551  SH     DEFINED     04      15,601           0         950
RAYTHEON CO                       COM   755111408         554      19,482  SH     OTHER       04      17,882           0       1,600
RAYTHEON CO                       COM   755111408          68       2,375  SH     DEFINED     05       1,550         400         425
RAYTHEON CO                       COM   755111408           4         150  SH     OTHER       05         150           0           0
RAYTHEON CO                       COM   755111408      13,888     488,369  SH     DEFINED  01,08     488,369           0           0
RAYTHEON CO                       COM   755111408          51       1,800  SH     DEFINED     10       1,500         300           0
RAYTHEON CO                       COM   755111408         114       4,000  SH     OTHER       10           0       4,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    393
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RAZORFISH INC                     COM   755236106         129      12,475  SH     DEFINED     01      11,399           0       1,076
RAZORFISH INC                     COM   755236106           8         800  SH     OTHER       01         400         400           0
RAZORFISH INC                     COM   755236106           5         440  SH     DEFINED     03         440           0           0
RAZORFISH INC                     COM   755236106          21       2,000  SH     DEFINED     04       2,000           0           0
RAZORFISH INC                     COM   755236106       1,186     114,817  SH     DEFINED  01,08     114,817           0           0

READ-RITE CORP                    COM   755246105         473      42,000  SH     DEFINED     01      41,600           0         400
READ-RITE CORP                    COM   755246105       1,131     100,540  SH     DEFINED  01,08     100,540           0           0

READERS DIGEST ASSN INC           COM   755267101       2,435      68,952  SH     DEFINED     01      63,676           0       5,276
READERS DIGEST ASSN INC           COM   755267101         200       5,660  SH     DEFINED     04         260           0       5,400
READERS DIGEST ASSN INC           COM   755267101      10,146     287,314  SH     DEFINED  01,08     287,314           0           0
READERS DIGEST ASSN INC           COM   755267101          18         500  SH     OTHER       09         500           0           0

REALNETWORKS INC                  COM   75605L104         572      14,393  SH     DEFINED     01      11,896         400       2,097
REALNETWORKS INC                  COM   75605L104          26         650  SH     DEFINED     04         650           0           0
REALNETWORKS INC                  COM   75605L104          83       2,100  SH     OTHER       04       1,800           0         300
REALNETWORKS INC                  COM   75605L104       4,888     122,972  SH     DEFINED  01,08     122,972           0           0
REALNETWORKS INC                  COM   75605L104         123       3,100  SH     DEFINED     10       3,100           0           0

REALTY INCOME CORP                COM   756109104         374      16,057  SH     DEFINED     01      10,878           0       5,179
REALTY INCOME CORP                COM   756109104         326      14,000  SH     OTHER       01      14,000           0           0
REALTY INCOME CORP                COM   756109104          34       1,439  SH     DEFINED     02       1,439           0           0
REALTY INCOME CORP                COM   756109104          49       2,100  SH     OTHER       02       1,000       1,100           0
REALTY INCOME CORP                COM   756109104          14         600  SH     DEFINED     03         600           0           0
REALTY INCOME CORP                COM   756109104           9         400  SH     DEFINED     04         400           0           0
REALTY INCOME CORP                COM   756109104          21         900  SH     OTHER       04         900           0           0
REALTY INCOME CORP                COM   756109104         157       6,730  SH     DEFINED  01,08       6,730           0           0

RECKSON ASSOCS RLTY CORP          COM   75621K106         962      37,716  SH     DEFINED     01      22,083       5,600      10,033
RECKSON ASSOCS RLTY CORP          COM   75621K106          20         800  SH     OTHER       04         800           0           0
RECKSON ASSOCS RLTY CORP          COM   75621K106         347      13,607  SH     DEFINED  01,08      13,607           0           0

RECOTON CORP                      COM   756268108          33       2,100  SH     DEFINED     01       2,100           0           0
RECOTON CORP                      COM   756268108         301      19,037  SH     DEFINED  01,08      19,037           0           0

RED HAT INC                       COM   756577102         146       8,556  SH     DEFINED     01       4,956       1,400       2,200
RED HAT INC                       COM   756577102          49       2,874  SH     DEFINED     03           0       2,874           0
RED HAT INC                       COM   756577102           2         100  SH     OTHER       03           0         100           0
RED HAT INC                       COM   756577102           9         500  SH     DEFINED     04         500           0           0
RED HAT INC                       COM   756577102          61       3,600  SH     OTHER       04       3,400           0         200
RED HAT INC                       COM   756577102       2,129     124,765  SH     DEFINED  01,08     124,765           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    394
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
REDBACK NETWORKS INC              COM   757209101      66,012     402,513  SH     DEFINED     01     396,090       4,500       1,923
REDBACK NETWORKS INC              COM   757209101          16         100  SH     DEFINED     02           0         100           0
REDBACK NETWORKS INC              COM   757209101           8          50  SH     DEFINED     03           0          50           0
REDBACK NETWORKS INC              COM   757209101          16         100  SH     OTHER       03           0         100           0
REDBACK NETWORKS INC              COM   757209101          23         140  SH     DEFINED     04         140           0           0
REDBACK NETWORKS INC              COM   757209101      19,327     117,848  SH     DEFINED  01,08     117,848           0           0
REDBACK NETWORKS INC              COM   757209101          19         114  SH     DEFINED     10         114           0           0

REEBOK INTL LTD                   COM   758110100       2,320     123,339  SH     DEFINED     01      95,882      16,811      10,646
REEBOK INTL LTD                   COM   758110100          10         515  SH     OTHER       01           0         515           0
REEBOK INTL LTD                   COM   758110100       1,702      90,468  SH     DEFINED  01,08      90,468           0           0

REEDS JEWELERS INC                COM   758341101          45      27,644  SH     DEFINED  01,08      27,644           0           0

REFAC                             COM   758653109          56      18,828  SH     DEFINED  01,08      18,828           0           0

REGAL BELOIT CORP                 COM   758750103         211      12,430  SH     DEFINED     01       8,554           0       3,876
REGAL BELOIT CORP                 COM   758750103       2,096     123,600  SH     DEFINED     04     123,600           0           0
REGAL BELOIT CORP                 COM   758750103         671      39,593  SH     DEFINED  01,08      39,593           0           0

REGENERON PHARMACEUTICALS         COM   75886F107         783      24,012  SH     DEFINED     01      18,989       2,700       2,323
REGENERON PHARMACEUTICALS         COM   75886F107       1,568      48,076  SH     DEFINED  01,08      48,076           0           0

REGENT COMMUNICATIONS INC DEL     COM   758865109          79      14,130  SH     DEFINED     01      13,234           0         896
REGENT COMMUNICATIONS INC DEL     COM   758865109         152      27,296  SH     DEFINED  01,08      27,296           0           0

REGIS CORP MINN                   COM   758932107         412      27,484  SH     DEFINED     01      21,938           0       5,546
REGIS CORP MINN                   COM   758932107         134       8,900  SH     DEFINED     04           0           0       8,900
REGIS CORP MINN                   COM   758932107       1,244      82,929  SH     DEFINED  01,08      82,929           0           0

REGENCY RLTY CORP                 COM   758939102         425      18,521  SH     DEFINED     01      12,567           0       5,954
REGENCY RLTY CORP                 COM   758939102       1,210      52,739  SH     OTHER       01           0           0      52,739
REGENCY RLTY CORP                 COM   758939102         185       8,075  SH     DEFINED  01,08       8,075           0           0

REGIONS FINL CORP                 COM   758940100       8,939     394,012  SH     DEFINED     01     312,319      62,277      19,416
REGIONS FINL CORP                 COM   758940100          20         880  SH     DEFINED     02           0         880           0
REGIONS FINL CORP                 COM   758940100         109       4,797  SH     DEFINED     04       2,517           0       2,280
REGIONS FINL CORP                 COM   758940100          71       3,136  SH     OTHER       04       3,136           0           0
REGIONS FINL CORP                 COM   758940100       7,663     337,772  SH     DEFINED  01,08     337,772           0           0
REGIONS FINL CORP                 COM   758940100           5         200  SH     DEFINED     10           0         200           0

REHABILICARE INC                  COM   758944102          36      12,491  SH     DEFINED  01,08      12,491           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    395
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
REGISTER COM INC                  COM   75914G101          47       4,994  SH     DEFINED     01       4,906           0          88
REGISTER COM INC                  COM   75914G101           5         500  SH     DEFINED     04         500           0           0
REGISTER COM INC                  COM   75914G101          71       7,482  SH     DEFINED  01,08       7,482           0           0

REHABCARE GROUP INC               COM   759148109         557      13,098  SH     DEFINED     01      12,872           0         226
REHABCARE GROUP INC               COM   759148109       1,017      23,925  SH     DEFINED  01,08      23,925           0           0

REINSURANCE GROUP AMER INC        COM   759351109          79       2,313  SH     DEFINED     01       1,790           0         523
REINSURANCE GROUP AMER INC        COM   759351109       2,390      69,790  SH     DEFINED  01,08      69,790           0           0

RELIANCE GROUP HOLDINGS INC       COM   759464100          17      81,390  SH     DEFINED     01      69,916           0      11,474
RELIANCE GROUP HOLDINGS INC       COM   759464100           0       1,500  SH     OTHER       01       1,500           0           0
RELIANCE GROUP HOLDINGS INC       COM   759464100          16      76,693  SH     DEFINED  01,08      76,693           0           0

RELIANCE STEEL & ALUMINUM CO      COM   759509102         716      33,976  SH     DEFINED     01      26,360       2,600       5,016
RELIANCE STEEL & ALUMINUM CO      COM   759509102          11         500  SH     DEFINED     03         500           0           0
RELIANCE STEEL & ALUMINUM CO      COM   759509102       1,044      49,551  SH     DEFINED  01,08      49,551           0           0

RELIANT ENERGY INC                COM   75952J108      30,931     665,188  SH     DEFINED     01     559,855      76,355      28,978
RELIANT ENERGY INC                COM   75952J108         935      20,118  SH     OTHER       01      15,744       3,100       1,274
RELIANT ENERGY INC                COM   75952J108         138       2,965  SH     DEFINED     02           0       2,965           0
RELIANT ENERGY INC                COM   75952J108          51       1,100  SH     OTHER       02       1,100           0           0
RELIANT ENERGY INC                COM   75952J108          67       1,440  SH     DEFINED     03         100       1,340           0
RELIANT ENERGY INC                COM   75952J108         530      11,400  SH     OTHER       03       5,800       5,600           0
RELIANT ENERGY INC                COM   75952J108         429       9,225  SH     DEFINED     04       8,625           0         600
RELIANT ENERGY INC                COM   75952J108       1,128      24,255  SH     OTHER       04      24,255           0           0
RELIANT ENERGY INC                COM   75952J108          20         422  SH     DEFINED     05           0         422           0
RELIANT ENERGY INC                COM   75952J108           9         200  SH     OTHER       05         200           0           0
RELIANT ENERGY INC                COM   75952J108      20,932     450,152  SH     DEFINED  01,08     443,852       6,300           0
RELIANT ENERGY INC                COM   75952J108         130       2,800  SH     OTHER       10           0       2,800           0

RELIV INTL INC                    COM   75952R100          18      10,047  SH     DEFINED     04      10,047           0           0
RELIV INTL INC                    COM   75952R100           4       2,200  SH     DEFINED  01,08       2,200           0           0

RELM WIRELESS CORP                COM   759525108          31      17,533  SH     DEFINED  01,08      17,533           0           0

REMEC INC                         COM   759543101       1,146      38,918  SH     DEFINED     01      37,652           0       1,266
REMEC INC                         COM   759543101          24         820  SH     DEFINED     03           0         820           0
REMEC INC                         COM   759543101       1,619      55,015  SH     DEFINED  01,08      55,015           0           0

REMEDY CORP                       COM   759548100         546      28,930  SH     DEFINED     01      26,563           0       2,367
REMEDY CORP                       COM   759548100       1,959     103,789  SH     DEFINED  01,08     103,789           0           0

REMEDYTEMP INC                    COM   759549108          60       5,000  SH     DEFINED     04           0           0       5,000
REMEDYTEMP INC                    COM   759549108         113       9,487  SH     DEFINED  01,08       9,487           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    396
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
REMINGTON OIL & GAS CORP          COM   759594302          10       1,000  SH     DEFINED     01           0           0       1,000
REMINGTON OIL & GAS CORP          COM   759594302         257      24,600  SH     DEFINED  01,08      24,600           0           0

RENAISSANCE WORLDWIDE INC         COM   75968A109          74      47,100  SH     DEFINED     01      47,100           0           0
RENAISSANCE WORLDWIDE INC         COM   75968A109           2       1,250  SH     DEFINED     03       1,250           0           0
RENAISSANCE WORLDWIDE INC         COM   75968A109          58      36,836  SH     DEFINED  01,08      36,836           0           0

RELIABILITY INC                   COM   759903107         109      36,216  SH     DEFINED  01,08      36,216           0           0

REPLIGEN CORP                     COM   759916109         278      38,992  SH     DEFINED  01,08      38,992           0           0

REPUBLIC BANCSHARES INC           COM   759929102         104      10,840  SH     DEFINED     01       9,800       1,040           0
REPUBLIC BANCSHARES INC           COM   759929102         151      15,642  SH     DEFINED  01,08      15,642           0           0

RENAL CARE GROUP INC              COM   759930100         896      48,112  SH     DEFINED     01      45,402           0       2,710
RENAL CARE GROUP INC              COM   759930100       1,364      73,245  SH     DEFINED  01,08      73,245           0           0

RENT A CTR INC NEW                COM   76009N100         588      16,966  SH     DEFINED     01      14,217       1,500       1,249
RENT A CTR INC NEW                COM   76009N100       1,412      40,720  SH     DEFINED  01,08      40,720           0           0

RENT WAY INC                      COM   76009U104         697      22,950  SH     DEFINED     01      21,402           0       1,548
RENT WAY INC                      COM   76009U104         595      19,594  SH     DEFINED  01,08      19,594           0           0

RENTECH INC                       COM   760112102          15       7,800  SH     DEFINED  01,08       7,800           0           0
RENTECH INC                       COM   760112102          19      10,000  SH     DEFINED     09      10,000           0           0

RENTRAK CORP                      COM   760174102          78      23,849  SH     DEFINED  01,08      23,849           0           0

REPSOL YPF S A                    COM   76026T205         133       7,280  SH     DEFINED     01       6,780         500           0
REPSOL YPF S A                    COM   76026T205         402      21,948  SH     OTHER       01       3,000      18,948           0
REPSOL YPF S A                    COM   76026T205          58       3,175  SH     DEFINED     02       3,175           0           0
REPSOL YPF S A                    COM   76026T205           8         450  SH     OTHER       02           0         450           0
REPSOL YPF S A                    COM   76026T205         310      16,950  SH     DEFINED     03      13,500       3,450           0
REPSOL YPF S A                    COM   76026T205         242      13,200  SH     OTHER       03      11,400       1,800           0
REPSOL YPF S A                    COM   76026T205         115       6,275  SH     DEFINED     04       6,275           0           0
REPSOL YPF S A                    COM   76026T205          44       2,400  SH     OTHER       04           0           0       2,400
REPSOL YPF S A                    COM   76026T205           3         143  SH     DEFINED     05         143           0           0

REPUBLIC BANCORP KY               COM   760281204         170      24,339  SH     DEFINED  01,08      24,339           0           0

REPUBLIC BANCORP INC              COM   760282103         248      26,063  SH     DEFINED     01      18,202           0       7,861
REPUBLIC BANCORP INC              COM   760282103         716      75,382  SH     DEFINED  01,08      75,382           0           0

REPUBLIC FIRST BANCORP INC        COM   760416107          43      10,777  SH     DEFINED  01,08      10,777           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    397
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
REPUBLIC GROUP INC                COM   760473108         621      33,798  SH     DEFINED  01,08      33,798           0           0

REPUBLIC SECURITY FINL CORP       COM   760758102         343      69,451  SH     DEFINED     01      60,876           0       8,575
REPUBLIC SECURITY FINL CORP       COM   760758102         196      39,690  SH     DEFINED     04      39,690           0           0
REPUBLIC SECURITY FINL CORP       COM   760758102           7       1,400  SH     OTHER       04         400           0       1,000
REPUBLIC SECURITY FINL CORP       COM   760758102         625     126,566  SH     DEFINED  01,08     126,566           0           0

REPUBLIC SVCS INC                 COM   760759100         271      20,645  SH     DEFINED     01      15,696           0       4,949
REPUBLIC SVCS INC                 COM   760759100         328      25,000  SH     OTHER       04      25,000           0           0
REPUBLIC SVCS INC                 COM   760759100       3,201     243,890  SH     DEFINED  01,08     243,890           0           0

RESEARCH FRONTIERS INC            COM   760911107         198      10,297  SH     DEFINED     01      10,117           0         180
RESEARCH FRONTIERS INC            COM   760911107         255      13,314  SH     DEFINED  01,08      13,314           0           0

RES-CARE INC                      COM   760943100         182      39,917  SH     DEFINED     01      37,447           0       2,470
RES-CARE INC                      COM   760943100         166      36,466  SH     DEFINED  01,08      36,466           0           0

RESTORATION HARDWARE INC DEL      COM   760981100         294      83,986  SH     DEFINED  01,08      83,986           0           0

RESONATE INC                      COM   76115Q104           2          57  SH     DEFINED     01           0           0          57
RESONATE INC                      COM   76115Q104          10         261  SH     OTHER       01           0           0         261
RESONATE INC                      COM   76115Q104       1,070      27,100  SH     DEFINED  01,08      27,100           0           0

RESMED INC                        COM   761152107       1,039      33,248  SH     DEFINED     01      29,943         771       2,534
RESMED INC                        COM   761152107          13         400  SH     DEFINED     04         400           0           0
RESMED INC                        COM   761152107       1,522      48,704  SH     DEFINED  01,08      48,704           0           0

RESOURCE AMERICA INC              COM   761195205         256      30,087  SH     DEFINED  01,08      30,087           0           0

RESOURCE BANCSHARES MTG GROUP     COM   761197102          45       7,876  SH     DEFINED     01       7,876           0           0
RESOURCE BANCSHARES MTG GROUP     COM   761197102         185      32,448  SH     DEFINED  01,08      32,448           0           0

RESOURCEPHOENIX COM INC           COM   76122L106          27      15,328  SH     DEFINED  01,08      15,328           0           0

RESPIRONICS INC                   COM   761230101         593      35,522  SH     DEFINED     01      25,612       5,300       4,610
RESPIRONICS INC                   COM   761230101          90       5,400  SH     DEFINED     04           0           0       5,400
RESPIRONICS INC                   COM   761230101       1,588      95,141  SH     DEFINED  01,08      95,141           0           0

RESPONSE ONCOLOGY INC             COM   761232305          27      30,909  SH     DEFINED  01,08      30,909           0           0

RETEK INC                         COM   76128Q109         353       6,658  SH     DEFINED     01       6,541           0         117
RETEK INC                         COM   76128Q109       5,309     100,176  SH     DEFINED  01,08     100,176           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    398
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
REUTERS GROUP PLC                 COM   76132M102       1,446      12,867  SH     DEFINED     01      11,341         520       1,006
REUTERS GROUP PLC                 COM   76132M102         891       7,932  SH     OTHER       01       4,419       3,513           0
REUTERS GROUP PLC                 COM   76132M102         231       2,054  SH     OTHER       02           0           0       2,054
REUTERS GROUP PLC                 COM   76132M102         329       2,932  SH     DEFINED     03           0       2,932           0
REUTERS GROUP PLC                 COM   76132M102         601       5,344  SH     OTHER       03       4,186       1,158           0
REUTERS GROUP PLC                 COM   76132M102       1,544      13,736  SH     DEFINED     04      13,658           0          78
REUTERS GROUP PLC                 COM   76132M102       2,877      25,603  SH     OTHER       04      24,141           0       1,462
REUTERS GROUP PLC                 COM   76132M102         195       1,733  SH     OTHER       05           0           0       1,733
REUTERS GROUP PLC                 COM   76132M102           2          18  SH     DEFINED     10          18           0           0

REVLON INC                        COM   761525500           9       1,347  SH     DEFINED     01         389           0         958
REVLON INC                        COM   761525500           0          40  SH     DEFINED     04          40           0           0
REVLON INC                        COM   761525500         187      28,017  SH     DEFINED  01,08      28,017           0           0

REX STORES CORP                   COM   761624105         106       5,400  SH     DEFINED     01       5,400           0           0
REX STORES CORP                   COM   761624105         429      21,855  SH     DEFINED  01,08      21,855           0           0

REYNOLDS & REYNOLDS CO            COM   761695105       1,420      71,433  SH     DEFINED     01      49,946           0      21,487
REYNOLDS & REYNOLDS CO            COM   761695105          45       2,245  SH     OTHER       01           0       2,245           0
REYNOLDS & REYNOLDS CO            COM   761695105           6         300  SH     OTHER       02         300           0           0
REYNOLDS & REYNOLDS CO            COM   761695105         199      10,000  SH     DEFINED     03           0      10,000           0
REYNOLDS & REYNOLDS CO            COM   761695105         228      11,450  SH     DEFINED     04      11,450           0           0
REYNOLDS & REYNOLDS CO            COM   761695105       4,223     212,484  SH     DEFINED  01,08     212,484           0           0
REYNOLDS & REYNOLDS CO            COM   761695105         159       8,000  SH     DEFINED     10       8,000           0           0

REYNOLDS R J TOB HLDGS INC        COM   76182K105       2,164      67,090  SH     DEFINED     01      62,236           0       4,854
REYNOLDS R J TOB HLDGS INC        COM   76182K105           5         142  SH     OTHER       01         121          21           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105           0           7  SH     DEFINED     02           0           7           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105           1          33  SH     DEFINED     03          33           0           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105          98       3,044  SH     DEFINED     04       3,044           0           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105          19         604  SH     OTHER       04         604           0           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105          23         701  SH     OTHER       05           0           0         701
REYNOLDS R J TOB HLDGS INC        COM   76182K105       7,141     221,419  SH     DEFINED  01,08     221,419           0           0
REYNOLDS R J TOB HLDGS INC        COM   76182K105           2          66  SH     OTHER       10          66           0           0

RHYTHMS NETCONNECTIONS INC        COM   762430205         466      63,228  SH     DEFINED     01      62,127           0       1,101
RHYTHMS NETCONNECTIONS INC        COM   762430205          13       1,700  SH     DEFINED     04       1,700           0           0
RHYTHMS NETCONNECTIONS INC        COM   762430205         569      77,142  SH     DEFINED  01,08      77,142           0           0

RIBOZYME PHARMACEUTICALS INC      COM   762567105         269       9,293  SH     DEFINED     01       9,133           0         160
RIBOZYME PHARMACEUTICALS INC      COM   762567105         638      21,986  SH     DEFINED  01,08      21,986           0           0

RICA FOODS INC                    COM   762582203         119       7,182  SH     DEFINED     01       7,054           0         128
RICA FOODS INC                    COM   762582203          85       5,180  SH     DEFINED  01,08       5,180           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    399
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>     <C>       <C>         <C>
RICHARDSON ELECTRS LTD            COM   763165107         184      11,000  SH     DEFINED     04           0           0      11,000
RICHARDSON ELECTRS LTD            COM   763165107         553      33,030  SH     DEFINED  01,08      33,030           0           0

RICHMOND CNTY FINL CORP           COM   764556106         407      16,815  SH     DEFINED     01      11,464         200       5,151
RICHMOND CNTY FINL CORP           COM   764556106         847      35,000  SH     DEFINED  01,08      35,000           0           0

RIDDELL SPORTS INC                COM   765670104          58      11,599  SH     DEFINED  01,08      11,599           0           0

RIGGS NATL CORP WASH DC           COM   766570105         670      54,656  SH     DEFINED     01      50,813           0       3,843
RIGGS NATL CORP WASH DC           COM   766570105          12       1,000  SH     DEFINED     04       1,000           0           0
RIGGS NATL CORP WASH DC           COM   766570105         782      63,849  SH     DEFINED  01,08      63,849           0           0

RIGHT MGMT CONSULTANTS INC        COM   766573109         146      12,700  SH     DEFINED     01      12,700           0           0
RIGHT MGMT CONSULTANTS INC        COM   766573109         191      16,603  SH     DEFINED  01,08      16,603           0           0

RIGHT START INC                   COM   766574206           3       1,500  SH     DEFINED     03       1,500           0           0
RIGHT START INC                   COM   766574206          18       9,073  SH     DEFINED  01,08       9,073           0           0

RITE AID CORP                     COM   767754104         168      42,051  SH     DEFINED     01      29,521       1,385      11,145
RITE AID CORP                     COM   767754104           4       1,000  SH     OTHER       01           0           0       1,000
RITE AID CORP                     COM   767754104           6       1,500  SH     DEFINED     02           0       1,500           0
RITE AID CORP                     COM   767754104           5       1,200  SH     DEFINED     03           0       1,200           0
RITE AID CORP                     COM   767754104           0         100  SH     DEFINED     04         100           0           0
RITE AID CORP                     COM   767754104          98      24,400  SH     OTHER       04      24,400           0           0
RITE AID CORP                     COM   767754104       1,320     329,984  SH     DEFINED  01,08     329,984           0           0

RIVIANA FOODS INC                 COM   769536103         106       6,377  SH     DEFINED     01       5,151           0       1,226
RIVIANA FOODS INC                 COM   769536103          13         800  SH     DEFINED     04         800           0           0
RIVIANA FOODS INC                 COM   769536103         282      16,881  SH     DEFINED  01,08      16,881           0           0

ROADHOUSE GRILL                   COM   769725102          36      10,822  SH     DEFINED  01,08      10,822           0           0

ROADWAY EXPRESS INC DEL           COM   769742107         499      27,842  SH     DEFINED     01      23,019       2,500       2,323
ROADWAY EXPRESS INC DEL           COM   769742107           9         500  SH     OTHER       04           0           0         500
ROADWAY EXPRESS INC DEL           COM   769742107         461      25,690  SH     DEFINED  01,08      25,690           0           0

ROANOKE ELEC STL CORP             COM   769841107          98       9,925  SH     DEFINED     01       9,925           0           0
ROANOKE ELEC STL CORP             COM   769841107         231      23,406  SH     DEFINED  01,08      23,406           0           0

ROBBINS & MYERS INC               COM   770196103         136       5,765  SH     DEFINED     01       3,118         806       1,841
ROBBINS & MYERS INC               COM   770196103         514      21,773  SH     DEFINED  01,08      21,773           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    400
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
ROBERT HALF INTL INC              COM   770323103       4,649     134,031  SH     DEFINED     01     124,590           0       9,441
ROBERT HALF INTL INC              COM   770323103         231       6,655  SH     OTHER       01           0       4,855       1,800
ROBERT HALF INTL INC              COM   770323103         103       2,960  SH     DEFINED     02       1,800         610         550
ROBERT HALF INTL INC              COM   770323103          55       1,600  SH     OTHER       02         400       1,200           0
ROBERT HALF INTL INC              COM   770323103         245       7,050  SH     DEFINED     03         750       4,450       1,850
ROBERT HALF INTL INC              COM   770323103         499      14,400  SH     OTHER       03           0      14,400           0
ROBERT HALF INTL INC              COM   770323103          69       2,000  SH     DEFINED     04       2,000           0           0
ROBERT HALF INTL INC              COM   770323103       1,625      46,844  SH     OTHER       04      46,844           0           0
ROBERT HALF INTL INC              COM   770323103          10         300  SH     OTHER       05         300           0           0
ROBERT HALF INTL INC              COM   770323103      16,937     488,279  SH     DEFINED  01,08     488,279           0           0
ROBERT HALF INTL INC              COM   770323103         791      22,800  SH     DEFINED     10           0      22,800           0

ROBINSON NUGENT INC               COM   770810109         279      16,400  SH     DEFINED  01,08      16,400           0           0

ROBOTIC VISION SYS INC            COM   771074101         211      35,359  SH     DEFINED     01      34,543           0         816
ROBOTIC VISION SYS INC            COM   771074101         223      37,346  SH     DEFINED  01,08      37,346           0           0

ROCK-TENN CO                      COM   772739207          70       6,995  SH     DEFINED     01       4,775           0       2,220
ROCK-TENN CO                      COM   772739207         467      47,020  SH     DEFINED  01,08      47,020           0           0

ROCKWELL INTL CORP NEW            COM   773903109      10,628     351,343  SH     DEFINED     01     288,914      49,174      13,255
ROCKWELL INTL CORP NEW            COM   773903109       1,029      34,000  SH     OTHER       01       3,464      29,083       1,453
ROCKWELL INTL CORP NEW            COM   773903109          39       1,275  SH     DEFINED     02       1,025         250           0
ROCKWELL INTL CORP NEW            COM   773903109          19         620  SH     OTHER       02          75         545           0
ROCKWELL INTL CORP NEW            COM   773903109         358      11,825  SH     DEFINED     03       7,379       2,770       1,676
ROCKWELL INTL CORP NEW            COM   773903109          43       1,425  SH     OTHER       03       1,200         225           0
ROCKWELL INTL CORP NEW            COM   773903109         286       9,461  SH     DEFINED     04       9,461           0           0
ROCKWELL INTL CORP NEW            COM   773903109         744      24,606  SH     OTHER       04      24,606           0           0
ROCKWELL INTL CORP NEW            COM   773903109       8,702     287,683  SH     DEFINED  01,08     287,683           0           0
ROCKWELL INTL CORP NEW            COM   773903109         114       3,782  SH     DEFINED     10       1,882           0       1,900

ROCKSHOX INC                      COM   774066104          13      16,600  SH     DEFINED  01,08      16,600           0           0

ROCKY SHOES & BOOTS INC           COM   774830103          56      11,000  SH     DEFINED     04           0           0      11,000
ROCKY SHOES & BOOTS INC           COM   774830103          22       4,300  SH     DEFINED  01,08       4,300           0           0

ROFIN SINAR TECHNOLOGIES INC      COM   775043102          81       8,100  SH     DEFINED     01       8,100           0           0
ROFIN SINAR TECHNOLOGIES INC      COM   775043102         149      14,924  SH     DEFINED  01,08      14,924           0           0

ROGERS CORP                       COM   775133101         513      16,237  SH     DEFINED     01      14,922         848         467
ROGERS CORP                       COM   775133101          28         900  SH     DEFINED     03           0         900           0
ROGERS CORP                       COM   775133101         285       9,000  SH     DEFINED     04           0           0       9,000
ROGERS CORP                       COM   775133101       1,205      38,114  SH     DEFINED  01,08      38,114           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    401
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>

ROGUE WAVE SOFTWARE INC           COM   775369101           1         250  SH     DEFINED     02           0         250           0
ROGUE WAVE SOFTWARE INC           COM   775369101          89      16,595  SH     DEFINED  01,08      16,595           0           0

ROHM & HAAS CO                    COM   775371107      13,864     477,038  SH     DEFINED     01     391,208      61,758      24,072
ROHM & HAAS CO                    COM   775371107         653      22,473  SH     OTHER       01       2,021      20,352         100
ROHM & HAAS CO                    COM   775371107         110       3,800  SH     DEFINED     02       3,800           0           0
ROHM & HAAS CO                    COM   775371107           9         294  SH     OTHER       02           0         221          73
ROHM & HAAS CO                    COM   775371107         163       5,610  SH     DEFINED     03       5,110         500           0
ROHM & HAAS CO                    COM   775371107           6         221  SH     OTHER       03         221           0           0
ROHM & HAAS CO                    COM   775371107          40       1,378  SH     DEFINED     04       1,378           0           0
ROHM & HAAS CO                    COM   775371107         562      19,331  SH     OTHER       04      19,331           0           0
ROHM & HAAS CO                    COM   775371107      28,367     976,092  SH     DEFINED  01,08     312,902     564,915      98,275
ROHM & HAAS CO                    COM   775371107          19         663  SH     DEFINED     10         663           0           0

ROHN INDS INC                     COM   775381106         322      67,780  SH     DEFINED  01,08      67,780           0           0

ROLLINS INC                       COM   775711104         505      34,073  SH     DEFINED     01      33,768           0         305
ROLLINS INC                       COM   775711104       1,710     115,450  SH     DEFINED  01,08     115,450           0           0

ROLLINS TRUCK LEASING CORP        COM   775741101         171      27,156  SH     DEFINED     01      18,903           0       8,253
ROLLINS TRUCK LEASING CORP        COM   775741101          13       2,000  SH     OTHER       01           0       2,000           0
ROLLINS TRUCK LEASING CORP        COM   775741101       1,251     198,207  SH     DEFINED  01,08     198,207           0           0

ROPER INDS INC NEW                COM   776696106       1,116      33,616  SH     DEFINED     01      30,654         620       2,342
ROPER INDS INC NEW                COM   776696106         372      11,200  SH     OTHER       01      10,200       1,000           0
ROPER INDS INC NEW                COM   776696106          40       1,200  SH     OTHER       03       1,200           0           0
ROPER INDS INC NEW                COM   776696106          28         850  SH     DEFINED     04         850           0           0
ROPER INDS INC NEW                COM   776696106          43       1,300  SH     OTHER       04         800           0         500
ROPER INDS INC NEW                COM   776696106          13         400  SH     DEFINED     05         400           0           0
ROPER INDS INC NEW                COM   776696106       1,839      55,411  SH     DEFINED  01,08      55,411           0           0

ROSETTA INPHARMATICS INC          COM   777777103         625      22,400  SH     DEFINED  01,08      22,400           0           0

ROSLYN BANCORP INC                COM   778162107       1,692      75,638  SH     DEFINED     01      64,376           0      11,262
ROSLYN BANCORP INC                COM   778162107           3         120  SH     DEFINED     03         120           0           0
ROSLYN BANCORP INC                COM   778162107         548      24,475  SH     DEFINED     04      21,000           0       3,475
ROSLYN BANCORP INC                COM   778162107         123       5,500  SH     OTHER       04       5,500           0           0
ROSLYN BANCORP INC                COM   778162107       4,211     188,199  SH     DEFINED  01,08     188,199           0           0

ROSS STORES INC                   COM   778296103         804      55,903  SH     DEFINED     01      53,523           0       2,380
ROSS STORES INC                   COM   778296103          58       4,000  SH     OTHER       04       4,000           0           0
ROSS STORES INC                   COM   778296103       3,292     228,998  SH     DEFINED  01,08     228,998           0           0

ROSS SYS INC                      COM   778303107          24      33,746  SH     DEFINED  01,08      33,746           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    402
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>

ROTONICS MFG INC                  COM   778903104          26      24,122  SH     DEFINED  01,08      24,122           0           0

ROUGE INDS INC DEL                COM   779088103          51      18,187  SH     DEFINED  01,08      18,187           0           0

ROUSE CO                          COM   779273101         214       8,579  SH     DEFINED     01       6,719           0       1,860
ROUSE CO                          COM   779273101         206       8,279  SH     DEFINED  01,08       8,279           0           0

ROWAN COS INC                     COM   779382100       4,883     168,394  SH     DEFINED     01     133,345      26,328       8,721
ROWAN COS INC                     COM   779382100           3         100  SH     OTHER       01           0           0         100
ROWAN COS INC                     COM   779382100          46       1,600  SH     DEFINED     04       1,600           0           0
ROWAN COS INC                     COM   779382100          29       1,000  SH     OTHER       04       1,000           0           0
ROWAN COS INC                     COM   779382100       4,148     143,038  SH     DEFINED  01,08     143,038           0           0
ROWAN COS INC                     COM   779382100          40       1,396  SH     DEFINED     10       1,396           0           0

ROWE COS                          COM   779528108           9       3,000  SH     OTHER       01           0       3,000           0
ROWE COS                          COM   779528108         144      46,129  SH     DEFINED  01,08      46,129           0           0

ROWECOM INC                       COM   77957X108          44      11,938  SH     DEFINED  01,08      11,938           0           0

ROYAL APPLIANCE MFG CO            COM   780076105         119      20,119  SH     DEFINED     01      19,119           0       1,000
ROYAL APPLIANCE MFG CO            COM   780076105         250      42,100  SH     DEFINED  01,08      42,100           0           0

ROYAL BANCSHARES PA INC           COM   780081105          17         930  SH     DEFINED     04         930           0           0
ROYAL BANCSHARES PA INC           COM   780081105         145       8,079  SH     OTHER       04       8,079           0           0
ROYAL BANCSHARES PA INC           COM   780081105         273      15,155  SH     DEFINED  01,08      15,155           0           0

ROYAL BK CDA MONTREAL QUE         COM   780087102         398       6,690  SH     DEFINED     04       6,690           0           0
ROYAL BK CDA MONTREAL QUE         COM   780087102         175       2,940  SH     OTHER       04       2,940           0           0

ROYAL DUTCH PETE CO               COM   780257804     313,167   5,224,938  SH     DEFINED     01   4,087,493     919,878     217,567
ROYAL DUTCH PETE CO               COM   780257804      38,846     648,109  SH     OTHER       01     399,203     215,267      33,639
ROYAL DUTCH PETE CO               COM   780257804       7,327     122,237  SH     DEFINED     02      74,042      42,345       5,850
ROYAL DUTCH PETE CO               COM   780257804       4,172      69,599  SH     OTHER       02      41,743      24,316       3,540
ROYAL DUTCH PETE CO               COM   780257804      23,546     392,845  SH     DEFINED     03     225,373     149,512      17,960
ROYAL DUTCH PETE CO               COM   780257804       8,040     134,133  SH     OTHER       03      93,233      38,781       2,119
ROYAL DUTCH PETE CO               COM   780257804     101,235   1,689,024  SH     DEFINED     04   1,604,650           0      84,374
ROYAL DUTCH PETE CO               COM   780257804      75,551   1,260,511  SH     OTHER       04   1,193,156           0      67,355
ROYAL DUTCH PETE CO               COM   780257804       4,306      71,847  SH     DEFINED     05      46,147      17,675       8,025
ROYAL DUTCH PETE CO               COM   780257804       2,288      38,170  SH     OTHER       05      12,820      17,350       8,000
ROYAL DUTCH PETE CO               COM   780257804         330       5,500  SH     OTHER    04,07           0           0       5,500
ROYAL DUTCH PETE CO               COM   780257804     187,662   3,130,993  SH     DEFINED  01,08   3,036,318      94,515         160
ROYAL DUTCH PETE CO               COM   780257804         306       5,110  SH     DEFINED     09       5,110           0           0
ROYAL DUTCH PETE CO               COM   780257804          97       1,620  SH     OTHER       09       1,620           0           0
ROYAL DUTCH PETE CO               COM   780257804       4,524      75,480  SH     DEFINED     10      26,396      48,684         400
ROYAL DUTCH PETE CO               COM   780257804       2,081      34,725  SH     OTHER       10       8,565      25,960         200
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    403
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>

ROYAL GOLD INC                    COM   780287108         123      35,136  SH     DEFINED  01,08      35,136           0           0

ROYCE MICRO-CAP TR INC            COM   780915104         100       9,185  SH     DEFINED     01       9,185           0           0
ROYCE MICRO-CAP TR INC            COM   780915104          11       1,003  SH     DEFINED     03           0       1,003           0

RUBIOS RESTAURANTS INC            COM   78116B102          24       4,000  SH     DEFINED     02       4,000           0           0
RUBIOS RESTAURANTS INC            COM   78116B102          67      11,203  SH     DEFINED  01,08      11,203           0           0

RUBY TUESDAY INC                  COM   781182100         743      66,035  SH     DEFINED     01      54,964       3,900       7,171
RUBY TUESDAY INC                  COM   781182100           9         800  SH     OTHER       01           0         800           0
RUBY TUESDAY INC                  COM   781182100         235      20,891  SH     DEFINED     04      20,891           0           0
RUBY TUESDAY INC                  COM   781182100          32       2,800  SH     OTHER       04       2,800           0           0
RUBY TUESDAY INC                  COM   781182100       1,661     147,682  SH     DEFINED  01,08     147,682           0           0

RUDDICK CORP                      COM   781258108         631      45,494  SH     DEFINED     01      37,651       1,503       6,340
RUDDICK CORP                      COM   781258108       1,805     130,104  SH     DEFINED  01,08     130,104           0           0

RUDOLPH TECHNOLOGIES INC          COM   781270103         170       5,099  SH     DEFINED     01       5,009           0          90
RUDOLPH TECHNOLOGIES INC          COM   781270103         165       4,927  SH     DEFINED  01,08       4,927           0           0

RURAL / METRO CORP                COM   781748108          28      14,838  SH     DEFINED  01,08      14,838           0           0

RURAL CELLULAR CORP               COM   781904107         673       9,880  SH     DEFINED     01       9,708           0         172
RURAL CELLULAR CORP               COM   781904107           7         100  SH     DEFINED     02           0         100           0
RURAL CELLULAR CORP               COM   781904107       1,156      16,962  SH     DEFINED  01,08      16,962           0           0

RUSS BERRIE & CO                  COM   782233100         508      25,703  SH     DEFINED     01      22,720           0       2,983
RUSS BERRIE & CO                  COM   782233100       1,427      72,262  SH     DEFINED  01,08      72,262           0           0

RUSSELL CORP                      COM   782352108       2,325     146,482  SH     DEFINED     01     124,169      16,210       6,103
RUSSELL CORP                      COM   782352108         154       9,680  SH     OTHER       01       9,680           0           0
RUSSELL CORP                      COM   782352108          48       3,000  SH     DEFINED     04       3,000           0           0
RUSSELL CORP                      COM   782352108          18       1,126  SH     OTHER       05           0           0       1,126
RUSSELL CORP                      COM   782352108         856      53,914  SH     DEFINED  01,08      53,914           0           0

RYANS FAMILY STEAK HOUSE INC      COM   783519101         570      74,114  SH     DEFINED     01      66,973           0       7,141
RYANS FAMILY STEAK HOUSE INC      COM   783519101         112      14,600  SH     DEFINED     04           0           0      14,600
RYANS FAMILY STEAK HOUSE INC      COM   783519101         760      98,849  SH     DEFINED  01,08      98,849           0           0

RYDER SYS INC                     COM   783549108       2,470     133,980  SH     DEFINED     01     103,752      15,222      15,006
RYDER SYS INC                     COM   783549108          31       1,683  SH     OTHER       01           0       1,683           0
RYDER SYS INC                     COM   783549108          19       1,023  SH     DEFINED     03           0       1,023           0
RYDER SYS INC                     COM   783549108         105       5,710  SH     DEFINED     04         700           0       5,010
RYDER SYS INC                     COM   783549108          26       1,400  SH     OTHER       04         400           0       1,000
RYDER SYS INC                     COM   783549108       2,289     124,165  SH     DEFINED  01,08     124,165           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    404
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>

RYERSON TULL INC NEW              COM   78375P107       1,554     164,618  SH     DEFINED     01      30,897           0     133,721
RYERSON TULL INC NEW              COM   78375P107           2         180  SH     OTHER       01           0           0         180
RYERSON TULL INC NEW              COM   78375P107         669      70,888  SH     DEFINED  01,08      70,888           0           0

RYLAND GROUP INC                  COM   783764103       1,498      48,316  SH     DEFINED     01      42,582       2,500       3,234
RYLAND GROUP INC                  COM   783764103       1,397      45,069  SH     DEFINED  01,08      45,069           0           0
RYLAND GROUP INC                  COM   783764103         366      11,821  SH     DEFINED     09      11,821           0           0

S&K FAMOUS BRANDS INC             COM   783774102           9       1,300  SH     DEFINED     01       1,300           0           0
S&K FAMOUS BRANDS INC             COM   783774102         119      16,400  SH     DEFINED  01,08      16,400           0           0

S & T BANCORP INC                 COM   783859101         313      16,468  SH     DEFINED     01      12,107           0       4,361
S & T BANCORP INC                 COM   783859101         169       8,920  SH     DEFINED     04       8,920           0           0
S & T BANCORP INC                 COM   783859101         887      46,673  SH     DEFINED  01,08      46,673           0           0

SBC COMMUNICATIONS INC            COM   78387G103     427,571   8,551,418  SH     DEFINED     01   6,648,382   1,401,185     501,851
SBC COMMUNICATIONS INC            COM   78387G103      51,113   1,022,267  SH     OTHER       01     485,991     469,163      67,113
SBC COMMUNICATIONS INC            COM   78387G103       9,966     199,318  SH     DEFINED     02     132,884      45,189      21,245
SBC COMMUNICATIONS INC            COM   78387G103       8,296     165,913  SH     OTHER       02      88,501      57,811      19,601
SBC COMMUNICATIONS INC            COM   78387G103      21,580     431,596  SH     DEFINED     03     238,769     158,313      34,514
SBC COMMUNICATIONS INC            COM   78387G103      12,237     244,735  SH     OTHER       03     169,181      62,262      13,292
SBC COMMUNICATIONS INC            COM   78387G103      60,067   1,201,346  SH     DEFINED     04   1,173,111           0      28,235
SBC COMMUNICATIONS INC            COM   78387G103      72,321   1,446,429  SH     OTHER       04   1,375,013           0      71,416
SBC COMMUNICATIONS INC            COM   78387G103       6,670     133,405  SH     DEFINED     05     112,001      17,643       3,761
SBC COMMUNICATIONS INC            COM   78387G103       2,018      40,361  SH     OTHER       05      17,002      23,359           0
SBC COMMUNICATIONS INC            COM   78387G103     295,709   5,914,186  SH     DEFINED  01,08   5,270,437     528,709     115,040
SBC COMMUNICATIONS INC            COM   78387G103         510      10,207  SH     DEFINED     09      10,207           0           0
SBC COMMUNICATIONS INC            COM   78387G103         316       6,316  SH     OTHER       09       1,200       5,116           0
SBC COMMUNICATIONS INC            COM   78387G103       4,157      83,143  SH     DEFINED     10      68,591      14,552           0
SBC COMMUNICATIONS INC            COM   78387G103       1,781      35,622  SH     OTHER       10       6,360      29,262           0

SBS TECHNOLOGIES INC              COM   78387P103         206       8,856  SH     DEFINED     01       7,560           0       1,296
SBS TECHNOLOGIES INC              COM   78387P103         578      24,874  SH     DEFINED  01,08      24,874           0           0

SBA COMMUNICATIONS CORP           COM   78388J106      17,775     423,841  SH     DEFINED     01     394,214           0      29,627
SBA COMMUNICATIONS CORP           COM   78388J106           8         200  SH     DEFINED     02         200           0           0
SBA COMMUNICATIONS CORP           COM   78388J106       2,312      55,123  SH     DEFINED  01,08      55,123           0           0

SCC COMMUNICATIONS CORP           COM   78388X105          15       2,000  SH     OTHER       04           0           0       2,000
SCC COMMUNICATIONS CORP           COM   78388X105         115      15,272  SH     DEFINED  01,08      15,272           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    405
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SCI SYS INC                       COM   783890106       4,543     110,807  SH     DEFINED     01      97,632       5,550       7,625
SCI SYS INC                       COM   783890106         781      19,052  SH     OTHER       01         300      18,752           0
SCI SYS INC                       COM   783890106          33         800  SH     DEFINED     02         400         400           0
SCI SYS INC                       COM   783890106           4         100  SH     OTHER       02           0           0         100
SCI SYS INC                       COM   783890106       4,465     108,895  SH     DEFINED     03      31,755      73,340       3,800
SCI SYS INC                       COM   783890106         851      20,760  SH     OTHER       03       6,310      14,450           0
SCI SYS INC                       COM   783890106          92       2,250  SH     DEFINED     04       2,000           0         250
SCI SYS INC                       COM   783890106          90       2,200  SH     OTHER       04       2,200           0           0
SCI SYS INC                       COM   783890106          85       2,075  SH     DEFINED     05       2,075           0           0
SCI SYS INC                       COM   783890106           8         200  SH     OTHER       05         200           0           0
SCI SYS INC                       COM   783890106      16,228     395,816  SH     DEFINED  01,08     395,816           0           0
SCI SYS INC                       COM   783890106          16         400  SH     DEFINED     10         400           0           0

SCM MICROSYSTEMS INC              COM   784018103         501      13,210  SH     DEFINED     01      12,979           0         231
SCM MICROSYSTEMS INC              COM   784018103         730      19,236  SH     DEFINED  01,08      19,236           0           0

SCPIE HLDGS INC                   COM   78402P104         321      15,972  SH     DEFINED     01      14,303           0       1,669
SCPIE HLDGS INC                   COM   78402P104         363      18,048  SH     DEFINED  01,08      18,048           0           0

SCP POOL CORP                     COM   784028102         481      16,230  SH     DEFINED     01      14,817         700         713
SCP POOL CORP                     COM   784028102         164       5,550  SH     DEFINED     04           0           0       5,550
SCP POOL CORP                     COM   784028102         771      26,021  SH     DEFINED  01,08      26,021           0           0

SDL INC                           COM   784076101      68,004     219,857  SH     DEFINED     01     206,621       7,900       5,336
SDL INC                           COM   784076101         157         507  SH     DEFINED     03         507           0           0
SDL INC                           COM   784076101         671       2,170  SH     DEFINED     04       2,170           0           0
SDL INC                           COM   784076101          31         100  SH     OTHER       04         100           0           0
SDL INC                           COM   784076101      19,570      63,268  SH     DEFINED  01,08      63,268           0           0
SDL INC                           COM   784076101          31         100  SH     DEFINED     10         100           0           0

SED INTL HLDGS INC                COM   784109100          33      11,900  SH     DEFINED  01,08      11,900           0           0

SEI INVESTMENTS CO                COM   784117103       2,513      35,519  SH     DEFINED     01      31,109         600       3,810
SEI INVESTMENTS CO                COM   784117103          85       1,200  SH     DEFINED     04       1,200           0           0
SEI INVESTMENTS CO                COM   784117103      11,041     156,050  SH     DEFINED  01,08     156,050           0           0

SEMCO ENERGY INC                  COM   78412D109         163      10,572  SH     DEFINED     01       7,450           0       3,122
SEMCO ENERGY INC                  COM   78412D109         473      30,753  SH     DEFINED  01,08      30,753           0           0

SJNB FINL CORP                    COM   784273104         226       6,279  SH     DEFINED  01,08       6,279           0           0

SJW CORP                          COM   784305104         760       6,399  SH     DEFINED     01       6,220           0         179
SJW CORP                          COM   784305104         803       6,761  SH     DEFINED  01,08       6,761           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    406
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SL GREEN RLTY CORP                COM   78440X101         366      13,058  SH     DEFINED     01       8,869           0       4,189
SL GREEN RLTY CORP                COM   78440X101          56       2,000  SH     DEFINED     04       2,000           0           0
SL GREEN RLTY CORP                COM   78440X101         158       5,641  SH     DEFINED  01,08       5,641           0           0

S L INDS INC                      COM   784413106           3         300  SH     DEFINED     01         300           0           0
S L INDS INC                      COM   784413106         213      19,011  SH     DEFINED  01,08      19,011           0           0

SLI INC                           COM   78442T108          99      13,484  SH     DEFINED     01      10,937           0       2,547
SLI INC                           COM   78442T108           3         459  SH     DEFINED     03         459           0           0
SLI INC                           COM   78442T108         420      57,502  SH     DEFINED  01,08      57,502           0           0

SPDR TR                           COM   78462F103      39,749     276,752  SH     DEFINED     01     158,993     115,255       2,504
SPDR TR                           COM   78462F103         704       4,905  SH     OTHER       01       1,185       2,806         914
SPDR TR                           COM   78462F103          22         150  SH     DEFINED     02           0           0         150
SPDR TR                           COM   78462F103       2,330      16,220  SH     DEFINED     04      15,070           0       1,150
SPDR TR                           COM   78462F103       1,964      13,676  SH     OTHER       04      13,676           0           0
SPDR TR                           COM   78462F103         169       1,180  SH     DEFINED     05       1,180           0           0
SPDR TR                           COM   78462F103          43         300  SH     OTHER       05           0         300           0
SPDR TR                           COM   78462F103         373       2,600  SH     DEFINED  01,08       2,600           0           0
SPDR TR                           COM   78462F103          52         359  SH     DEFINED     10         359           0           0

SPSS INC                          COM   78462K102         242       9,039  SH     DEFINED     01       8,785           0         254
SPSS INC                          COM   78462K102         239       8,900  SH     DEFINED     04         400           0       8,500
SPSS INC                          COM   78462K102         372      13,888  SH     DEFINED  01,08      13,888           0           0

SOS STAFFING SVCS INC             COM   78462X104          41      16,500  SH     DEFINED  01,08      16,500           0           0

SPS TECHNOLOGIES INC              COM   784626103         512      10,563  SH     DEFINED     01       7,736           0       2,827
SPS TECHNOLOGIES INC              COM   784626103       1,369      28,229  SH     DEFINED  01,08      28,229           0           0

S1 CORPORATION                    COM   78463B101          74       6,217  SH     DEFINED     01       4,005         740       1,472
S1 CORPORATION                    COM   78463B101         168      14,105  SH     DEFINED     04      14,105           0           0
S1 CORPORATION                    COM   78463B101         150      12,555  SH     OTHER       04      12,555           0           0
S1 CORPORATION                    COM   78463B101         845      70,793  SH     DEFINED  01,08      70,793           0           0

SPX CORP                          COM   784635104       3,218      22,670  SH     DEFINED     01      20,690         452       1,528
SPX CORP                          COM   784635104          77         545  SH     OTHER       01         545           0           0
SPX CORP                          COM   784635104          96         677  SH     DEFINED     04         677           0           0
SPX CORP                          COM   784635104         557       3,921  SH     OTHER       04       3,921           0           0
SPX CORP                          COM   784635104      12,398      87,351  SH     DEFINED  01,08      87,351           0           0
SPX CORP                          COM   784635104       5,732      40,382  SH     DEFINED     10         502      39,880           0

SRS LABS INC                      COM   78464M106         110      13,300  SH     DEFINED  01,08      13,300           0           0

SSE TELECOM INC                   COM   784652109          27      10,104  SH     DEFINED  01,08      10,104           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    407
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STM WIRELESS INC                  COM   784776106          16       2,000  SH     DEFINED     04       2,000           0           0
STM WIRELESS INC                  COM   784776106          97      12,261  SH     DEFINED  01,08      12,261           0           0

STV GROUP INC                     COM   784847105          98      13,000  SH     DEFINED  01,08      13,000           0           0

S3 INC                            COM   784849101       1,548     150,081  SH     DEFINED     01     145,253           0       4,828
S3 INC                            COM   784849101          72       6,970  SH     DEFINED     04          70           0       6,900
S3 INC                            COM   784849101       1,780     172,624  SH     DEFINED  01,08     172,624           0           0

SVI HLDGS INC                     COM   784872103          69      14,040  SH     DEFINED     01      13,795           0         245
SVI HLDGS INC                     COM   784872103          44       9,000  SH     OTHER       04       9,000           0           0
SVI HLDGS INC                     COM   784872103         246      49,735  SH     DEFINED  01,08      49,735           0           0

SABA SOFTWARE INC                 COM   784932105         108       3,852  SH     DEFINED     01       3,752           0         100
SABA SOFTWARE INC                 COM   784932105       2,817     100,601  SH     DEFINED  01,08     100,601           0           0

SABRE HLDGS CORP                  COM   785905100       6,645     229,627  SH     DEFINED     01     186,810      35,959       6,858
SABRE HLDGS CORP                  COM   785905100           4         126  SH     OTHER       01           0         126           0
SABRE HLDGS CORP                  COM   785905100           0          14  SH     OTHER       02           0          14           0
SABRE HLDGS CORP                  COM   785905100          48       1,675  SH     DEFINED     04       1,675           0           0
SABRE HLDGS CORP                  COM   785905100       6,388     220,769  SH     DEFINED  01,08     220,769           0           0
SABRE HLDGS CORP                  COM   785905100           4         131  SH     DEFINED     10         131           0           0

SAFECO CORP                       COM   786429100       6,252     229,421  SH     DEFINED     01     189,509      32,246       7,666
SAFECO CORP                       COM   786429100          25         900  SH     OTHER       01           0         900           0
SAFECO CORP                       COM   786429100         274      10,070  SH     DEFINED     03           0          70      10,000
SAFECO CORP                       COM   786429100         193       7,100  SH     OTHER       03       7,100           0           0
SAFECO CORP                       COM   786429100          67       2,470  SH     DEFINED     04       2,470           0           0
SAFECO CORP                       COM   786429100          27       1,000  SH     OTHER       04       1,000           0           0
SAFECO CORP                       COM   786429100       9,875     362,380  SH     DEFINED  01,08     197,680     164,700           0
SAFECO CORP                       COM   786429100          82       3,000  SH     OTHER       10       3,000           0           0

SAFEGUARD SCIENTIFICS INC         COM   786449108         339      17,004  SH     DEFINED     01      10,555       3,030       3,419
SAFEGUARD SCIENTIFICS INC         COM   786449108          12         600  SH     DEFINED     02         600           0           0
SAFEGUARD SCIENTIFICS INC         COM   786449108          55       2,750  SH     DEFINED     04       2,750           0           0
SAFEGUARD SCIENTIFICS INC         COM   786449108           8         400  SH     OTHER       04         400           0           0
SAFEGUARD SCIENTIFICS INC         COM   786449108       2,019     101,248  SH     DEFINED  01,08     101,248           0           0

SAFESCIENCE INC                   COM   786452102          41      23,175  SH     DEFINED  01,08      23,175           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    408
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SAFEWAY INC                       COM   786514208      43,469     931,078  SH     DEFINED     01     746,824     136,970      47,284
SAFEWAY INC                       COM   786514208         313       6,700  SH     OTHER       01       1,000       5,300         400
SAFEWAY INC                       COM   786514208         133       2,850  SH     DEFINED     02         150       2,700           0
SAFEWAY INC                       COM   786514208          23         500  SH     OTHER       02           0           0         500
SAFEWAY INC                       COM   786514208         101       2,160  SH     DEFINED     03         200       1,960           0
SAFEWAY INC                       COM   786514208           9         198  SH     OTHER       03         198           0           0
SAFEWAY INC                       COM   786514208         232       4,960  SH     DEFINED     04       4,960           0           0
SAFEWAY INC                       COM   786514208         344       7,372  SH     OTHER       04       7,372           0           0
SAFEWAY INC                       COM   786514208         236       5,060  SH     DEFINED     05       5,060           0           0
SAFEWAY INC                       COM   786514208      35,425     758,769  SH     DEFINED  01,08     758,769           0           0
SAFEWAY INC                       COM   786514208          94       2,010  SH     OTHER       09           0       2,010           0
SAFEWAY INC                       COM   786514208          64       1,380  SH     DEFINED     10       1,380           0           0

SAFLINK CORP                      COM   786578104          18      10,579  SH     DEFINED  01,08      10,579           0           0

SAGA COMMUNICATIONS               COM   786598102         111       6,728  SH     DEFINED     01       6,488           0         240
SAGA COMMUNICATIONS               COM   786598102         349      21,166  SH     DEFINED  01,08      21,166           0           0

SAGA SYS INC                      COM   786610105         320      30,451  SH     DEFINED     01      29,429           0       1,022
SAGA SYS INC                      COM   786610105          11       1,000  SH     OTHER       01           0       1,000           0
SAGA SYS INC                      COM   786610105          27       2,600  SH     DEFINED     04           0           0       2,600
SAGA SYS INC                      COM   786610105         339      32,299  SH     DEFINED  01,08      32,299           0           0

SAGE INC                          COM   786632109         171      19,450  SH     DEFINED  01,08      19,450           0           0

SAGENT TECHNOLOGY INC             COM   786693101         113      14,911  SH     DEFINED     01      14,634           0         277
SAGENT TECHNOLOGY INC             COM   786693101         246      32,567  SH     DEFINED  01,08      32,567           0           0

ST FRANCIS CAP CORP               COM   789374105         143       9,300  SH     DEFINED     01       9,300           0           0
ST FRANCIS CAP CORP               COM   789374105         250      16,280  SH     DEFINED  01,08      16,280           0           0

ST JOE CO                         COM   790148100         144       5,198  SH     DEFINED     01       2,755           0       2,443
ST JOE CO                         COM   790148100          28       1,000  SH     OTHER       01           0       1,000           0
ST JOE CO                         COM   790148100         406      14,617  SH     DEFINED     04      14,617           0           0
ST JOE CO                         COM   790148100         430      15,500  SH     OTHER       04      15,500           0           0
ST JOE CO                         COM   790148100       3,033     109,309  SH     DEFINED  01,08     109,309           0           0

ST JOSEPH LT & PWR CO             COM   790654107          41       2,100  SH     DEFINED     01       2,100           0           0
ST JOSEPH LT & PWR CO             COM   790654107         367      19,001  SH     DEFINED  01,08      19,001           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    409
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
ST JUDE MED INC                   COM   790849103       7,661     150,206  SH     DEFINED     01     121,268      21,979       6,959
ST JUDE MED INC                   COM   790849103          61       1,200  SH     DEFINED     02         450         750           0
ST JUDE MED INC                   COM   790849103          31         600  SH     DEFINED     03           0           0         600
ST JUDE MED INC                   COM   790849103         935      18,331  SH     DEFINED     04      18,331           0           0
ST JUDE MED INC                   COM   790849103          31         606  SH     OTHER       04         606           0           0
ST JUDE MED INC                   COM   790849103          10         200  SH     OTHER       05         200           0           0
ST JUDE MED INC                   COM   790849103       6,637     130,141  SH     DEFINED  01,08     130,141           0           0

ST MARY LD & EXPL CO              COM   792228108         699      30,304  SH     DEFINED     01      28,004           0       2,300
ST MARY LD & EXPL CO              COM   792228108         990      42,920  SH     DEFINED  01,08      42,920           0           0

ST PAUL COS INC                   COM   792860108      25,680     520,775  SH     DEFINED     01     437,921      60,390      22,464
ST PAUL COS INC                   COM   792860108         133       2,696  SH     OTHER       01           0       2,540         156
ST PAUL COS INC                   COM   792860108       1,260      25,555  SH     DEFINED     02         191      23,564       1,800
ST PAUL COS INC                   COM   792860108       1,959      39,728  SH     OTHER       02      39,728           0           0
ST PAUL COS INC                   COM   792860108          90       1,835  SH     DEFINED     03         100       1,735           0
ST PAUL COS INC                   COM   792860108          15         304  SH     OTHER       03         304           0           0
ST PAUL COS INC                   COM   792860108         322       6,530  SH     DEFINED     04       6,530           0           0
ST PAUL COS INC                   COM   792860108      10,459     212,106  SH     OTHER       04       2,402           0     209,704
ST PAUL COS INC                   COM   792860108          23         460  SH     DEFINED     05         460           0           0
ST PAUL COS INC                   COM   792860108      17,987     364,750  SH     DEFINED  01,08     344,750      20,000           0

SAKS INC                          COM   79377W108         952      96,385  SH     DEFINED     01      92,421           0       3,964
SAKS INC                          COM   79377W108           1         100  SH     DEFINED     04           0           0         100
SAKS INC                          COM   79377W108           1          57  SH     OTHER       04          57           0           0
SAKS INC                          COM   79377W108       3,903     395,279  SH     DEFINED  01,08     395,279           0           0

SALEM COMMUNICATIONS CORP DEL     COM   794093104         170      13,428  SH     DEFINED     01       9,407           0       4,021
SALEM COMMUNICATIONS CORP DEL     COM   794093104         191      15,043  SH     DEFINED  01,08      15,043           0           0

SALIENT 3 COMMUNICATIONS INC      COM   794721100          79      30,962  SH     DEFINED  01,08      30,962           0           0

SALOMON BROS HIGH INCOME FD II UNDEFIND 794907105           0       1,297         OTHER       01           0       1,191         106
SALOMON BROS HIGH INCOME FD II UNDEFIND 794907105           1      10,000         DEFINED     02           0      10,000           0
SALOMON BROS HIGH INCOME FD II UNDEFIND 794907105           2      13,000         DEFINED     03           0      13,000           0
SALOMON BROS HIGH INCOME FD II UNDEFIND 794907105           0           8         DEFINED     04           8           0           0
SALOMON BROS HIGH INCOME FD II UNDEFIND 794907105           0          33         OTHER       04          33           0           0

SALOMON BROTHERS FD INC           COM   795477108          94       5,263  SH     OTHER       02       5,263           0           0
SALOMON BROTHERS FD INC           COM   795477108          25       1,388  SH     DEFINED     03           0       1,388           0
SALOMON BROTHERS FD INC           COM   795477108         492      27,616  SH     DEFINED     04      27,616           0           0
SALOMON BROTHERS FD INC           COM   795477108         139       7,800  SH     OTHER       04       7,800           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    410
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SALOMON BROS 2008 WORLDWIDE    UNDEFIND 79548R103           0       2,830         DEFINED     01           0       2,830           0
SALOMON BROS 2008 WORLDWIDE    UNDEFIND 79548R103           0       2,830         OTHER       01           0       2,830           0
SALOMON BROS 2008 WORLDWIDE    UNDEFIND 79548R103          46       5,000         DEFINED     04       5,000           0           0
SALOMON BROS 2008 WORLDWIDE    UNDEFIND 79548R103         105      11,500         OTHER       04      11,000           0         500
SALOMON BROS 2008 WORLDWIDE    UNDEFIND 79548R103           0       2,000         DEFINED     10       2,000           0           0

SALTON INC                        COM   795757103         419      12,979  SH     DEFINED     01       9,607       2,400         972
SALTON INC                        COM   795757103           6         200  SH     DEFINED     04         200           0           0
SALTON INC                        COM   795757103         595      18,427  SH     DEFINED  01,08      18,427           0           0

SAMES CORP                        COM   79587E104          34       2,500  SH     DEFINED     01       2,500           0           0
SAMES CORP                        COM   79587E104          25       1,856  SH     OTHER       01       1,856           0           0
SAMES CORP                        COM   79587E104         106       7,773  SH     DEFINED  01,08       7,773           0           0

SAMSONITE CORP NEW                COM   79604V105          63      16,314  SH     DEFINED  01,08      16,314           0           0

SANCHEZ COMPUTER ASSOCS INC       COM   799702105         205      13,209  SH     DEFINED     01      12,978           0         231
SANCHEZ COMPUTER ASSOCS INC       COM   799702105         350      22,610  SH     DEFINED  01,08      22,610           0           0

SANDERSON FARMS INC               COM   800013104          14       2,100  SH     DEFINED     01       2,100           0           0
SANDERSON FARMS INC               COM   800013104         245      35,897  SH     DEFINED  01,08      35,897           0           0

SANDISK CORP                      COM   80004C101         333       4,996  SH     DEFINED     01       2,719           0       2,277
SANDISK CORP                      COM   80004C101          20         300  SH     DEFINED     02         300           0           0
SANDISK CORP                      COM   80004C101          77       1,160  SH     DEFINED     04       1,160           0           0
SANDISK CORP                      COM   80004C101       3,748      56,151  SH     DEFINED  01,08      56,151           0           0

SANDY SPRING BANCORP INC          COM   800363103         137       5,479  SH     DEFINED     01       3,807           0       1,672
SANDY SPRING BANCORP INC          COM   800363103         133       5,310  SH     DEFINED  01,08       5,310           0           0

SANGAMO BIOSCIENCES INC           COM   800677106         965      24,910  SH     DEFINED  01,08      24,910           0           0

SANMINA CORP                   CONV DEB 800907AB3       1,228     555,000  PRN    DEFINED     01     555,000           0           0
SANMINA CORP                   CONV DEB 800907AB3          40      18,000  PRN    OTHER       01      10,000       8,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    411
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SANMINA CORP                      COM   800907107     100,411   1,072,481  SH     DEFINED     01     717,433     306,209      48,839
SANMINA CORP                      COM   800907107       5,151      55,019  SH     OTHER       01      34,795      17,949       2,275
SANMINA CORP                      COM   800907107       8,055      86,035  SH     DEFINED     02      42,980      35,030       8,025
SANMINA CORP                      COM   800907107       2,395      25,585  SH     OTHER       02      12,375      11,875       1,335
SANMINA CORP                      COM   800907107      10,807     115,428  SH     DEFINED     03      46,453      59,685       9,290
SANMINA CORP                      COM   800907107       2,032      21,705  SH     OTHER       03      14,255       7,350         100
SANMINA CORP                      COM   800907107      87,513     934,715  SH     DEFINED     04     904,160           0      30,555
SANMINA CORP                      COM   800907107      32,600     348,195  SH     OTHER       04     324,415           0      23,780
SANMINA CORP                      COM   800907107         912       9,740  SH     DEFINED     05       8,290         950         500
SANMINA CORP                      COM   800907107          80         850  SH     OTHER       05         700         150           0
SANMINA CORP                      COM   800907107      28,170     300,882  SH     DEFINED  01,08     300,882           0           0
SANMINA CORP                      COM   800907107          63         675  SH     DEFINED     09         675           0           0
SANMINA CORP                      COM   800907107          56         600  SH     OTHER       09         600           0           0
SANMINA CORP                      COM   800907107         381       4,067  SH     DEFINED     10       3,567         500           0

SANGSTAT MED CORP                 COM   801003104         212      16,524  SH     DEFINED     01      15,941           0         583
SANGSTAT MED CORP                 COM   801003104           6         500  SH     OTHER       01         500           0           0
SANGSTAT MED CORP                 COM   801003104         994      77,596  SH     DEFINED  01,08      77,596           0           0

SANTA CRUZ OPERATION INC          COM   801833104         131      44,725  SH     DEFINED     01      44,725           0           0
SANTA CRUZ OPERATION INC          COM   801833104         175      59,591  SH     DEFINED  01,08      59,591           0           0

SANTANDER BANCORP                 COM   802809103          78       4,728  SH     DEFINED     01       3,249           0       1,479
SANTANDER BANCORP                 COM   802809103         965      58,508  SH     DEFINED  01,08      58,508           0           0

SAP AKTIENGESELLSCHAFT            COM   803054204         332       5,400  SH     DEFINED     01         375       4,800         225
SAP AKTIENGESELLSCHAFT            COM   803054204         138       2,245  SH     OTHER       01         400       1,845           0
SAP AKTIENGESELLSCHAFT            COM   803054204          86       1,400  SH     OTHER       02           0       1,400           0
SAP AKTIENGESELLSCHAFT            COM   803054204          20         325  SH     DEFINED     03         325           0           0
SAP AKTIENGESELLSCHAFT            COM   803054204       6,686     108,720  SH     DEFINED     04     102,595           0       6,125
SAP AKTIENGESELLSCHAFT            COM   803054204         863      14,040  SH     OTHER       04      13,040           0       1,000

SAPIENT CORP                      COM   803062108       6,878     169,047  SH     DEFINED     01     160,146       2,400       6,501
SAPIENT CORP                      COM   803062108           2          50  SH     OTHER       01          50           0           0
SAPIENT CORP                      COM   803062108          12         300  SH     DEFINED     02           0           0         300
SAPIENT CORP                      COM   803062108          23         560  SH     DEFINED     03         300         160         100
SAPIENT CORP                      COM   803062108         325       8,000  SH     DEFINED     04       8,000           0           0
SAPIENT CORP                      COM   803062108         321       7,900  SH     OTHER       04       3,200           0       4,700
SAPIENT CORP                      COM   803062108       6,794     166,983  SH     DEFINED  01,08     166,983           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    412
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SARA LEE CORP                     COM   803111103      43,577   2,145,390  SH     DEFINED     01   1,701,672     296,752     146,966
SARA LEE CORP                     COM   803111103      16,763     825,298  SH     OTHER       01     268,015     518,569      38,714
SARA LEE CORP                     COM   803111103       2,839     139,749  SH     DEFINED     02      87,049      44,850       7,850
SARA LEE CORP                     COM   803111103       1,574      77,498  SH     OTHER       02      49,786      23,212       4,500
SARA LEE CORP                     COM   803111103       3,225     158,767  SH     DEFINED     03      72,046      86,721           0
SARA LEE CORP                     COM   803111103       1,503      73,974  SH     OTHER       03      64,372       9,602           0
SARA LEE CORP                     COM   803111103       5,968     293,807  SH     DEFINED     04     273,207           0      20,600
SARA LEE CORP                     COM   803111103       9,983     491,473  SH     OTHER       04     482,473           0       9,000
SARA LEE CORP                     COM   803111103         984      48,445  SH     DEFINED     05      29,445      18,400         600
SARA LEE CORP                     COM   803111103         821      40,400  SH     OTHER       05      14,300      26,100           0
SARA LEE CORP                     COM   803111103      37,014   1,822,287  SH     DEFINED  01,08   1,273,931     408,646     139,710
SARA LEE CORP                     COM   803111103          94       4,625  SH     DEFINED     09       4,625           0           0
SARA LEE CORP                     COM   803111103          16         800  SH     OTHER       09         800           0           0
SARA LEE CORP                     COM   803111103         783      38,546  SH     DEFINED     10       9,746      28,400         400
SARA LEE CORP                     COM   803111103         152       7,500  SH     OTHER       10       4,600       2,900           0

SATCON TECHNOLOGY CORP            COM   803893106         279       7,800  SH     DEFINED     01       7,664           0         136
SATCON TECHNOLOGY CORP            COM   803893106         475      13,296  SH     DEFINED  01,08      13,296           0           0

SAUCONY INC                       COM   804120202         105      11,600  SH     DEFINED  01,08      11,600           0           0

SAUER-DANFOSS INC                 COM   804137107         124      11,280  SH     DEFINED     01       7,926           0       3,354
SAUER-DANFOSS INC                 COM   804137107         110      10,000  SH     DEFINED     04      10,000           0           0
SAUER-DANFOSS INC                 COM   804137107         331      30,096  SH     DEFINED  01,08      30,096           0           0

SAVVIS COMMUNICATIONS CORP        COM   805423100         143      15,862  SH     DEFINED     01      15,214           0         648
SAVVIS COMMUNICATIONS CORP        COM   805423100           9       1,000  SH     OTHER       04           0           0       1,000
SAVVIS COMMUNICATIONS CORP        COM   805423100         534      59,334  SH     DEFINED  01,08      59,334           0           0

SAWTEK INC                        COM   805468105       1,017      26,407  SH     DEFINED     01      24,829           0       1,578
SAWTEK INC                        COM   805468105          15         400  SH     DEFINED     04         400           0           0
SAWTEK INC                        COM   805468105           8         200  SH     OTHER       04         200           0           0
SAWTEK INC                        COM   805468105       4,406     114,392  SH     DEFINED  01,08     114,392           0           0

SCANA CORP NEW                    COM   80589M102       2,207      71,481  SH     DEFINED     01      66,604           0       4,877
SCANA CORP NEW                    COM   80589M102          35       1,120  SH     OTHER       01       1,120           0           0
SCANA CORP NEW                    COM   80589M102           6         200  SH     DEFINED     02           0         200           0
SCANA CORP NEW                    COM   80589M102          12         400  SH     OTHER       02           0         400           0
SCANA CORP NEW                    COM   80589M102           9         300  SH     OTHER       03         150           0         150
SCANA CORP NEW                    COM   80589M102          66       2,130  SH     DEFINED     04       2,130           0           0
SCANA CORP NEW                    COM   80589M102         201       6,503  SH     OTHER       04       6,503           0           0
SCANA CORP NEW                    COM   80589M102       8,932     289,281  SH     DEFINED  01,08     289,281           0           0
SCANA CORP NEW                    COM   80589M102          33       1,058  SH     OTHER       10           0       1,058           0

SCAN OPTICS INC                   COM   805894102          19      23,400  SH     DEFINED  01,08      23,400           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    413
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SCANSOFT INC                      COM   80603P107          66      41,230  SH     DEFINED     01      37,230       4,000           0
SCANSOFT INC                      COM   80603P107           9       5,700  SH     OTHER       01           0       5,700           0
SCANSOFT INC                      COM   80603P107           6       4,000  SH     OTHER       04           0           0       4,000
SCANSOFT INC                      COM   80603P107          98      61,408  SH     DEFINED  01,08      61,408           0           0

SCANSOURCE INC                    COM   806037107          27         500  SH     DEFINED     04           0           0         500
SCANSOURCE INC                    COM   806037107         385       7,206  SH     DEFINED  01,08       7,206           0           0

SCHAWK INC                        COM   806373106           0          45  SH     DEFINED     01          45           0           0
SCHAWK INC                        COM   806373106         241      26,024  SH     DEFINED  01,08      26,024           0           0

SCHEIB EARL INC                   COM   806398103          51      15,668  SH     DEFINED  01,08      15,668           0           0

SCHEIN HENRY INC                  COM   806407102         738      36,999  SH     DEFINED     01      32,691           0       4,308
SCHEIN HENRY INC                  COM   806407102       1,230      61,693  SH     DEFINED  01,08      61,693           0           0

SCHERING PLOUGH CORP              COM   806605101     188,042   4,043,907  SH     DEFINED     01   3,323,212     485,916     234,779
SCHERING PLOUGH CORP              COM   806605101      24,982     537,246  SH     OTHER       01     349,408     164,488      23,350
SCHERING PLOUGH CORP              COM   806605101       4,917     105,733  SH     DEFINED     02      63,320      38,503       3,910
SCHERING PLOUGH CORP              COM   806605101       2,734      58,795  SH     OTHER       02      49,975       6,020       2,800
SCHERING PLOUGH CORP              COM   806605101       9,317     200,365  SH     DEFINED     03      64,716     126,739       8,910
SCHERING PLOUGH CORP              COM   806605101      14,564     313,204  SH     OTHER       03     262,654      31,950      18,600
SCHERING PLOUGH CORP              COM   806605101      29,694     638,571  SH     DEFINED     04     586,946           0      51,625
SCHERING PLOUGH CORP              COM   806605101      36,913     793,820  SH     OTHER       04     755,430           0      38,390
SCHERING PLOUGH CORP              COM   806605101       1,983      42,648  SH     DEFINED     05      37,498       3,200       1,950
SCHERING PLOUGH CORP              COM   806605101         788      16,950  SH     OTHER       05      10,150       6,800           0
SCHERING PLOUGH CORP              COM   806605101     102,608   2,206,627  SH     DEFINED  01,08   2,177,036      29,591           0
SCHERING PLOUGH CORP              COM   806605101         332       7,130  SH     DEFINED     09       7,130           0           0
SCHERING PLOUGH CORP              COM   806605101          12         250  SH     OTHER       09           0         250           0
SCHERING PLOUGH CORP              COM   806605101       4,361      93,783  SH     DEFINED     10      31,658      61,725         400
SCHERING PLOUGH CORP              COM   806605101         582      12,517  SH     OTHER       10       5,445       7,072           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    414
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SCHLUMBERGER LTD                  COM   806857108     289,898   3,521,946  SH     DEFINED     01   2,380,172     916,848     224,926
SCHLUMBERGER LTD                  COM   806857108      45,718     555,420  SH     OTHER       01     273,744     255,382      26,294
SCHLUMBERGER LTD                  COM   806857108       7,627      92,663  SH     DEFINED     02      56,665      29,653       6,345
SCHLUMBERGER LTD                  COM   806857108       4,489      54,542  SH     OTHER       02      27,432      17,560       9,550
SCHLUMBERGER LTD                  COM   806857108       6,982      84,826  SH     DEFINED     03      38,850      42,376       3,600
SCHLUMBERGER LTD                  COM   806857108       3,945      47,923  SH     OTHER       03      30,673       9,700       7,550
SCHLUMBERGER LTD                  COM   806857108      96,906   1,177,295  SH     DEFINED     04   1,125,001           0      52,294
SCHLUMBERGER LTD                  COM   806857108      42,952     521,814  SH     OTHER       04     497,374           0      24,440
SCHLUMBERGER LTD                  COM   806857108       4,452      54,091  SH     DEFINED     05      42,113       5,835       6,143
SCHLUMBERGER LTD                  COM   806857108       1,303      15,829  SH     OTHER       05       9,588       3,741       2,500
SCHLUMBERGER LTD                  COM   806857108      67,061     814,715  SH     DEFINED  01,08     814,715           0           0
SCHLUMBERGER LTD                  COM   806857108         530       6,435  SH     DEFINED     09       6,435           0           0
SCHLUMBERGER LTD                  COM   806857108          58         700  SH     OTHER       09         600         100           0
SCHLUMBERGER LTD                  COM   806857108       6,516      79,163  SH     DEFINED     10      33,779      45,384           0
SCHLUMBERGER LTD                  COM   806857108       1,133      13,760  SH     OTHER       10       5,375       8,185         200

SCHMITT INDS INC ORE              COM   806870101          32      11,500  SH     DEFINED  01,08      11,500           0           0

SCHOLASTIC CORP                   COM   807066105      14,069     176,832  SH     DEFINED     01     163,710         500      12,622
SCHOLASTIC CORP                   COM   807066105         178       2,240  SH     OTHER       01       2,000         240           0
SCHOLASTIC CORP                   COM   807066105           8         100  SH     DEFINED     04         100           0           0
SCHOLASTIC CORP                   COM   807066105         563       7,076  SH     OTHER       04       7,076           0           0
SCHOLASTIC CORP                   COM   807066105       4,272      53,696  SH     DEFINED  01,08      53,696           0           0
SCHOLASTIC CORP                   COM   807066105           8         100  SH     OTHER       10         100           0           0

SCHOOL SPECIALTY INC              COM   807863105         296      13,890  SH     DEFINED     01      11,640           0       2,250
SCHOOL SPECIALTY INC              COM   807863105         496      23,290  SH     DEFINED  01,08      23,290           0           0

SCHULER HOMES INC                 COM   808188106          88       9,100  SH     DEFINED     01       9,100           0           0
SCHULER HOMES INC                 COM   808188106         337      34,773  SH     DEFINED  01,08      34,773           0           0

SCHULMAN A INC                    COM   808194104         701      63,689  SH     DEFINED     01      58,650           0       5,039
SCHULMAN A INC                    COM   808194104       2,435     221,324  SH     DEFINED     04     221,324           0           0
SCHULMAN A INC                    COM   808194104       1,297     117,913  SH     OTHER       04     117,913           0           0
SCHULMAN A INC                    COM   808194104         944      85,802  SH     DEFINED  01,08      85,802           0           0

SCHULTZ SAV O STORES INC          COM   808196109         146      13,609  SH     DEFINED  01,08      13,609           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    415
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SCHWAB CHARLES CORP NEW           COM   808513105      98,524   2,775,319  SH     DEFINED     01   2,307,597     326,369     141,353
SCHWAB CHARLES CORP NEW           COM   808513105       9,172     258,358  SH     OTHER       01      93,496     139,062      25,800
SCHWAB CHARLES CORP NEW           COM   808513105      25,572     720,335  SH     DEFINED     02     326,870     362,629      30,836
SCHWAB CHARLES CORP NEW           COM   808513105       8,449     237,993  SH     OTHER       02     140,067      88,759       9,167
SCHWAB CHARLES CORP NEW           COM   808513105      22,748     640,782  SH     DEFINED     03     208,350     409,936      22,496
SCHWAB CHARLES CORP NEW           COM   808513105       2,352      66,244  SH     OTHER       03      40,194      25,600         450
SCHWAB CHARLES CORP NEW           COM   808513105      40,342   1,136,405  SH     DEFINED     04   1,099,092           0      37,313
SCHWAB CHARLES CORP NEW           COM   808513105      19,988     563,043  SH     OTHER       04     534,578           0      28,465
SCHWAB CHARLES CORP NEW           COM   808513105       5,699     160,527  SH     DEFINED     05     108,665      47,762       4,100
SCHWAB CHARLES CORP NEW           COM   808513105       1,026      28,915  SH     OTHER       05      10,990      17,925           0
SCHWAB CHARLES CORP NEW           COM   808513105      70,828   1,995,154  SH     DEFINED  01,08   1,995,154           0           0
SCHWAB CHARLES CORP NEW           COM   808513105          56       1,575  SH     DEFINED     09       1,575           0           0
SCHWAB CHARLES CORP NEW           COM   808513105         596      16,800  SH     DEFINED     10       3,300      13,500           0
SCHWAB CHARLES CORP NEW           COM   808513105          36       1,000  SH     OTHER       10       1,000           0           0

SCHWEITZER-MAUDUIT INTL INC       COM   808541106         127       9,488  SH     DEFINED     01       6,226           0       3,262
SCHWEITZER-MAUDUIT INTL INC       COM   808541106          19       1,443  SH     OTHER       01       1,280         163           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106           2         150  SH     DEFINED     03           0         150           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106           3         260  SH     OTHER       03         260           0           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106           1          50  SH     DEFINED     04          50           0           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106           5         360  SH     OTHER       04         270           0          90
SCHWEITZER-MAUDUIT INTL INC       COM   808541106         317      23,668  SH     DEFINED  01,08      23,668           0           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106          48       3,552  SH     DEFINED     10       3,552           0           0

SCICLONE PHARMACEUTICALS INC      COM   80862K104         353      32,502  SH     DEFINED     01      31,957           0         545
SCICLONE PHARMACEUTICALS INC      COM   80862K104         441      40,582  SH     DEFINED  01,08      40,582           0           0

SCIENT CORP                       COM   80864H109          45       2,136  SH     DEFINED     01       1,560           0         576
SCIENT CORP                       COM   80864H109          13         604  SH     OTHER       01           0           0         604
SCIENT CORP                       COM   80864H109           3         150  SH     DEFINED     04         150           0           0
SCIENT CORP                       COM   80864H109       1,179      56,305  SH     DEFINED  01,08      56,305           0           0

SCIENTIFIC ATLANTA INC            COM   808655104      21,040     330,682  SH     DEFINED     01     296,730       6,152      27,800
SCIENTIFIC ATLANTA INC            COM   808655104         197       3,100  SH     OTHER       01           0       3,000         100
SCIENTIFIC ATLANTA INC            COM   808655104          35         550  SH     DEFINED     03         100         150         300
SCIENTIFIC ATLANTA INC            COM   808655104         309       4,860  SH     DEFINED     04       4,860           0           0
SCIENTIFIC ATLANTA INC            COM   808655104          70       1,100  SH     OTHER       04       1,100           0           0
SCIENTIFIC ATLANTA INC            COM   808655104      15,394     241,949  SH     DEFINED  01,08     241,949           0           0
SCIENTIFIC ATLANTA INC            COM   808655104          15         230  SH     DEFINED     10         230           0           0

SCIENTIFIC LEARNING CORP          COM   808760102          16       2,937  SH     DEFINED     01       2,593           0         344
SCIENTIFIC LEARNING CORP          COM   808760102          85      15,611  SH     DEFINED  01,08      15,611           0           0

SCIENTIFIC TECHNOL INC            COM   808799209         140      16,440  SH     DEFINED  01,08      16,440           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    416
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SCIOS INC                         COM   808905103          10       1,000  SH     DEFINED     02           0           0       1,000
SCIOS INC                         COM   808905103           5         500  SH     DEFINED     04         500           0           0
SCIOS INC                         COM   808905103          21       2,000  SH     OTHER       04       2,000           0           0
SCIOS INC                         COM   808905103         821      79,118  SH     DEFINED  01,08      79,118           0           0

SCIQUEST COM INC                  COM   80908Q107         117      16,883  SH     DEFINED     01      15,400           0       1,483
SCIQUEST COM INC                  COM   80908Q107         262      37,935  SH     DEFINED  01,08      37,935           0           0

SCOTT TECHNOLOGIES INC            COM   810022301         252      14,199  SH     DEFINED     01      12,673           0       1,526
SCOTT TECHNOLOGIES INC            COM   810022301         640      36,123  SH     DEFINED  01,08      36,123           0           0

SCOTTISH PWR PLC                  COM   81013T705         191       6,368  SH     DEFINED     01       4,816         276       1,276
SCOTTISH PWR PLC                  COM   81013T705         120       3,999  SH     OTHER       01       3,159         840           0
SCOTTISH PWR PLC                  COM   81013T705          53       1,751  SH     DEFINED     02       1,751           0           0
SCOTTISH PWR PLC                  COM   81013T705          28         923  SH     OTHER       02         397         526           0
SCOTTISH PWR PLC                  COM   81013T705         170       5,649  SH     DEFINED     03       1,548       2,553       1,548
SCOTTISH PWR PLC                  COM   81013T705          72       2,391  SH     OTHER       03       1,233       1,158           0
SCOTTISH PWR PLC                  COM   81013T705         248       8,244  SH     DEFINED     04       8,244           0           0
SCOTTISH PWR PLC                  COM   81013T705         348      11,569  SH     OTHER       04      11,569           0           0
SCOTTISH PWR PLC                  COM   81013T705          30       1,001  SH     DEFINED     10         421         580           0
SCOTTISH PWR PLC                  COM   81013T705          14         464  SH     OTHER       10         464           0           0

SCOTTS CO                         COM   810186106         553      16,511  SH     DEFINED     01      12,972       1,500       2,039
SCOTTS CO                         COM   810186106       1,705      50,904  SH     DEFINED  01,08      50,904           0           0

SCRIPPS E W CO OHIO               COM   811054204         175       3,237  SH     DEFINED     01       2,567           0         670
SCRIPPS E W CO OHIO               COM   811054204       1,688      31,260  SH     OTHER       04      31,260           0           0
SCRIPPS E W CO OHIO               COM   811054204       3,344      61,917  SH     DEFINED  01,08      61,917           0           0

SEABOARD CORP                     COM   811543107         126         776  SH     DEFINED     01         748           0          28
SEABOARD CORP                     COM   811543107         614       3,780  SH     DEFINED  01,08       3,780           0           0

SEACHANGE INTL INC                COM   811699107         573      17,166  SH     DEFINED     01      16,864           0         302
SEACHANGE INTL INC                COM   811699107         957      28,673  SH     DEFINED  01,08      28,673           0           0

SEACOAST FINL SVCS CORP           COM   81170Q106         158      14,408  SH     DEFINED     01      10,051           0       4,357
SEACOAST FINL SVCS CORP           COM   81170Q106         667      60,666  SH     DEFINED  01,08      60,666           0           0

SEACOAST BKG CORP FLA             COM   811707108          36       1,377  SH     DEFINED     04       1,377           0           0
SEACOAST BKG CORP FLA             COM   811707108         295      11,353  SH     DEFINED  01,08      11,353           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    417
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SEAGATE TECHNOLOGY                COM   811804103      28,408     411,704  SH     DEFINED     01     324,611      61,560      25,533
SEAGATE TECHNOLOGY                COM   811804103           7         100  SH     OTHER       01           0           0         100
SEAGATE TECHNOLOGY                COM   811804103          17         250  SH     DEFINED     02           0         250           0
SEAGATE TECHNOLOGY                COM   811804103         745      10,800  SH     DEFINED     03         800      10,000           0
SEAGATE TECHNOLOGY                COM   811804103         186       2,700  SH     OTHER       03           0       2,700           0
SEAGATE TECHNOLOGY                COM   811804103         234       3,386  SH     DEFINED     04       3,086           0         300
SEAGATE TECHNOLOGY                COM   811804103         179       2,600  SH     OTHER       04       2,600           0           0
SEAGATE TECHNOLOGY                COM   811804103          83       1,200  SH     DEFINED     05       1,200           0           0
SEAGATE TECHNOLOGY                COM   811804103      24,994     362,232  SH     DEFINED  01,08     362,232           0           0
SEAGATE TECHNOLOGY                COM   811804103          90       1,300  SH     DEFINED     10       1,300           0           0

SEAGRAM LTD                       COM   811850106      42,279     736,102  SH     DEFINED     01     593,900     111,549      30,653
SEAGRAM LTD                       COM   811850106          86       1,491  SH     OTHER       01         141         450         900
SEAGRAM LTD                       COM   811850106         459       8,000  SH     OTHER       02           0       8,000           0
SEAGRAM LTD                       COM   811850106          11         200  SH     DEFINED     03         200           0           0
SEAGRAM LTD                       COM   811850106         144       2,500  SH     OTHER       03       2,500           0           0
SEAGRAM LTD                       COM   811850106         587      10,222  SH     DEFINED     04       7,046           0       3,176
SEAGRAM LTD                       COM   811850106          16         270  SH     OTHER       04           0           0         270
SEAGRAM LTD                       COM   811850106      32,504     565,911  SH     DEFINED  01,08     565,911           0           0

SEACOR SMIT INC                   COM   811904101         520      11,146  SH     DEFINED     01       6,965           0       4,181
SEACOR SMIT INC                   COM   811904101       1,574      33,756  SH     DEFINED  01,08      33,756           0           0

SEALED AIR CORP NEW               COM   81211K100       5,687     125,677  SH     DEFINED     01     116,414       2,483       6,780
SEALED AIR CORP NEW               COM   81211K100         116       2,553  SH     OTHER       01           0       2,500          53
SEALED AIR CORP NEW               COM   81211K100          10         214  SH     OTHER       02         214           0           0
SEALED AIR CORP NEW               COM   81211K100         598      13,207  SH     DEFINED     04      13,207           0           0
SEALED AIR CORP NEW               COM   81211K100         369       8,156  SH     OTHER       04       8,156           0           0
SEALED AIR CORP NEW               COM   81211K100       5,608     123,938  SH     DEFINED  01,08     123,938           0           0

SEALED AIR CORP NEW            CONV PFD 81211K209          86       1,903         DEFINED     01       1,140         685          78
SEALED AIR CORP NEW            CONV PFD 81211K209          86       1,900         OTHER       01           0       1,900           0
SEALED AIR CORP NEW            CONV PFD 81211K209           9         190         OTHER       02         190           0           0
SEALED AIR CORP NEW            CONV PFD 81211K209         587      13,054         DEFINED     04      13,054           0           0
SEALED AIR CORP NEW            CONV PFD 81211K209         275       6,117         OTHER       04       6,117           0           0
SEALED AIR CORP NEW            CONV PFD 81211K209           5         100         DEFINED     10           0         100           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    418
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SEARS ROEBUCK & CO                COM   812387108      22,250     686,295  SH     DEFINED     01     538,781     110,144      37,370
SEARS ROEBUCK & CO                COM   812387108         735      22,682  SH     OTHER       01      13,543       8,395         744
SEARS ROEBUCK & CO                COM   812387108          16         490  SH     DEFINED     02         200         290           0
SEARS ROEBUCK & CO                COM   812387108          67       2,077  SH     OTHER       02       1,177         900           0
SEARS ROEBUCK & CO                COM   812387108         175       5,413  SH     DEFINED     03       2,040       3,273         100
SEARS ROEBUCK & CO                COM   812387108         152       4,702  SH     OTHER       03       4,302         400           0
SEARS ROEBUCK & CO                COM   812387108         417      12,852  SH     DEFINED     04      12,652           0         200
SEARS ROEBUCK & CO                COM   812387108       1,233      38,037  SH     OTHER       04      37,837           0         200
SEARS ROEBUCK & CO                COM   812387108          20         612  SH     DEFINED     05         612           0           0
SEARS ROEBUCK & CO                COM   812387108      17,761     547,830  SH     DEFINED  01,08     547,830           0           0
SEARS ROEBUCK & CO                COM   812387108          28         870  SH     DEFINED     09         300         570           0
SEARS ROEBUCK & CO                COM   812387108           1          45  SH     DEFINED     10          45           0           0
SEARS ROEBUCK & CO                COM   812387108          45       1,400  SH     OTHER       10       1,400           0           0

SECOND BANCORP INC                COM   813114105         190      13,482  SH     DEFINED  01,08      13,482           0           0
SECOND BANCORP INC                COM   813114105          25       1,800  SH     DEFINED     10           0       1,800           0

SECTOR SPDR TR                    COM   81369Y803         245       5,280  SH     DEFINED     01       5,280           0           0
SECTOR SPDR TR                    COM   81369Y803          12         250  SH     DEFINED     03           0           0         250
SECTOR SPDR TR                    COM   81369Y803          32         700  SH     DEFINED     04         700           0           0
SECTOR SPDR TR                    COM   81369Y803          12         260  SH     DEFINED     10           0         260           0
SECTOR SPDR TR                    COM   81369Y803          12         260  SH     OTHER       10           0           0         260

SECURE COMPUTING CORP             COM   813705100         672      25,777  SH     DEFINED     01      25,334           0         443
SECURE COMPUTING CORP             COM   813705100         986      37,823  SH     DEFINED  01,08      37,823           0           0

SECURITY CAP GROUP INC            COM   81413P204         369      19,507  SH     DEFINED     01      13,160           0       6,347
SECURITY CAP GROUP INC            COM   81413P204       2,429     128,292  SH     OTHER       01           0           0     128,292
SECURITY CAP GROUP INC            COM   81413P204         151       7,977  SH     DEFINED  01,08       7,977           0           0

SECURITY CAP U S RLTY             COM   814136206         147       6,880  SH     DEFINED     01       1,150       4,500       1,230
SECURITY CAP U S RLTY             COM   814136206       1,656      77,452  SH     OTHER       01       1,230           0      76,223

SECURITY NATL FINL CORP           COM   814785309          51      19,126  SH     DEFINED  01,08      19,126           0           0

SEGUE SOFTWARE INC                COM   815807102           8       1,000  SH     DEFINED     01       1,000           0           0
SEGUE SOFTWARE INC                COM   815807102         152      18,394  SH     DEFINED  01,08      18,394           0           0

SEIBELS BRUCE GROUP INC           COM   816006209          10      10,225  SH     DEFINED  01,08      10,225           0           0

SEITEL INC                        COM   816074306         216      15,023  SH     DEFINED     01      11,195           0       3,828
SEITEL INC                        COM   816074306          29       2,000  SH     DEFINED     04       2,000           0           0
SEITEL INC                        COM   816074306         667      46,381  SH     DEFINED  01,08      46,381           0           0

SELAS CORP AMER                   COM   816119101          78      13,160  SH     DEFINED  01,08      13,160           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>


   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    419
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SELECTICA INC                     COM   816288104         166       4,164  SH     DEFINED     01       4,090           0          74
SELECTICA INC                     COM   816288104         137       3,445  SH     DEFINED  01,08       3,445           0           0

SELECTIVE INS GROUP INC           COM   816300107         852      47,637  SH     DEFINED     01      41,367           0       6,270
SELECTIVE INS GROUP INC           COM   816300107       2,633     147,316  SH     DEFINED     04           0           0     147,316
SELECTIVE INS GROUP INC           COM   816300107       1,430      80,007  SH     DEFINED  01,08      80,007           0           0

SELIGMAN SELECT MUN FD INC     UNDEFIND 816344105           0       2,100         DEFINED     01       2,100           0           0
SELIGMAN SELECT MUN FD INC     UNDEFIND 816344105          15       1,500         DEFINED     04       1,500           0           0
SELIGMAN SELECT MUN FD INC     UNDEFIND 816344105         121      12,077         OTHER       04      12,077           0           0

SEMINIS INC                       COM   816658108           9       7,090  SH     DEFINED     01       4,868           0       2,222
SEMINIS INC                       COM   816658108         149     118,929  SH     DEFINED  01,08     118,929           0           0

SEMTECH CORP                      COM   816850101       1,772      42,818  SH     DEFINED     01      39,210           0       3,608
SEMTECH CORP                      COM   816850101          30         720  SH     DEFINED     03         720           0           0
SEMTECH CORP                      COM   816850101         127       3,078  SH     DEFINED     04       3,078           0           0
SEMTECH CORP                      COM   816850101       7,351     177,674  SH     DEFINED  01,08     177,674           0           0
SEMTECH CORP                      COM   816850101          22         532  SH     OTHER       10           0         532           0

SEMPRA ENERGY                     COM   816851109       7,560     363,259  SH     DEFINED     01     294,571      52,323      16,365
SEMPRA ENERGY                     COM   816851109          16         750  SH     OTHER       01           0           0         750
SEMPRA ENERGY                     COM   816851109         300      14,400  SH     DEFINED     02           0      14,400           0
SEMPRA ENERGY                     COM   816851109          25       1,200  SH     OTHER       02           0         600         600
SEMPRA ENERGY                     COM   816851109         645      30,972  SH     DEFINED     03      15,729       6,662       8,581
SEMPRA ENERGY                     COM   816851109           2         100  SH     OTHER       03         100           0           0
SEMPRA ENERGY                     COM   816851109          79       3,800  SH     DEFINED     04       3,800           0           0
SEMPRA ENERGY                     COM   816851109           4         200  SH     OTHER       04         200           0           0
SEMPRA ENERGY                     COM   816851109       6,494     312,038  SH     DEFINED  01,08     312,038           0           0

SEMITOOL INC                      COM   816909105         199      15,500  SH     DEFINED     01      15,228           0         272
SEMITOOL INC                      COM   816909105         508      39,625  SH     DEFINED  01,08      39,625           0           0

SENIOR HSG PPTYS TR               COM   81721M109          74       7,956  SH     DEFINED     01       5,931           0       2,025
SENIOR HSG PPTYS TR               COM   81721M109           3         310  SH     DEFINED     03          60           0         250
SENIOR HSG PPTYS TR               COM   81721M109           2         200  SH     DEFINED     04         100           0         100
SENIOR HSG PPTYS TR               COM   81721M109           1         100  SH     OTHER       04         100           0           0
SENIOR HSG PPTYS TR               COM   81721M109         360      38,671  SH     DEFINED  01,08      38,671           0           0

SENSORY SCIENCE CORP              COM   81726X100           8       4,000  SH     DEFINED     01       4,000           0           0
SENSORY SCIENCE CORP              COM   81726X100           0         100  SH     OTHER       02         100           0           0
SENSORY SCIENCE CORP              COM   81726X100          29      15,118  SH     DEFINED  01,08      15,118           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    420
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SENSORMATIC ELECTRS CORP          COM   817265101       1,434      95,612  SH     DEFINED     01      84,710           0      10,902
SENSORMATIC ELECTRS CORP          COM   817265101          90       6,000  SH     DEFINED     04       6,000           0           0
SENSORMATIC ELECTRS CORP          COM   817265101         234      15,626  SH     OTHER       04      15,626           0           0
SENSORMATIC ELECTRS CORP          COM   817265101       5,139     342,588  SH     DEFINED  01,08     342,588           0           0

SEPRACOR INC                      COM   817315104       6,070      49,472  SH     DEFINED     01      44,878       1,200       3,394
SEPRACOR INC                      COM   817315104          25         200  SH     DEFINED     03           0         200           0
SEPRACOR INC                      COM   817315104         153       1,250  SH     DEFINED     04       1,250           0           0
SEPRACOR INC                      COM   817315104      24,429     199,117  SH     DEFINED  01,08     199,117           0           0
SEPRACOR INC                      COM   817315104           9          75  SH     DEFINED     10          75           0           0

SEQUA CORPORATION                 COM   817320104         401       9,438  SH     DEFINED     01       8,130           0       1,308
SEQUA CORPORATION                 COM   817320104       1,226      28,845  SH     DEFINED  01,08      28,845           0           0

SEQUENOM INC                      COM   817337108         215       5,108  SH     DEFINED     01       4,526         200         382
SEQUENOM INC                      COM   817337108         985      23,371  SH     DEFINED  01,08      23,371           0           0

SEQUOIA SOFTWARE CORP             COM   817439102          29       4,461  SH     DEFINED     01       4,322           0         139
SEQUOIA SOFTWARE CORP             COM   817439102          49       7,513  SH     DEFINED  01,08       7,513           0           0

SERACARE INC                      COM   817473101          40      10,292  SH     DEFINED  01,08      10,292           0           0

SERANOVA INC                      COM   817476104          68      12,874  SH     DEFINED  01,08      12,874           0           0

SERENA SOFTWARE INC               COM   817492101         708      15,362  SH     DEFINED     01      14,575           0         787
SERENA SOFTWARE INC               COM   817492101          14         300  SH     OTHER       02           0         300           0
SERENA SOFTWARE INC               COM   817492101       1,829      39,704  SH     DEFINED  01,08      39,704           0           0

SERONO S A                        COM   81752M101       2,028      67,052  SH     DEFINED     01      41,052      13,000      13,000
SERONO S A                        COM   81752M101          79       2,600  SH     OTHER       01       1,000       1,600           0

SEROLOGICALS CORP                 COM   817523103           4         600  SH     OTHER       01           0         600           0
SEROLOGICALS CORP                 COM   817523103          14       2,000  SH     DEFINED     04       2,000           0           0
SEROLOGICALS CORP                 COM   817523103         214      30,859  SH     DEFINED  01,08      30,859           0           0

SERVICE CORP INTL                 COM   817565104         414     169,893  SH     DEFINED     01     110,426      12,086      47,381
SERVICE CORP INTL                 COM   817565104          47      19,100  SH     OTHER       01           0      19,100           0
SERVICE CORP INTL                 COM   817565104           3       1,400  SH     OTHER       02       1,400           0           0
SERVICE CORP INTL                 COM   817565104           7       2,674  SH     DEFINED     03         674           0       2,000
SERVICE CORP INTL                 COM   817565104           1         245  SH     OTHER       03         245           0           0
SERVICE CORP INTL                 COM   817565104           6       2,650  SH     DEFINED     04       2,650           0           0
SERVICE CORP INTL                 COM   817565104           2         750  SH     OTHER       04         700           0          50
SERVICE CORP INTL                 COM   817565104          48      19,665  SH     DEFINED     05      19,120           0         545
SERVICE CORP INTL                 COM   817565104         775     318,218  SH     DEFINED  01,08     318,218           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    421
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SERVICEMASTER CO                  COM   81760N109         712      72,126  SH     DEFINED     01      42,312      18,590      11,224
SERVICEMASTER CO                  COM   81760N109       1,553     157,216  SH     OTHER       01      74,157      54,935      28,124
SERVICEMASTER CO                  COM   81760N109         918      92,916  SH     OTHER       02       5,000      87,916           0
SERVICEMASTER CO                  COM   81760N109          75       7,593  SH     DEFINED     03           0       7,593           0
SERVICEMASTER CO                  COM   81760N109         313      31,670  SH     DEFINED     04      31,670           0           0
SERVICEMASTER CO                  COM   81760N109         466      47,152  SH     OTHER       04      47,152           0           0
SERVICEMASTER CO                  COM   81760N109       2,592     262,473  SH     DEFINED  01,08     262,473           0           0
SERVICEMASTER CO                  COM   81760N109          37       3,793  SH     DEFINED     09       3,793           0           0
SERVICEMASTER CO                  COM   81760N109         115      11,600  SH     DEFINED     10       6,750       4,850           0
SERVICEMASTER CO                  COM   81760N109          27       2,783  SH     OTHER       10       2,783           0           0

7-ELEVEN INC                      COM   817826209          52       4,058  SH     DEFINED     01       2,642           0       1,416
7-ELEVEN INC                      COM   817826209       1,632     127,999  SH     DEFINED  01,08     127,999           0           0

SEVEN SEAS PETE INC               COM   817917107          37      12,467  SH     DEFINED  01,08      12,467           0           0

SEVENSON ENVIRONMENTAL SVCS       COM   818063109         284      26,272  SH     DEFINED  01,08      26,272           0           0

SHARPER IMAGE CORP                COM   820013100          18       1,000  SH     DEFINED     04       1,000           0           0
SHARPER IMAGE CORP                COM   820013100         517      29,342  SH     DEFINED  01,08      29,342           0           0

SHAW GROUP INC                    COM   820280105       1,701      24,127  SH     DEFINED     01      22,001         700       1,426
SHAW GROUP INC                    COM   820280105         367       5,200  SH     DEFINED     04           0           0       5,200
SHAW GROUP INC                    COM   820280105       2,050      29,075  SH     DEFINED  01,08      29,075           0           0

SHAW INDS INC                     COM   820286102       1,687      91,212  SH     DEFINED     01      80,448       4,700       6,064
SHAW INDS INC                     COM   820286102       6,461     349,223  SH     DEFINED  01,08     349,223           0           0

SHEFFIELD PHARMACEUTICALS INC     COM   82123D309           1         200  SH     DEFINED     01         200           0           0
SHEFFIELD PHARMACEUTICALS INC     COM   82123D309         166      24,126  SH     DEFINED  01,08      24,126           0           0

SHELDAHL CO                       COM   822440103          15       5,100  SH     DEFINED     01       5,100           0           0
SHELDAHL CO                       COM   822440103           8       2,500  SH     DEFINED     02           0       2,500           0
SHELDAHL CO                       COM   822440103          58      19,337  SH     DEFINED  01,08      19,337           0           0

SHELL TRANS & TRADING PLC         COM   822703609         583      11,906  SH     DEFINED     01       6,806       5,100           0
SHELL TRANS & TRADING PLC         COM   822703609          49       1,000  SH     OTHER       03       1,000           0           0
SHELL TRANS & TRADING PLC         COM   822703609         283       5,775  SH     DEFINED     04       2,775           0       3,000
SHELL TRANS & TRADING PLC         COM   822703609         429       8,771  SH     OTHER       04       8,771           0           0
SHELL TRANS & TRADING PLC         COM   822703609          37         750  SH     DEFINED     05         750           0           0
SHELL TRANS & TRADING PLC         COM   822703609          98       2,000  SH     OTHER       05           0       2,000           0
SHELL TRANS & TRADING PLC         COM   822703609          41         830  SH     DEFINED     10           0         830           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    422
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SHERWIN WILLIAMS CO               COM   824348106       6,949     325,122  SH     DEFINED     01     260,575      50,077      14,470
SHERWIN WILLIAMS CO               COM   824348106         361      16,906  SH     OTHER       01       9,600       7,206         100
SHERWIN WILLIAMS CO               COM   824348106         165       7,725  SH     DEFINED     02       6,400       1,325           0
SHERWIN WILLIAMS CO               COM   824348106         196       9,150  SH     OTHER       02       7,650       1,500           0
SHERWIN WILLIAMS CO               COM   824348106          16         750  SH     DEFINED     03         500         250           0
SHERWIN WILLIAMS CO               COM   824348106           2         100  SH     OTHER       03         100           0           0
SHERWIN WILLIAMS CO               COM   824348106         116       5,430  SH     DEFINED     04       5,430           0           0
SHERWIN WILLIAMS CO               COM   824348106         564      26,380  SH     OTHER       04      21,280           0       5,100
SHERWIN WILLIAMS CO               COM   824348106          34       1,600  SH     DEFINED     05       1,600           0           0
SHERWIN WILLIAMS CO               COM   824348106       6,043     282,717  SH     DEFINED  01,08     242,717      40,000           0
SHERWIN WILLIAMS CO               COM   824348106          13         600  SH     OTHER       09         600           0           0

SHILOH INDS INC                   COM   824543102          78      10,800  SH     DEFINED     01      10,800           0           0
SHILOH INDS INC                   COM   824543102         130      17,993  SH     DEFINED  01,08      17,993           0           0

SHOE CARNIVAL INC                 COM   824889109           1         200  SH     DEFINED     01         200           0           0
SHOE CARNIVAL INC                 COM   824889109          92      17,609  SH     DEFINED  01,08      17,609           0           0

SHOPKO STORES INC                 COM   824911101         849      81,871  SH     DEFINED     01      36,240      40,300       5,331
SHOPKO STORES INC                 COM   824911101         746      71,880  SH     DEFINED  01,08      71,880           0           0

SHOP AT HOME INC                  COM   825066301          12       5,100  SH     DEFINED     04       5,100           0           0
SHOP AT HOME INC                  COM   825066301          99      40,500  SH     DEFINED  01,08      40,500           0           0

SHORELINE FINL CORP               COM   825190101           0           9  SH     DEFINED     01           0           0           9
SHORELINE FINL CORP               COM   825190101         158      11,209  SH     DEFINED  01,08      11,209           0           0

SHOWCASE CORP                     COM   82539P102         166      23,940  SH     DEFINED  01,08      23,940           0           0

SHUFFLE MASTER INC                COM   825549108          49       2,500  SH     DEFINED     01       2,500           0           0
SHUFFLE MASTER INC                COM   825549108         244      12,579  SH     DEFINED  01,08      12,579           0           0

SHURGARD STORAGE CTRS INC         COM   82567D104         389      17,254  SH     DEFINED     01      12,031           0       5,223
SHURGARD STORAGE CTRS INC         COM   82567D104           5         225  SH     DEFINED     03           0         225           0
SHURGARD STORAGE CTRS INC         COM   82567D104         106       4,700  SH     DEFINED     04           0           0       4,700
SHURGARD STORAGE CTRS INC         COM   82567D104         168       7,457  SH     DEFINED  01,08       7,457           0           0

SICOR INC                         COM   825846108         559      54,528  SH     DEFINED     01      52,390           0       2,138
SICOR INC                         COM   825846108           3         255  SH     DEFINED     03         255           0           0
SICOR INC                         COM   825846108       1,359     132,584  SH     DEFINED  01,08     132,584           0           0

SIEBEL SYS INC                 CONV DEB 826170AC6       1,697     350,000  PRN    DEFINED     01     350,000           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    423
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SIEBEL SYS INC                    COM   826170102     166,440   1,495,258  SH     DEFINED     01   1,238,566     205,980      50,712
SIEBEL SYS INC                    COM   826170102       9,524      85,565  SH     OTHER       01      23,695      47,390      14,480
SIEBEL SYS INC                    COM   826170102         295       2,650  SH     DEFINED     02       1,050       1,600           0
SIEBEL SYS INC                    COM   826170102         167       1,500  SH     OTHER       02         600         300         600
SIEBEL SYS INC                    COM   826170102      27,241     244,730  SH     DEFINED     03     104,424     129,401      10,905
SIEBEL SYS INC                    COM   826170102       4,172      37,480  SH     OTHER       03      13,960      23,470          50
SIEBEL SYS INC                    COM   826170102      19,966     179,366  SH     DEFINED     04     174,416           0       4,950
SIEBEL SYS INC                    COM   826170102       5,392      48,440  SH     OTHER       04      47,290           0       1,150
SIEBEL SYS INC                    COM   826170102         117       1,050  SH     DEFINED     05         250           0         800
SIEBEL SYS INC                    COM   826170102      67,380     605,324  SH     DEFINED  01,08     605,324           0           0
SIEBEL SYS INC                    COM   826170102          67         600  SH     DEFINED     09         600           0           0
SIEBEL SYS INC                    COM   826170102       4,790      43,032  SH     DEFINED     10      24,182      18,850           0
SIEBEL SYS INC                    COM   826170102         226       2,030  SH     OTHER       10         230       1,800           0

SIEBERT FINL CORP                 COM   826176109         115      15,145  SH     DEFINED  01,08      15,145           0           0

SIERRA HEALTH SVCS INC            COM   826322109          23       5,000  SH     OTHER       01           0       5,000           0
SIERRA HEALTH SVCS INC            COM   826322109           5       1,137  SH     OTHER       03       1,137           0           0
SIERRA HEALTH SVCS INC            COM   826322109         350      74,749  SH     DEFINED  01,08      74,749           0           0

SIERRA PAC RES NEW                COM   826428104       2,021     112,279  SH     DEFINED     01      75,380      21,900      14,999
SIERRA PAC RES NEW                COM   826428104          54       3,000  SH     OTHER       01           0           0       3,000
SIERRA PAC RES NEW                COM   826428104          33       1,856  SH     DEFINED     02         500       1,356           0
SIERRA PAC RES NEW                COM   826428104          54       2,993  SH     OTHER       02       2,880         113           0
SIERRA PAC RES NEW                COM   826428104          36       2,000  SH     DEFINED     03       2,000           0           0
SIERRA PAC RES NEW                COM   826428104           3         180  SH     DEFINED     04         180           0           0
SIERRA PAC RES NEW                COM   826428104           4         244  SH     OTHER       04         244           0           0
SIERRA PAC RES NEW                COM   826428104       4,659     258,842  SH     DEFINED  01,08     258,842           0           0

SIERRACITIES COM INC              COM   826521106         117      37,348  SH     DEFINED  01,08      37,348           0           0

SIFCO INDS INC                    COM   826546103          86      14,746  SH     DEFINED  01,08      14,746           0           0

SIGMA ALDRICH CORP                COM   826552101       6,552     198,558  SH     DEFINED     01     146,245      44,601       7,712
SIGMA ALDRICH CORP                COM   826552101       1,676      50,787  SH     OTHER       01      28,375      19,912       2,500
SIGMA ALDRICH CORP                COM   826552101         482      14,611  SH     DEFINED     02       9,600       3,967       1,044
SIGMA ALDRICH CORP                COM   826552101         175       5,300  SH     OTHER       02       1,300       3,200         800
SIGMA ALDRICH CORP                COM   826552101          59       1,800  SH     DEFINED     03         800       1,000           0
SIGMA ALDRICH CORP                COM   826552101          50       1,500  SH     OTHER       03           0           0       1,500
SIGMA ALDRICH CORP                COM   826552101         287       8,700  SH     DEFINED     04       8,700           0           0
SIGMA ALDRICH CORP                COM   826552101         589      17,850  SH     OTHER       04      16,450           0       1,400
SIGMA ALDRICH CORP                COM   826552101       4,141     125,491  SH     DEFINED  01,08     125,491           0           0
SIGMA ALDRICH CORP                COM   826552101       1,917      58,100  SH     DEFINED     10      55,900       2,200           0
SIGMA ALDRICH CORP                COM   826552101         170       5,150  SH     OTHER       10       2,150       3,000           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    424
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SIGMA DESIGNS INC                 COM   826565103          64      23,870  SH     DEFINED  01,08      23,870           0           0

SIGNET GROUP PLC                  COM   82668L872         470      20,000  SH     OTHER       04      20,000           0           0

SIGNALSOFT CORP                   COM   82668M102       1,036      25,500  SH     DEFINED     01      18,600           0       6,900
SIGNALSOFT CORP                   COM   82668M102           6         150  SH     OTHER       03           0         150           0
SIGNALSOFT CORP                   COM   82668M102          41       1,000  SH     OTHER       04       1,000           0           0
SIGNALSOFT CORP                   COM   82668M102         886      21,800  SH     DEFINED  01,08      21,800           0           0

SILICON IMAGE INC                 COM   82705T102         805      32,448  SH     DEFINED     01      31,782           0         666
SILICON IMAGE INC                 COM   82705T102          12         500  SH     DEFINED     04         500           0           0
SILICON IMAGE INC                 COM   82705T102       1,960      78,978  SH     DEFINED  01,08      78,978           0           0

SILICON GRAPHICS INC              COM   827056102         442     107,159  SH     DEFINED     01      75,082          62      32,015
SILICON GRAPHICS INC              COM   827056102           1         200  SH     OTHER       01           0         200           0
SILICON GRAPHICS INC              COM   827056102           0         100  SH     DEFINED     04         100           0           0
SILICON GRAPHICS INC              COM   827056102          13       3,100  SH     OTHER       04       3,100           0           0
SILICON GRAPHICS INC              COM   827056102       1,039     251,818  SH     DEFINED  01,08     251,818           0           0

SILICON STORAGE TECHNOLOGY INC    COM   827057100         771      28,365  SH     DEFINED     01      26,366           0       1,999
SILICON STORAGE TECHNOLOGY INC    COM   827057100       3,171     116,654  SH     DEFINED  01,08     116,654           0           0

SILICON VY BANCSHARES             COM   827064106       2,559      43,948  SH     DEFINED     01      34,949       3,300       5,699
SILICON VY BANCSHARES             COM   827064106          58       1,000  SH     OTHER       02           0       1,000           0
SILICON VY BANCSHARES             COM   827064106         360       6,190  SH     DEFINED     03           0       2,190       4,000
SILICON VY BANCSHARES             COM   827064106         175       3,000  SH     OTHER       04       3,000           0           0
SILICON VY BANCSHARES             COM   827064106       6,450     110,768  SH     DEFINED  01,08     110,768           0           0

SILICON VY GROUP INC              COM   827066101       1,377      52,319  SH     DEFINED     01      42,807       2,000       7,512
SILICON VY GROUP INC              COM   827066101       3,974     151,048  SH     DEFINED  01,08     151,048           0           0

SILICONIX INC                     COM   827079203         124       2,632  SH     DEFINED     01         227       2,200         205
SILICONIX INC                     COM   827079203       2,394      50,741  SH     DEFINED  01,08      50,741           0           0

SILVER DINER INC                  COM   827655101          18      18,370  SH     DEFINED  01,08      18,370           0           0

SILVERSTREAM SOFTWARE INC         COM   827907106       3,273     108,645  SH     DEFINED     01     108,434           0         211
SILVERSTREAM SOFTWARE INC         COM   827907106          74       2,452  SH     OTHER       01           0           0       2,452
SILVERSTREAM SOFTWARE INC         COM   827907106         685      22,732  SH     DEFINED  01,08      22,732           0           0

SIMIONE CENTRAL HOLDINGS INC      COM   828654301           6       1,999  SH     DEFINED     01       1,938           0          61
SIMIONE CENTRAL HOLDINGS INC      COM   828654301          27       8,421  SH     DEFINED  01,08       8,421           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    425
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SIMON PPTY GROUP INC NEW          COM   828806109         310      13,247  SH     DEFINED     01       9,667         500       3,080
SIMON PPTY GROUP INC NEW          COM   828806109          26       1,100  SH     DEFINED     04       1,100           0           0
SIMON PPTY GROUP INC NEW          COM   828806109          34       1,448  SH     OTHER       04       1,448           0           0
SIMON PPTY GROUP INC NEW          COM   828806109         246      10,516  SH     DEFINED  01,08      10,516           0           0

SIMPSON INDS INC                  COM   829060102           1         100  SH     DEFINED     01           0           0         100
SIMPSON INDS INC                  COM   829060102         648      52,892  SH     DEFINED  01,08      52,892           0           0

SIMPSON MANUFACTURING CO INC      COM   829073105         350       7,823  SH     DEFINED     01       6,537           0       1,286
SIMPSON MANUFACTURING CO INC      COM   829073105         946      21,161  SH     DEFINED  01,08      21,161           0           0

SIMULA INC                        COM   829206101          18      12,542  SH     DEFINED  01,08      12,542           0           0

SINCLAIR BROADCAST GROUP INC      COM   829226109         370      33,800  SH     DEFINED     01      20,427       6,000       7,373
SINCLAIR BROADCAST GROUP INC      COM   829226109          26       2,400  SH     OTHER       04       2,400           0           0
SINCLAIR BROADCAST GROUP INC      COM   829226109         789      72,113  SH     DEFINED  01,08      72,113           0           0

SINGAPORE FD INC                  COM   82929L109          64      10,000  SH     DEFINED     01           0      10,000           0

SIRIUS SATELLITE RADIO INC        COM   82966U103       1,859      35,149  SH     DEFINED     01      34,283           0         866
SIRIUS SATELLITE RADIO INC        COM   82966U103          11         200  SH     OTHER       04         200           0           0
SIRIUS SATELLITE RADIO INC        COM   82966U103          63       1,200  SH     DEFINED     05       1,200           0           0
SIRIUS SATELLITE RADIO INC        COM   82966U103       3,485      65,906  SH     DEFINED  01,08      65,906           0           0

SITEL CORP                        COM   82980K107         136      46,309  SH     DEFINED     01      44,177           0       2,132
SITEL CORP                        COM   82980K107         307     104,437  SH     DEFINED  01,08     104,437           0           0

SIPEX CORP                        COM   829909100       9,109     216,566  SH     DEFINED     01     200,473           0      16,093
SIPEX CORP                        COM   829909100       1,349      32,062  SH     DEFINED  01,08      32,062           0           0

SIX FLAGS INC                     COM   83001P109         800      51,581  SH     DEFINED     01      49,402           0       2,179
SIX FLAGS INC                     COM   83001P109           3         200  SH     OTHER       04         200           0           0
SIX FLAGS INC                     COM   83001P109       3,344     215,762  SH     DEFINED  01,08     215,762           0           0

SIZELER PPTY INVS INC          CONV DEB 830137AA3         134     150,000  PRN    DEFINED     02     150,000           0           0
SIZELER PPTY INVS INC          CONV DEB 830137AA3         182     205,000  PRN    OTHER       03           0     205,000           0

SIZZLER INTL INC                  COM   830139101           2       1,500  SH     DEFINED     01       1,500           0           0
SIZZLER INTL INC                  COM   830139101          70      42,801  SH     DEFINED  01,08      42,801           0           0

SKECHERS U S A INC                COM   830566105         217      14,355  SH     DEFINED     01      14,103           0         252
SKECHERS U S A INC                COM   830566105         215      14,196  SH     DEFINED  01,08      14,196           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    426
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SKY FINL GROUP INC                COM   83080P103         817      46,047  SH     DEFINED     01      31,314           0      14,733
SKY FINL GROUP INC                COM   83080P103         572      32,201  SH     DEFINED     04      31,180           0       1,021
SKY FINL GROUP INC                COM   83080P103         171       9,633  SH     OTHER       04       9,633           0           0
SKY FINL GROUP INC                COM   83080P103       2,353     132,554  SH     DEFINED  01,08     132,554           0           0

SKYLINE CORP                      COM   830830105         357      16,760  SH     DEFINED     01      16,003           0         757
SKYLINE CORP                      COM   830830105         534      25,070  SH     DEFINED  01,08      25,070           0           0

SKYWEST INC                       COM   830879102       2,622      51,152  SH     DEFINED     01      48,802           0       2,350
SKYWEST INC                       COM   830879102           5         102  SH     DEFINED     03           0         102           0
SKYWEST INC                       COM   830879102         267       5,200  SH     DEFINED     04           0           0       5,200
SKYWEST INC                       COM   830879102       4,563      89,039  SH     DEFINED  01,08      89,039           0           0

SMART & FINAL INC                 COM   831683107          47       6,720  SH     DEFINED     01       4,707           0       2,013
SMART & FINAL INC                 COM   831683107         288      40,809  SH     DEFINED  01,08      40,809           0           0

SMARTERKIDS COM                   COM   83169C106          42      23,761  SH     DEFINED  01,08      23,761           0           0

SMARTDISK CORP                    COM   83169Q105          99       6,870  SH     DEFINED     01       6,748           0         122
SMARTDISK CORP                    COM   83169Q105       1,438     100,000  SH     DEFINED     04     100,000           0           0
SMARTDISK CORP                    COM   83169Q105         347      24,142  SH     DEFINED  01,08      24,142           0           0

SMITH A O                         COM   831865209         155      12,333  SH     DEFINED     01       8,555           0       3,778
SMITH A O                         COM   831865209         763      60,745  SH     DEFINED  01,08      60,745           0           0

SMITH INTL INC                    COM   832110100       7,235      88,703  SH     DEFINED     01      83,270           0       5,433
SMITH INTL INC                    COM   832110100          16         200  SH     OTHER       02         200           0           0
SMITH INTL INC                    COM   832110100         449       5,500  SH     DEFINED     04           0           0       5,500
SMITH INTL INC                    COM   832110100         147       1,800  SH     OTHER       04       1,800           0           0
SMITH INTL INC                    COM   832110100      11,904     145,951  SH     DEFINED  01,08     145,951           0           0

SMITH MICRO SOFTWARE INC          COM   832154108           5       1,500  SH     DEFINED     04       1,500           0           0
SMITH MICRO SOFTWARE INC          COM   832154108          54      17,960  SH     DEFINED  01,08      17,960           0           0

SMITH CHARLES E RESDNTL RLTY      COM   832197107       1,254      27,631  SH     DEFINED     01      21,654       5,200         777
SMITH CHARLES E RESDNTL RLTY      COM   832197107         250       5,501  SH     DEFINED  01,08       5,501           0           0

SMITHFIELD FOODS INC              COM   832248108         991      37,770  SH     DEFINED     01      22,286       2,400      13,084
SMITHFIELD FOODS INC              COM   832248108          79       3,000  SH     DEFINED     04       3,000           0           0
SMITHFIELD FOODS INC              COM   832248108       3,299     125,680  SH     DEFINED  01,08     125,680           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    427
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SMITHKLINE BEECHAM PLC            COM   832378301       3,405      49,621  SH     DEFINED     01      10,715      28,906      10,000
SMITHKLINE BEECHAM PLC            COM   832378301       1,177      17,146  SH     OTHER       01      10,646       6,500           0
SMITHKLINE BEECHAM PLC            COM   832378301         284       4,132  SH     DEFINED     02       1,932       2,200           0
SMITHKLINE BEECHAM PLC            COM   832378301         585       8,526  SH     OTHER       02       5,200       3,326           0
SMITHKLINE BEECHAM PLC            COM   832378301         556       8,095  SH     DEFINED     03       4,300       3,695         100
SMITHKLINE BEECHAM PLC            COM   832378301         985      14,348  SH     OTHER       03       6,348           0       8,000
SMITHKLINE BEECHAM PLC            COM   832378301       3,441      50,137  SH     DEFINED     04      49,437           0         700
SMITHKLINE BEECHAM PLC            COM   832378301       9,909     144,387  SH     OTHER       04     139,951           0       4,436
SMITHKLINE BEECHAM PLC            COM   832378301         908      13,238  SH     DEFINED     10       4,576       8,662           0
SMITHKLINE BEECHAM PLC            COM   832378301          14         200  SH     OTHER       10         200           0           0

SMUCKER J M CO                    COM   832696306         664      27,304  SH     DEFINED     01      22,943         600       3,761
SMUCKER J M CO                    COM   832696306       1,692      69,614  SH     DEFINED  01,08      69,614           0           0

SMURFIT-STONE CONTAINER CORP      COM   832727101         171      14,276  SH     DEFINED     01      10,925           0       3,351
SMURFIT-STONE CONTAINER CORP      COM   832727101           5         400  SH     DEFINED     03           0         400           0
SMURFIT-STONE CONTAINER CORP      COM   832727101          72       6,000  SH     OTHER       04       6,000           0           0
SMURFIT-STONE CONTAINER CORP      COM   832727101       2,120     176,665  SH     DEFINED  01,08     176,665           0           0

SNYDER COMMUNICATIONS INC         COM   832914204           0          92  SH     DEFINED     05          92           0           0
SNYDER COMMUNICATIONS INC         COM   832914204          86      29,156  SH     DEFINED  01,08      29,156           0           0

SNAP ON INC                       COM   833034101       3,136     133,102  SH     DEFINED     01     104,639      15,023      13,440
SNAP ON INC                       COM   833034101         377      16,000  SH     OTHER       01           0           0      16,000
SNAP ON INC                       COM   833034101         128       5,450  SH     DEFINED     04       5,450           0           0
SNAP ON INC                       COM   833034101       1,206      51,200  SH     OTHER       04      51,200           0           0
SNAP ON INC                       COM   833034101      18,841     799,620  SH     DEFINED  01,08     146,810     571,980      80,830

SNOWBALL COM INC                  COM   83335R102           0         280  SH     DEFINED     03           0         280           0
SNOWBALL COM INC                  COM   83335R102          34      23,481  SH     DEFINED  01,08      23,481           0           0

SODEXHO MARRIOTT SVCS INC         COM   833793102         495      30,113  SH     DEFINED     01      13,206      11,223       5,684
SODEXHO MARRIOTT SVCS INC         COM   833793102          13         792  SH     OTHER       01         792           0           0
SODEXHO MARRIOTT SVCS INC         COM   833793102          20       1,211  SH     OTHER       02           0       1,211           0
SODEXHO MARRIOTT SVCS INC         COM   833793102           2         145  SH     DEFINED     04         145           0           0
SODEXHO MARRIOTT SVCS INC         COM   833793102           0          20  SH     OTHER       04          20           0           0
SODEXHO MARRIOTT SVCS INC         COM   833793102       1,533      93,242  SH     DEFINED  01,08      93,242           0           0
SODEXHO MARRIOTT SVCS INC         COM   833793102           1          50  SH     DEFINED     10          50           0           0

SOFTNET SYS INC                   COM   833964109         100      16,714  SH     DEFINED     01      11,309         500       4,905
SOFTNET SYS INC                   COM   833964109           2         300  SH     DEFINED     03           0         300           0
SOFTNET SYS INC                   COM   833964109         116      19,351  SH     DEFINED  01,08      19,351           0           0

SOFTWARE COM INC                  COM   83402P104         627       3,455  SH     DEFINED     01       2,570           0         885
SOFTWARE COM INC                  COM   83402P104       7,161      39,471  SH     DEFINED  01,08      39,471           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    428
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SOFTECH INC                       COM   834021107          15      16,587  SH     DEFINED  01,08      16,587           0           0

SOFTWARE TECHNOLOGIES CORP        COM   834040107          91       3,961  SH     DEFINED     01       3,879           0          82
SOFTWARE TECHNOLOGIES CORP        COM   834040107       1,169      51,066  SH     DEFINED  01,08      51,066           0           0

SOLA INTL INC                     COM   834092108          91      14,150  SH     DEFINED     01      14,150           0           0
SOLA INTL INC                     COM   834092108         305      47,315  SH     DEFINED  01,08      47,315           0           0

SOLECTRON CORP                 CONV DEB 834182AK3       3,000   6,000,000  PRN    DEFINED     01   6,000,000           0           0
SOLECTRON CORP                 CONV DEB 834182AK3         100     200,000  PRN    DEFINED     10     200,000           0           0

SOLECTRON CORP                    COM   834182107     358,875   7,780,487  SH     DEFINED     01   4,665,082   2,725,741     389,664
SOLECTRON CORP                    COM   834182107      64,817   1,405,248  SH     OTHER       01     681,839     579,544     143,865
SOLECTRON CORP                    COM   834182107      35,353     766,462  SH     DEFINED     02     337,534     388,978      39,950
SOLECTRON CORP                    COM   834182107       9,467     205,249  SH     OTHER       02     100,644      94,905       9,700
SOLECTRON CORP                    COM   834182107      39,457     855,445  SH     DEFINED     03     389,447     432,712      33,286
SOLECTRON CORP                    COM   834182107      11,624     252,006  SH     OTHER       03     132,781      92,950      26,275
SOLECTRON CORP                    COM   834182107     263,131   5,704,730  SH     DEFINED     04   5,478,906           0     225,824
SOLECTRON CORP                    COM   834182107     126,934   2,751,954  SH     OTHER       04   2,584,866           0     167,088
SOLECTRON CORP                    COM   834182107      14,273     309,432  SH     DEFINED     05     185,084     103,620      20,728
SOLECTRON CORP                    COM   834182107       4,068      88,204  SH     OTHER       05      56,704      30,300       1,200
SOLECTRON CORP                    COM   834182107      42,777     927,421  SH     DEFINED  01,08     927,421           0           0
SOLECTRON CORP                    COM   834182107       3,106      67,339  SH     DEFINED     09      67,339           0           0
SOLECTRON CORP                    COM   834182107         101       2,200  SH     OTHER       09       2,200           0           0
SOLECTRON CORP                    COM   834182107       2,703      58,600  SH     DEFINED     10      54,300       4,300           0
SOLECTRON CORP                    COM   834182107         131       2,840  SH     OTHER       10       1,390       1,450           0

SOLUTIA INC                       COM   834376105       1,794     157,726  SH     DEFINED     01     144,261       3,163      10,302
SOLUTIA INC                       COM   834376105         253      22,254  SH     OTHER       01       7,726      11,328       3,200
SOLUTIA INC                       COM   834376105          26       2,316  SH     DEFINED     02       2,316           0           0
SOLUTIA INC                       COM   834376105         137      12,022  SH     OTHER       02       9,222       2,800           0
SOLUTIA INC                       COM   834376105          18       1,540  SH     DEFINED     03       1,200         340           0
SOLUTIA INC                       COM   834376105          14       1,254  SH     OTHER       03       1,254           0           0
SOLUTIA INC                       COM   834376105          14       1,240  SH     DEFINED     04       1,240           0           0
SOLUTIA INC                       COM   834376105         410      36,012  SH     OTHER       04      36,012           0           0
SOLUTIA INC                       COM   834376105       3,541     311,284  SH     DEFINED  01,08     311,284           0           0
SOLUTIA INC                       COM   834376105           5         450  SH     DEFINED     10         450           0           0
SOLUTIA INC                       COM   834376105           5         480  SH     OTHER       10           0         480           0

SOMERA COMMUNICATION              COM   834458101         283      29,753  SH     DEFINED     01      29,230           0         523
SOMERA COMMUNICATION              COM   834458101         443      46,587  SH     DEFINED  01,08      46,587           0           0

SOMERSET GROUP INC                COM   834706103          51       1,800  SH     DEFINED     01       1,800           0           0
SOMERSET GROUP INC                COM   834706103         297      10,512  SH     DEFINED  01,08      10,512           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    429
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SOMNUS MED TECHNOLOGIES INC       COM   835397100          38      18,228  SH     DEFINED  01,08      18,228           0           0

SONESTA INTL HOTELS CORP          COM   835438409         188      19,259  SH     DEFINED  01,08      19,259           0           0

SONIC AUTOMOTIVE INC              COM   83545G102         126      15,111  SH     DEFINED     01      12,992           0       2,119
SONIC AUTOMOTIVE INC              COM   83545G102         375      45,098  SH     DEFINED  01,08      45,098           0           0

SONIC INNOVATIONS INC             COM   83545M109          33       3,134  SH     DEFINED     01       2,830           0         304
SONIC INNOVATIONS INC             COM   83545M109          38       3,600  SH     OTHER       04       3,600           0           0
SONIC INNOVATIONS INC             COM   83545M109          55       5,282  SH     DEFINED  01,08       5,282           0           0

SONIC FDRY INC                    COM   83545R108          93      10,511  SH     DEFINED     01      10,325           0         186
SONIC FDRY INC                    COM   83545R108         164      18,515  SH     DEFINED  01,08      18,515           0           0

SONIC CORP                        COM   835451105         600      19,034  SH     DEFINED     01      17,763           0       1,271
SONIC CORP                        COM   835451105           6         200  SH     DEFINED     03           0         200           0
SONIC CORP                        COM   835451105          45       1,425  SH     DEFINED     04       1,425           0           0
SONIC CORP                        COM   835451105         184       5,850  SH     OTHER       04       5,850           0           0
SONIC CORP                        COM   835451105       1,125      35,719  SH     DEFINED  01,08      35,719           0           0

SONIC SOLUTIONS                   COM   835460106           0         200  SH     DEFINED     04         200           0           0
SONIC SOLUTIONS                   COM   835460106          44      18,500  SH     DEFINED  01,08      18,500           0           0

SONICWALL INC                     COM   835470105         670      23,500  SH     DEFINED     01      23,092           0         408
SONICWALL INC                     COM   835470105       1,980      69,482  SH     DEFINED  01,08      69,482           0           0

SONOCO PRODS CO                   COM   835495102       1,238      68,537  SH     DEFINED     01      64,965           0       3,572
SONOCO PRODS CO                   COM   835495102          60       3,348  SH     OTHER       01       3,348           0           0
SONOCO PRODS CO                   COM   835495102         247      13,656  SH     OTHER       02         821      12,835           0
SONOCO PRODS CO                   COM   835495102           4         231  SH     DEFINED     03           0         231           0
SONOCO PRODS CO                   COM   835495102       1,166      64,582  SH     OTHER       04      50,442           0      14,140
SONOCO PRODS CO                   COM   835495102       4,950     274,076  SH     DEFINED  01,08     274,076           0           0

SONOSITE INC                      COM   83568G104         170       9,102  SH     DEFINED     01       8,801           0         301
SONOSITE INC                      COM   83568G104          28       1,500  SH     DEFINED     04       1,500           0           0
SONOSITE INC                      COM   83568G104         373      19,969  SH     DEFINED  01,08      19,969           0           0

SONUS PHARMACEUTICALS INC         COM   835692104           0          50  SH     DEFINED     04          50           0           0
SONUS PHARMACEUTICALS INC         COM   835692104          41      11,300  SH     DEFINED  01,08      11,300           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    430
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SONY CORP                         COM   835699307      11,297     111,920  SH     DEFINED     01      67,009      43,054       1,857
SONY CORP                         COM   835699307       4,855      48,098  SH     OTHER       01      20,110      18,028       9,960
SONY CORP                         COM   835699307       1,713      16,973  SH     DEFINED     02      10,008       5,675       1,290
SONY CORP                         COM   835699307         606       6,000  SH     OTHER       02       2,650       1,750       1,600
SONY CORP                         COM   835699307       1,153      11,426  SH     DEFINED     03       4,570       6,690         166
SONY CORP                         COM   835699307         431       4,266  SH     OTHER       03       2,300       1,516         450
SONY CORP                         COM   835699307         487       4,828  SH     DEFINED     04       4,778           0          50
SONY CORP                         COM   835699307         174       1,726  SH     OTHER       04       1,126           0         600
SONY CORP                         COM   835699307         111       1,100  SH     DEFINED     05       1,100           0           0
SONY CORP                         COM   835699307          40         400  SH     OTHER       05         400           0           0
SONY CORP                         COM   835699307         210       2,080  SH     DEFINED     10       1,630         450           0

SOTHEBYS HLDGS INC                COM   835898107       1,680      67,518  SH     DEFINED     01      62,366         280       4,872
SOTHEBYS HLDGS INC                COM   835898107       4,155     167,044  SH     DEFINED  01,08     167,044           0           0

SONUS NETWORKS INC                COM   835916107          85         670  SH     DEFINED     01         204           0         466
SONUS NETWORKS INC                COM   835916107         215       1,705  SH     OTHER       01           0           0       1,705
SONUS NETWORKS INC                COM   835916107         501       3,965  SH     DEFINED  01,08       3,965           0           0

SOURCE CAP INC                    COM   836144105           4          81  SH     DEFINED     02          81           0           0
SOURCE CAP INC                    COM   836144105         127       2,544  SH     DEFINED     04       2,544           0           0
SOURCE CAP INC                    COM   836144105         201       4,020  SH     OTHER       04       4,020           0           0
SOURCE CAP INC                    COM   836144105          85       1,700  SH     DEFINED     09       1,700           0           0

SOURCE INFORMATION MGMT CO        COM   836151209          66       9,704  SH     DEFINED     01       5,223       3,000       1,481
SOURCE INFORMATION MGMT CO        COM   836151209         198      29,032  SH     DEFINED  01,08      29,032           0           0

SOURCE MEDIA INC                  COM   836153304         158      29,442  SH     DEFINED  01,08      29,442           0           0

SOUTH ALA BANCORPORATION          COM   836234104          76      10,347  SH     DEFINED  01,08      10,347           0           0

SOUTH FINL GROUP INC              COM   837841105         612      48,479  SH     DEFINED     01      38,490           0       9,989
SOUTH FINL GROUP INC              COM   837841105          14       1,087  SH     OTHER       04           0           0       1,087
SOUTH FINL GROUP INC              COM   837841105         738      58,491  SH     DEFINED  01,08      58,491           0           0

SOUTH JERSEY INDS INC             COM   838518108         238       8,154  SH     DEFINED     01       6,150           0       2,004
SOUTH JERSEY INDS INC             COM   838518108           6         200  SH     OTHER       04         200           0           0
SOUTH JERSEY INDS INC             COM   838518108         712      24,381  SH     DEFINED  01,08      24,381           0           0

SOUTHDOWN INC                     COM   841297104       1,756      24,650  SH     DEFINED     01      23,077           0       1,573
SOUTHDOWN INC                     COM   841297104         519       7,288  SH     OTHER       02           0       7,288           0
SOUTHDOWN INC                     COM   841297104           7         100  SH     DEFINED     04         100           0           0
SOUTHDOWN INC                     COM   841297104          51         721  SH     OTHER       04         721           0           0
SOUTHDOWN INC                     COM   841297104       7,078      99,342  SH     DEFINED  01,08      99,342           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    431
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SOUTHERN CO                       COM   842587107      39,642   1,222,129  SH     DEFINED     01     959,115     179,935      83,079
SOUTHERN CO                       COM   842587107       1,087      33,525  SH     OTHER       01      25,700       7,325         500
SOUTHERN CO                       COM   842587107         521      16,049  SH     DEFINED     02       7,482       8,567           0
SOUTHERN CO                       COM   842587107       1,041      32,095  SH     OTHER       02       8,077      15,042       8,976
SOUTHERN CO                       COM   842587107         184       5,675  SH     DEFINED     03         200       3,475       2,000
SOUTHERN CO                       COM   842587107         377      11,617  SH     OTHER       03      10,700         917           0
SOUTHERN CO                       COM   842587107       1,270      39,150  SH     DEFINED     04      39,150           0           0
SOUTHERN CO                       COM   842587107       1,709      52,678  SH     OTHER       04      52,678           0           0
SOUTHERN CO                       COM   842587107           5         160  SH     DEFINED     05         160           0           0
SOUTHERN CO                       COM   842587107          27         827  SH     OTHER       05         827           0           0
SOUTHERN CO                       COM   842587107      32,256     994,425  SH     DEFINED  01,08     994,425           0           0
SOUTHERN CO                       COM   842587107          65       1,992  SH     DEFINED     09       1,992           0           0
SOUTHERN CO                       COM   842587107          32       1,000  SH     OTHER       09       1,000           0           0
SOUTHERN CO                       COM   842587107         115       3,540  SH     DEFINED     10         922       2,618           0
SOUTHERN CO                       COM   842587107         117       3,600  SH     OTHER       10       2,600       1,000           0

SOUTHERN ENERGY HOMES INC         COM   842814105          13       6,900  SH     DEFINED     01       6,900           0           0
SOUTHERN ENERGY HOMES INC         COM   842814105          51      26,200  SH     DEFINED  01,08      26,200           0           0

SOUTHERN PERU COPPER CORP         COM   843611104         228      14,700  SH     DEFINED     01      10,347           0       4,353
SOUTHERN PERU COPPER CORP         COM   843611104         193      12,481  SH     DEFINED  01,08      12,481           0           0

SOUTHERN UN CO NEW                COM   844030106         623      31,425  SH     DEFINED     01      23,629           0       7,796
SOUTHERN UN CO NEW                COM   844030106          42       2,115  SH     DEFINED     04       2,115           0           0
SOUTHERN UN CO NEW                COM   844030106         158       7,950  SH     OTHER       04       7,950           0           0
SOUTHERN UN CO NEW                COM   844030106       1,782      89,966  SH     DEFINED  01,08      89,966           0           0

SOUTHTRUST CORP                   COM   844730101       9,336     296,988  SH     DEFINED     01     239,844      45,957      11,187
SOUTHTRUST CORP                   COM   844730101          38       1,200  SH     OTHER       01       1,200           0           0
SOUTHTRUST CORP                   COM   844730101          41       1,300  SH     DEFINED     02       1,000         300           0
SOUTHTRUST CORP                   COM   844730101         189       6,000  SH     OTHER       02           0       6,000           0
SOUTHTRUST CORP                   COM   844730101          78       2,470  SH     DEFINED     03         895       1,575           0
SOUTHTRUST CORP                   COM   844730101         301       9,579  SH     DEFINED     04       8,179           0       1,400
SOUTHTRUST CORP                   COM   844730101         696      22,147  SH     OTHER       04      22,147           0           0
SOUTHTRUST CORP                   COM   844730101       8,231     261,823  SH     DEFINED  01,08     259,673       2,150           0
SOUTHTRUST CORP                   COM   844730101         102       3,236  SH     DEFINED     10       3,140          96           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    432
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SOUTHWEST AIRLS CO                COM   844741108      34,685   1,430,310  SH     DEFINED     01   1,113,225     261,267      55,818
SOUTHWEST AIRLS CO                COM   844741108       3,420     141,035  SH     OTHER       01      24,375      97,010      19,650
SOUTHWEST AIRLS CO                COM   844741108       1,092      45,013  SH     DEFINED     02      27,415      12,473       5,125
SOUTHWEST AIRLS CO                COM   844741108         463      19,098  SH     OTHER       02       6,398       6,075       6,625
SOUTHWEST AIRLS CO                COM   844741108      10,671     440,036  SH     DEFINED     03     197,593     212,058      30,385
SOUTHWEST AIRLS CO                COM   844741108       1,575      64,953  SH     OTHER       03      37,691      26,012       1,250
SOUTHWEST AIRLS CO                COM   844741108       4,131     170,368  SH     DEFINED     04     165,493           0       4,875
SOUTHWEST AIRLS CO                COM   844741108         828      34,145  SH     OTHER       04      23,695           0      10,450
SOUTHWEST AIRLS CO                COM   844741108       5,298     218,470  SH     DEFINED     05     163,779      36,129      18,562
SOUTHWEST AIRLS CO                COM   844741108       1,073      44,265  SH     OTHER       05      34,378       9,887           0
SOUTHWEST AIRLS CO                COM   844741108      18,451     760,880  SH     DEFINED  01,08     760,880           0           0
SOUTHWEST AIRLS CO                COM   844741108         139       5,725  SH     DEFINED     10       2,825       2,900           0

SOUTHWEST BANCORPORATION TEX      COM   84476R109         849      25,981  SH     DEFINED     01      17,863       3,100       5,018
SOUTHWEST BANCORPORATION TEX      COM   84476R109       6,072     185,762  SH     DEFINED     05     185,762           0           0
SOUTHWEST BANCORPORATION TEX      COM   84476R109       1,660      50,787  SH     DEFINED  01,08      50,787           0           0

SOUTHWEST GAS CORP                COM   844895102       1,061      50,687  SH     DEFINED     01      43,526           0       7,161
SOUTHWEST GAS CORP                COM   844895102          94       4,500  SH     DEFINED     02           0       4,500           0
SOUTHWEST GAS CORP                COM   844895102          29       1,400  SH     OTHER       02           0       1,400           0
SOUTHWEST GAS CORP                COM   844895102           7         333  SH     OTHER       03           0         333           0
SOUTHWEST GAS CORP                COM   844895102          10         500  SH     DEFINED     04         500           0           0
SOUTHWEST GAS CORP                COM   844895102          42       2,000  SH     OTHER       04       2,000           0           0
SOUTHWEST GAS CORP                COM   844895102       1,330      63,538  SH     DEFINED  01,08      63,538           0           0

SOUTHWALL TECHNOLOGIES INC        COM   844909101         134      21,825  SH     DEFINED  01,08      21,825           0           0

SOUTHWEST SECS GROUP INC          COM   845224104         520      17,770  SH     DEFINED     01      14,096           0       3,674
SOUTHWEST SECS GROUP INC          COM   845224104         733      25,054  SH     DEFINED  01,08      25,054           0           0

SOUTHWEST WTR CO                  COM   845331107          33       2,479  SH     DEFINED     04       2,479           0           0
SOUTHWEST WTR CO                  COM   845331107         216      16,411  SH     DEFINED  01,08      16,411           0           0

SOUTHWESTERN ENERGY CO            COM   845467109         301      34,390  SH     DEFINED     01      29,641           0       4,749
SOUTHWESTERN ENERGY CO            COM   845467109         534      61,048  SH     DEFINED  01,08      61,048           0           0

SOVEREIGN BANCORP INC             COM   845905108       1,856     200,599  SH     DEFINED     01     146,519      44,735       9,345
SOVEREIGN BANCORP INC             COM   845905108           3         300  SH     DEFINED     04         300           0           0
SOVEREIGN BANCORP INC             COM   845905108       5,768     623,574  SH     DEFINED  01,08     623,574           0           0

SOVEREIGN BANCORP INC          CONV PFD 845905306       4,308      75,000         DEFINED     01      75,000           0           0

SOVRAN SELF STORAGE INC           COM   84610H108         449      21,880  SH     DEFINED     01      19,862           0       2,018
SOVRAN SELF STORAGE INC           COM   84610H108          27       1,333  SH     OTHER       04       1,333           0           0
SOVRAN SELF STORAGE INC           COM   84610H108          62       3,045  SH     DEFINED  01,08       3,045           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    433
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SPACEHAB INC                      COM   846243103          18       3,000  SH     DEFINED     01       3,000           0           0
SPACEHAB INC                      COM   846243103          86      14,800  SH     DEFINED  01,08      14,800           0           0
SPACEHAB INC                      COM   846243103          58      10,000  SH     DEFINED     10      10,000           0           0

SPACELABS MED INC                 COM   846247104          85       8,602  SH     DEFINED     01       8,602           0           0
SPACELABS MED INC                 COM   846247104           2         200  SH     OTHER       01         200           0           0
SPACELABS MED INC                 COM   846247104         102      10,305  SH     DEFINED     04           5           0      10,300
SPACELABS MED INC                 COM   846247104         194      19,646  SH     DEFINED  01,08      19,646           0           0

SPANISH BROADCASTING SYS INC      COM   846425882         370      31,515  SH     DEFINED     01      30,964           0         551
SPANISH BROADCASTING SYS INC      COM   846425882          42       3,600  SH     DEFINED     04       3,400           0         200
SPANISH BROADCASTING SYS INC      COM   846425882          47       4,000  SH     OTHER       04       4,000           0           0
SPANISH BROADCASTING SYS INC      COM   846425882         339      28,863  SH     DEFINED  01,08      28,863           0           0

SPARTAN MTRS INC                  COM   846819100          62      19,775  SH     DEFINED  01,08      19,775           0           0

SPARTAN STORES INC                COM   846822104          22       3,000  SH     OTHER       04       3,000           0           0
SPARTAN STORES INC                COM   846822104         194      26,467  SH     DEFINED  01,08      26,467           0           0

SPARTECH CORP                     COM   847220209         218      14,002  SH     DEFINED     01      13,145           0         857
SPARTECH CORP                     COM   847220209       1,264      81,252  SH     DEFINED  01,08      81,252           0           0

SPARTON CORP                      COM   847235108           7       1,700  SH     DEFINED     01       1,700           0           0
SPARTON CORP                      COM   847235108          94      22,860  SH     DEFINED  01,08      22,860           0           0

SPATIAL TECHNOLOGY INC            COM   847246105          29      13,115  SH     DEFINED  01,08      13,115           0           0

SPECIALTY EQUIP COS INC           COM   847497203         322      13,061  SH     DEFINED     01      11,752           0       1,309
SPECIALTY EQUIP COS INC           COM   847497203         881      35,676  SH     DEFINED  01,08      35,676           0           0

SPECTRA-PHYSICS LASERS INC        COM   847568102         200       3,741  SH     DEFINED     01       3,677           0          64
SPECTRA-PHYSICS LASERS INC        COM   847568102         505       9,429  SH     DEFINED  01,08       9,429           0           0

SPECTRALINK CORP                  COM   847580107         261      27,668  SH     DEFINED     01      27,456           0         212
SPECTRALINK CORP                  COM   847580107         222      23,476  SH     DEFINED  01,08      23,476           0           0

SPECTRANETICS CORP                COM   84760C107         124      32,968  SH     DEFINED  01,08      32,968           0           0

SPECTRASITE HLDGS INC             COM   84760T100         115       6,214  SH     DEFINED     01       5,201           0       1,013
SPECTRASITE HLDGS INC             COM   84760T100       3,128     168,526  SH     DEFINED  01,08     168,526           0           0

SPECTRIAN CORP                    COM   847608106          13         808  SH     OTHER       04           0           0         808
SPECTRIAN CORP                    COM   847608106         215      13,867  SH     DEFINED  01,08      13,867           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    434
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SPECTRUM CTL INC                  COM   847615101         247      15,400  SH     DEFINED     01      15,400           0           0
SPECTRUM CTL INC                  COM   847615101         510      31,779  SH     DEFINED  01,08      31,779           0           0

SPECTRX INC                       COM   847635109           4         400  SH     DEFINED     01         400           0           0
SPECTRX INC                       COM   847635109         115      10,958  SH     DEFINED  01,08      10,958           0           0

SPEECHWORKS INTL INC              COM   84764M101      24,810     400,163  SH     DEFINED     01     388,903         200      11,060
SPEECHWORKS INTL INC              COM   84764M101       1,953      31,500  SH     DEFINED  01,08      31,500           0           0

SPEEDFAM-IPEC INC                 COM   847705100         561      49,018  SH     DEFINED     01      45,053           0       3,965
SPEEDFAM-IPEC INC                 COM   847705100           9         800  SH     OTHER       01           0         800           0
SPEEDFAM-IPEC INC                 COM   847705100       1,576     137,829  SH     DEFINED  01,08     137,829           0           0

SPEEDWAY MOTORSPORTS INC          COM   847788106         274      13,156  SH     DEFINED     01      12,619           0         537
SPEEDWAY MOTORSPORTS INC          COM   847788106           8         400  SH     DEFINED     04         400           0           0
SPEEDWAY MOTORSPORTS INC          COM   847788106       1,307      62,820  SH     DEFINED  01,08      62,820           0           0
SPEEDWAY MOTORSPORTS INC          COM   847788106           8         400  SH     DEFINED     10         400           0           0

SPHERION CORP                     COM   848420105         682      57,125  SH     DEFINED     01      48,476           0       8,649
SPHERION CORP                     COM   848420105           4         360  SH     DEFINED     04         360           0           0
SPHERION CORP                     COM   848420105          30       2,533  SH     OTHER       04       2,533           0           0
SPHERION CORP                     COM   848420105       1,668     139,726  SH     DEFINED  01,08     139,726           0           0

SPIEGEL INC                       COM   848457107         102      14,595  SH     DEFINED     01       8,591       4,000       2,004
SPIEGEL INC                       COM   848457107       1,256     179,406  SH     DEFINED  01,08     179,406           0           0

SPIEKER PPTYS INC                 COM   848497103         868      15,072  SH     DEFINED     01      13,069         350       1,653
SPIEKER PPTYS INC                 COM   848497103          71       1,240  SH     DEFINED     03          40       1,200           0
SPIEKER PPTYS INC                 COM   848497103          29         500  SH     OTHER       03         500           0           0
SPIEKER PPTYS INC                 COM   848497103          23         400  SH     DEFINED     04         400           0           0
SPIEKER PPTYS INC                 COM   848497103          86       1,500  SH     OTHER       04       1,500           0           0
SPIEKER PPTYS INC                 COM   848497103         394       6,852  SH     DEFINED  01,08       6,852           0           0

SPINNAKER EXPL CO                 COM   84855W109         317       9,095  SH     DEFINED     01       8,839           0         256
SPINNAKER EXPL CO                 COM   84855W109       1,272      36,484  SH     DEFINED  01,08      36,484           0           0

SPIRE CORP                        COM   848565107         107      17,075  SH     DEFINED  01,08      17,075           0           0

SPORT SUPPLY GROUP INC            COM   848915104          26       8,600  SH     DEFINED     01       8,600           0           0
SPORT SUPPLY GROUP INC            COM   848915104          23       7,566  SH     DEFINED  01,08       7,566           0           0

SPORTSLINE COM INC                COM   848934105         210      15,217  SH     DEFINED     01      13,675           0       1,542
SPORTSLINE COM INC                COM   848934105          77       5,539  SH     OTHER       01           0           0       5,539
SPORTSLINE COM INC                COM   848934105           8         600  SH     DEFINED     04         600           0           0
SPORTSLINE COM INC                COM   848934105         427      30,894  SH     DEFINED  01,08      30,894           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    435
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SPORTS AUTH INC                   COM   849176102          22      10,350  SH     DEFINED     01      10,350           0           0
SPORTS AUTH INC                   COM   849176102          91      42,900  SH     DEFINED  01,08      42,900           0           0

SPRINGS INDS INC                  COM   851783100       1,021      36,205  SH     DEFINED     01      29,076       4,607       2,522
SPRINGS INDS INC                  COM   851783100         815      28,916  SH     DEFINED  01,08      28,916           0           0

SPRINT CORP                       COM   852061100      41,203   1,405,660  SH     DEFINED     01   1,021,329     269,353     114,978
SPRINT CORP                       COM   852061100       4,864     165,936  SH     OTHER       01      44,377     106,936      14,623
SPRINT CORP                       COM   852061100         812      27,712  SH     DEFINED     02      10,158      17,254         300
SPRINT CORP                       COM   852061100         283       9,650  SH     OTHER       02       4,750       4,900           0
SPRINT CORP                       COM   852061100         466      15,883  SH     DEFINED     03      10,348       5,535           0
SPRINT CORP                       COM   852061100         994      33,896  SH     OTHER       03      29,596       4,300           0
SPRINT CORP                       COM   852061100       7,067     241,106  SH     DEFINED     04     211,360           0      29,746
SPRINT CORP                       COM   852061100       2,358      80,451  SH     OTHER       04      72,211           0       8,240
SPRINT CORP                       COM   852061100          19         635  SH     DEFINED     05         635           0           0
SPRINT CORP                       COM   852061100      39,956   1,363,136  SH     DEFINED  01,08   1,363,136           0           0
SPRINT CORP                       COM   852061100          64       2,200  SH     DEFINED     09       2,200           0           0
SPRINT CORP                       COM   852061100         195       6,653  SH     DEFINED     10       3,797           0       2,856
SPRINT CORP                       COM   852061100          46       1,570  SH     OTHER       10         150       1,420           0

SPRINT CORP                       COM   852061506      49,468   1,410,873  SH     DEFINED     01   1,276,016      41,152      93,705
SPRINT CORP                       COM   852061506       2,876      82,037  SH     OTHER       01      23,510      52,190       6,337
SPRINT CORP                       COM   852061506         330       9,403  SH     DEFINED     02       4,906       4,497           0
SPRINT CORP                       COM   852061506         135       3,846  SH     OTHER       02       1,400       2,446           0
SPRINT CORP                       COM   852061506         213       6,088  SH     DEFINED     03       4,188       1,900           0
SPRINT CORP                       COM   852061506         614      17,498  SH     OTHER       03      15,748       1,750           0
SPRINT CORP                       COM   852061506       5,722     163,201  SH     DEFINED     04     154,532           0       8,669
SPRINT CORP                       COM   852061506       1,379      39,321  SH     OTHER       04      36,890           0       2,431
SPRINT CORP                       COM   852061506      45,995   1,311,818  SH     DEFINED  01,08   1,311,818           0           0
SPRINT CORP                       COM   852061506          39       1,100  SH     DEFINED     09       1,100           0           0
SPRINT CORP                       COM   852061506         164       4,684  SH     DEFINED     10       3,256           0       1,428
SPRINT CORP                       COM   852061506          11         300  SH     OTHER       10           0         300           0

SS&C TECHNOLOGIES INC             COM   85227Q100           5         900  SH     DEFINED     01         900           0           0
SS&C TECHNOLOGIES INC             COM   85227Q100         111      20,100  SH     DEFINED  01,08      20,100           0           0

STAAR SURGICAL CO                 COM   852312305         207      11,967  SH     DEFINED     01      11,755           0         212
STAAR SURGICAL CO                 COM   852312305         468      27,014  SH     DEFINED  01,08      27,014           0           0

STAFF LEASING INC                 COM   852381102         126      33,416  SH     DEFINED  01,08      33,416           0           0

STAMPS COM INC                    COM   852857101          66      17,071  SH     DEFINED     01      11,840           0       5,231
STAMPS COM INC                    COM   852857101           4       1,000  SH     OTHER       04           0           0       1,000
STAMPS COM INC                    COM   852857101         278      72,316  SH     DEFINED  01,08      72,316           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    436
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STANCORP FINL GROUP INC           COM   852891100       7,616     178,155  SH     DEFINED     01     157,286       5,000      15,869
STANCORP FINL GROUP INC           COM   852891100       1,862      43,559  SH     DEFINED  01,08      43,559           0           0

STANDARD COML CORP                COM   853258101         162      35,113  SH     DEFINED  01,08      35,113           0           0

STANDARD MICROSYSTEMS CORP        COM   853626109         588      26,949  SH     DEFINED     01      18,500       5,100       3,349
STANDARD MICROSYSTEMS CORP        COM   853626109         981      44,997  SH     DEFINED  01,08      44,997           0           0

STANDARD MTR PRODS INC            COM   853666105         107      13,400  SH     DEFINED     01      13,400           0           0
STANDARD MTR PRODS INC            COM   853666105           4         562  SH     OTHER       02           0         562           0
STANDARD MTR PRODS INC            COM   853666105         333      41,597  SH     DEFINED  01,08      41,597           0           0

STANDARD PAC CORP NEW             COM   85375C101       2,172     120,690  SH     DEFINED     01     115,364           0       5,326
STANDARD PAC CORP NEW             COM   85375C101          20       1,125  SH     DEFINED     03         125       1,000           0
STANDARD PAC CORP NEW             COM   85375C101         702      38,984  SH     DEFINED  01,08      38,984           0           0

STANDARD REGISTER CO              COM   853887107       1,072      67,011  SH     DEFINED     01      64,779           0       2,232
STANDARD REGISTER CO              COM   853887107       1,215      75,912  SH     DEFINED  01,08      75,912           0           0

STANDEX INTL CORP                 COM   854231107         132       6,848  SH     DEFINED     01       4,545           0       2,303
STANDEX INTL CORP                 COM   854231107         477      24,700  SH     DEFINED     04           0           0      24,700
STANDEX INTL CORP                 COM   854231107         861      44,565  SH     DEFINED  01,08      44,565           0           0

STANLEY FURNITURE INC             COM   854305208         102       4,200  SH     DEFINED     04           0           0       4,200
STANLEY FURNITURE INC             COM   854305208         253      10,421  SH     DEFINED  01,08      10,421           0           0

STANFORD MICRODEVICES INC         COM   854399102         442       8,263  SH     DEFINED     01       3,644       4,500         119
STANFORD MICRODEVICES INC         COM   854399102       1,604      29,990  SH     DEFINED  01,08      29,990           0           0

STANLEY WKS                       COM   854616109       3,646     158,095  SH     DEFINED     01     129,068      22,493       6,534
STANLEY WKS                       COM   854616109         116       5,014  SH     DEFINED     04       5,014           0           0
STANLEY WKS                       COM   854616109         166       7,200  SH     OTHER       04       7,200           0           0
STANLEY WKS                       COM   854616109       3,080     133,534  SH     DEFINED  01,08     133,534           0           0
STANLEY WKS                       COM   854616109          28       1,200  SH     DEFINED     10           0       1,200           0

STARBASE CORP                     COM   854910205         271      47,616  SH     DEFINED     01      46,838           0         778
STARBASE CORP                     COM   854910205         368      64,781  SH     DEFINED  01,08      64,781           0           0

STAR TELECOMMUNICATIONS INC       COM   854923109         155      77,393  SH     DEFINED  01,08      77,393           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    437
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STAPLES INC                       COM   855030102      37,449   2,639,685  SH     DEFINED     01   1,423,051     821,587     395,047
STAPLES INC                       COM   855030102       5,603     394,962  SH     OTHER       01     117,401     245,144      32,417
STAPLES INC                       COM   855030102       2,510     176,948  SH     DEFINED     02      90,816      82,507       3,625
STAPLES INC                       COM   855030102         562      39,611  SH     OTHER       02      23,137      15,799         675
STAPLES INC                       COM   855030102       3,940     277,706  SH     DEFINED     03     152,205     115,811       9,690
STAPLES INC                       COM   855030102         787      55,453  SH     OTHER       03      30,554      17,624       7,275
STAPLES INC                       COM   855030102      45,142   3,181,939  SH     DEFINED     04   3,029,600           0     152,339
STAPLES INC                       COM   855030102      26,925   1,897,892  SH     OTHER       04   1,708,714           0     189,178
STAPLES INC                       COM   855030102       4,169     293,837  SH     DEFINED     05     189,322      91,975      12,540
STAPLES INC                       COM   855030102         618      43,547  SH     OTHER       05      22,817      16,230       4,500
STAPLES INC                       COM   855030102         199      14,000  SH     OTHER    04,07           0           0      14,000
STAPLES INC                       COM   855030102      10,069     709,709  SH     DEFINED  01,08     709,709           0           0
STAPLES INC                       COM   855030102         168      11,825  SH     DEFINED     10      10,625         950         250

STAR GAS PARTNERS L P             COM   85512C204          90       9,948  SH     OTHER       04       9,948           0           0
STAR GAS PARTNERS L P             COM   85512C204          29       3,237  SH     DEFINED  01,08       3,237           0           0

STAR SCIENTIFIC INC               COM   85517P101          80      19,976  SH     DEFINED     01      19,624           0         352
STAR SCIENTIFIC INC               COM   85517P101          19       4,868  SH     DEFINED  01,08       4,868           0           0

STARBUCKS CORP                    COM   855244109      57,580   1,437,263  SH     DEFINED     01     922,824     473,563      40,876
STARBUCKS CORP                    COM   855244109      14,262     356,008  SH     OTHER       01     135,749     143,225      77,034
STARBUCKS CORP                    COM   855244109         591      14,740  SH     DEFINED     02      10,140       3,300       1,300
STARBUCKS CORP                    COM   855244109         304       7,600  SH     OTHER       02       4,700       2,900           0
STARBUCKS CORP                    COM   855244109       5,778     144,223  SH     DEFINED     03      75,003      61,628       7,592
STARBUCKS CORP                    COM   855244109       1,299      32,417  SH     OTHER       03      16,487      12,255       3,675
STARBUCKS CORP                    COM   855244109      13,919     347,434  SH     DEFINED     04     308,834           0      38,600
STARBUCKS CORP                    COM   855244109       5,340     133,305  SH     OTHER       04     124,105           0       9,200
STARBUCKS CORP                    COM   855244109       8,732     217,965  SH     DEFINED     05     123,275      75,540      19,150
STARBUCKS CORP                    COM   855244109         293       7,310  SH     OTHER       05       4,760       2,550           0
STARBUCKS CORP                    COM   855244109      12,343     308,094  SH     DEFINED  01,08     308,094           0           0
STARBUCKS CORP                    COM   855244109         172       4,300  SH     DEFINED     09       4,300           0           0
STARBUCKS CORP                    COM   855244109         641      16,002  SH     DEFINED     10      15,202         800           0

STARMEDIA NETWORK INC             COM   855546107         278      37,029  SH     DEFINED     01      36,381           0         648
STARMEDIA NETWORK INC             COM   855546107           2         200  SH     OTHER       04         200           0           0
STARMEDIA NETWORK INC             COM   855546107         676      90,154  SH     DEFINED  01,08      90,154           0           0

STARMET CORP                      COM   855547105          59      17,700  SH     DEFINED  01,08      17,700           0           0

STARRETT L S CO                   COM   855668109         406      21,110  SH     DEFINED  01,08      21,110           0           0

STARTEK INC                       COM   85569C107         533      18,383  SH     DEFINED     01      17,455         600         328
STARTEK INC                       COM   85569C107         457      15,744  SH     DEFINED  01,08      15,744           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    438
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STARTEC GLOBAL COMM CORP          COM   85569E103         102      17,200  SH     DEFINED  01,08      17,200           0           0

STATE AUTO FINL CORP              COM   855707105         288      21,977  SH     DEFINED     01      19,661           0       2,316
STATE AUTO FINL CORP              COM   855707105         873      66,527  SH     DEFINED  01,08      66,527           0           0

STATE BANCORP INC N.Y             COM   855716106         134      10,096  SH     DEFINED  01,08      10,096           0           0

STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203       1,385      44,330  SH     DEFINED     01      20,481      18,154       5,695
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203          45       1,440  SH     OTHER       01         140       1,300           0
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203         154       4,927  SH     DEFINED     03       3,000       1,744         183
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203           5         154  SH     OTHER       03          77           0          77
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203          58       1,849  SH     DEFINED     04       1,849           0           0
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203         163       5,211  SH     OTHER       04       4,211           0       1,000
STARWOOD HOTELS&RESORTS WRLDWD    COM   85590A203         440      14,083  SH     DEFINED  01,08      14,083           0           0

STATE FINL SVCS CORP              COM   856855101         119      12,962  SH     DEFINED  01,08      12,962           0           0

STATE STR CORP                    COM   857477103     154,987   1,192,210  SH     DEFINED     01     760,399     359,612      72,199
STATE STR CORP                    COM   857477103      36,019     277,069  SH     OTHER       01     110,412     148,718      17,939
STATE STR CORP                    COM   857477103      18,680     143,694  SH     DEFINED     02      83,959      43,420      16,315
STATE STR CORP                    COM   857477103       7,721      59,393  SH     OTHER       02      33,658      20,635       5,100
STATE STR CORP                    COM   857477103      34,750     267,304  SH     DEFINED     03     126,299     129,962      11,043
STATE STR CORP                    COM   857477103       7,609      58,533  SH     OTHER       03      32,065      22,883       3,585
STATE STR CORP                    COM   857477103      53,236     409,509  SH     DEFINED     04     397,209           0      12,300
STATE STR CORP                    COM   857477103      24,875     191,343  SH     OTHER       04     176,043           0      15,300
STATE STR CORP                    COM   857477103       9,168      70,523  SH     DEFINED     05      34,623      23,650      12,250
STATE STR CORP                    COM   857477103       1,228       9,445  SH     OTHER       05       5,045       4,400           0
STATE STR CORP                    COM   857477103      32,658     251,212  SH     DEFINED  01,08     250,289         923           0
STATE STR CORP                    COM   857477103         868       6,675  SH     DEFINED     09       6,675           0           0
STATE STR CORP                    COM   857477103          20         150  SH     OTHER       09         150           0           0
STATE STR CORP                    COM   857477103         733       5,635  SH     DEFINED     10       5,125         510           0
STATE STR CORP                    COM   857477103          78         600  SH     OTHER       10         400         200           0

STATEN IS BANCORP INC             COM   857550107         630      31,483  SH     DEFINED     01      22,723           0       8,760
STATEN IS BANCORP INC             COM   857550107       1,482      74,099  SH     DEFINED  01,08      74,099           0           0

STATION CASINOS INC               COM   857689103       8,370     587,358  SH     DEFINED     01     547,892           0      39,466
STATION CASINOS INC               COM   857689103          21       1,500  SH     OTHER       03           0       1,500           0
STATION CASINOS INC               COM   857689103       1,281      89,916  SH     DEFINED  01,08      89,916           0           0

STEEL DYNAMICS INC                COM   858119100         327      35,585  SH     DEFINED     01      27,847           0       7,738
STEEL DYNAMICS INC                COM   858119100          18       2,000  SH     DEFINED     04       2,000           0           0
STEEL DYNAMICS INC                COM   858119100         763      83,053  SH     DEFINED  01,08      83,053           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    439
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STEEL TECHNOLOGIES INC            COM   858147101          68      10,700  SH     DEFINED     01      10,100           0         600
STEEL TECHNOLOGIES INC            COM   858147101         224      35,510  SH     DEFINED  01,08      35,510           0           0

STEELCASE INC                     COM   858155203         227      13,563  SH     DEFINED     01       7,094       4,364       2,105
STEELCASE INC                     COM   858155203           8         500  SH     OTHER       02           0         500           0
STEELCASE INC                     COM   858155203       7,607     454,128  SH     DEFINED     04     454,128           0           0
STEELCASE INC                     COM   858155203           8         500  SH     OTHER       04         500           0           0
STEELCASE INC                     COM   858155203         323      19,271  SH     DEFINED  01,08      19,271           0           0
STEELCASE INC                     COM   858155203         838      50,040  SH     DEFINED     10       1,040      49,000           0

STEIN MART INC                    COM   858375108         220      20,365  SH     DEFINED     01      13,901           0       6,464
STEIN MART INC                    COM   858375108           5         500  SH     OTHER       04         500           0           0
STEIN MART INC                    COM   858375108       1,121     103,654  SH     DEFINED  01,08     103,654           0           0

STEMCELLS INC                     COM   85857R105         206      31,732  SH     DEFINED  01,08      31,732           0           0

STEPAN CO                         COM   858586100          65       3,220  SH     DEFINED     01       2,220           0       1,000
STEPAN CO                         COM   858586100          80       4,000  SH     DEFINED     04           0           0       4,000
STEPAN CO                         COM   858586100         668      33,302  SH     DEFINED  01,08      33,302           0           0

STERLING BANCSHARES INC           COM   858907108         286      18,732  SH     DEFINED     01      15,367           0       3,365
STERLING BANCSHARES INC           COM   858907108         631      41,355  SH     DEFINED  01,08      41,355           0           0

STERICYCLE INC                    COM   858912108         474      19,341  SH     DEFINED     01      15,683       3,000         658
STERICYCLE INC                    COM   858912108         543      22,170  SH     DEFINED  01,08      22,170           0           0

STERIS CORP                       COM   859152100       1,334     111,162  SH     DEFINED     01      99,451           0      11,711
STERIS CORP                       COM   859152100         110       9,200  SH     OTHER       01       9,200           0           0
STERIS CORP                       COM   859152100          12       1,000  SH     DEFINED     04       1,000           0           0
STERIS CORP                       COM   859152100          12       1,000  SH     OTHER       04       1,000           0           0
STERIS CORP                       COM   859152100       2,336     194,648  SH     DEFINED  01,08     194,648           0           0

STERLING BANCORP                  COM   859158107          86       4,400  SH     DEFINED     01       4,400           0           0
STERLING BANCORP                  COM   859158107         481      24,648  SH     DEFINED  01,08      24,648           0           0

STERLING CAP CORP                 COM   859160103         291      45,664  SH     DEFINED     04      45,664           0           0

STERLING FINL CORP WASH           COM   859319105          22       1,900  SH     DEFINED     01       1,900           0           0
STERLING FINL CORP WASH           COM   859319105         171      15,000  SH     DEFINED  01,08      15,000           0           0

STEWART & STEVENSON SVCS INC      COM   860342104         565      32,407  SH     DEFINED     01      26,805           0       5,602
STEWART & STEVENSON SVCS INC      COM   860342104           2         100  SH     DEFINED     04         100           0           0
STEWART & STEVENSON SVCS INC      COM   860342104       1,416      81,181  SH     DEFINED  01,08      81,181           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    440
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STEWART ENTERPRISES INC           COM   860370105         218     112,365  SH     DEFINED     01      96,258           0      16,107
STEWART ENTERPRISES INC           COM   860370105         440     227,081  SH     DEFINED  01,08     227,081           0           0

STEWART INFORMATION SVCS CORP     COM   860372101         311      20,206  SH     DEFINED     01      18,222           0       1,984
STEWART INFORMATION SVCS CORP     COM   860372101         666      43,288  SH     DEFINED  01,08      43,288           0           0

STIFEL FINL CORP                  COM   860630102          22       1,626  SH     DEFINED     01       1,626           0           0
STIFEL FINL CORP                  COM   860630102         282      21,118  SH     DEFINED  01,08      21,118           0           0

STILLWATER MNG CO                 COM   86074Q102       1,136      41,974  SH     DEFINED     01      38,733           0       3,241
STILLWATER MNG CO                 COM   86074Q102         314      11,600  SH     DEFINED     04      11,600           0           0
STILLWATER MNG CO                 COM   86074Q102       1,941      71,687  SH     DEFINED  01,08      71,687           0           0

STILWELL FINL INC                 COM   860831106      29,846     686,124  SH     DEFINED     01     554,196      94,321      37,607
STILWELL FINL INC                 COM   860831106       2,677      61,545  SH     OTHER       01      19,290      41,155       1,100
STILWELL FINL INC                 COM   860831106       1,392      32,000  SH     DEFINED     02      17,150      10,150       4,700
STILWELL FINL INC                 COM   860831106         270       6,200  SH     OTHER       02       1,300       4,350         550
STILWELL FINL INC                 COM   860831106       2,286      52,545  SH     DEFINED     03      21,295      20,465      10,785
STILWELL FINL INC                 COM   860831106         459      10,550  SH     OTHER       03       2,500       8,050           0
STILWELL FINL INC                 COM   860831106      21,354     490,886  SH     DEFINED     04     209,986           0     280,900
STILWELL FINL INC                 COM   860831106         881      20,250  SH     OTHER       04      13,850           0       6,400
STILWELL FINL INC                 COM   860831106       1,611      37,035  SH     DEFINED     05      27,485       8,300       1,250
STILWELL FINL INC                 COM   860831106         520      11,950  SH     OTHER       05       8,550       2,100       1,300
STILWELL FINL INC                 COM   860831106      15,596     358,527  SH     DEFINED  01,08     358,527           0           0
STILWELL FINL INC                 COM   860831106          52       1,200  SH     DEFINED     10         850         350           0

STMICROELECTRONICS N V            COM   861012102          80       1,670  SH     DEFINED     01         470       1,200           0
STMICROELECTRONICS N V            COM   861012102          48       1,000  SH     OTHER       01         400         600           0
STMICROELECTRONICS N V            COM   861012102         370       7,775  SH     DEFINED     03       2,200       3,700       1,875
STMICROELECTRONICS N V            COM   861012102          48       1,000  SH     OTHER       03       1,000           0           0
STMICROELECTRONICS N V            COM   861012102         590      12,387  SH     DEFINED     04          87           0      12,300
STMICROELECTRONICS N V            COM   861012102          52       1,100  SH     DEFINED     05       1,100           0           0
STMICROELECTRONICS N V            COM   861012102           1          21  SH     DEFINED     10          21           0           0

STOCKWALK COM GROUP INC           COM   86149C104          22       5,300  SH     DEFINED     01       4,939           0         361
STOCKWALK COM GROUP INC           COM   86149C104          44      10,475  SH     DEFINED  01,08      10,475           0           0

STOLT OFFSHORE S A                COM   861567105         210      16,500  SH     DEFINED     01      16,500           0           0

STONE ENERGY CORP                 COM   861642106       1,070      19,455  SH     DEFINED     01      16,858       1,200       1,397
STONE ENERGY CORP                 COM   861642106         451       8,200  SH     DEFINED     04           0           0       8,200
STONE ENERGY CORP                 COM   861642106       1,607      29,219  SH     DEFINED  01,08      29,219           0           0

STONERIDGE INC                    COM   86183P102          69       7,198  SH     DEFINED     01       4,972           0       2,226
STONERIDGE INC                    COM   86183P102         303      31,448  SH     DEFINED  01,08      31,448           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    441
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STORAGE USA INC                   COM   861907103         720      23,595  SH     DEFINED     01      10,999       7,400       5,196
STORAGE USA INC                   COM   861907103         214       7,023  SH     DEFINED  01,08       7,023           0           0

STORA ENSO CORP                   COM   86210M106         206      24,998  SH     DEFINED     01       9,112       5,484      10,402
STORA ENSO CORP                   COM   86210M106         299      36,210  SH     OTHER       01           0           0      36,210
STORA ENSO CORP                   COM   86210M106         312      37,759  SH     DEFINED     03           0      37,759           0
STORA ENSO CORP                   COM   86210M106         685      83,066  SH     DEFINED     04      83,066           0           0
STORA ENSO CORP                   COM   86210M106       7,228     876,111  SH     OTHER       04     876,111           0           0
STORA ENSO CORP                   COM   86210M106          52       6,291  SH     DEFINED  01,08       6,291           0           0
STORA ENSO CORP                   COM   86210M106          22       2,687  SH     DEFINED     10       2,687           0           0

STORAGE COMPUTER CORP             COM   86211A101         195      15,692  SH     DEFINED  01,08      15,692           0           0

STORAGENETWORKS INC               COM   86211E103      29,066     284,444  SH     DEFINED     01     281,373           0       3,071
STORAGENETWORKS INC               COM   86211E103          33         325  SH     OTHER       01           0           0         325
STORAGENETWORKS INC               COM   86211E103           0           2  SH     DEFINED     03           2           0           0
STORAGENETWORKS INC               COM   86211E103       2,267      22,181  SH     DEFINED  01,08      22,181           0           0

STORAGE TECHNOLOGY CORP           COM   862111200       1,541     113,614  SH     DEFINED     01      94,230           0      19,384
STORAGE TECHNOLOGY CORP           COM   862111200           7         500  SH     OTHER       04           0           0         500
STORAGE TECHNOLOGY CORP           COM   862111200       3,988     294,060  SH     DEFINED  01,08     294,060           0           0

STRATEGIC DIAGNOSTICS INC         COM   862700101          26      11,409  SH     OTHER       01           0           0      11,409
STRATEGIC DIAGNOSTICS INC         COM   862700101          66      28,575  SH     DEFINED  01,08      28,575           0           0

STRATEGIC DISTR INC               COM   862701208          15       9,000  SH     DEFINED     01       9,000           0           0
STRATEGIC DISTR INC               COM   862701208          72      42,590  SH     DEFINED  01,08      42,590           0           0

STRATOS LIGHTWAVE INC             COM   863100103         226       7,000  SH     DEFINED     01           0       7,000           0
STRATOS LIGHTWAVE INC             COM   863100103          16         500  SH     OTHER       04           0           0         500
STRATOS LIGHTWAVE INC             COM   863100103       1,029      31,900  SH     DEFINED  01,08      31,900           0           0

STRATUS PPTYS INC                 COM   863167102          46      10,200  SH     DEFINED  01,08      10,200           0           0

STRAYER ED INC                    COM   863236105         165       7,537  SH     DEFINED     01       7,307           0         230
STRAYER ED INC                    COM   863236105          38       1,740  SH     OTHER       01           0       1,740           0
STRAYER ED INC                    COM   863236105         480      21,929  SH     DEFINED  01,08      21,929           0           0

STREAMLINE COM INC                COM   863239109           1       2,000  SH     OTHER       04       2,000           0           0
STREAMLINE COM INC                COM   863239109          12      24,821  SH     DEFINED  01,08      24,821           0           0

STRIDE RITE CORP                  COM   863314100         146      28,912  SH     DEFINED     01      19,314           0       9,598
STRIDE RITE CORP                  COM   863314100          57      11,200  SH     DEFINED     04           0           0      11,200
STRIDE RITE CORP                  COM   863314100         902     178,134  SH     DEFINED  01,08     178,134           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    442
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
STRUCTURAL DYNAMICS RESH CORP     COM   863555108         448      27,349  SH     DEFINED     01      20,203           0       7,146
STRUCTURAL DYNAMICS RESH CORP     COM   863555108       3,200     195,434  SH     DEFINED  01,08     195,434           0           0

STRYKER CORP                      COM   863667101       8,494     197,836  SH     DEFINED     01     150,906       1,000      45,930
STRYKER CORP                      COM   863667101       6,733     156,800  SH     OTHER       01      10,800     142,400       3,600
STRYKER CORP                      COM   863667101         214       4,980  SH     DEFINED     02       1,980       3,000           0
STRYKER CORP                      COM   863667101         318       7,400  SH     OTHER       02       2,400       2,000       3,000
STRYKER CORP                      COM   863667101         106       2,460  SH     OTHER       03         460       2,000           0
STRYKER CORP                      COM   863667101         737      17,166  SH     DEFINED     04      17,166           0           0
STRYKER CORP                      COM   863667101       1,446      33,680  SH     OTHER       04      28,880           0       4,800
STRYKER CORP                      COM   863667101      23,790     554,066  SH     DEFINED  01,08     554,066           0           0
STRYKER CORP                      COM   863667101         305       7,100  SH     DEFINED     10       5,700       1,400           0

STUDENT ADVANTAGE INC             COM   86386Q105         338      45,765  SH     DEFINED  01,08      45,765           0           0

STUDENT LN CORP                   COM   863902102         179       3,659  SH     DEFINED     01       2,987           0         672
STUDENT LN CORP                   COM   863902102       1,662      34,049  SH     DEFINED  01,08      34,049           0           0

STURM RUGER & CO INC              COM   864159108          95      11,570  SH     DEFINED     01       7,821           0       3,749
STURM RUGER & CO INC              COM   864159108         749      91,530  SH     DEFINED  01,08      91,530           0           0

STYLECLICK INC                    COM   86422L102         133      14,000  SH     DEFINED  01,08      14,000           0           0

SUBURBAN LODGES AMER INC          COM   864444104          61       9,000  SH     DEFINED     01       9,000           0           0
SUBURBAN LODGES AMER INC          COM   864444104         119      17,600  SH     DEFINED  01,08      17,600           0           0

SUIZA FOODS CORP                  COM   865077101      11,311     223,149  SH     DEFINED     01     203,428           0      19,721
SUIZA FOODS CORP                  COM   865077101          15         300  SH     OTHER       01           0         300           0
SUIZA FOODS CORP                  COM   865077101          51       1,000  SH     OTHER       04       1,000           0           0
SUIZA FOODS CORP                  COM   865077101         215       4,250  SH     DEFINED     05       4,250           0           0
SUIZA FOODS CORP                  COM   865077101       6,386     125,991  SH     DEFINED  01,08     125,991           0           0

SUMMIT BANCORP                    COM   866005101      10,649     308,674  SH     DEFINED     01     248,557      44,361      15,756
SUMMIT BANCORP                    COM   866005101          26         750  SH     OTHER       01           0           0         750
SUMMIT BANCORP                    COM   866005101       4,716     136,696  SH     DEFINED     04      14,290           0     122,406
SUMMIT BANCORP                    COM   866005101         731      21,192  SH     OTHER       04      19,550           0       1,642
SUMMIT BANCORP                    COM   866005101      22,597     654,980  SH     DEFINED  01,08     269,663     297,697      87,620

SUMMIT BANCSHARES INC TEX         COM   866011109          30       1,704  SH     OTHER       04       1,704           0           0
SUMMIT BANCSHARES INC TEX         COM   866011109         159       8,900  SH     DEFINED  01,08       8,900           0           0

SUMMIT PPTYS INC                  COM   866239106         361      14,983  SH     DEFINED     01      10,237           0       4,746
SUMMIT PPTYS INC                  COM   866239106         607      25,223  SH     DEFINED     04      25,223           0           0
SUMMIT PPTYS INC                  COM   866239106         155       6,423  SH     DEFINED  01,08       6,423           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    443
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SUN BANCORP INC                   COM   86663B102         133      13,286  SH     DEFINED  01,08      13,286           0           0

SUN BANCORP INC                   COM   866634108         165      11,448  SH     DEFINED  01,08      11,448           0           0

SUN COMMUNITIES INC               COM   866674104         332      10,492  SH     DEFINED     01       7,178           0       3,314
SUN COMMUNITIES INC               COM   866674104           3         100  SH     DEFINED     04         100           0           0
SUN COMMUNITIES INC               COM   866674104         746      23,581  SH     DEFINED  01,08      23,581           0           0

SUN LIFE FINL SVCS CDA INC        COM   866796105          21       1,011  SH     DEFINED     01       1,011           0           0
SUN LIFE FINL SVCS CDA INC        COM   866796105         108       5,223  SH     DEFINED     02       3,203       2,020           0
SUN LIFE FINL SVCS CDA INC        COM   866796105          59       2,857  SH     DEFINED     03           0       2,857           0
SUN LIFE FINL SVCS CDA INC        COM   866796105          56       2,700  SH     DEFINED     04       2,700           0           0
SUN LIFE FINL SVCS CDA INC        COM   866796105          73       3,554  SH     OTHER       04       3,554           0           0
SUN LIFE FINL SVCS CDA INC        COM   866796105         310      15,023  SH     DEFINED     05      15,023           0           0

SUN MICROSYSTEMS INC              COM   866810104     705,222   6,040,443  SH     DEFINED     01   4,608,706   1,128,672     303,065
SUN MICROSYSTEMS INC              COM   866810104      46,146     395,251  SH     OTHER       01     178,809     179,492      36,950
SUN MICROSYSTEMS INC              COM   866810104      18,962     162,415  SH     DEFINED     02      78,210      72,255      11,950
SUN MICROSYSTEMS INC              COM   866810104       5,495      47,068  SH     OTHER       02      23,508      20,145       3,415
SUN MICROSYSTEMS INC              COM   866810104      47,816     409,558  SH     DEFINED     03     167,827     217,926      23,805
SUN MICROSYSTEMS INC              COM   866810104       8,189      70,140  SH     OTHER       03      35,540      31,890       2,710
SUN MICROSYSTEMS INC              COM   866810104     183,097   1,568,285  SH     DEFINED     04   1,514,525           0      53,760
SUN MICROSYSTEMS INC              COM   866810104      79,905     684,410  SH     OTHER       04     652,595           0      31,815
SUN MICROSYSTEMS INC              COM   866810104       5,718      48,973  SH     DEFINED     05      33,948      13,075       1,950
SUN MICROSYSTEMS INC              COM   866810104         648       5,550  SH     OTHER       05       1,770       3,780           0
SUN MICROSYSTEMS INC              COM   866810104     280,427   2,401,946  SH     DEFINED  01,08   2,380,612      21,334           0
SUN MICROSYSTEMS INC              COM   866810104         968       8,290  SH     DEFINED     09       8,290           0           0
SUN MICROSYSTEMS INC              COM   866810104          29         250  SH     OTHER       09         150         100           0
SUN MICROSYSTEMS INC              COM   866810104       9,096      77,907  SH     DEFINED     10      46,201      31,306         400
SUN MICROSYSTEMS INC              COM   866810104       1,725      14,778  SH     OTHER       10       3,005      11,773           0

SUNBURST HOSPITALITY CORP         COM   866948102          40       5,900  SH     DEFINED     01       5,900           0           0
SUNBURST HOSPITALITY CORP         COM   866948102          47       6,930  SH     DEFINED  01,08       6,930           0           0

SUNAIR ELECTRS INC                COM   867017105          47      16,985  SH     DEFINED  01,08      16,985           0           0

SUNBEAM CORP                      COM   867071102         143     109,373  SH     DEFINED     01      93,022       3,000      13,351
SUNBEAM CORP                      COM   867071102          12       8,800  SH     DEFINED     04       8,800           0           0
SUNBEAM CORP                      COM   867071102          34      26,000  SH     OTHER       04      25,000           0       1,000
SUNBEAM CORP                      COM   867071102         218     166,186  SH     DEFINED  01,08     166,186           0           0

SUNGLASS HUT INTL INC             COM   86736F106         253      38,729  SH     DEFINED     01      37,236           0       1,493
SUNGLASS HUT INTL INC             COM   86736F106         202      30,916  SH     OTHER       04           0           0      30,916
SUNGLASS HUT INTL INC             COM   86736F106         631      96,670  SH     DEFINED  01,08      96,670           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    444
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SUNGARD DATA SYS INC              COM   867363103       4,127      96,391  SH     DEFINED     01      84,085       6,140       6,166
SUNGARD DATA SYS INC              COM   867363103          42         970  SH     DEFINED     03         400         570           0
SUNGARD DATA SYS INC              COM   867363103          60       1,400  SH     DEFINED     04       1,400           0           0
SUNGARD DATA SYS INC              COM   867363103          74       1,723  SH     OTHER       04       1,723           0           0
SUNGARD DATA SYS INC              COM   867363103      15,584     364,006  SH     DEFINED  01,08     364,006           0           0
SUNGARD DATA SYS INC              COM   867363103          12         274  SH     OTHER       10           0         274           0

SUNOCO INC                        COM   86764P109       3,346     124,215  SH     DEFINED     01      94,106      22,231       7,878
SUNOCO INC                        COM   86764P109          20         727  SH     OTHER       01         500         127         100
SUNOCO INC                        COM   86764P109          10         388  SH     DEFINED     02         388           0           0
SUNOCO INC                        COM   86764P109           3         100  SH     OTHER       02           0         100           0
SUNOCO INC                        COM   86764P109          10         368  SH     DEFINED     03         218         150           0
SUNOCO INC                        COM   86764P109       4,099     152,165  SH     DEFINED     04     152,165           0           0
SUNOCO INC                        COM   86764P109         170       6,314  SH     OTHER       04       6,314           0           0
SUNOCO INC                        COM   86764P109      17,012     631,546  SH     DEFINED  01,08     135,289     496,257           0

SUNQUEST INFORMATION SYS INC      COM   867654105         285      20,886  SH     DEFINED  01,08      20,886           0           0

SUNRISE ASSISTED LIVING INC       COM   86768K106         315      14,509  SH     DEFINED     01      12,145           0       2,364
SUNRISE ASSISTED LIVING INC       COM   86768K106          11         500  SH     OTHER       01           0         500           0
SUNRISE ASSISTED LIVING INC       COM   86768K106       1,368      63,100  SH     DEFINED  01,08      63,100           0           0

SUNRISE TECHNOLOGIES INTL INC     COM   86769L103         360      50,037  SH     DEFINED     01      48,404           0       1,633
SUNRISE TECHNOLOGIES INTL INC     COM   86769L103          78      10,800  SH     DEFINED     04      10,800           0           0
SUNRISE TECHNOLOGIES INTL INC     COM   86769L103          47       6,500  SH     OTHER       04       6,500           0           0
SUNRISE TECHNOLOGIES INTL INC     COM   86769L103         576      80,084  SH     DEFINED  01,08      80,084           0           0

SUNRISE TELECOM INC               COM   86769Y105       1,083      37,600  SH     DEFINED  01,08      37,600           0           0

SUNRISE MED INC                   COM   867910101          23       3,900  SH     DEFINED     01       3,800           0         100
SUNRISE MED INC                   COM   867910101         263      43,752  SH     DEFINED  01,08      43,752           0           0

SUNTRUST BKS INC                  COM   867914103      27,905     560,215  SH     DEFINED     01     447,900      81,931      30,384
SUNTRUST BKS INC                  COM   867914103         362       7,275  SH     OTHER       01       5,175       1,900         200
SUNTRUST BKS INC                  COM   867914103          49         980  SH     DEFINED     02         480           0         500
SUNTRUST BKS INC                  COM   867914103          16         325  SH     OTHER       02         325           0           0
SUNTRUST BKS INC                  COM   867914103         180       3,612  SH     DEFINED     03       3,612           0           0
SUNTRUST BKS INC                  COM   867914103       7,217     144,894  SH     DEFINED     04     138,386           0       6,508
SUNTRUST BKS INC                  COM   867914103       2,174      43,642  SH     OTHER       04      34,600           0       9,042
SUNTRUST BKS INC                  COM   867914103      22,712     455,957  SH     DEFINED  01,08     455,957           0           0
SUNTRUST BKS INC                  COM   867914103         274       5,500  SH     DEFINED     10       4,900         600           0

SUPERCONDUCTOR TECHNOLOGIES       COM   867931107         309      17,090  SH     DEFINED     01      16,481           0         609
SUPERCONDUCTOR TECHNOLOGIES       COM   867931107          72       4,000  SH     DEFINED     04       4,000           0           0
SUPERCONDUCTOR TECHNOLOGIES       COM   867931107         284      15,723  SH     DEFINED  01,08      15,723           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    445
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SUNSOURCE INC                     COM   867948101           2         500  SH     DEFINED     02         500           0           0
SUNSOURCE INC                     COM   867948101          49      12,400  SH     DEFINED     04           0           0      12,400
SUNSOURCE INC                     COM   867948101           0         100  SH     DEFINED     10           0         100           0

SUPERGEN INC                      COM   868059106         553      28,808  SH     DEFINED     01      28,051           0         757
SUPERGEN INC                      COM   868059106         866      45,115  SH     DEFINED  01,08      45,115           0           0

SUPERIOR CONSULTANT HLDGS CORP    COM   868146101          32      16,400  SH     DEFINED  01,08      16,400           0           0

SUPERIOR ENERGY SVCS INC          COM   868157108         534      50,853  SH     DEFINED     01      44,758       5,300         795
SUPERIOR ENERGY SVCS INC          COM   868157108         613      58,384  SH     DEFINED  01,08      58,384           0           0

SUPERIOR INDS INTL INC            COM   868168105         823      27,444  SH     DEFINED     01      21,907       1,300       4,237
SUPERIOR INDS INTL INC            COM   868168105          14         450  SH     OTHER       01           0         450           0
SUPERIOR INDS INTL INC            COM   868168105       2,208      73,590  SH     DEFINED  01,08      73,590           0           0

SUPERIOR SURGICAL MFG INC         COM   868358102          55       7,300  SH     DEFINED     01       7,300           0           0
SUPERIOR SURGICAL MFG INC         COM   868358102         197      25,986  SH     DEFINED  01,08      25,986           0           0

SUPERIOR TR I                  CONV PFD 86836P202           5         247         DEFINED     01         225          22           0
SUPERIOR TR I                  CONV PFD 86836P202         199       9,024         DEFINED  01,08       9,024           0           0

SUPERIOR TELECOM INC              COM   868365107          32       5,405  SH     DEFINED     01       3,631           0       1,774
SUPERIOR TELECOM INC              COM   868365107         664     110,729  SH     DEFINED  01,08     110,729           0           0

SUPERTEX INC                      COM   868532102         403       8,004  SH     DEFINED     01       7,866           0         138
SUPERTEX INC                      COM   868532102       2,208      43,840  SH     DEFINED  01,08      43,840           0           0

SUPERVALU INC                     COM   868536103       3,863     256,467  SH     DEFINED     01     206,533      39,068      10,866
SUPERVALU INC                     COM   868536103          77       5,125  SH     OTHER       01       4,325         800           0
SUPERVALU INC                     COM   868536103          37       2,482  SH     DEFINED     02       2,482           0           0
SUPERVALU INC                     COM   868536103          42       2,800  SH     OTHER       02         500       1,600         700
SUPERVALU INC                     COM   868536103           9         616  SH     DEFINED     03           0         616           0
SUPERVALU INC                     COM   868536103          45       3,000  SH     OTHER       03       3,000           0           0
SUPERVALU INC                     COM   868536103          84       5,600  SH     DEFINED     04       5,600           0           0
SUPERVALU INC                     COM   868536103         163      10,824  SH     OTHER       04      10,824           0           0
SUPERVALU INC                     COM   868536103       3,056     202,869  SH     DEFINED  01,08     202,869           0           0

SUPPORT COM INC                   COM   868587106         588      19,200  SH     DEFINED  01,08      19,200           0           0

SUPREME INDS INC                  COM   868607102          96      21,889  SH     DEFINED  01,08      21,889           0           0

SURMODICS INC                     COM   868873100         330       6,036  SH     DEFINED     01       5,929           0         107
SURMODICS INC                     COM   868873100         259       4,723  SH     DEFINED  01,08       4,723           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    446
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SUSQUEHANNA BANCSHARES INC PA     COM   869099101         793      52,021  SH     DEFINED     01      29,554      14,062       8,405
SUSQUEHANNA BANCSHARES INC PA     COM   869099101       1,142      74,866  SH     DEFINED  01,08      74,866           0           0

SWIFT ENERGY CO                   COM   870738101      11,552     277,954  SH     DEFINED     01     253,711       8,800      15,443
SWIFT ENERGY CO                   COM   870738101         158       3,790  SH     DEFINED     03           0       3,790           0
SWIFT ENERGY CO                   COM   870738101       1,735      41,749  SH     DEFINED  01,08      41,749           0           0

SWIFT TRANSN CO                   COM   870756103         839      64,251  SH     DEFINED     01      58,147           0       6,104
SWIFT TRANSN CO                   COM   870756103           4         325  SH     OTHER       02         325           0           0
SWIFT TRANSN CO                   COM   870756103       2,326     178,087  SH     DEFINED  01,08     178,087           0           0

SWISS ARMY BRANDS INC             COM   870827102          17       3,000  SH     DEFINED     01       3,000           0           0
SWISS ARMY BRANDS INC             COM   870827102         120      21,406  SH     DEFINED  01,08      21,406           0           0

SWISS HELVETIA FD INC             COM   870875101          14       1,000  SH     DEFINED     01           0       1,000           0
SWISS HELVETIA FD INC             COM   870875101          84       5,918  SH     DEFINED     02           0       5,918           0
SWISS HELVETIA FD INC             COM   870875101         210      14,822  SH     DEFINED     04           0           0      14,822
SWISS HELVETIA FD INC             COM   870875101         192      13,552  SH     OTHER       04       2,730           0      10,822

SWITCHBOARD INC                   COM   871045100          35       5,414  SH     DEFINED     01       5,225           0         189
SWITCHBOARD INC                   COM   871045100         219      33,645  SH     DEFINED  01,08      33,645           0           0

SYBASE INC                        COM   871130100       1,438      62,524  SH     DEFINED     01      57,438       1,100       3,986
SYBASE INC                        COM   871130100       5,653     245,788  SH     DEFINED  01,08     245,788           0           0

SYBRON INTL CORP                  COM   87114F106       1,675      69,791  SH     DEFINED     01      64,528           0       5,263
SYBRON INTL CORP                  COM   87114F106          10         400  SH     OTHER       01           0         400           0
SYBRON INTL CORP                  COM   87114F106       6,896     287,354  SH     DEFINED  01,08     287,354           0           0
SYBRON INTL CORP                  COM   87114F106          24       1,000  SH     OTHER       09       1,000           0           0

SYCAMORE NETWORKS INC             COM   871206108      36,095     334,212  SH     DEFINED     01     331,136         100       2,976
SYCAMORE NETWORKS INC             COM   871206108          32         300  SH     DEFINED     02           0         300           0
SYCAMORE NETWORKS INC             COM   871206108          70         650  SH     DEFINED     03         150         200         300
SYCAMORE NETWORKS INC             COM   871206108          11         100  SH     OTHER       03           0         100           0
SYCAMORE NETWORKS INC             COM   871206108         281       2,600  SH     DEFINED     04       2,400           0         200
SYCAMORE NETWORKS INC             COM   871206108          54         500  SH     OTHER       04         500           0           0
SYCAMORE NETWORKS INC             COM   871206108      20,948     193,967  SH     DEFINED  01,08     193,967           0           0
SYCAMORE NETWORKS INC             COM   871206108          16         150  SH     DEFINED     10           0         150           0

SYKES ENTERPRISES INC             COM   871237103         261      48,505  SH     DEFINED     01      47,422         650         433
SYKES ENTERPRISES INC             COM   871237103          11       2,000  SH     OTHER       01           0       2,000           0
SYKES ENTERPRISES INC             COM   871237103          29       5,350  SH     DEFINED     04       4,350           0       1,000
SYKES ENTERPRISES INC             COM   871237103           8       1,525  SH     OTHER       04       1,525           0           0
SYKES ENTERPRISES INC             COM   871237103         622     115,782  SH     DEFINED  01,08     115,782           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    447
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SYLVAN LEARNING SYS INC           COM   871399101         841      56,750  SH     DEFINED     01      51,520           0       5,230
SYLVAN LEARNING SYS INC           COM   871399101          13         854  SH     OTHER       01           0         854           0
SYLVAN LEARNING SYS INC           COM   871399101           7         500  SH     DEFINED     04         500           0           0
SYLVAN LEARNING SYS INC           COM   871399101         608      41,080  SH     DEFINED     05      23,300      12,990       4,790
SYLVAN LEARNING SYS INC           COM   871399101       1,599     107,955  SH     DEFINED  01,08     107,955           0           0

SYMANTEC CORP                     COM   871503108       1,746      39,677  SH     DEFINED     01      36,513         300       2,864
SYMANTEC CORP                     COM   871503108          44       1,000  SH     OTHER       01           0       1,000           0
SYMANTEC CORP                     COM   871503108          44       1,000  SH     OTHER       02           0       1,000           0
SYMANTEC CORP                     COM   871503108          35         800  SH     DEFINED     04         600           0         200
SYMANTEC CORP                     COM   871503108       7,325     166,488  SH     DEFINED  01,08     166,488           0           0

SYMBOL TECHNOLOGIES INC           COM   871508107       5,004     139,242  SH     DEFINED     01     126,474       5,525       7,243
SYMBOL TECHNOLOGIES INC           COM   871508107           8         225  SH     OTHER       02           0         225           0
SYMBOL TECHNOLOGIES INC           COM   871508107          12         337  SH     DEFINED     03         337           0           0
SYMBOL TECHNOLOGIES INC           COM   871508107          95       2,650  SH     DEFINED     04       2,650           0           0
SYMBOL TECHNOLOGIES INC           COM   871508107         146       4,056  SH     OTHER       04       4,056           0           0
SYMBOL TECHNOLOGIES INC           COM   871508107      13,475     374,970  SH     DEFINED  01,08     374,970           0           0
SYMBOL TECHNOLOGIES INC           COM   871508107          18         502  SH     DEFINED     09         502           0           0
SYMBOL TECHNOLOGIES INC           COM   871508107          59       1,649  SH     OTHER       09           0       1,649           0

SYMIX SYS INC                     COM   871535100          58      10,570  SH     DEFINED  01,08      10,570           0           0

SYMMETRICOM INC                   COM   871543104         590      37,750  SH     DEFINED     01      35,810           0       1,940
SYMMETRICOM INC                   COM   871543104          82       5,250  SH     OTHER       04       5,250           0           0
SYMMETRICOM INC                   COM   871543104       1,106      70,815  SH     DEFINED  01,08      70,815           0           0

SYMYX TECHNOLOGIES                COM   87155S108       1,247      28,740  SH     DEFINED     01      21,355       6,900         485
SYMYX TECHNOLOGIES                COM   87155S108           8         186  SH     OTHER       01           0           0         186
SYMYX TECHNOLOGIES                COM   87155S108       1,855      42,770  SH     DEFINED  01,08      42,770           0           0

SYMS CORP                         COM   871551107          36       9,200  SH     DEFINED     01       9,200           0           0
SYMS CORP                         COM   871551107         199      51,360  SH     DEFINED  01,08      51,360           0           0

SYNAPTIC PHARMACEUTICAL CORP      COM   87156R109          92      13,046  SH     DEFINED  01,08      13,046           0           0

SYNALLOY CP DEL                   COM   871565107         115      19,421  SH     DEFINED  01,08      19,421           0           0

SYNBIOTICS CORP                   COM   871566105          52      24,600  SH     DEFINED  01,08      24,600           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    448
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SYNAVANT INC                      COM   87157A105         254      38,035  SH     DEFINED     01      13,860      22,049       2,126
SYNAVANT INC                      COM   87157A105         202      30,266  SH     OTHER       01       6,669       8,776      14,821
SYNAVANT INC                      COM   87157A105          22       3,362  SH     DEFINED     02       1,025       2,337           0
SYNAVANT INC                      COM   87157A105          12       1,780  SH     OTHER       02         550         830         400
SYNAVANT INC                      COM   87157A105           5         683  SH     DEFINED     03         533         130          20
SYNAVANT INC                      COM   87157A105          11       1,676  SH     OTHER       03         789         887           0
SYNAVANT INC                      COM   87157A105          11       1,638  SH     DEFINED     04       1,608           0          30
SYNAVANT INC                      COM   87157A105           7         984  SH     OTHER       04         834           0         150
SYNAVANT INC                      COM   87157A105           5         770  SH     DEFINED     05         700          50          20
SYNAVANT INC                      COM   87157A105           4         650  SH     OTHER       05         650           0           0
SYNAVANT INC                      COM   87157A105          98      14,640  SH     DEFINED  01,08      14,640           0           0
SYNAVANT INC                      COM   87157A105           1          97  SH     DEFINED     09          62          35           0
SYNAVANT INC                      COM   87157A105           2         335  SH     DEFINED     10          90         140         105
SYNAVANT INC                      COM   87157A105           0          30  SH     OTHER       10          30           0           0

SYNCOR INTL CORP DEL              COM   87157J106       1,784      48,450  SH     DEFINED     01      45,510       1,000       1,940
SYNCOR INTL CORP DEL              COM   87157J106       2,242      60,894  SH     DEFINED  01,08      60,894           0           0

SYNERGY BRANDS INC                COM   87159E105          33      37,500  SH     DEFINED     03           0      37,500           0
SYNERGY BRANDS INC                COM   87159E105           0         244  SH     DEFINED  01,08         244           0           0

SYNOPSYS INC                      COM   871607107       1,858      49,048  SH     DEFINED     01      45,387       1,600       2,061
SYNOPSYS INC                      COM   871607107           2          50  SH     OTHER       01           0          50           0
SYNOPSYS INC                      COM   871607107          11         300  SH     DEFINED     02         300           0           0
SYNOPSYS INC                      COM   871607107          19         500  SH     OTHER       03           0         500           0
SYNOPSYS INC                      COM   871607107           1          25  SH     DEFINED     04          25           0           0
SYNOPSYS INC                      COM   871607107         134       3,550  SH     DEFINED     05       3,450         100           0
SYNOPSYS INC                      COM   871607107          28         735  SH     OTHER       05         735           0           0
SYNOPSYS INC                      COM   871607107       7,418     195,862  SH     DEFINED  01,08     195,862           0           0

SYNOVUS FINL CORP                 COM   87161C105      10,377     489,797  SH     DEFINED     01     400,447      71,090      18,260
SYNOVUS FINL CORP                 COM   87161C105          25       1,200  SH     OTHER       01           0       1,200           0
SYNOVUS FINL CORP                 COM   87161C105          43       2,032  SH     DEFINED     04       2,032           0           0
SYNOVUS FINL CORP                 COM   87161C105          52       2,450  SH     OTHER       04       2,450           0           0
SYNOVUS FINL CORP                 COM   87161C105       8,962     422,984  SH     DEFINED  01,08     422,984           0           0

SYNTELLECT INC                    COM   87161L105         231      25,700  SH     DEFINED  01,08      25,700           0           0

SYNTHETECH INC                    COM   87162E100          58      22,000  SH     DEFINED  01,08      22,000           0           0

SYNTEL INC                        COM   87162H103          42       5,405  SH     DEFINED     01       5,212           0         193
SYNTEL INC                        COM   87162H103         282      36,044  SH     DEFINED  01,08      36,044           0           0

SYNTROLEUM CORP                   COM   871630109         696      34,180  SH     DEFINED     01      33,190           0         990
SYNTROLEUM CORP                   COM   871630109         641      31,474  SH     DEFINED  01,08      31,474           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    449
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>         <C>          <C>    <C>      <C>       <C>          <C>          <C>
SYPRIS SOLUTIONS INC              COM   871655106         143      13,830  SH     DEFINED  01,08      13,830           0           0

SYSCO CORP                        COM   871829107      31,346     676,839  SH     DEFINED     01     537,739      77,728      61,372
SYSCO CORP                        COM   871829107       4,400      95,000  SH     OTHER       01      46,500      48,200         300
SYSCO CORP                        COM   871829107         185       4,000  SH     DEFINED     02       2,400           0       1,600
SYSCO CORP                        COM   871829107         185       4,000  SH     OTHER       02       4,000           0           0
SYSCO CORP                        COM   871829107      13,905     300,243  SH     DEFINED     03     128,755     152,784      18,704
SYSCO CORP                        COM   871829107       2,136      46,125  SH     OTHER       03      31,000      13,125       2,000
SYSCO CORP                        COM   871829107       2,032      43,876  SH     DEFINED     04      43,876           0           0
SYSCO CORP                        COM   871829107         689      14,875  SH     OTHER       04      13,675           0       1,200
SYSCO CORP                        COM   871829107         343       7,405  SH     DEFINED     05       5,205       2,200           0
SYSCO CORP                        COM   871829107          56       1,200  SH     OTHER       05         600         600           0
SYSCO CORP                        COM   871829107      28,985     625,874  SH     DEFINED  01,08     625,874           0           0
SYSCO CORP                        COM   871829107          77       1,671  SH     DEFINED     09       1,671           0           0
SYSCO CORP                        COM   871829107       8,903     192,250  SH     DEFINED     10      62,675     128,275       1,300
SYSCO CORP                        COM   871829107       1,965      42,424  SH     OTHER       10       8,250      33,574         600

SYSTEMAX INC                      COM   871851101          16       5,692  SH     DEFINED     01       4,014           0       1,678
SYSTEMAX INC                      COM   871851101         149      54,243  SH     DEFINED  01,08      54,243           0           0

SYSTEMS & COMPUTER TECHNOLOGY     COM   871873105         623      35,452  SH     DEFINED     01      32,769           0       2,683
SYSTEMS & COMPUTER TECHNOLOGY     COM   871873105         235      13,400  SH     DEFINED     04         500           0      12,900
SYSTEMS & COMPUTER TECHNOLOGY     COM   871873105       1,504      85,617  SH     DEFINED  01,08      85,617           0           0

SYMPHONIX DEVICES                 COM   871951109           2         500  SH     DEFINED     04         500           0           0
SYMPHONIX DEVICES                 COM   871951109          74      17,000  SH     DEFINED  01,08      17,000           0           0

TBC CORP                          COM   872180104           0         100  SH     DEFINED     01           0           0         100
TBC CORP                          COM   872180104         414      84,875  SH     DEFINED  01,08      84,875           0           0

TCF FINL CORP                     COM   872275102       2,102      55,860  SH     DEFINED     01      51,845           0       4,015
TCF FINL CORP                     COM   872275102          30         800  SH     DEFINED     04         800           0           0
TCF FINL CORP                     COM   872275102       9,350     248,506  SH     DEFINED  01,08     248,506           0           0
TCF FINL CORP                     COM   872275102          81       2,142  SH     DEFINED     10       2,142           0           0

TCI INTL INC                      COM   872293105         139      15,698  SH     DEFINED  01,08      15,698           0           0

TC PIPELINES LP                   COM   87233Q108          63       3,200  SH     DEFINED     04       3,200           0           0
TC PIPELINES LP                   COM   87233Q108         382      19,475  SH     DEFINED  01,08      19,475           0           0

TCSI CORP                         COM   87233R106           4       2,000  SH     OTHER       04           0           0       2,000
TCSI CORP                         COM   87233R106          67      35,846  SH     DEFINED  01,08      35,846           0           0

TCPI INC                          COM   87233W105          13      25,000  SH     DEFINED     04      25,000           0           0
TCPI INC                          COM   87233W105           2       4,100  SH     DEFINED  01,08       4,100           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    450
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TD WATERHOUSE GRP INC             COM   872362108          85       4,541  SH     DEFINED     01       3,336           0       1,205
TD WATERHOUSE GRP INC             COM   872362108         665      35,712  SH     DEFINED  01,08      35,712           0           0

TECO ENERGY INC                   COM   872375100       3,733     129,837  SH     DEFINED     01     119,349       2,862       7,626
TECO ENERGY INC                   COM   872375100         732      25,472  SH     OTHER       01      14,700       5,972       4,800
TECO ENERGY INC                   COM   872375100          76       2,640  SH     DEFINED     02       2,640           0           0
TECO ENERGY INC                   COM   872375100         114       3,968  SH     OTHER       02       3,000         668         300
TECO ENERGY INC                   COM   872375100          82       2,850  SH     DEFINED     03       1,000       1,850           0
TECO ENERGY INC                   COM   872375100          52       1,800  SH     OTHER       03       1,000         800           0
TECO ENERGY INC                   COM   872375100       5,403     187,943  SH     DEFINED     04     185,718           0       2,225
TECO ENERGY INC                   COM   872375100       3,152     109,647  SH     OTHER       04     104,747           0       4,900
TECO ENERGY INC                   COM   872375100         173       6,000  SH     OTHER       05           0           0       6,000
TECO ENERGY INC                   COM   872375100      10,011     348,201  SH     DEFINED  01,08     348,201           0           0
TECO ENERGY INC                   COM   872375100         403      14,000  SH     DEFINED     10      14,000           0           0
TECO ENERGY INC                   COM   872375100         106       3,700  SH     OTHER       10       3,700           0           0

TEPPCO PARTNERS L P               COM   872384102         175       6,600  SH     DEFINED     04       6,600           0           0
TEPPCO PARTNERS L P               COM   872384102         531      20,000  SH     OTHER       04      20,000           0           0
TEPPCO PARTNERS L P               COM   872384102         127       4,800  SH     DEFINED  01,08       4,800           0           0

THQ INC                           COM   872443403         327      14,057  SH     DEFINED     01      11,518           0       2,539
THQ INC                           COM   872443403         126       5,400  SH     DEFINED     04           0           0       5,400
THQ INC                           COM   872443403         845      36,351  SH     DEFINED  01,08      36,351           0           0

TII INDS INC                      COM   872479209          29      14,420  SH     DEFINED  01,08      14,420           0           0

TJX COS INC NEW                   COM   872540109      10,244     455,297  SH     DEFINED     01     315,071     106,180      34,046
TJX COS INC NEW                   COM   872540109         221       9,800  SH     OTHER       01           0       9,500         300
TJX COS INC NEW                   COM   872540109           2          70  SH     DEFINED     03           0          70           0
TJX COS INC NEW                   COM   872540109         288      12,800  SH     DEFINED     04      12,800           0           0
TJX COS INC NEW                   COM   872540109           9         400  SH     OTHER       04         400           0           0
TJX COS INC NEW                   COM   872540109      11,577     514,544  SH     DEFINED  01,08     514,544           0           0
TJX COS INC NEW                   COM   872540109          34       1,500  SH     DEFINED     10       1,500           0           0

T-NETIX INC                       COM   872597109          57      16,832  SH     DEFINED  01,08      16,832           0           0

TRC COS INC                       COM   872625108         237      13,326  SH     DEFINED  01,08      13,326           0           0

T / R SYS INC                     COM   87263U102         145      16,359  SH     DEFINED  01,08      16,359           0           0

TRM CORP                          COM   872636105          37      10,700  SH     DEFINED  01,08      10,700           0           0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    451
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TRW INC                           COM   872649108       9,860     242,719  SH     DEFINED     01     198,245      34,634       9,840
TRW INC                           COM   872649108       1,297      31,926  SH     OTHER       01       4,800      27,126           0
TRW INC                           COM   872649108          52       1,290  SH     DEFINED     02           0       1,290           0
TRW INC                           COM   872649108          73       1,790  SH     OTHER       02           0       1,790           0
TRW INC                           COM   872649108         179       4,400  SH     DEFINED     03       3,300       1,100           0
TRW INC                           COM   872649108          65       1,600  SH     OTHER       03       1,600           0           0
TRW INC                           COM   872649108         205       5,049  SH     DEFINED     04       5,049           0           0
TRW INC                           COM   872649108       1,077      26,516  SH     OTHER       04      26,116           0         400
TRW INC                           COM   872649108       7,491     184,394  SH     DEFINED  01,08     184,394           0           0

TSR INC                           COM   872885108           3         500  SH     DEFINED     04         500           0           0
TSR INC                           COM   872885108         107      19,264  SH     DEFINED  01,08      19,264           0           0

TMP WORLDWIDE INC                 COM   872941109         413       5,128  SH     DEFINED     01       3,145           0       1,983
TMP WORLDWIDE INC                 COM   872941109          65         810  SH     OTHER       01           0         810           0
TMP WORLDWIDE INC                 COM   872941109          43         540  SH     DEFINED     04         540           0           0
TMP WORLDWIDE INC                 COM   872941109           8         100  SH     OTHER       04         100           0           0
TMP WORLDWIDE INC                 COM   872941109       9,514     118,185  SH     DEFINED  01,08     118,185           0           0

TXU CORP                          COM   873168108      18,756     473,332  SH     DEFINED     01     387,022      67,695      18,615
TXU CORP                          COM   873168108         254       6,417  SH     OTHER       01       3,267       1,700       1,450
TXU CORP                          COM   873168108          22         558  SH     DEFINED     02          58         500           0
TXU CORP                          COM   873168108         165       4,156  SH     OTHER       02       1,096       3,060           0
TXU CORP                          COM   873168108           8         209  SH     DEFINED     03           0         209           0
TXU CORP                          COM   873168108          34         851  SH     OTHER       03         451         400           0
TXU CORP                          COM   873168108         244       6,164  SH     DEFINED     04       6,164           0           0
TXU CORP                          COM   873168108         350       8,825  SH     OTHER       04       7,825           0       1,000
TXU CORP                          COM   873168108          20         500  SH     OTHER       05         500           0           0
TXU CORP                          COM   873168108      16,041     404,817  SH     DEFINED  01,08     404,817           0           0
TXU CORP                          COM   873168108          61       1,550  SH     DEFINED     10       1,400         150           0
TXU CORP                          COM   873168108          25         626  SH     OTHER       10         126         500           0

TAB PRODS CO DEL                  COM   873197107          10       3,000  SH     OTHER       01           0       3,000           0
TAB PRODS CO DEL                  COM   873197107          57      17,429  SH     DEFINED  01,08      17,429           0           0

TACO CABANA INC                   COM   873425102           9       2,200  SH     DEFINED     01       2,200           0           0
TACO CABANA INC                   COM   873425102         127      29,472  SH     DEFINED  01,08      29,472           0           0

TAKE-TWO INTERACTIVE SOFTWARE     COM   874054109         244      19,423  SH     DEFINED     01      16,899           0       2,524
TAKE-TWO INTERACTIVE SOFTWARE     COM   874054109           4         300  SH     DEFINED     04         300           0           0
TAKE-TWO INTERACTIVE SOFTWARE     COM   874054109         516      41,056  SH     DEFINED  01,08      41,056           0           0

TALBOTS INC                       COM   874161102         301       4,545  SH     DEFINED     01       2,943       1,100         502
TALBOTS INC                       COM   874161102          27         400  SH     DEFINED     04         400           0           0

TALBOTS INC                       COM   874161102       3,586      54,133  SH     DEFINED  01,08      54,133           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    452
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TALK CITY INC                     COM   874263106          38      31,735  SH     DEFINED  01,08      31,735           0           0

TALK COM INC                      COM   874264104         327      74,227  SH     DEFINED     01      70,372       2,400       1,455
TALK COM INC                      COM   874264104           2         500  SH     DEFINED     04         500           0           0
TALK COM INC                      COM   874264104           4       1,000  SH     OTHER       04       1,000           0           0
TALK COM INC                      COM   874264104         533     121,052  SH     DEFINED  01,08     121,052           0           0

TALX CORP                         COM   874918105          37       1,443  SH     OTHER       01           0           0       1,443
TALX CORP                         COM   874918105         211       8,188  SH     DEFINED  01,08       8,188           0           0

TANDY BRANDS ACCESSORIES INC      COM   875378101         113      16,775  SH     DEFINED  01,08      16,775           0           0

TANDYCRAFTS INC                   COM   875386104          79      36,052  SH     DEFINED  01,08      36,052           0           0

TANNING TECHNOLOGY CORP           COM   87588P101         173      12,585  SH     DEFINED     01      12,365           0         220
TANNING TECHNOLOGY CORP           COM   87588P101         346      25,157  SH     DEFINED  01,08      25,157           0           0

TANOX INC                         COM   87588Q109          20         603  SH     DEFINED     01         366           0         237
TANOX INC                         COM   87588Q109       1,640      48,423  SH     DEFINED  01,08      48,423           0           0

TANGRAM ENTERPRISE SOLUTIONS      COM   875924102          14      13,225  SH     DEFINED  01,08      13,225           0           0

TARGET CORP                       COM   87612E106      51,865   2,024,009  SH     DEFINED     01   1,641,031     307,969      75,009
TARGET CORP                       COM   87612E106       2,261      88,248  SH     OTHER       01      24,632      60,816       2,800
TARGET CORP                       COM   87612E106       5,219     203,663  SH     DEFINED     02      81,404     107,659      14,600
TARGET CORP                       COM   87612E106       1,464      57,140  SH     OTHER       02      35,830      11,350       9,960
TARGET CORP                       COM   87612E106       6,697     261,352  SH     DEFINED     03     102,836     147,976      10,540
TARGET CORP                       COM   87612E106       2,464      96,174  SH     OTHER       03      59,774      34,900       1,500
TARGET CORP                       COM   87612E106      21,087     822,892  SH     DEFINED     04     785,742           0      37,150
TARGET CORP                       COM   87612E106       8,669     338,284  SH     OTHER       04     294,114           0      44,170
TARGET CORP                       COM   87612E106         174       6,782  SH     DEFINED     05       6,182           0         600
TARGET CORP                       COM   87612E106      35,713   1,393,660  SH     DEFINED  01,08   1,393,660           0           0
TARGET CORP                       COM   87612E106          55       2,150  SH     DEFINED     09       2,150           0           0
TARGET CORP                       COM   87612E106       1,894      73,920  SH     DEFINED     10      48,220      25,700           0
TARGET CORP                       COM   87612E106       1,539      60,078  SH     OTHER       10       2,800      57,278           0

TARGETED GENETICS CORP            COM   87612M108         313      26,353  SH     DEFINED     01      25,506           0         847
TARGETED GENETICS CORP            COM   87612M108         422      35,561  SH     DEFINED  01,08      35,561           0           0

TARRANT APPAREL GROUP             COM   876289109          16       2,195  SH     OTHER       04       2,195           0           0
TARRANT APPAREL GROUP             COM   876289109         139      18,500  SH     DEFINED  01,08      18,500           0           0

TASTY BAKING CO                   COM   876553306          20       1,875  SH     DEFINED     04       1,875           0           0
TASTY BAKING CO                   COM   876553306         232      21,817  SH     DEFINED  01,08      21,817           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    453
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TAUBMAN CTRS INC                  COM   876664103         229      19,849  SH     DEFINED     01      13,837           0       6,012
TAUBMAN CTRS INC                  COM   876664103          12       1,000  SH     DEFINED     03       1,000           0           0
TAUBMAN CTRS INC                  COM   876664103          99       8,550  SH     DEFINED  01,08       8,550           0           0

TEAMSTAFF INC                     COM   87815U204         211      61,285  SH     DEFINED     04      61,285           0           0
TEAMSTAFF INC                     COM   87815U204           2         467  SH     DEFINED  01,08         467           0           0

TEAM INC                          COM   878155100          54      17,889  SH     DEFINED  01,08      17,889           0           0

TECH DATA CORP                    COM   878237106       1,964      45,934  SH     DEFINED     01      33,545       9,800       2,589
TECH DATA CORP                    COM   878237106          26         600  SH     OTHER       01           0           0         600
TECH DATA CORP                    COM   878237106           6         150  SH     DEFINED     03           0         150           0
TECH DATA CORP                    COM   878237106         369       8,634  SH     DEFINED     04       6,634           0       2,000
TECH DATA CORP                    COM   878237106           4         100  SH     OTHER       04         100           0           0
TECH DATA CORP                    COM   878237106       6,246     146,101  SH     DEFINED  01,08     146,101           0           0

TECH OPS SEVCON INC               COM   878293109         115      10,604  SH     DEFINED  01,08      10,604           0           0

TECH SYM CORP                     COM   878308105         251       8,400  SH     DEFINED     01       8,400           0           0
TECH SYM CORP                     COM   878308105         467      15,589  SH     DEFINED  01,08      15,589           0           0

TECHNE CORP                       COM   878377100       8,153      72,798  SH     DEFINED     01      65,236         700       6,862
TECHNE CORP                       COM   878377100       3,956      35,323  SH     DEFINED  01,08      35,323           0           0

TECHNICLONE CORP                  COM   878517309         250     102,623  SH     DEFINED     01      80,153      20,000       2,470
TECHNICLONE CORP                  COM   878517309         199      81,715  SH     DEFINED  01,08      81,715           0           0

TECHNISOURCE INC                  COM   878553106          44      14,700  SH     DEFINED  01,08      14,700           0           0

TECHNITROL INC                    COM   878555101       1,400      13,865  SH     DEFINED     01      11,754         800       1,311
TECHNITROL INC                    COM   878555101         141       1,400  SH     DEFINED     04           0           0       1,400
TECHNITROL INC                    COM   878555101       2,722      26,952  SH     DEFINED  01,08      26,952           0           0

TECHNOLOGY FLAVORS & FRAGRANCE    COM   87869A104          18      12,000  SH     DEFINED     04      12,000           0           0
TECHNOLOGY FLAVORS & FRAGRANCE    COM   87869A104          18      12,000  SH     OTHER       04      12,000           0           0

TECHNOLOGY SOLUTIONS CO           COM   87872T108         148      59,025  SH     DEFINED     01      54,021           0       5,004
TECHNOLOGY SOLUTIONS CO           COM   87872T108           1         450  SH     DEFINED     04         450           0           0
TECHNOLOGY SOLUTIONS CO           COM   87872T108         189      75,733  SH     DEFINED  01,08      75,733           0           0

TECHNOLOGY RESH CORP              COM   878727304          46      15,225  SH     DEFINED  01,08      15,225           0           0

TECUMSEH PRODS CO                 COM   878895200         835      19,934  SH     DEFINED     01      17,047           0       2,887
TECUMSEH PRODS CO                 COM   878895200          27         650  SH     OTHER       04         650           0           0
TECUMSEH PRODS CO                 COM   878895200       2,318      55,364  SH     DEFINED  01,08      55,364           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    454
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TEGAL CORP                        COM   879008100           1         350  SH     DEFINED     04         350           0           0
TEGAL CORP                        COM   879008100          50      14,927  SH     DEFINED  01,08      14,927           0           0

TEJON RANCH CO DEL                COM   879080109         166       6,553  SH     DEFINED     01       6,438           0         115
TEJON RANCH CO DEL                COM   879080109         127       5,000  SH     DEFINED     02       5,000           0           0
TEJON RANCH CO DEL                COM   879080109         229       9,050  SH     DEFINED     03       8,100         950           0
TEJON RANCH CO DEL                COM   879080109          25       1,000  SH     OTHER       03       1,000           0           0
TEJON RANCH CO DEL                COM   879080109         882      34,870  SH     DEFINED  01,08      34,870           0           0

TEKELEC                           COM   879101103         127       3,853  SH     DEFINED     01       2,158           0       1,695
TEKELEC                           COM   879101103          46       1,400  SH     OTHER       01           0       1,400           0
TEKELEC                           COM   879101103         266       8,100  SH     DEFINED     04         300           0       7,800
TEKELEC                           COM   879101103       2,923      88,901  SH     DEFINED  01,08      88,901           0           0

TEKTRONIX INC                     COM   879131100       7,528      98,008  SH     DEFINED     01      79,506      12,216       6,286
TEKTRONIX INC                     COM   879131100          23         300  SH     DEFINED     03           0         300           0
TEKTRONIX INC                     COM   879131100       5,678      73,921  SH     DEFINED  01,08      73,921           0           0
TEKTRONIX INC                     COM   879131100           8         110  SH     DEFINED     10         110           0           0

TELAXIS COMMUNICATIONS CORP       COM   879202109         103      16,961  SH     DEFINED     01      16,840           0         121
TELAXIS COMMUNICATIONS CORP       COM   879202109          95      15,587  SH     DEFINED  01,08      15,587           0           0

TELCOM SEMICONDUCTOR INC          COM   87921P107         249      16,742  SH     DEFINED     01      16,451           0         291
TELCOM SEMICONDUCTOR INC          COM   87921P107         318      21,350  SH     OTHER       01           0           0      21,350
TELCOM SEMICONDUCTOR INC          COM   87921P107           7         500  SH     OTHER       04           0           0         500
TELCOM SEMICONDUCTOR INC          COM   87921P107         337      22,689  SH     DEFINED  01,08      22,689           0           0

TELECOM ITALIA SPA                COM   87927W106          35         330  SH     DEFINED     01         330           0           0
TELECOM ITALIA SPA                COM   87927W106          53         500  SH     OTHER       01           0           0         500
TELECOM ITALIA SPA                COM   87927W106           9          90  SH     DEFINED     02          90           0           0
TELECOM ITALIA SPA                COM   87927W106          13         126  SH     DEFINED     03         126           0           0
TELECOM ITALIA SPA                COM   87927W106         105       1,000  SH     OTHER       03       1,000           0           0
TELECOM ITALIA SPA                COM   87927W106          16         155  SH     DEFINED     04         155           0           0

TELECOMUNICACOES BRASILEIRAS S    PFD   879287308          12         155         DEFINED     01         155           0           0
TELECOMUNICACOES BRASILEIRAS S    PFD   879287308          18         223         DEFINED     03          73         150           0
TELECOMUNICACOES BRASILEIRAS S    PFD   879287308         184       2,320         DEFINED     04       2,320           0           0

TELECORP PCS INC                  COM   879299105          54       2,818  SH     DEFINED     01       2,211           0         607
TELECORP PCS INC                  COM   879299105           4         227  SH     DEFINED     03           0         227           0
TELECORP PCS INC                  COM   879299105       2,164     113,870  SH     DEFINED  01,08     113,870           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    455
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TELEDYNE TECHNOLOGIES INC         COM   879360105       1,272      43,686  SH     DEFINED     01      41,722         142       1,822
TELEDYNE TECHNOLOGIES INC         COM   879360105           3         100  SH     OTHER       01         100           0           0
TELEDYNE TECHNOLOGIES INC         COM   879360105          33       1,121  SH     DEFINED     04         571           0         550
TELEDYNE TECHNOLOGIES INC         COM   879360105           4         128  SH     OTHER       04         128           0           0
TELEDYNE TECHNOLOGIES INC         COM   879360105       1,000      34,330  SH     DEFINED  01,08      34,330           0           0

TELEFLEX INC                      COM   879369106       1,695      49,308  SH     DEFINED     01      42,334         600       6,374
TELEFLEX INC                      COM   879369106          55       1,600  SH     OTHER       01           0       1,600           0
TELEFLEX INC                      COM   879369106          63       1,836  SH     DEFINED     02           0           0       1,836
TELEFLEX INC                      COM   879369106          52       1,500  SH     OTHER       02       1,500           0           0
TELEFLEX INC                      COM   879369106          21         600  SH     DEFINED     04         600           0           0
TELEFLEX INC                      COM   879369106       3,826     111,298  SH     DEFINED  01,08     111,298           0           0
TELEFLEX INC                      COM   879369106          19         560  SH     DEFINED     09         560           0           0
TELEFLEX INC                      COM   879369106         175       5,095  SH     OTHER       09           0       5,095           0

TELEFONICA S A                    COM   879382208          66       1,108  SH     DEFINED     01       1,065           0          43
TELEFONICA S A                    COM   879382208         351       5,900  SH     OTHER       01       5,000         900           0
TELEFONICA S A                    COM   879382208         203       3,415  SH     DEFINED     02       3,415           0           0
TELEFONICA S A                    COM   879382208          43         724  SH     OTHER       02           0         724           0
TELEFONICA S A                    COM   879382208         203       3,409  SH     DEFINED     03         705       2,704           0
TELEFONICA S A                    COM   879382208         114       1,914  SH     OTHER       03       1,914           0           0
TELEFONICA S A                    COM   879382208       1,141      19,203  SH     DEFINED     04      19,203           0           0
TELEFONICA S A                    COM   879382208          53         891  SH     OTHER       04         891           0           0
TELEFONICA S A                    COM   879382208          23         385  SH     DEFINED     10          40         345           0

TELEFONOS DE MEXICO S A           COM   879403780         715      13,444  SH     DEFINED     01      11,944       1,500           0
TELEFONOS DE MEXICO S A           COM   879403780         164       3,084  SH     OTHER       01       1,484       1,600           0
TELEFONOS DE MEXICO S A           COM   879403780          85       1,600  SH     DEFINED     02       1,400         200           0
TELEFONOS DE MEXICO S A           COM   879403780         106       2,000  SH     OTHER       02         200       1,800           0
TELEFONOS DE MEXICO S A           COM   879403780         523       9,840  SH     DEFINED     03       1,690       8,150           0
TELEFONOS DE MEXICO S A           COM   879403780          18         332  SH     OTHER       03         332           0           0
TELEFONOS DE MEXICO S A           COM   879403780         442       8,318  SH     DEFINED     04       7,718           0         600
TELEFONOS DE MEXICO S A           COM   879403780         777      14,600  SH     OTHER       04      14,600           0           0
TELEFONOS DE MEXICO S A           COM   879403780           1          20  SH     DEFINED     10          20           0           0

TELEMATE NET SOFTWARE             COM   87943L100          42      16,042  SH     DEFINED  01,08      16,042           0           0

TELEPHONE & DATA SYS INC          COM   879433100       4,565      41,242  SH     DEFINED     01      38,212           0       3,030
TELEPHONE & DATA SYS INC          COM   879433100         249       2,250  SH     DEFINED     04       2,250           0           0
TELEPHONE & DATA SYS INC          COM   879433100      20,316     183,527  SH     DEFINED  01,08     183,527           0           0

TELESPECTRUM WORLDWIDE INC        COM   87951U109          22      34,400  SH     DEFINED     01      34,400           0           0
TELESPECTRUM WORLDWIDE INC        COM   87951U109          32      50,628  SH     DEFINED  01,08      50,628           0           0

TELESCAN INC                      COM   879516102          54      21,485  SH     DEFINED  01,08      21,485           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    456
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TELIGENT INC                      COM   87959Y103         210      16,159  SH     DEFINED     01      15,154          75         930
TELIGENT INC                      COM   87959Y103          13       1,000  SH     DEFINED     04       1,000           0           0
TELIGENT INC                      COM   87959Y103         712      54,741  SH     DEFINED  01,08      54,741           0           0

TELLABS INC                       COM   879664100      73,590   1,541,159  SH     DEFINED     01   1,128,529     345,439      67,191
TELLABS INC                       COM   879664100       6,672     139,734  SH     OTHER       01      56,370      56,138      27,226
TELLABS INC                       COM   879664100       1,495      31,300  SH     DEFINED     02       6,675      23,450       1,175
TELLABS INC                       COM   879664100         379       7,935  SH     OTHER       02       4,035       3,600         300
TELLABS INC                       COM   879664100       1,602      33,555  SH     DEFINED     03      27,890       5,400         265
TELLABS INC                       COM   879664100         442       9,258  SH     OTHER       03       3,158       6,100           0
TELLABS INC                       COM   879664100       1,896      39,711  SH     DEFINED     04      32,341           0       7,370
TELLABS INC                       COM   879664100         920      19,275  SH     OTHER       04      19,215           0          60
TELLABS INC                       COM   879664100       5,530     115,820  SH     DEFINED     05      54,840      51,580       9,400
TELLABS INC                       COM   879664100         273       5,720  SH     OTHER       05       3,200       2,520           0
TELLABS INC                       COM   879664100      29,490     617,596  SH     DEFINED  01,08     599,872      17,724           0
TELLABS INC                       COM   879664100         495      10,366  SH     DEFINED     09      10,366           0           0
TELLABS INC                       COM   879664100          66       1,375  SH     OTHER       09           0       1,375           0
TELLABS INC                       COM   879664100         398       8,340  SH     DEFINED     10       5,200       3,140           0

TELULAR CORP                      COM   87970T208         203      15,776  SH     DEFINED  01,08      15,776           0           0

TELXON CORP                       COM   879700102         283      16,182  SH     DEFINED     01      15,818           0         364
TELXON CORP                       COM   879700102          14         800  SH     DEFINED     05         800           0           0
TELXON CORP                       COM   879700102         911      52,032  SH     DEFINED  01,08      52,032           0           0

TELOCITY INC                      COM   87971D103          35      10,531  SH     DEFINED     01      10,093           0         438
TELOCITY INC                      COM   87971D103           0          11  SH     DEFINED     03           0          11           0
TELOCITY INC                      COM   87971D103         202      61,456  SH     DEFINED  01,08      61,456           0           0

TEMPLE INLAND INC                 COM   879868107       3,635      95,964  SH     DEFINED     01      80,353      13,754       1,857
TEMPLE INLAND INC                 COM   879868107         267       7,038  SH     OTHER       01       6,300           0         738
TEMPLE INLAND INC                 COM   879868107          25         650  SH     DEFINED     03           0         650           0
TEMPLE INLAND INC                 COM   879868107          20         540  SH     OTHER       04         540           0           0
TEMPLE INLAND INC                 COM   879868107       9,198     242,840  SH     DEFINED  01,08      92,336     150,504           0

TELETECH HOLDINGS INC             COM   879939106          59       2,399  SH     DEFINED     01       1,346           0       1,053
TELETECH HOLDINGS INC             COM   879939106       2,139      86,418  SH     DEFINED  01,08      86,418           0           0

TEMPLETON EMERG MKTS INCOME FD UNDEFIND 880192109           2      17,646         DEFINED     01      17,646           0           0
TEMPLETON EMERG MKTS INCOME FD UNDEFIND 880192109           0       1,000         DEFINED     02       1,000           0           0
TEMPLETON EMERG MKTS INCOME FD UNDEFIND 880192109           0         700         OTHER       02         700           0           0
TEMPLETON EMERG MKTS INCOME FD UNDEFIND 880192109           0       3,500         DEFINED     03           0       3,500           0
TEMPLETON EMERG MKTS INCOME FD UNDEFIND 880192109          27       2,669         DEFINED     04       1,001       1,668           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    457
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TEMPLETON GLOBAL INCOME FD INC UNDEFIND 880198106           0       1,352         DEFINED     01           0           0       1,352
TEMPLETON GLOBAL INCOME FD INC UNDEFIND 880198106           0       3,953         DEFINED     02       3,953           0           0
TEMPLETON GLOBAL INCOME FD INC UNDEFIND 880198106           1       8,412         DEFINED     03       4,757           0       3,655
TEMPLETON GLOBAL INCOME FD INC UNDEFIND 880198106          11       1,800         DEFINED     04       1,800           0           0
TEMPLETON GLOBAL INCOME FD INC UNDEFIND 880198106          22       3,600         OTHER       04       3,600           0           0

TENFOLD CORP                      COM   88033A103          60      13,625  SH     DEFINED     01      13,387           0         238
TENFOLD CORP                      COM   88033A103           4       1,000  SH     DEFINED     02           0       1,000           0
TENFOLD CORP                      COM   88033A103           4       1,000  SH     OTHER       04       1,000           0           0
TENFOLD CORP                      COM   88033A103         229      51,606  SH     DEFINED  01,08      51,606           0           0

TENET HEALTHCARE CORP             COM   88033G100      30,807     846,925  SH     DEFINED     01     708,193     101,249      37,483
TENET HEALTHCARE CORP             COM   88033G100          44       1,200  SH     OTHER       01       1,000           0         200
TENET HEALTHCARE CORP             COM   88033G100          50       1,384  SH     DEFINED     02           0       1,384           0
TENET HEALTHCARE CORP             COM   88033G100           4         100  SH     DEFINED     03         100           0           0
TENET HEALTHCARE CORP             COM   88033G100          18         500  SH     DEFINED     04         500           0           0
TENET HEALTHCARE CORP             COM   88033G100          14         395  SH     OTHER       04           0           0         395
TENET HEALTHCARE CORP             COM   88033G100      21,043     578,507  SH     DEFINED  01,08     578,507           0           0

TENNANT CO                        COM   880345103         290       6,557  SH     DEFINED     01       5,255           0       1,302
TENNANT CO                        COM   880345103       1,415      31,976  SH     DEFINED  01,08      31,976           0           0

TENNECO AUTOMOTIVE INC            COM   880349105         111      21,388  SH     DEFINED     01      14,474         904       6,010
TENNECO AUTOMOTIVE INC            COM   880349105           2         442  SH     OTHER       01         111         224         107
TENNECO AUTOMOTIVE INC            COM   880349105           1         160  SH     OTHER       02           0         160           0
TENNECO AUTOMOTIVE INC            COM   880349105           0          42  SH     DEFINED     03          31          11           0
TENNECO AUTOMOTIVE INC            COM   880349105           1         111  SH     OTHER       03         111           0           0
TENNECO AUTOMOTIVE INC            COM   880349105           0          70  SH     DEFINED     04          70           0           0
TENNECO AUTOMOTIVE INC            COM   880349105           1         160  SH     OTHER       04           0           0         160
TENNECO AUTOMOTIVE INC            COM   880349105         326      62,839  SH     DEFINED  01,08      62,839           0           0

TERADYNE INC                      COM   880770102      17,109     488,819  SH     DEFINED     01     404,960      33,504      50,355
TERADYNE INC                      COM   880770102           4         100  SH     OTHER       01           0           0         100
TERADYNE INC                      COM   880770102          18         500  SH     DEFINED     03         400           0         100
TERADYNE INC                      COM   880770102           2          54  SH     DEFINED     04          54           0           0
TERADYNE INC                      COM   880770102           7         200  SH     OTHER       04         100           0         100
TERADYNE INC                      COM   880770102      11,819     337,687  SH     DEFINED  01,08     337,687           0           0
TERADYNE INC                      COM   880770102         181       5,177  SH     DEFINED     10       2,977       2,200           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    458
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TERAYON COMMUNICATION SYS         COM   880775101         570      16,783  SH     DEFINED     01       1,856      13,200       1,727
TERAYON COMMUNICATION SYS         COM   880775101          10         300  SH     DEFINED     02         300           0           0
TERAYON COMMUNICATION SYS         COM   880775101           7         200  SH     DEFINED     03           0         200           0
TERAYON COMMUNICATION SYS         COM   880775101           3          74  SH     OTHER       03          74           0           0
TERAYON COMMUNICATION SYS         COM   880775101          75       2,200  SH     DEFINED     04       2,200           0           0
TERAYON COMMUNICATION SYS         COM   880775101          68       2,000  SH     OTHER       04       2,000           0           0
TERAYON COMMUNICATION SYS         COM   880775101       2,315      68,222  SH     DEFINED  01,08      68,222           0           0
TERAYON COMMUNICATION SYS         COM   880775101         163       4,800  SH     DEFINED     10           0       4,800           0

TEREX CORP NEW                    COM   880779103         203      15,523  SH     DEFINED     01      10,559           0       4,964
TEREX CORP NEW                    COM   880779103         566      43,318  SH     DEFINED  01,08      43,318           0           0

TERRA INDS INC                    COM   880915103         352     165,587  SH     DEFINED  01,08     165,587           0           0

TERREMARK WORLDWIDE INC           COM   881448104         322     126,110  SH     DEFINED     01     123,884           0       2,226
TERREMARK WORLDWIDE INC           COM   881448104          13       5,050  SH     DEFINED     04       5,050           0           0
TERREMARK WORLDWIDE INC           COM   881448104           2         750  SH     OTHER       04         750           0           0
TERREMARK WORLDWIDE INC           COM   881448104         164      64,455  SH     DEFINED  01,08      64,455           0           0

TESORO PETE CORP                  COM   881609101         531      53,455  SH     DEFINED     01      47,386           0       6,069
TESORO PETE CORP                  COM   881609101         576      57,984  SH     DEFINED  01,08      57,984           0           0

TETRA TECHNOLOGIES INC DEL        COM   88162F105          99       6,500  SH     DEFINED     01           0       6,500           0
TETRA TECHNOLOGIES INC DEL        COM   88162F105         411      27,074  SH     DEFINED  01,08      27,074           0           0

TETRA TECH INC NEW                COM   88162G103       1,138      39,828  SH     DEFINED     01      35,087       1,700       3,041
TETRA TECH INC NEW                COM   88162G103          57       2,000  SH     DEFINED     04       2,000           0           0
TETRA TECH INC NEW                COM   88162G103       2,044      71,573  SH     DEFINED  01,08      71,573           0           0

TEVA PHARMACEUTICAL INDS LTD      PFD   881624209      32,045     437,845         DEFINED     01     256,570     129,450      51,825
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209       1,991      27,200         OTHER       01      13,500       9,200       4,500
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209          11         150         DEFINED     02         150           0           0
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209         132       1,800         DEFINED     03           0       1,100         700
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209         541       7,390         DEFINED     04       7,390           0           0
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209         144       1,962         OTHER       04       1,962           0           0
TEVA PHARMACEUTICAL INDS LTD      PFD   881624209           5          74         DEFINED     10          74           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    459
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TEXACO INC                        COM   881694103      66,133   1,259,678  SH     DEFINED     01     972,016     218,440      69,222
TEXACO INC                        COM   881694103       8,771     167,064  SH     OTHER       01     101,092      58,672       7,300
TEXACO INC                        COM   881694103       1,927      36,709  SH     DEFINED     02      22,763      12,066       1,880
TEXACO INC                        COM   881694103       1,209      23,025  SH     OTHER       02      11,801       2,622       8,602
TEXACO INC                        COM   881694103       1,674      31,879  SH     DEFINED     03      16,302      10,527       5,050
TEXACO INC                        COM   881694103         976      18,598  SH     OTHER       03      13,590       4,506         502
TEXACO INC                        COM   881694103      19,371     368,972  SH     DEFINED     04     358,622           0      10,350
TEXACO INC                        COM   881694103      10,464     199,313  SH     OTHER       04     187,434           0      11,879
TEXACO INC                        COM   881694103       1,808      34,445  SH     DEFINED     05      17,275      15,710       1,460
TEXACO INC                        COM   881694103         158       3,000  SH     OTHER       05       1,000       2,000           0
TEXACO INC                        COM   881694103      73,831   1,406,307  SH     DEFINED  01,08     869,270     440,885      96,152
TEXACO INC                        COM   881694103          21         400  SH     DEFINED     09         400           0           0
TEXACO INC                        COM   881694103         665      12,671  SH     DEFINED     10       2,871       9,800           0
TEXACO INC                        COM   881694103         200       3,800  SH     OTHER       10       1,200       2,600           0

TEXAS BIOTECHNOLOGY CORP          COM   88221T104         669      41,814  SH     DEFINED     01      41,082           0         732
TEXAS BIOTECHNOLOGY CORP          COM   88221T104          32       2,000  SH     DEFINED     04       2,000           0           0
TEXAS BIOTECHNOLOGY CORP          COM   88221T104       1,040      65,003  SH     DEFINED  01,08      65,003           0           0

TEXAS INDS INC                    COM   882491103       1,643      51,534  SH     DEFINED     01      45,156       1,600       4,778
TEXAS INDS INC                    COM   882491103          10         300  SH     DEFINED     04         300           0           0
TEXAS INDS INC                    COM   882491103          32       1,000  SH     OTHER       04       1,000           0           0
TEXAS INDS INC                    COM   882491103       1,998      62,694  SH     DEFINED  01,08      62,694           0           0

TEXAS INSTRS INC                  COM   882508104     243,858   5,167,915  SH     DEFINED     01   4,270,977     653,508     243,430
TEXAS INSTRS INC                  COM   882508104      11,871     251,576  SH     OTHER       01     156,971      90,025       4,580
TEXAS INSTRS INC                  COM   882508104       4,397      93,192  SH     DEFINED     02      45,980      40,587       6,625
TEXAS INSTRS INC                  COM   882508104       3,381      71,645  SH     OTHER       02      27,330      39,985       4,330
TEXAS INSTRS INC                  COM   882508104       4,998     105,922  SH     DEFINED     03      35,565      61,789       8,568
TEXAS INSTRS INC                  COM   882508104       1,963      41,595  SH     OTHER       03       7,995       9,065      24,535
TEXAS INSTRS INC                  COM   882508104      87,463   1,853,532  SH     DEFINED     04   1,770,572           0      82,960
TEXAS INSTRS INC                  COM   882508104      31,179     660,750  SH     OTHER       04     620,800           0      39,950
TEXAS INSTRS INC                  COM   882508104       4,786     101,427  SH     DEFINED     05      27,277      14,000      60,150
TEXAS INSTRS INC                  COM   882508104         157       3,320  SH     OTHER       05         520       2,800           0
TEXAS INSTRS INC                  COM   882508104     125,145   2,652,100  SH     DEFINED  01,08   2,652,100           0           0
TEXAS INSTRS INC                  COM   882508104         690      14,625  SH     DEFINED     09      14,625           0           0
TEXAS INSTRS INC                  COM   882508104           5         100  SH     OTHER       09         100           0           0
TEXAS INSTRS INC                  COM   882508104       2,761      58,515  SH     DEFINED     10      31,090      27,425           0
TEXAS INSTRS INC                  COM   882508104         251       5,318  SH     OTHER       10       1,850       3,468           0

TEXAS REGL BANCSHARES INC         COM   882673106         266       9,375  SH     DEFINED     01       6,769           0       2,606
TEXAS REGL BANCSHARES INC         COM   882673106         654      23,048  SH     DEFINED  01,08      23,048           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    460
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TEXTRON INC                       COM   883203101      12,100     262,331  SH     DEFINED     01     208,314      40,852      13,165
TEXTRON INC                       COM   883203101         480      10,400  SH     OTHER       01       6,300       4,000         100
TEXTRON INC                       COM   883203101           5         100  SH     DEFINED     02           0         100           0
TEXTRON INC                       COM   883203101           5         100  SH     DEFINED     03         100           0           0
TEXTRON INC                       COM   883203101         300       6,495  SH     DEFINED     04       6,495           0           0
TEXTRON INC                       COM   883203101         507      11,002  SH     OTHER       04      11,002           0           0
TEXTRON INC                       COM   883203101           2          50  SH     DEFINED     05          50           0           0
TEXTRON INC                       COM   883203101       9,799     212,439  SH     DEFINED  01,08     212,439           0           0
TEXTRON INC                       COM   883203101          50       1,075  SH     DEFINED     10         175         900           0

THACKERAY CORP                    COM   883217101          49      17,400  SH     DEFINED  01,08      17,400           0           0

THEGLOBE COM INC                  COM   88335R101          23      29,676  SH     DEFINED  01,08      29,676           0           0

THERAGENICS CORP                  COM   883375107         146      22,436  SH     DEFINED     01      20,492           0       1,944
THERAGENICS CORP                  COM   883375107           3         400  SH     DEFINED     04         400           0           0
THERAGENICS CORP                  COM   883375107         614      94,405  SH     DEFINED  01,08      94,405           0           0

THERMA-WAVE INC                   COM   88343A108         815      28,331  SH     DEFINED     01      27,828           0         503
THERMA-WAVE INC                   COM   88343A108         877      30,496  SH     DEFINED  01,08      30,496           0           0

THERMO CARDIOSYSTEMS INC          COM   88355K200         141      16,011  SH     DEFINED     01      15,434           0         577
THERMO CARDIOSYSTEMS INC          COM   88355K200           9       1,050  SH     DEFINED     04       1,050           0           0
THERMO CARDIOSYSTEMS INC          COM   88355K200           3         300  SH     OTHER       04         300           0           0
THERMO CARDIOSYSTEMS INC          COM   88355K200         561      63,643  SH     DEFINED  01,08      63,643           0           0

THERMO FIBERTEK INC               COM   88355W105          16       3,938  SH     DEFINED     01       3,188           0         750
THERMO FIBERTEK INC               COM   88355W105         380      90,785  SH     DEFINED  01,08      90,785           0           0

THERMO ELECTRON CORP              COM   883556102       8,729     335,734  SH     DEFINED     01     267,402      44,787      23,545
THERMO ELECTRON CORP              COM   883556102         299      11,499  SH     OTHER       01           0      11,499           0
THERMO ELECTRON CORP              COM   883556102          46       1,780  SH     DEFINED     02           0       1,780           0
THERMO ELECTRON CORP              COM   883556102          52       1,991  SH     OTHER       02           0       1,991           0
THERMO ELECTRON CORP              COM   883556102          10         380  SH     DEFINED     03         200         180           0
THERMO ELECTRON CORP              COM   883556102           3         100  SH     DEFINED     04         100           0           0
THERMO ELECTRON CORP              COM   883556102          53       2,042  SH     OTHER       04       2,042           0           0
THERMO ELECTRON CORP              COM   883556102       7,425     285,581  SH     DEFINED  01,08     285,581           0           0

THERMO ELECTRON CORP              COM   883556201         368      20,019  SH     DEFINED  01,08      20,019           0           0

THERMOGENESIS CORP                COM   883623209          91      30,750  SH     DEFINED  01,08      30,750           0           0

THESTREET COM                     COM   88368Q103           1         300  SH     OTHER       04         300           0           0
THESTREET COM                     COM   88368Q103         149      33,097  SH     DEFINED  01,08      33,097           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    461
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

THOMAS & BETTS CORP               COM   884315102       1,783     102,282  SH     DEFINED     01      83,122      16,920       2,240
THOMAS & BETTS CORP               COM   884315102         139       8,000  SH     OTHER       01       6,000           0       2,000
THOMAS & BETTS CORP               COM   884315102           3         190  SH     DEFINED     03           0         190           0
THOMAS & BETTS CORP               COM   884315102          25       1,408  SH     OTHER       03       1,408           0           0
THOMAS & BETTS CORP               COM   884315102          37       2,100  SH     DEFINED     04       2,100           0           0
THOMAS & BETTS CORP               COM   884315102       1,878     107,705  SH     DEFINED  01,08     101,005       6,700           0

THOMAS INDS INC                   COM   884425109         593      29,286  SH     DEFINED     01      25,608           0       3,678
THOMAS INDS INC                   COM   884425109         105       5,169  SH     OTHER       02       5,169           0           0
THOMAS INDS INC                   COM   884425109         153       7,557  SH     DEFINED     04       2,257           0       5,300
THOMAS INDS INC                   COM   884425109         932      46,010  SH     DEFINED  01,08      46,010           0           0

THOR INDS INC                     COM   885160101         445      19,256  SH     DEFINED     01      15,532       2,000       1,724
THOR INDS INC                     COM   885160101       1,004      43,403  SH     DEFINED  01,08      43,403           0           0
THOR INDS INC                     COM   885160101           2         100  SH     DEFINED     10         100           0           0

THORATEC LABS CORP                COM   885175307         341      15,491  SH     DEFINED     01      15,223           0         268
THORATEC LABS CORP                COM   885175307         753      34,246  SH     DEFINED  01,08      34,246           0           0

3DO CO                            COM   88553W105         178      26,608  SH     DEFINED     01      26,151           0         457
3DO CO                            COM   88553W105         102      15,224  SH     OTHER       01           0           0      15,224
3DO CO                            COM   88553W105           7       1,000  SH     OTHER       04       1,000           0           0
3DO CO                            COM   88553W105         428      64,051  SH     DEFINED  01,08      64,051           0           0

3DFX INTERACTIVE INC              COM   88553X103          77      15,842  SH     DEFINED     01      12,160           0       3,682
3DFX INTERACTIVE INC              COM   88553X103           2         400  SH     DEFINED     03           0           0         400
3DFX INTERACTIVE INC              COM   88553X103          39       8,000  SH     DEFINED     04       8,000           0           0
3DFX INTERACTIVE INC              COM   88553X103         178      36,610  SH     DEFINED  01,08      36,610           0           0

3COM CORP                         COM   885535104       5,703     297,220  SH     DEFINED     01     246,306      23,348      27,566
3COM CORP                         COM   885535104          75       3,900  SH     OTHER       01       1,400       2,400         100
3COM CORP                         COM   885535104          22       1,150  SH     DEFINED     02       1,150           0           0
3COM CORP                         COM   885535104          57       2,950  SH     OTHER       02         150       1,800       1,000
3COM CORP                         COM   885535104          38       1,975  SH     DEFINED     03         100       1,875           0
3COM CORP                         COM   885535104         148       7,733  SH     DEFINED     04       7,733           0           0
3COM CORP                         COM   885535104          93       4,867  SH     OTHER       04       4,867           0           0
3COM CORP                         COM   885535104      18,804     980,049  SH     DEFINED  01,08     980,049           0           0

3-D SYS CORP DEL                  COM   88554D205         436      23,274  SH     DEFINED  01,08      23,274           0           0

THREE FIVE SYS INC                COM   88554L108         674      23,035  SH     DEFINED     01      21,657           1       1,377
THREE FIVE SYS INC                COM   88554L108          58       1,999  SH     OTHER       02       1,999           0           0
THREE FIVE SYS INC                COM   88554L108           3         100  SH     DEFINED     04         100           0           0
THREE FIVE SYS INC                COM   88554L108         759      25,957  SH     DEFINED  01,08      25,957           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    462
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TIBCO SOFTWARE INC                COM   88632Q103       5,531      65,510  SH     DEFINED     01      61,210         102       4,198
TIBCO SOFTWARE INC                COM   88632Q103      13,494     159,813  SH     DEFINED  01,08     159,813           0           0
TIBCO SOFTWARE INC                COM   88632Q103          12         146  SH     DEFINED     10         146           0           0

TICKETS COM INC                   COM   88633M101           0         202  SH     OTHER       03           0         202           0
TICKETS COM INC                   COM   88633M101          73      72,626  SH     DEFINED  01,08      72,626           0           0

TICKETMASTER ONLINE-CITYSEARCH    COM   88633P203          35       2,083  SH     DEFINED     01       1,528           0         555
TICKETMASTER ONLINE-CITYSEARCH    COM   88633P203           3         200  SH     OTHER       03           0         200           0
TICKETMASTER ONLINE-CITYSEARCH    COM   88633P203          17       1,000  SH     DEFINED     04       1,000           0           0
TICKETMASTER ONLINE-CITYSEARCH    COM   88633P203         529      31,249  SH     DEFINED  01,08      31,249           0           0

TIDEL TECHNOLOGIES INC            COM   886368109         161      23,193  SH     DEFINED  01,08      23,193           0           0

TIDEWATER INC                     COM   886423102       1,787      39,283  SH     DEFINED     01      35,037       1,500       2,746
TIDEWATER INC                     COM   886423102          50       1,100  SH     OTHER       01       1,100           0           0
TIDEWATER INC                     COM   886423102          55       1,200  SH     DEFINED     04       1,200           0           0
TIDEWATER INC                     COM   886423102          91       2,000  SH     OTHER       04       2,000           0           0
TIDEWATER INC                     COM   886423102       7,004     153,929  SH     DEFINED  01,08     153,929           0           0

TIER TECHNOLOGIES INC             COM   88650Q100         184      25,019  SH     DEFINED  01,08      25,019           0           0

TIFFANY & CO NEW                  COM   886547108      10,365     268,800  SH     DEFINED     01     203,338      54,382      11,080
TIFFANY & CO NEW                  COM   886547108          15         400  SH     OTHER       01         400           0           0
TIFFANY & CO NEW                  COM   886547108          62       1,600  SH     DEFINED     03           0       1,600           0
TIFFANY & CO NEW                  COM   886547108          93       2,404  SH     DEFINED     04       2,404           0           0
TIFFANY & CO NEW                  COM   886547108          69       1,800  SH     OTHER       04       1,800           0           0
TIFFANY & CO NEW                  COM   886547108          31         800  SH     DEFINED     05           0           0         800
TIFFANY & CO NEW                  COM   886547108       8,347     216,464  SH     DEFINED  01,08     216,464           0           0

TIMBERLAND CO                     COM   887100105         992      24,202  SH     DEFINED     01      19,084       1,200       3,918
TIMBERLAND CO                     COM   887100105       4,437     108,224  SH     DEFINED  01,08     108,224           0           0

TIMBERLINE SOFTWARE CORP          COM   887134104          14       2,292  SH     OTHER       01           0       2,292           0
TIMBERLINE SOFTWARE CORP          COM   887134104         123      20,510  SH     DEFINED  01,08      20,510           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    463
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TIME WARNER INC                   COM   887315109     255,594   3,266,373  SH     DEFINED     01   2,715,701     378,781     171,891
TIME WARNER INC                   COM   887315109      16,730     213,796  SH     OTHER       01     146,201      53,375      14,220
TIME WARNER INC                   COM   887315109       3,365      43,005  SH     DEFINED     02      22,577      18,078       2,350
TIME WARNER INC                   COM   887315109       1,133      14,474  SH     OTHER       02       4,409       7,935       2,130
TIME WARNER INC                   COM   887315109      25,860     330,475  SH     DEFINED     03     158,633     161,274      10,568
TIME WARNER INC                   COM   887315109       4,153      53,072  SH     OTHER       03      30,807      18,440       3,825
TIME WARNER INC                   COM   887315109      90,864   1,161,198  SH     DEFINED     04   1,104,228           0      56,970
TIME WARNER INC                   COM   887315109      29,544     377,555  SH     OTHER       04     354,130           0      23,425
TIME WARNER INC                   COM   887315109       4,254      54,360  SH     DEFINED     05      30,820      18,100       5,440
TIME WARNER INC                   COM   887315109         397       5,075  SH     OTHER       05       4,310         765           0
TIME WARNER INC                   COM   887315109     147,114   1,880,054  SH     DEFINED  01,08   1,880,054           0           0
TIME WARNER INC                   COM   887315109         706       9,025  SH     DEFINED     09       9,025           0           0
TIME WARNER INC                   COM   887315109          20         250  SH     OTHER       09           0         250           0
TIME WARNER INC                   COM   887315109       3,730      47,670  SH     DEFINED     10       5,780      41,840          50
TIME WARNER INC                   COM   887315109         149       1,900  SH     OTHER       10         750       1,150           0

TIME WARNER TELECOM INC           COM   887319101         206       4,270  SH     DEFINED     01       2,786           0       1,484
TIME WARNER TELECOM INC           COM   887319101          24         500  SH     DEFINED     04         500           0           0
TIME WARNER TELECOM INC           COM   887319101       3,909      80,915  SH     DEFINED  01,08      80,915           0           0

TIMKEN CO                         COM   887389104       1,766     129,045  SH     DEFINED     01     102,468      15,520      11,057
TIMKEN CO                         COM   887389104           0          24  SH     DEFINED     04          24           0           0
TIMKEN CO                         COM   887389104       1,372     100,241  SH     DEFINED  01,08     100,241           0           0

TIPPERARY CORP                    COM   888002300          44      12,214  SH     DEFINED  01,08      12,214           0           0

TITAN CORP                        COM   888266103         559      33,907  SH     DEFINED     01      32,297           0       1,610
TITAN CORP                        COM   888266103          45       2,700  SH     DEFINED     04       2,700           0           0
TITAN CORP                        COM   888266103       1,922     116,496  SH     DEFINED  01,08     116,496           0           0

TITAN INTL INC ILL                COM   88830M102         266      46,300  SH     DEFINED     01      19,500      26,800           0
TITAN INTL INC ILL                COM   88830M102           3         500  SH     DEFINED     04         500           0           0
TITAN INTL INC ILL                COM   88830M102         183      31,881  SH     DEFINED  01,08      31,881           0           0

TITAN PHARMACEUTICALS INC DEL     COM   888314101      17,265     265,609  SH     DEFINED     01     247,397           0      18,212
TITAN PHARMACEUTICALS INC DEL     COM   888314101       2,626      40,397  SH     DEFINED  01,08      40,397           0           0

TITANIUM METALS CORP              COM   888339108           1         100  SH     DEFINED     03           0         100           0
TITANIUM METALS CORP              COM   888339108         338      41,231  SH     DEFINED  01,08      41,231           0           0

TIVO INC                          COM   888706108         300      15,495  SH     DEFINED     01      15,225           0         270
TIVO INC                          COM   888706108           0           3  SH     OTHER       01           0           3           0
TIVO INC                          COM   888706108       1,049      54,130  SH     DEFINED  01,08      54,130           0           0

TODD SHIPYARDS CORP DEL           COM   889039103         164      23,831  SH     DEFINED  01,08      23,831           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    464
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TOLL BROTHERS INC                 COM   889478103       1,072      31,191  SH     DEFINED     01      24,121       1,400       5,670
TOLL BROTHERS INC                 COM   889478103       4,100     119,276  SH     DEFINED  01,08     119,276           0           0
TOLL BROTHERS INC                 COM   889478103          10         300  SH     DEFINED     10         300           0           0

TOLLGRADE COMMUNICATIONS INC      COM   889542106      15,944     114,858  SH     DEFINED     01     106,950           0       7,908
TOLLGRADE COMMUNICATIONS INC      COM   889542106       2,717      19,575  SH     DEFINED  01,08      19,575           0           0

TOO INC                           COM   890333107       8,772     369,363  SH     DEFINED     01     346,255           0      23,108
TOO INC                           COM   890333107           2          70  SH     DEFINED     03           0          70           0
TOO INC                           COM   890333107           0          14  SH     OTHER       04          14           0           0
TOO INC                           COM   890333107       1,010      42,529  SH     DEFINED  01,08      42,529           0           0

TOOTSIE ROLL INDS INC             COM   890516107         525      13,366  SH     DEFINED     01      11,362       1,091         913
TOOTSIE ROLL INDS INC             COM   890516107          46       1,176  SH     OTHER       01           0       1,176           0
TOOTSIE ROLL INDS INC             COM   890516107          26         669  SH     DEFINED     04         669           0           0
TOOTSIE ROLL INDS INC             COM   890516107          39       1,000  SH     OTHER       04       1,000           0           0
TOOTSIE ROLL INDS INC             COM   890516107       2,007      51,133  SH     DEFINED  01,08      51,133           0           0

TOPPS INC                         COM   890786106         408      44,424  SH     DEFINED     01      42,942           0       1,482
TOPPS INC                         COM   890786106          92      10,000  SH     DEFINED     04      10,000           0           0
TOPPS INC                         COM   890786106         803      87,412  SH     DEFINED  01,08      87,412           0           0

TORCHMARK CORP                    COM   891027104       6,488     233,284  SH     DEFINED     01     185,833      32,845      14,606
TORCHMARK CORP                    COM   891027104         337      12,100  SH     OTHER       01       6,000       6,000         100
TORCHMARK CORP                    COM   891027104           7         260  SH     OTHER       02           0         260           0
TORCHMARK CORP                    COM   891027104         188       6,750  SH     DEFINED     03       6,300         450           0
TORCHMARK CORP                    COM   891027104          39       1,400  SH     OTHER       03       1,400           0           0
TORCHMARK CORP                    COM   891027104          58       2,100  SH     DEFINED     04       2,100           0           0
TORCHMARK CORP                    COM   891027104         102       3,674  SH     OTHER       04       3,674           0           0
TORCHMARK CORP                    COM   891027104       5,520     198,482  SH     DEFINED  01,08     198,482           0           0
TORCHMARK CORP                    COM   891027104           5         190  SH     DEFINED     10           0         190           0

TOREADOR RES CORP                 COM   891050106         123      19,700  SH     DEFINED  01,08      19,700           0           0

TORO CO                           COM   891092108         263       8,347  SH     DEFINED     01       4,544       1,000       2,803
TORO CO                           COM   891092108           0           7  SH     DEFINED     03           7           0           0
TORO CO                           COM   891092108         172       5,450  SH     OTHER       04       5,450           0           0
TORO CO                           COM   891092108       1,181      37,502  SH     DEFINED  01,08      37,502           0           0

TOTAL CONTAINMENT INC             COM   89149T101          15      13,300  SH     DEFINED  01,08      13,300           0           0

TOSCO CORP                        COM   891490302       8,071     258,797  SH     DEFINED     01     206,837      37,208      14,752
TOSCO CORP                        COM   891490302          47       1,493  SH     OTHER       02       1,493           0           0
TOSCO CORP                        COM   891490302         136       4,350  SH     DEFINED     04       1,500           0       2,850
TOSCO CORP                        COM   891490302       7,034     225,554  SH     DEFINED  01,08     225,554           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    465
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TOTAL RENAL CARE HLDGS INC        COM   89151A107         343      45,798  SH     DEFINED     01      32,186           0      13,612
TOTAL RENAL CARE HLDGS INC        COM   89151A107         617      82,332  SH     DEFINED  01,08      82,332           0           0

TOTAL FINA ELF S A                COM   89151E109         338       4,599  SH     DEFINED     01         913       3,686           0
TOTAL FINA ELF S A                COM   89151E109         865      11,776  SH     OTHER       01         137       5,939       5,700
TOTAL FINA ELF S A                COM   89151E109           3          42  SH     DEFINED     02          42           0           0
TOTAL FINA ELF S A                COM   89151E109         427       5,816  SH     DEFINED     03         507       2,243       3,067
TOTAL FINA ELF S A                COM   89151E109          29         400  SH     OTHER       03           0         400           0
TOTAL FINA ELF S A                COM   89151E109         330       4,499  SH     DEFINED     04       4,499           0           0
TOTAL FINA ELF S A                COM   89151E109         176       2,400  SH     OTHER       04       2,400           0           0
TOTAL FINA ELF S A                COM   89151E109          19         255  SH     DEFINED     10         255           0           0

TOTAL-TEL USA COMMUNICATIONS      COM   89151T106          51      10,087  SH     DEFINED  01,08      10,087           0           0

TOWER AUTOMOTIVE INC              COM   891707101         252      26,932  SH     DEFINED     01      16,509       1,600       8,823
TOWER AUTOMOTIVE INC              COM   891707101         812      86,571  SH     DEFINED  01,08      86,571           0           0

TOTAL SYS SVCS INC                COM   891906109          49       2,924  SH     DEFINED     01       1,813           0       1,111
TOTAL SYS SVCS INC                COM   891906109       2,492     148,244  SH     DEFINED  01,08     148,244           0           0

TRACK DATA CORP                   COM   891918104          31      23,738  SH     DEFINED  01,08      23,738           0           0

TRACK N TRAIL INC                 COM   891924102           5      16,200  SH     DEFINED     04           0           0      16,200

TOWN & CTRY TR                    COM   892081100         296      16,430  SH     DEFINED     01      15,844           0         586
TOWN & CTRY TR                    COM   892081100          73       4,038  SH     DEFINED  01,08       4,038           0           0

TOYOTA MOTOR CORP                 COM   892331307         105       1,342  SH     DEFINED     02          52       1,290           0
TOYOTA MOTOR CORP                 COM   892331307          16         199  SH     OTHER       02         199           0           0
TOYOTA MOTOR CORP                 COM   892331307          92       1,170  SH     DEFINED     03           0       1,170           0
TOYOTA MOTOR CORP                 COM   892331307         503       6,406  SH     DEFINED     04       6,406           0           0
TOYOTA MOTOR CORP                 COM   892331307         118       1,500  SH     OTHER       04       1,500           0           0
TOYOTA MOTOR CORP                 COM   892331307           2          20  SH     DEFINED     10          20           0           0

TOYS R US INC                     COM   892335100       6,534     402,105  SH     DEFINED     01     317,478      66,734      17,893
TOYS R US INC                     COM   892335100           4         275  SH     OTHER       03         275           0           0
TOYS R US INC                     COM   892335100          24       1,464  SH     DEFINED     04         464           0       1,000
TOYS R US INC                     COM   892335100          49       3,019  SH     OTHER       04       3,019           0           0
TOYS R US INC                     COM   892335100          53       3,250  SH     DEFINED     05           0       3,250           0
TOYS R US INC                     COM   892335100       5,502     338,582  SH     DEFINED  01,08     338,582           0           0
TOYS R US INC                     COM   892335100       1,743     107,232  SH     DEFINED     10     107,232           0           0

TRACTOR SUPPLY CO                 COM   892356106          28       2,500  SH     DEFINED     01       2,500           0           0
TRACTOR SUPPLY CO                 COM   892356106         146      13,312  SH     DEFINED  01,08      13,312           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    466
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TRAMMELL CROW CO                  COM   89288R106         370      24,666  SH     DEFINED     01      10,028      10,000       4,638
TRAMMELL CROW CO                  COM   89288R106         831      55,406  SH     DEFINED  01,08      55,406           0           0

TRANSACT TECHNOLOGIES INC         COM   892918103          15       2,512  SH     DEFINED     04       2,512           0           0
TRANSACT TECHNOLOGIES INC         COM   892918103          78      13,054  SH     DEFINED  01,08      13,054           0           0

TRANS WORLD AIRLS INC             COM   893349837           4       2,000  SH     DEFINED     01           0       2,000           0
TRANS WORLD AIRLS INC             COM   893349837         148      78,033  SH     DEFINED  01,08      78,033           0           0

TRANS WORLD ENTMT CORP            COM   89336Q100         454      45,411  SH     DEFINED     01      40,591           0       4,820
TRANS WORLD ENTMT CORP            COM   89336Q100       1,031     103,104  SH     DEFINED  01,08     103,104           0           0

TRANSACTION SYS ARCHITECTS        COM   893416107         762      46,906  SH     DEFINED     01      44,553           0       2,353
TRANSACTION SYS ARCHITECTS        COM   893416107       1,558      95,889  SH     DEFINED  01,08      95,889           0           0

TRANSATLANTIC HLDGS INC           COM   893521104         241       2,602  SH     DEFINED     01       2,084           0         518
TRANSATLANTIC HLDGS INC           COM   893521104       4,620      49,944  SH     DEFINED  01,08      49,944           0           0

TRANSKARYOTIC THERAPIES INC       COM   893735100         848      19,690  SH     DEFINED     01      18,881           0         809
TRANSKARYOTIC THERAPIES INC       COM   893735100          11         250  SH     DEFINED     04           0           0         250
TRANSKARYOTIC THERAPIES INC       COM   893735100       1,431      33,231  SH     DEFINED  01,08      33,231           0           0

TRANSMATION INC                   COM   893757104          33      12,000  SH     DEFINED  01,08      12,000           0           0

TRANSMEDIA NETWORK INC            COM   893767301          19       5,000  SH     DEFINED     04       5,000           0           0
TRANSMEDIA NETWORK INC            COM   893767301           9       2,300  SH     OTHER       04       2,300           0           0
TRANSMEDIA NETWORK INC            COM   893767301          66      17,600  SH     DEFINED  01,08      17,600           0           0

TRANSPORT CORP OF AMER INC        COM   89385P102           6         900  SH     DEFINED     01         900           0           0
TRANSPORT CORP OF AMER INC        COM   89385P102          69      10,963  SH     DEFINED  01,08      10,963           0           0

TRANSPRO INC                      COM   893885103          50      14,401  SH     DEFINED  01,08      14,401           0           0

TRANSTECHNOLOGY CORP DEL          COM   893889105          26       4,200  SH     DEFINED     01       4,200           0           0
TRANSTECHNOLOGY CORP DEL          COM   893889105         101      16,467  SH     DEFINED  01,08      16,467           0           0

TRANSMONTAIGNE INC                COM   893934109          77      15,639  SH     DEFINED     01      10,568           0       5,071
TRANSMONTAIGNE INC                COM   893934109         224      45,431  SH     DEFINED  01,08      45,431           0           0

TRAVELOCITY COM INC               COM   893953109         194      13,689  SH     DEFINED     01      12,460           0       1,229
TRAVELOCITY COM INC               COM   893953109         131       9,225  SH     DEFINED     02           0           0       9,225
TRAVELOCITY COM INC               COM   893953109         277      19,499  SH     DEFINED  01,08      19,499           0           0

TRANSWITCH CORP                   COM   894065101      73,587   1,154,310  SH     DEFINED     01   1,120,500       9,200      24,610
TRANSWITCH CORP                   COM   894065101      14,205     222,828  SH     DEFINED  01,08     222,828           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    467
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TREDEGAR CORP                     COM   894650100         412      23,776  SH     DEFINED     01      20,070           0       3,706
TREDEGAR CORP                     COM   894650100       1,208      69,778  SH     DEFINED  01,08      69,778           0           0
TREDEGAR CORP                     COM   894650100          26       1,500  SH     DEFINED     10       1,500           0           0

TREGA BIOSCIENCES INC             COM   894699107          73      22,132  SH     DEFINED  01,08      22,132           0           0

TREMONT CORP                      COM   894745207           0           5  SH     DEFINED     04           5           0           0
TREMONT CORP                      COM   894745207         623      22,354  SH     DEFINED  01,08      22,354           0           0

TRENDWEST RESORTS INC             COM   894917103          61       3,648  SH     DEFINED     01       3,417           0         231
TRENDWEST RESORTS INC             COM   894917103         243      14,608  SH     DEFINED  01,08      14,608           0           0

TRENWICK GROUP INC                COM   895290104         516      27,166  SH     DEFINED     01      23,374           0       3,792
TRENWICK GROUP INC                COM   895290104         561      29,521  SH     DEFINED  01,08      29,521           0           0

TREX INC                          COM   89531P105         176       5,820  SH     DEFINED     01       5,620           0         200
TREX INC                          COM   89531P105         427      14,087  SH     DEFINED  01,08      14,087           0           0

TREX MED CORP                     COM   89531R101           0          10  SH     DEFINED     04          10           0           0
TREX MED CORP                     COM   89531R101          45      35,798  SH     DEFINED  01,08      35,798           0           0

TRI CONTL CORP                    COM   895436103         396      15,144  SH     DEFINED     01      13,890       1,254           0
TRI CONTL CORP                    COM   895436103          33       1,267  SH     OTHER       01       1,267           0           0
TRI CONTL CORP                    COM   895436103         128       4,895  SH     DEFINED     02           0       4,895           0
TRI CONTL CORP                    COM   895436103         228       8,709  SH     OTHER       02       2,422       2,410       3,877
TRI CONTL CORP                    COM   895436103         151       5,787  SH     DEFINED     04       5,787           0           0
TRI CONTL CORP                    COM   895436103          89       3,422  SH     OTHER       04       3,422           0           0
TRI CONTL CORP                    COM   895436103         189       7,246  SH     DEFINED     10       6,790         456           0

TRIAD HOSPITALS INC               COM   89579K109       1,353      46,062  SH     DEFINED     01      42,757          11       3,294
TRIAD HOSPITALS INC               COM   89579K109           1          36  SH     OTHER       01           0          36           0
TRIAD HOSPITALS INC               COM   89579K109           3          89  SH     DEFINED     04          89           0           0
TRIAD HOSPITALS INC               COM   89579K109       4,589     156,216  SH     DEFINED  01,08     156,216           0           0

TRIANGLE PHARMACEUTICALS INC      COM   89589H104         173      20,495  SH     DEFINED     01      15,196           0       5,299
TRIANGLE PHARMACEUTICALS INC      COM   89589H104         507      60,095  SH     DEFINED  01,08      60,095           0           0

TRIDENT MICROSYSTEMS INC          COM   895919108          43       4,700  SH     DEFINED     01       4,700           0           0
TRIDENT MICROSYSTEMS INC          COM   895919108         193      20,845  SH     DEFINED  01,08      20,845           0           0

TRIAD GTY INC                     COM   895925105         234       7,882  SH     DEFINED     01       5,688           0       2,194
TRIAD GTY INC                     COM   895925105         632      21,235  SH     DEFINED  01,08      21,235           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    468
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TRIARC COS INC                    COM   895927101         305      12,386  SH     DEFINED     01       9,427           0       2,959
TRIARC COS INC                    COM   895927101          22         900  SH     OTHER       04         900           0           0
TRIARC COS INC                    COM   895927101       1,792      72,775  SH     DEFINED  01,08      72,775           0           0

TRICON GLOBAL RESTAURANTS         COM   895953107       5,410     176,652  SH     DEFINED     01     160,452       1,778      14,422
TRICON GLOBAL RESTAURANTS         COM   895953107         217       7,094  SH     OTHER       01       3,214       3,670         210
TRICON GLOBAL RESTAURANTS         COM   895953107          12         385  SH     DEFINED     02         135         180          70
TRICON GLOBAL RESTAURANTS         COM   895953107          24         780  SH     OTHER       02         100         680           0
TRICON GLOBAL RESTAURANTS         COM   895953107          57       1,854  SH     DEFINED     03         100       1,704          50
TRICON GLOBAL RESTAURANTS         COM   895953107         254       8,295  SH     OTHER       03       7,330         605         360
TRICON GLOBAL RESTAURANTS         COM   895953107         255       8,337  SH     DEFINED     04       8,337           0           0
TRICON GLOBAL RESTAURANTS         COM   895953107         215       7,008  SH     OTHER       04       5,728           0       1,280
TRICON GLOBAL RESTAURANTS         COM   895953107          78       2,550  SH     OTHER       05          50       2,100         400
TRICON GLOBAL RESTAURANTS         COM   895953107       6,558     214,136  SH     DEFINED  01,08     214,136           0           0
TRICON GLOBAL RESTAURANTS         COM   895953107           3         100  SH     DEFINED     10           0         100           0

TRIBUNE CO NEW                    COM   896047107      31,296     717,384  SH     DEFINED     01     512,195     163,329      41,860
TRIBUNE CO NEW                    COM   896047107      38,537     883,381  SH     OTHER       01      68,000     804,041      11,340
TRIBUNE CO NEW                    COM   896047107          48       1,100  SH     DEFINED     02       1,100           0           0
TRIBUNE CO NEW                    COM   896047107         510      11,700  SH     OTHER       02       3,600           0       8,100
TRIBUNE CO NEW                    COM   896047107         407       9,332  SH     DEFINED     03       4,857       4,325         150
TRIBUNE CO NEW                    COM   896047107          70       1,600  SH     OTHER       03       1,000         600           0
TRIBUNE CO NEW                    COM   896047107     207,305   4,751,979  SH     DEFINED     04   4,747,079           0       4,900
TRIBUNE CO NEW                    COM   896047107       4,400     100,871  SH     OTHER       04      99,379           0       1,492
TRIBUNE CO NEW                    COM   896047107      20,173     462,422  SH     DEFINED  01,08     462,022           0         400
TRIBUNE CO NEW                    COM   896047107          64       1,465  SH     DEFINED     10       1,465           0           0

TRICO BANCSHARES                  COM   896095106         268      16,100  SH     DEFINED  01,08      16,100           0           0

TRICO MARINE SERVICES INC         COM   896106101         208      13,086  SH     DEFINED     01       9,184           0       3,902
TRICO MARINE SERVICES INC         COM   896106101         540      34,031  SH     DEFINED  01,08      34,031           0           0

TRICORD SYSTEMS INC               COM   896121100         261      17,470  SH     DEFINED     01      17,166           0         304
TRICORD SYSTEMS INC               COM   896121100         792      53,012  SH     DEFINED  01,08      53,012           0           0

TRIGON HEALTHCARE INC             COM   89618L100      10,069     191,562  SH     DEFINED     01     179,507         800      11,255
TRIGON HEALTHCARE INC             COM   89618L100       7,047     134,065  SH     DEFINED  01,08     134,065           0           0

TRIMARK HLDGS INC                 COM   89621J100         108      11,500  SH     DEFINED  01,08      11,500           0           0

TRIMBLE NAVIGATION LTD            COM   896239100         580      25,909  SH     DEFINED     01      23,597         400       1,912
TRIMBLE NAVIGATION LTD            COM   896239100         538      24,045  SH     DEFINED     02           0      24,045           0
TRIMBLE NAVIGATION LTD            COM   896239100          16         700  SH     DEFINED     03         200           0         500
TRIMBLE NAVIGATION LTD            COM   896239100       1,013      45,257  SH     DEFINED  01,08      45,257           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    469
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TRIMEDYNE INC                     COM   896259108           4       2,000  SH     DEFINED     02           0       2,000           0
TRIMEDYNE INC                     COM   896259108          23      12,100  SH     DEFINED  01,08      12,100           0           0

TRIMERIS INC                      COM   896263100       1,120      16,019  SH     DEFINED     01      15,638           0         381
TRIMERIS INC                      COM   896263100       5,224      74,690  SH     DEFINED  01,08      74,690           0           0

TRINITY INDS INC                  COM   896522109       1,081      46,253  SH     DEFINED     01      36,349       3,300       6,604
TRINITY INDS INC                  COM   896522109       2,581     110,438  SH     DEFINED  01,08     110,438           0           0

TRIQUINT SEMICONDUCTOR INC        COM   89674K103      22,988     630,900  SH     DEFINED     01     626,384           0       4,516
TRIQUINT SEMICONDUCTOR INC        COM   89674K103       7,713     211,676  SH     DEFINED  01,08     211,676           0           0

TRISTAR CORP                      COM   89674U101         109      18,945  SH     DEFINED  01,08      18,945           0           0

TRITEL INC                        COM   89675X104          15       1,024  SH     DEFINED     01         732           0         292
TRITEL INC                        COM   89675X104       2,262     158,071  SH     DEFINED  01,08     158,071           0           0

TRITON PCS HLDGS INC              COM   89677M106         333      12,100  SH     DEFINED     01       1,765       9,700         635
TRITON PCS HLDGS INC              COM   89677M106       2,102      76,448  SH     DEFINED  01,08      76,448           0           0

TRITON NETWORK SYS INC            COM   896775103          26       2,000  SH     OTHER       01           0           0       2,000
TRITON NETWORK SYS INC            COM   896775103         337      25,700  SH     DEFINED  01,08      25,700           0           0

TRIUMPH GROUP INC NEW             COM   896818101         246       6,861  SH     DEFINED     01       4,652           0       2,209
TRIUMPH GROUP INC NEW             COM   896818101         314       8,760  SH     DEFINED  01,08       8,760           0           0

TRIZETTO GROUP INC                COM   896882107         203      13,114  SH     DEFINED     01      12,881           0         233
TRIZETTO GROUP INC                COM   896882107         423      27,304  SH     DEFINED  01,08      27,304           0           0

TRIPOS INC                        COM   896928108         201       6,995  SH     DEFINED  01,08       6,995           0           0

TRIPATH IMAGING INC               COM   896942109         113      16,199  SH     DEFINED     01      16,199           0           0
TRIPATH IMAGING INC               COM   896942109          21       3,032  SH     OTHER       01           0       3,032           0
TRIPATH IMAGING INC               COM   896942109         280      40,049  SH     DEFINED  01,08      40,049           0           0

TROPICAL SPORTSWEAR INTL CORP     COM   89708P102         282      16,600  SH     DEFINED     01           0      16,600           0
TROPICAL SPORTSWEAR INTL CORP     COM   89708P102          42       2,475  SH     DEFINED  01,08       2,475           0           0

TROY GROUP INC                    COM   89733N106         547      78,900  SH     DEFINED     03           0           0      78,900
TROY GROUP INC                    COM   89733N106         159      22,939  SH     DEFINED  01,08      22,939           0           0

TRUE NORTH COMMUNICATIONS INC     COM   897844106         399      11,157  SH     DEFINED     01       4,870       1,700       4,587
TRUE NORTH COMMUNICATIONS INC     COM   897844106           4         100  SH     OTHER       04         100           0           0
TRUE NORTH COMMUNICATIONS INC     COM   897844106       3,628     101,480  SH     DEFINED  01,08     101,480           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    470
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TRUMP HOTELS & CASINO RESORTS     COM   898168109          58      23,300  SH     DEFINED  01,08      23,300           0           0

TRUST CO NJ JERSEY CITY NEW       COM   898304100         193      11,536  SH     DEFINED     01       8,745           0       2,791
TRUST CO NJ JERSEY CITY NEW       COM   898304100           0          27  SH     OTHER       02           0          27           0
TRUST CO NJ JERSEY CITY NEW       COM   898304100          11         640  SH     OTHER       04           0           0         640
TRUST CO NJ JERSEY CITY NEW       COM   898304100         942      56,231  SH     DEFINED  01,08      56,231           0           0

TRUSTCO BK CORP N Y               COM   898349105         770      62,539  SH     DEFINED     01      58,879           0       3,660
TRUSTCO BK CORP N Y               COM   898349105          62       5,004  SH     DEFINED     04       5,004           0           0
TRUSTCO BK CORP N Y               COM   898349105          84       6,832  SH     OTHER       04       6,832           0           0
TRUSTCO BK CORP N Y               COM   898349105       1,295     105,214  SH     DEFINED  01,08     105,214           0           0

TRUSTMARK CORP                    COM   898402102         703      36,031  SH     DEFINED     01      24,829           0      11,202
TRUSTMARK CORP                    COM   898402102       2,479     127,141  SH     DEFINED  01,08     127,141           0           0

TUBOS DE ACERO DE MEXICO S A      COM   898592506         293      17,500  SH     OTHER       01           0           0      17,500

TUCKER ANTHONY SUTRO              COM   898647102         273      10,750  SH     DEFINED     01       6,755           0       3,995
TUCKER ANTHONY SUTRO              COM   898647102         747      29,453  SH     DEFINED  01,08      29,453           0           0

TUESDAY MORNING CORP              COM   899035505          80      10,199  SH     DEFINED     01      10,018           0         181
TUESDAY MORNING CORP              COM   899035505         426      54,585  SH     DEFINED  01,08      54,585           0           0
TUESDAY MORNING CORP              COM   899035505           8       1,000  SH     DEFINED     10       1,000           0           0

TULARIK INC                       COM   899165104         499      15,134  SH     DEFINED     01      11,037       3,900         197
TULARIK INC                       COM   899165104       2,261      68,505  SH     DEFINED  01,08      68,505           0           0

TUMBLEWEED COMMUNICATIONS CORP    COM   899690101         691      13,540  SH     DEFINED     01       8,886       4,500         154
TUMBLEWEED COMMUNICATIONS CORP    COM   899690101       1,172      22,983  SH     OTHER       01           0       8,309      14,674
TUMBLEWEED COMMUNICATIONS CORP    COM   899690101           3          50  SH     DEFINED     04          50           0           0
TUMBLEWEED COMMUNICATIONS CORP    COM   899690101          23         450  SH     OTHER       04         450           0           0
TUMBLEWEED COMMUNICATIONS CORP    COM   899690101       1,886      36,980  SH     DEFINED  01,08      36,980           0           0

TUPPERWARE CORP                   COM   899896104       2,305     128,060  SH     DEFINED     01     118,770         519       8,771
TUPPERWARE CORP                   COM   899896104         262      14,550  SH     OTHER       01           0      14,550           0
TUPPERWARE CORP                   COM   899896104           7         374  SH     OTHER       02         374           0           0
TUPPERWARE CORP                   COM   899896104           3         150  SH     DEFINED     04         150           0           0
TUPPERWARE CORP                   COM   899896104          27       1,500  SH     OTHER       04       1,500           0           0
TUPPERWARE CORP                   COM   899896104       6,350     352,757  SH     DEFINED  01,08      92,822     259,935           0

TURBOCHEF TECHNOLOGIES INC        COM   900006107          54      17,855  SH     DEFINED  01,08      17,855           0           0

TURNSTONE SYSTEMS INC             COM   900423104          32         694  SH     DEFINED     01         330           0         364
TURNSTONE SYSTEMS INC             COM   900423104          16         338  SH     OTHER       01           0           0         338
TURNSTONE SYSTEMS INC             COM   900423104         656      14,154  SH     DEFINED  01,08      14,154           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    471
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TUSCARORA INC                     COM   900902107           2         150  SH     OTHER       04         150           0           0
TUSCARORA INC                     COM   900902107         309      22,508  SH     DEFINED  01,08      22,508           0           0

TUT SYSTEMS                       COM   901103101       1,433      16,598  SH     DEFINED     01      15,627         500         471
TUT SYSTEMS                       COM   901103101          82         951  SH     OTHER       01           0           0         951
TUT SYSTEMS                       COM   901103101       1,785      20,677  SH     DEFINED  01,08      20,677           0           0

TWEETER HOME ENTMT GROUP INC      COM   901167106      11,947     329,022  SH     DEFINED     01     307,040       1,300      20,682
TWEETER HOME ENTMT GROUP INC      COM   901167106         773      21,284  SH     DEFINED  01,08      21,284           0           0

21ST CENTY INS GROUP              COM   90130N103          69       4,075  SH     DEFINED     01       2,997           0       1,078
21ST CENTY INS GROUP              COM   90130N103       2,255     133,117  SH     DEFINED  01,08     133,117           0           0

24 / 7 MEDIA INC                  COM   901314104         191      18,897  SH     DEFINED     01      16,854           0       2,043
24 / 7 MEDIA INC                  COM   901314104         471      46,687  SH     DEFINED  01,08      46,687           0           0

TWIN DISC INC                     COM   901476101         172      10,263  SH     DEFINED  01,08      10,263           0           0

TWINLAB CORP                      COM   901774109          54      12,245  SH     DEFINED     01       8,562           0       3,683
TWINLAB CORP                      COM   901774109         209      47,805  SH     DEFINED  01,08      47,805           0           0

II VI INC                         COM   902104108         272      14,562  SH     DEFINED     01      14,398           0         164
II VI INC                         COM   902104108         404      21,620  SH     DEFINED  01,08      21,620           0           0

TYCO INTL LTD NEW                 COM   902124106     337,259   6,501,377  SH     DEFINED     01   4,578,612   1,562,926     359,839
TYCO INTL LTD NEW                 COM   902124106      16,473     317,546  SH     OTHER       01     180,746     107,546      29,254
TYCO INTL LTD NEW                 COM   902124106       3,659      70,532  SH     DEFINED     02      32,776      33,656       4,100
TYCO INTL LTD NEW                 COM   902124106       1,483      28,594  SH     OTHER       02      13,030       8,410       7,154
TYCO INTL LTD NEW                 COM   902124106      19,444     374,831  SH     DEFINED     03     161,782     192,609      20,440
TYCO INTL LTD NEW                 COM   902124106       4,503      86,803  SH     OTHER       03      38,197      45,161       3,445
TYCO INTL LTD NEW                 COM   902124106      87,880   1,694,078  SH     DEFINED     04   1,619,384           0      74,694
TYCO INTL LTD NEW                 COM   902124106      36,753     708,494  SH     OTHER       04     667,717           0      40,777
TYCO INTL LTD NEW                 COM   902124106      10,324     199,023  SH     DEFINED     05     138,448      48,300      12,275
TYCO INTL LTD NEW                 COM   902124106       1,186      22,860  SH     OTHER       05       8,510      14,350           0
TYCO INTL LTD NEW                 COM   902124106     126,658   2,441,602  SH     DEFINED  01,08   2,441,602           0           0
TYCO INTL LTD NEW                 COM   902124106         326       6,282  SH     DEFINED     09       6,282           0           0
TYCO INTL LTD NEW                 COM   902124106         185       3,570  SH     OTHER       09           0       3,570           0
TYCO INTL LTD NEW                 COM   902124106       5,845     112,668  SH     DEFINED     10      76,737      35,931           0
TYCO INTL LTD NEW                 COM   902124106       1,011      19,490  SH     OTHER       10       6,171      13,059         260

TYLER TECHNOLOGIES INC            COM   902252105         159      79,700  SH     DEFINED     01      79,700           0           0
TYLER TECHNOLOGIES INC            COM   902252105         153      76,358  SH     DEFINED  01,08      76,358           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    472
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

TYSON FOODS INC                   COM   902494103       1,404     140,356  SH     DEFINED     01     135,857       1,000       3,499
TYSON FOODS INC                   COM   902494103          18       1,750  SH     OTHER       04       1,750           0           0
TYSON FOODS INC                   COM   902494103       6,242     624,215  SH     DEFINED  01,08     624,215           0           0

UAL CORP                          COM   902549500         321       7,649  SH     DEFINED     01       6,534           0       1,115
UAL CORP                          COM   902549500           3          64  SH     OTHER       01          64           0           0
UAL CORP                          COM   902549500           4         100  SH     DEFINED     04         100           0           0
UAL CORP                          COM   902549500          12         291  SH     OTHER       04         291           0           0
UAL CORP                          COM   902549500       9,511     226,457  SH     DEFINED  01,08      43,157     183,300           0
UAL CORP                          COM   902549500         128       3,043  SH     DEFINED     09       3,043           0           0
UAL CORP                          COM   902549500           4         100  SH     OTHER       09           0         100           0

UCAR INTL INC                     COM   90262K109       1,229      96,877  SH     DEFINED     01      70,726      17,100       9,051
UCAR INTL INC                     COM   90262K109       1,667     131,399  SH     DEFINED  01,08     131,399           0           0

UCBH HOLDINGS INC                 COM   90262T308         285       7,970  SH     DEFINED     01       4,529       2,000       1,441
UCBH HOLDINGS INC                 COM   90262T308         527      14,704  SH     DEFINED  01,08      14,704           0           0

UGI CORP NEW                      COM   902681105         695      28,662  SH     DEFINED     01      22,074           0       6,588
UGI CORP NEW                      COM   902681105          12         500  SH     DEFINED     02         500           0           0
UGI CORP NEW                      COM   902681105          10         400  SH     OTHER       02         400           0           0
UGI CORP NEW                      COM   902681105          49       2,000  SH     DEFINED     04       2,000           0           0
UGI CORP NEW                      COM   902681105          25       1,019  SH     OTHER       04       1,019           0           0
UGI CORP NEW                      COM   902681105       1,887      77,827  SH     DEFINED  01,08      77,827           0           0

UICI                              COM   902737105         152      21,778  SH     DEFINED     01      15,208           0       6,570
UICI                              COM   902737105         533      76,209  SH     DEFINED  01,08      76,209           0           0

UIL HLDG CORP                     COM   902748102         996      19,367  SH     DEFINED     01      14,810       1,200       3,357
UIL HLDG CORP                     COM   902748102          26         500  SH     DEFINED     04         200           0         300
UIL HLDG CORP                     COM   902748102       1,463      28,439  SH     DEFINED  01,08      28,439           0           0

UMB FINL CORP                     COM   902788108         404      10,840  SH     DEFINED     01       8,052           0       2,788
UMB FINL CORP                     COM   902788108         179       4,805  SH     DEFINED     04       4,805           0           0
UMB FINL CORP                     COM   902788108       1,584      42,512  SH     DEFINED  01,08      42,512           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    473
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

USX MARATHON GROUP                COM   902905827      23,080     813,376  SH     DEFINED     01     689,270      93,213      30,893
USX MARATHON GROUP                COM   902905827         151       5,311  SH     OTHER       01       1,825       3,286         200
USX MARATHON GROUP                COM   902905827          14         500  SH     OTHER       02           0           0         500
USX MARATHON GROUP                COM   902905827           5         176  SH     DEFINED     03          81          95           0
USX MARATHON GROUP                COM   902905827          11         400  SH     OTHER       03           0         400           0
USX MARATHON GROUP                COM   902905827         107       3,775  SH     DEFINED     04       3,775           0           0
USX MARATHON GROUP                COM   902905827         231       8,130  SH     OTHER       04       7,130           0       1,000
USX MARATHON GROUP                COM   902905827          13         450  SH     DEFINED     05         450           0           0
USX MARATHON GROUP                COM   902905827      44,754   1,577,248  SH     DEFINED  01,08     485,459     884,648     207,141
USX MARATHON GROUP                COM   902905827          11         400  SH     DEFINED     10           0         400           0
USX MARATHON GROUP                COM   902905827          28       1,000  SH     OTHER       10           0       1,000           0

U S B HLDG INC                    COM   902910108          88       6,647  SH     DEFINED     01       5,016           0       1,631
U S B HLDG INC                    COM   902910108           6         462  SH     OTHER       04         462           0           0
U S B HLDG INC                    COM   902910108         161      12,070  SH     DEFINED  01,08      12,070           0           0

UST INC                           COM   902911106       5,336     233,273  SH     DEFINED     01     224,063       3,000       6,210
UST INC                           COM   902911106          87       3,800  SH     OTHER       01       3,800           0           0
UST INC                           COM   902911106          53       2,300  SH     OTHER       02       1,600         700           0
UST INC                           COM   902911106          16         700  SH     DEFINED     03         700           0           0
UST INC                           COM   902911106          94       4,100  SH     DEFINED     04       4,100           0           0
UST INC                           COM   902911106       5,327     232,866  SH     DEFINED  01,08     232,866           0           0
UST INC                           COM   902911106           2         100  SH     DEFINED     10         100           0           0

USA DETERGENTS INC                COM   902938109          66      20,800  SH     DEFINED  01,08      20,800           0           0

U S PLASTIC LMBR CORP             COM   902948108         228      59,227  SH     DEFINED  01,08      59,227           0           0

U S FRANCHISE SYS INC             COM   902956309          10       2,000  SH     DEFINED     01       2,000           0           0
U S FRANCHISE SYS INC             COM   902956309         109      22,484  SH     DEFINED  01,08      22,484           0           0

US BANCORP DEL                    COM   902973106      35,431   1,557,403  SH     DEFINED     01   1,267,649     212,265      77,489
US BANCORP DEL                    COM   902973106       1,535      67,456  SH     OTHER       01      33,636      33,167         653
US BANCORP DEL                    COM   902973106         721      31,674  SH     DEFINED     02      18,023      13,651           0
US BANCORP DEL                    COM   902973106         207       9,091  SH     OTHER       02       4,900       2,400       1,791
US BANCORP DEL                    COM   902973106         787      34,611  SH     DEFINED     03      32,215       2,396           0
US BANCORP DEL                    COM   902973106         406      17,854  SH     OTHER       03      12,097       5,757           0
US BANCORP DEL                    COM   902973106       1,173      51,553  SH     DEFINED     04      47,953           0       3,600
US BANCORP DEL                    COM   902973106       2,874     126,331  SH     OTHER       04      39,659           0      86,672
US BANCORP DEL                    COM   902973106          14         600  SH     DEFINED     05           0           0         600
US BANCORP DEL                    COM   902973106         205       9,000  SH     OTHER       05           0           0       9,000
US BANCORP DEL                    COM   902973106      27,056   1,189,278  SH     DEFINED  01,08   1,189,278           0           0
US BANCORP DEL                    COM   902973106           6         258  SH     DEFINED     09         258           0           0
US BANCORP DEL                    COM   902973106         515      22,643  SH     DEFINED     10         400      22,243           0
US BANCORP DEL                    COM   902973106          41       1,795  SH     OTHER       10           0       1,150         645

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    474
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

U S LIQUIDS INC                   COM   902974104          45      12,000  SH     DEFINED     04           0           0      12,000
U S LIQUIDS INC                   COM   902974104          75      19,960  SH     DEFINED  01,08      19,960           0           0

USA NETWORKS INC                  COM   902984103       3,543     161,506  SH     DEFINED     01     139,248       8,000      14,258
USA NETWORKS INC                  COM   902984103          24       1,100  SH     DEFINED     02           0       1,100           0
USA NETWORKS INC                  COM   902984103          66       3,000  SH     DEFINED     03           0           0       3,000
USA NETWORKS INC                  COM   902984103         357      16,284  SH     DEFINED     04      16,284           0           0
USA NETWORKS INC                  COM   902984103           9         400  SH     OTHER       04         400           0           0
USA NETWORKS INC                  COM   902984103          30       1,350  SH     DEFINED     05       1,350           0           0
USA NETWORKS INC                  COM   902984103       5,428     247,451  SH     DEFINED  01,08     247,451           0           0

URS CORP NEW                      COM   903236107         343      25,893  SH     DEFINED     01      22,762           0       3,131
URS CORP NEW                      COM   903236107          16       1,200  SH     OTHER       01           0       1,200           0
URS CORP NEW                      COM   903236107         385      29,090  SH     DEFINED  01,08      29,090           0           0

USANA HEALTH SCIENCES INC         COM   90328M107           3       1,000  SH     OTHER       04       1,000           0           0
USANA HEALTH SCIENCES INC         COM   90328M107          47      16,000  SH     DEFINED  01,08      16,000           0           0

U S CAN CORP                      COM   90328W105         150       7,547  SH     DEFINED     01       6,649           0         898
U S CAN CORP                      COM   90328W105         416      20,992  SH     DEFINED  01,08      20,992           0           0

U S G CORP                        COM   903293405       1,491      59,491  SH     DEFINED     01      52,712       1,000       5,779
U S G CORP                        COM   903293405          52       2,067  SH     OTHER       01       2,067           0           0
U S G CORP                        COM   903293405       3,372     134,561  SH     DEFINED  01,08     134,561           0           0

US LEC CORP                       COM   90331S109          84       9,788  SH     DEFINED     01       9,612           0         176
US LEC CORP                       COM   90331S109         139      16,246  SH     DEFINED  01,08      16,246           0           0

USEC INC                          COM   90333E108         240      56,501  SH     DEFINED     01      34,859       5,000      16,642
USEC INC                          COM   90333E108          30       7,000  SH     OTHER       04       7,000           0           0
USEC INC                          COM   90333E108         626     147,375  SH     DEFINED  01,08     147,375           0           0

U S CONCRETE INC                  COM   90333L102          12       1,600  SH     DEFINED     01       1,600           0           0
U S CONCRETE INC                  COM   90333L102          61       8,400  SH     DEFINED     04           0           0       8,400
U S CONCRETE INC                  COM   90333L102          52       7,113  SH     DEFINED  01,08       7,113           0           0

U S AGGREGATES INC                COM   90334D109       6,925     418,101  SH     DEFINED     01     382,340           0      35,761
U S AGGREGATES INC                COM   90334D109         341      20,600  SH     DEFINED  01,08      20,600           0           0

U S INTERACTIVE INC               COM   90334M109          44      17,283  SH     DEFINED     01      16,973           0         310
U S INTERACTIVE INC               COM   90334M109           0          35  SH     DEFINED     04          35           0           0
U S INTERACTIVE INC               COM   90334M109           0         100  SH     OTHER       04         100           0           0
U S INTERACTIVE INC               COM   90334M109          77      30,469  SH     DEFINED  01,08      30,469           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    475
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

USX-U S STL                       COM   90337T101       2,486     163,700  SH     DEFINED     01     125,415      34,954       3,331
USX-U S STL                       COM   90337T101          12         807  SH     OTHER       01         150         657           0
USX-U S STL                       COM   90337T101           2         133  SH     DEFINED     02         133           0           0
USX-U S STL                       COM   90337T101           0          14  SH     DEFINED     03          14           0           0
USX-U S STL                       COM   90337T101          16       1,040  SH     DEFINED     04       1,040           0           0
USX-U S STL                       COM   90337T101          18       1,200  SH     OTHER       04       1,200           0           0
USX-U S STL                       COM   90337T101           1          90  SH     DEFINED     05          90           0           0
USX-U S STL                       COM   90337T101       2,466     162,398  SH     DEFINED  01,08     162,398           0           0

U S XPRESS ENTERPRISES INC        COM   90338N103         434      68,746  SH     DEFINED  01,08      68,746           0           0

US ONCOLOGY INC                   COM   90338W103         498     109,962  SH     DEFINED     01      97,371           0      12,591
US ONCOLOGY INC                   COM   90338W103         279      61,500  SH     DEFINED     02       8,000      53,500           0
US ONCOLOGY INC                   COM   90338W103         742     163,817  SH     DEFINED  01,08     163,817           0           0

UTI ENERGY CORP                   COM   903387108         721      16,156  SH     DEFINED     01      14,304       1,300         552
UTI ENERGY CORP                   COM   903387108       1,265      28,356  SH     DEFINED  01,08      28,356           0           0

U S WIRELESS CORP                 COM   90339C106         209      13,157  SH     DEFINED     01      12,995           0         162
U S WIRELESS CORP                 COM   90339C106         100       6,306  SH     DEFINED  01,08       6,306           0           0

US SEARCH COM INC                 COM   903404101          35      28,212  SH     DEFINED  01,08      28,212           0           0

UBIQUITEL INC                     COM   903474302         706      78,400  SH     DEFINED  01,08      78,400           0           0

UGLY DUCKLING CORP                COM   903512101          96      16,500  SH     DEFINED     01      16,500           0           0
UGLY DUCKLING CORP                COM   903512101         118      20,300  SH     DEFINED  01,08      20,300           0           0

ULTICOM INC                       COM   903844108       7,194     152,661  SH     DEFINED     01     142,388           0      10,273
ULTICOM INC                       COM   903844108       2,047      43,442  SH     DEFINED  01,08      43,442           0           0

ULTIMATE ELECTRS INC              COM   903849107         355       8,632  SH     DEFINED     01       8,481           0         151
ULTIMATE ELECTRS INC              COM   903849107         709      17,243  SH     DEFINED  01,08      17,243           0           0

ULTIMATE SOFTWARE GROUP INC       COM   90385D107          18       2,000  SH     DEFINED     04       2,000           0           0
ULTIMATE SOFTWARE GROUP INC       COM   90385D107         200      22,428  SH     DEFINED  01,08      22,428           0           0

ULTRAK INC                        COM   903898401         103      16,523  SH     DEFINED  01,08      16,523           0           0

ULTRALIFE BATTERIES INC           COM   903899102           7         700  SH     OTHER       04         700           0           0
ULTRALIFE BATTERIES INC           COM   903899102         161      16,000  SH     DEFINED  01,08      14,500       1,500           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    476
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

USA ED INC                        COM   90390U102      11,314     234,797  SH     DEFINED     01     219,162       3,755      11,880
USA ED INC                        COM   90390U102          93       1,925  SH     OTHER       01           0       1,925           0
USA ED INC                        COM   90390U102         177       3,670  SH     DEFINED     02       2,275       1,395           0
USA ED INC                        COM   90390U102           5         100  SH     DEFINED     03         100           0           0
USA ED INC                        COM   90390U102          38         794  SH     OTHER       03         794           0           0
USA ED INC                        COM   90390U102          63       1,300  SH     DEFINED     04       1,300           0           0
USA ED INC                        COM   90390U102      11,283     234,155  SH     DEFINED  01,08     234,155           0           0
USA ED INC                        COM   90390U102           9         190  SH     DEFINED     10         190           0           0

ULTRAMAR DIAMOND SHAMROCK CORP    COM   904000106       1,540      60,696  SH     DEFINED     01      56,438           0       4,258
ULTRAMAR DIAMOND SHAMROCK CORP    COM   904000106           5         200  SH     DEFINED     02         200           0           0
ULTRAMAR DIAMOND SHAMROCK CORP    COM   904000106           9         374  SH     DEFINED     04           0           0         374
ULTRAMAR DIAMOND SHAMROCK CORP    COM   904000106       6,739     265,575  SH     DEFINED  01,08     265,575           0           0
ULTRAMAR DIAMOND SHAMROCK CORP    COM   904000106           8         300  SH     OTHER       10           0         300           0

ULTRATECH STEPPER INC             COM   904034105         608      37,849  SH     DEFINED     01      34,665           0       3,184
ULTRATECH STEPPER INC             COM   904034105         800      49,788  SH     DEFINED  01,08      49,788           0           0

UNI MARTS INC                     COM   904571304          39      19,300  SH     DEFINED  01,08      19,300           0           0

UNICAPITAL CORP NEW               COM   90459D108          42     386,472  SH     DEFINED     04     385,972           0         500
UNICAPITAL CORP NEW               COM   90459D108           2      22,481  SH     DEFINED  01,08      22,481           0           0

UNICO AMERN CORP                  COM   904607108          19       2,900  SH     DEFINED     01       2,900           0           0
UNICO AMERN CORP                  COM   904607108          67      10,100  SH     DEFINED  01,08      10,100           0           0

UNICOMP INC                       COM   90465L409          17      17,970  SH     DEFINED  01,08      17,970           0           0

UNIFI INC                         COM   904677101       1,017      99,850  SH     DEFINED     01      88,430           0      11,420
UNIFI INC                         COM   904677101          31       3,000  SH     OTHER       01           0       3,000           0
UNIFI INC                         COM   904677101       2,073     203,477  SH     DEFINED  01,08     203,477           0           0

UNIFIRST CORP MASS                COM   904708104         504      50,416  SH     DEFINED  01,08      50,416           0           0

UNIFY CORP                        COM   904743101          59      15,142  SH     DEFINED     01      14,851           0         291
UNIFY CORP                        COM   904743101           8       2,000  SH     DEFINED     04       2,000           0           0
UNIFY CORP                        COM   904743101         126      32,540  SH     DEFINED  01,08      32,540           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    477
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNILEVER N V                      COM   904784709      47,492     984,281  SH     DEFINED     01     778,241     151,053      54,987
UNILEVER N V                      COM   904784709       1,327      27,500  SH     OTHER       01      17,120       4,874       5,506
UNILEVER N V                      COM   904784709         139       2,885  SH     DEFINED     02       2,000         885           0
UNILEVER N V                      COM   904784709         315       6,533  SH     OTHER       02       2,620       3,913           0
UNILEVER N V                      COM   904784709         166       3,450  SH     DEFINED     03         700       2,750           0
UNILEVER N V                      COM   904784709          72       1,487  SH     OTHER       03         487       1,000           0
UNILEVER N V                      COM   904784709         243       5,036  SH     DEFINED     04       4,986           0          50
UNILEVER N V                      COM   904784709         559      11,585  SH     OTHER       04      11,585           0           0
UNILEVER N V                      COM   904784709           9         196  SH     DEFINED     05         196           0           0
UNILEVER N V                      COM   904784709          32         668  SH     OTHER       05           0         668           0
UNILEVER N V                      COM   904784709      39,258     813,628  SH     DEFINED  01,08     813,628           0           0
UNILEVER N V                      COM   904784709          52       1,071  SH     OTHER       10           0       1,071           0

UNIMARK GROUP INC                 COM   904789104           9      12,500  SH     DEFINED  01,08      12,500           0           0

UNION ACCEP CORP                  COM   904832102          65      11,033  SH     DEFINED  01,08      11,033           0           0

UNICOM CORP                       COM   904911104      20,071     357,224  SH     DEFINED     01     269,430      63,815      23,979
UNICOM CORP                       COM   904911104         811      14,431  SH     OTHER       01       5,372       8,759         300
UNICOM CORP                       COM   904911104           6         109  SH     DEFINED     02           0         109           0
UNICOM CORP                       COM   904911104          99       1,755  SH     OTHER       02         527       1,228           0
UNICOM CORP                       COM   904911104          89       1,585  SH     DEFINED     03         100       1,485           0
UNICOM CORP                       COM   904911104          27         485  SH     OTHER       03         485           0           0
UNICOM CORP                       COM   904911104         132       2,349  SH     DEFINED     04       2,349           0           0
UNICOM CORP                       COM   904911104         191       3,400  SH     OTHER       04       3,400           0           0
UNICOM CORP                       COM   904911104      15,228     271,022  SH     DEFINED  01,08     271,022           0           0
UNICOM CORP                       COM   904911104          21         375  SH     DEFINED     10           0         375           0
UNICOM CORP                       COM   904911104          28         500  SH     OTHER       10         500           0           0

UNIGRAPHICS SOLUTIONS INC         COM   904928108          96       4,885  SH     DEFINED     01       4,701           0         184
UNIGRAPHICS SOLUTIONS INC         COM   904928108         236      12,030  SH     DEFINED  01,08      12,030           0           0

UNION CARBIDE CORP                COM   905581104       9,336     247,317  SH     DEFINED     01     197,890      41,295       8,132
UNION CARBIDE CORP                COM   905581104          64       1,700  SH     OTHER       01         500       1,200           0
UNION CARBIDE CORP                COM   905581104          48       1,264  SH     DEFINED     02         600         664           0
UNION CARBIDE CORP                COM   905581104           1          30  SH     OTHER       02          30           0           0
UNION CARBIDE CORP                COM   905581104          14         375  SH     DEFINED     03           0         375           0
UNION CARBIDE CORP                COM   905581104         257       6,800  SH     DEFINED     04       4,300           0       2,500
UNION CARBIDE CORP                COM   905581104         346       9,174  SH     OTHER       04       8,674           0         500
UNION CARBIDE CORP                COM   905581104          34         900  SH     DEFINED     05         900           0           0
UNION CARBIDE CORP                COM   905581104       7,723     204,584  SH     DEFINED  01,08     204,584           0           0
UNION CARBIDE CORP                COM   905581104          15         400  SH     DEFINED     10         300         100           0
UNION CARBIDE CORP                COM   905581104          11         300  SH     OTHER       10         300           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    478
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNION PAC CORP                    COM   907818108      18,985     488,362  SH     DEFINED     01     383,264      82,121      22,977
UNION PAC CORP                    COM   907818108       2,086      53,649  SH     OTHER       01      30,757      19,472       3,420
UNION PAC CORP                    COM   907818108         364       9,371  SH     DEFINED     02       6,371       3,000           0
UNION PAC CORP                    COM   907818108         530      13,622  SH     OTHER       02       2,700      10,922           0
UNION PAC CORP                    COM   907818108         405      10,409  SH     DEFINED     03       6,600       3,809           0
UNION PAC CORP                    COM   907818108         495      12,731  SH     OTHER       03       8,904       1,727       2,100
UNION PAC CORP                    COM   907818108       1,164      29,949  SH     DEFINED     04      28,469           0       1,480
UNION PAC CORP                    COM   907818108       2,214      56,948  SH     OTHER       04      50,149           0       6,799
UNION PAC CORP                    COM   907818108          89       2,300  SH     DEFINED     05       2,300           0           0
UNION PAC CORP                    COM   907818108      15,588     400,975  SH     DEFINED  01,08     400,975           0           0
UNION PAC CORP                    COM   907818108         133       3,425  SH     OTHER       09         100       3,325           0
UNION PAC CORP                    COM   907818108          33         850  SH     DEFINED     10         400         450           0

UNION PLANTERS CORP               COM   908068109       7,873     238,136  SH     DEFINED     01     192,090      34,450      11,596
UNION PLANTERS CORP               COM   908068109           1          31  SH     OTHER       02          31           0           0
UNION PLANTERS CORP               COM   908068109       2,165      65,485  SH     DEFINED     04      65,485           0           0
UNION PLANTERS CORP               COM   908068109         663      20,047  SH     OTHER       04      20,047           0           0
UNION PLANTERS CORP               COM   908068109       6,971     210,852  SH     DEFINED  01,08     210,852           0           0
UNION PLANTERS CORP               COM   908068109          18         553  SH     DEFINED     10         553           0           0

UNIONBANCAL CORP                  COM   908906100         159       6,802  SH     DEFINED     01       5,344           0       1,458
UNIONBANCAL CORP                  COM   908906100       2,971     127,466  SH     DEFINED  01,08     127,466           0           0
UNIONBANCAL CORP                  COM   908906100          23       1,000  SH     DEFINED     10           0       1,000           0

UNIROYAL TECHNOLOGY CORP          COM   909163107         212      14,145  SH     DEFINED     01      13,898           0         247
UNIROYAL TECHNOLOGY CORP          COM   909163107          18       1,200  SH     DEFINED     04       1,200           0           0
UNIROYAL TECHNOLOGY CORP          COM   909163107       1,471      98,068  SH     OTHER       04      98,068           0           0
UNIROYAL TECHNOLOGY CORP          COM   909163107         392      26,158  SH     DEFINED  01,08      26,158           0           0

UNISOURCE ENERGY CORP             COM   909205106         362      22,128  SH     DEFINED     01      12,280       2,400       7,448
UNISOURCE ENERGY CORP             COM   909205106           3         160  SH     DEFINED     02          60         100           0
UNISOURCE ENERGY CORP             COM   909205106         324      19,800  SH     DEFINED     04       1,000           0      18,800
UNISOURCE ENERGY CORP             COM   909205106       1,065      65,043  SH     DEFINED  01,08      65,043           0           0

UNISYS CORP                       COM   909214108       6,201     551,187  SH     DEFINED     01     446,390      80,105      24,692
UNISYS CORP                       COM   909214108           3         258  SH     OTHER       01           0         258           0
UNISYS CORP                       COM   909214108           2         202  SH     DEFINED     03         202           0           0
UNISYS CORP                       COM   909214108          78       6,966  SH     DEFINED     04       6,966           0           0
UNISYS CORP                       COM   909214108          19       1,684  SH     OTHER       04       1,684           0           0
UNISYS CORP                       COM   909214108           1          70  SH     DEFINED     05          70           0           0
UNISYS CORP                       COM   909214108       5,533     491,810  SH     DEFINED  01,08     491,810           0           0

UNIT CORP                         COM   909218109         503      34,112  SH     DEFINED     01      31,663           0       2,449
UNIT CORP                         COM   909218109          18       1,222  SH     OTHER       01       1,222           0           0
UNIT CORP                         COM   909218109       1,095      74,241  SH     DEFINED  01,08      74,241           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    479
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNITED AUTO GROUP INC             COM   909440109         216      26,127  SH     DEFINED     01      24,824           0       1,303
UNITED AUTO GROUP INC             COM   909440109           2         200  SH     OTHER       01           0         200           0
UNITED AUTO GROUP INC             COM   909440109         224      27,212  SH     DEFINED  01,08      27,212           0           0

UNITED CMNTY FINL CORP OHIO       COM   909839102         125      19,093  SH     DEFINED     01      13,452           0       5,641
UNITED CMNTY FINL CORP OHIO       COM   909839102         182      27,720  SH     DEFINED  01,08      27,720           0           0

UNITED BANKSHARES INC WEST VA     COM   909907107         455      23,167  SH     DEFINED     01      15,746           0       7,421
UNITED BANKSHARES INC WEST VA     COM   909907107       1,625      82,794  SH     DEFINED  01,08      82,794           0           0

UNITED CAPITAL CORP               COM   909912107         196      12,734  SH     DEFINED  01,08      12,734           0           0

UNITED DOMINION INDS LTD          COM   909914103         178       7,500  SH     DEFINED     04       7,500           0           0
UNITED DOMINION INDS LTD          COM   909914103       1,594      67,295  SH     DEFINED  01,08      67,295           0           0

UNITED DOMINION REALTY TR INC     COM   910197102         760      69,931  SH     DEFINED     01      42,031       9,750      18,150
UNITED DOMINION REALTY TR INC     COM   910197102          83       7,600  SH     OTHER       01       7,600           0           0
UNITED DOMINION REALTY TR INC     COM   910197102          87       8,005  SH     DEFINED     02       6,430       1,575           0
UNITED DOMINION REALTY TR INC     COM   910197102           9         800  SH     OTHER       02           0         800           0
UNITED DOMINION REALTY TR INC     COM   910197102          48       4,400  SH     OTHER       03           0       4,400           0
UNITED DOMINION REALTY TR INC     COM   910197102          74       6,800  SH     DEFINED     04       6,800           0           0
UNITED DOMINION REALTY TR INC     COM   910197102         152      14,000  SH     OTHER       04      14,000           0           0
UNITED DOMINION REALTY TR INC     COM   910197102         287      26,350  SH     DEFINED  01,08      26,350           0           0

UNITED FIRE & CAS CO              COM   910331107         116       6,750  SH     DEFINED     01       6,750           0           0
UNITED FIRE & CAS CO              COM   910331107          87       5,031  SH     DEFINED     02       5,031           0           0
UNITED FIRE & CAS CO              COM   910331107          29       1,687  SH     OTHER       04           0           0       1,687
UNITED FIRE & CAS CO              COM   910331107         555      32,147  SH     DEFINED  01,08      32,147           0           0

UNITED GUARDIAN INC               COM   910571108           0          79  SH     DEFINED     04          79           0           0
UNITED GUARDIAN INC               COM   910571108         102      19,984  SH     DEFINED  01,08      19,984           0           0

UNITED INDL CORP                  COM   910671106         187      17,200  SH     DEFINED     01      17,200           0           0
UNITED INDL CORP                  COM   910671106         487      44,757  SH     DEFINED     04      44,757           0           0
UNITED INDL CORP                  COM   910671106         342      31,418  SH     DEFINED  01,08      31,418           0           0

UNITED NATL BANCORP N J           COM   910909100         216      12,185  SH     DEFINED     01      10,515           0       1,670
UNITED NATL BANCORP N J           COM   910909100          30       1,699  SH     DEFINED     04       1,699           0           0
UNITED NATL BANCORP N J           COM   910909100         458      25,779  SH     DEFINED  01,08      25,779           0           0

UNITED NAT FOODS INC              COM   911163103         116       9,348  SH     DEFINED     01       8,067           0       1,281
UNITED NAT FOODS INC              COM   911163103         389      31,398  SH     DEFINED  01,08      31,398           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    480
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNITED PARCEL SERVICE INC         COM   911312106      12,523     222,139  SH     DEFINED     01      95,018     119,263       7,858
UNITED PARCEL SERVICE INC         COM   911312106       2,193      38,899  SH     OTHER       01      18,379      16,443       4,077
UNITED PARCEL SERVICE INC         COM   911312106       1,452      25,753  SH     DEFINED     02      11,983      10,559       3,211
UNITED PARCEL SERVICE INC         COM   911312106         215       3,819  SH     OTHER       02         826       2,617         376
UNITED PARCEL SERVICE INC         COM   911312106       3,762      66,732  SH     DEFINED     03      20,813      40,209       5,710
UNITED PARCEL SERVICE INC         COM   911312106         584      10,361  SH     OTHER       03       4,107       5,139       1,115
UNITED PARCEL SERVICE INC         COM   911312106       6,155     109,187  SH     DEFINED     04     104,762           0       4,425
UNITED PARCEL SERVICE INC         COM   911312106       4,261      75,581  SH     OTHER       04      66,544           0       9,037
UNITED PARCEL SERVICE INC         COM   911312106         405       7,180  SH     DEFINED     05       5,830         600         750
UNITED PARCEL SERVICE INC         COM   911312106           6         100  SH     OTHER       05           0         100           0
UNITED PARCEL SERVICE INC         COM   911312106       5,287      93,784  SH     DEFINED  01,08      93,784           0           0
UNITED PARCEL SERVICE INC         COM   911312106         377       6,683  SH     DEFINED     09       6,683           0           0
UNITED PARCEL SERVICE INC         COM   911312106           0           5  SH     OTHER       09           5           0           0
UNITED PARCEL SERVICE INC         COM   911312106          32         576  SH     DEFINED     10         576           0           0

UNITED RENTALS INC                COM   911363109         599      24,828  SH     DEFINED     01      21,189           0       3,639
UNITED RENTALS INC                COM   911363109          48       2,000  SH     DEFINED     04       2,000           0           0
UNITED RENTALS INC                COM   911363109         121       5,000  SH     OTHER       04       5,000           0           0
UNITED RENTALS INC                COM   911363109       3,858     159,924  SH     DEFINED  01,08     159,924           0           0
UNITED RENTALS INC                COM   911363109           5         192  SH     DEFINED     10           0         192           0

UNITED RETAIL GROUP INC           COM   911380103         116      21,100  SH     DEFINED  01,08      21,100           0           0

UNITED SEC BANCORPORATION WASH    COM   91146A101         150      15,245  SH     DEFINED  01,08      15,245           0           0

UNITED SHIPPING & TECHNOLOGY      COM   911498103          85      21,048  SH     DEFINED  01,08      21,048           0           0

UNITED STATES CELLULAR CORP       COM   911684108       1,848      26,407  SH     DEFINED     01      26,000           0         407
UNITED STATES CELLULAR CORP       COM   911684108          42         605  SH     DEFINED     03           0         605           0
UNITED STATES CELLULAR CORP       COM   911684108       4,633      66,181  SH     DEFINED  01,08      66,181           0           0

U S ENERGY CORP WYO               COM   911805109          30      14,804  SH     DEFINED  01,08      14,804           0           0

US AIRWAYS GROUP INC              COM   911905107       2,993      98,336  SH     DEFINED     01      92,258         125       5,953
US AIRWAYS GROUP INC              COM   911905107          15         500  SH     DEFINED     03         500           0           0
US AIRWAYS GROUP INC              COM   911905107          40       1,315  SH     DEFINED     04       1,315           0           0
US AIRWAYS GROUP INC              COM   911905107       2,946      96,795  SH     DEFINED  01,08      96,795           0           0

UNITED STATES LIME & MINERALS     COM   911922102          87      13,395  SH     DEFINED  01,08      13,395           0           0

U S INDS INC NEW                  COM   912080108         510      51,336  SH     DEFINED     01      37,970           0      13,366
U S INDS INC NEW                  COM   912080108           0          15  SH     OTHER       01          15           0           0
U S INDS INC NEW                  COM   912080108           8         830  SH     OTHER       04         830           0           0
U S INDS INC NEW                  COM   912080108       1,432     144,090  SH     DEFINED  01,08     144,090           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    481
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNITED STATIONERS INC             COM   913004107       1,979      73,625  SH     DEFINED     01      50,715       9,999      12,911
UNITED STATIONERS INC             COM   913004107       1,987      73,949  SH     DEFINED  01,08      73,949           0           0

UNITED TECHNOLOGIES CORP          COM   913017109      74,873   1,081,203  SH     DEFINED     01     854,966     176,208      50,029
UNITED TECHNOLOGIES CORP          COM   913017109       5,809      83,880  SH     OTHER       01      51,163      18,917      13,800
UNITED TECHNOLOGIES CORP          COM   913017109         269       3,887  SH     DEFINED     02       1,520       2,367           0
UNITED TECHNOLOGIES CORP          COM   913017109         401       5,797  SH     OTHER       02       5,307         300         190
UNITED TECHNOLOGIES CORP          COM   913017109       4,781      69,040  SH     DEFINED     03      34,560      31,130       3,350
UNITED TECHNOLOGIES CORP          COM   913017109       1,613      23,298  SH     OTHER       03      16,823       2,725       3,750
UNITED TECHNOLOGIES CORP          COM   913017109       6,115      88,297  SH     DEFINED     04      86,762           0       1,535
UNITED TECHNOLOGIES CORP          COM   913017109       7,034     101,567  SH     OTHER       04      96,305           0       5,262
UNITED TECHNOLOGIES CORP          COM   913017109       1,598      23,077  SH     DEFINED     05      15,680       6,516         881
UNITED TECHNOLOGIES CORP          COM   913017109         167       2,407  SH     OTHER       05         933         874         600
UNITED TECHNOLOGIES CORP          COM   913017109      48,292     697,354  SH     DEFINED  01,08     697,354           0           0
UNITED TECHNOLOGIES CORP          COM   913017109          62         900  SH     DEFINED     09         900           0           0
UNITED TECHNOLOGIES CORP          COM   913017109         231       3,330  SH     OTHER       09         300       3,030           0
UNITED TECHNOLOGIES CORP          COM   913017109       5,730      82,737  SH     DEFINED     10      14,432      68,305           0
UNITED TECHNOLOGIES CORP          COM   913017109         640       9,242  SH     OTHER       10       3,300       5,942           0

UNITED TELEVISION INC             COM   913066106         611       4,158  SH     DEFINED     01       3,986           0         172
UNITED TELEVISION INC             COM   913066106          37         250  SH     DEFINED     04         250           0           0
UNITED TELEVISION INC             COM   913066106       3,532      24,024  SH     DEFINED  01,08      24,024           0           0

UNITED THERAPEUTICS CORP DEL      COM   91307C102       1,296      14,829  SH     DEFINED     01      14,589           0         240
UNITED THERAPEUTICS CORP DEL      COM   91307C102       2,542      29,095  SH     DEFINED  01,08      29,095           0           0

UNITED WIS SVCS INC NEW           COM   913238101         143      28,500  SH     DEFINED     01      28,500           0           0
UNITED WIS SVCS INC NEW           COM   913238101           1         158  SH     OTHER       04         158           0           0
UNITED WIS SVCS INC NEW           COM   913238101         130      25,973  SH     DEFINED  01,08      25,973           0           0

UNITEDHEALTH GROUP INC            COM   91324P102      42,078     426,102  SH     DEFINED     01     353,916      49,560      22,626
UNITEDHEALTH GROUP INC            COM   91324P102          10         100  SH     OTHER       01           0           0         100
UNITEDHEALTH GROUP INC            COM   91324P102           6          62  SH     DEFINED     02           0          62           0
UNITEDHEALTH GROUP INC            COM   91324P102          20         200  SH     OTHER       02         200           0           0
UNITEDHEALTH GROUP INC            COM   91324P102          13         135  SH     DEFINED     03         135           0           0
UNITEDHEALTH GROUP INC            COM   91324P102         177       1,789  SH     DEFINED     04       1,289           0         500
UNITEDHEALTH GROUP INC            COM   91324P102      25,469     257,909  SH     DEFINED  01,08     257,909           0           0
UNITEDHEALTH GROUP INC            COM   91324P102          49         500  SH     DEFINED     10         500           0           0
UNITEDHEALTH GROUP INC            COM   91324P102          79         800  SH     OTHER       10           0         800           0

UNITEDGLOBALCOM                   COM   913247508         259       8,618  SH     DEFINED     01       6,318           0       2,300
UNITEDGLOBALCOM                   COM   913247508          30       1,000  SH     DEFINED     04       1,000           0           0
UNITEDGLOBALCOM                   COM   913247508          15         500  SH     OTHER       04         500           0           0
UNITEDGLOBALCOM                   COM   913247508       1,961      65,365  SH     DEFINED  01,08      65,365           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    482
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNITIL CORP                       COM   913259107         117       4,500  SH     DEFINED     01       4,500           0           0
UNITIL CORP                       COM   913259107         235       9,024  SH     DEFINED  01,08       9,024           0           0

UNITRIN INC                       COM   913275103       1,522      48,025  SH     DEFINED     01      45,449       1,200       1,376
UNITRIN INC                       COM   913275103         137       4,320  SH     DEFINED     04       4,320           0           0
UNITRIN INC                       COM   913275103         406      12,800  SH     OTHER       04      12,800           0           0
UNITRIN INC                       COM   913275103       5,881     185,595  SH     DEFINED  01,08     185,595           0           0

UNIVERSAL ACCESS INC              COM   913363107       2,994     254,845  SH     DEFINED     01     254,346           4         495
UNIVERSAL ACCESS INC              COM   913363107           0           3  SH     OTHER       01           0           3           0
UNIVERSAL ACCESS INC              COM   913363107         202      17,151  SH     DEFINED  01,08      17,151           0           0

UNIVERSAL AMERN FINL CORP         COM   913377107          89      21,255  SH     DEFINED  01,08      21,255           0           0

UNIVERSAL COMPRESSION HLDGS       COM   913431102         185       5,978  SH     DEFINED     01       5,362           0         616
UNIVERSAL COMPRESSION HLDGS       COM   913431102         356      11,517  SH     DEFINED  01,08      11,517           0           0

UNIVERSAL CORP VA                 COM   913456109       1,452      49,417  SH     DEFINED     01      43,911           0       5,506
UNIVERSAL CORP VA                 COM   913456109         376      12,800  SH     DEFINED     03           0           0      12,800
UNIVERSAL CORP VA                 COM   913456109       1,956      66,576  SH     DEFINED  01,08      66,576           0           0

UNIVERSAL DISPLAY CORP            COM   91347P105         284      12,894  SH     DEFINED     01      12,670           0         224
UNIVERSAL DISPLAY CORP            COM   91347P105         110       5,000  SH     DEFINED     04       5,000           0           0
UNIVERSAL DISPLAY CORP            COM   91347P105         390      17,693  SH     DEFINED  01,08      17,693           0           0

UNIVERSAL ELECTRS INC             COM   913483103         713      29,479  SH     DEFINED     01      29,233           0         246
UNIVERSAL ELECTRS INC             COM   913483103         460      19,008  SH     DEFINED  01,08      19,008           0           0

UNIVERSAL FOODS CORP              COM   913538104       1,130      55,458  SH     DEFINED     01      45,291       1,145       9,022
UNIVERSAL FOODS CORP              COM   913538104       2,888     141,739  SH     DEFINED  01,08     141,739           0           0

UNIVERSAL FST PRODS INC           COM   913543104          84       7,332  SH     DEFINED     01       4,336           0       2,996
UNIVERSAL FST PRODS INC           COM   913543104         410      35,882  SH     DEFINED  01,08      35,882           0           0

UNIVERSAL HLTH SVCS INC           COM   913903100      13,964     163,089  SH     DEFINED     01     149,941       1,000      12,148
UNIVERSAL HLTH SVCS INC           COM   913903100       8,263      96,506  SH     DEFINED  01,08      96,506           0           0

UNO RESTAURANT CORP               COM   914900105          45       6,600  SH     DEFINED     01       6,600           0           0
UNO RESTAURANT CORP               COM   914900105         233      34,226  SH     DEFINED  01,08      34,226           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    483
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

UNIVISION COMMUNICATIONS INC      COM   914906102      15,755     421,532  SH     DEFINED     01     401,352       1,400      18,780
UNIVISION COMMUNICATIONS INC      COM   914906102          30         800  SH     DEFINED     02         250         350         200
UNIVISION COMMUNICATIONS INC      COM   914906102       2,223      59,474  SH     DEFINED     03      19,855      29,795       9,824
UNIVISION COMMUNICATIONS INC      COM   914906102         125       3,350  SH     OTHER       03       3,350           0           0
UNIVISION COMMUNICATIONS INC      COM   914906102       2,149      57,490  SH     DEFINED     04      54,890           0       2,600
UNIVISION COMMUNICATIONS INC      COM   914906102         532      14,230  SH     OTHER       04      13,880           0         350
UNIVISION COMMUNICATIONS INC      COM   914906102      21,238     568,252  SH     DEFINED  01,08     568,252           0           0
UNIVISION COMMUNICATIONS INC      COM   914906102         632      16,922  SH     DEFINED     10      15,522       1,400           0
UNIVISION COMMUNICATIONS INC      COM   914906102           7         200  SH     OTHER       10           0         200           0

UNIVIEW TECHNOLOGIES CORP         COM   915282206          31      12,487  SH     DEFINED  01,08      12,487           0           0

UNOCAL CORP                       COM   915289102      16,211     457,467  SH     DEFINED     01     373,268      63,239      20,960
UNOCAL CORP                       COM   915289102         417      11,758  SH     OTHER       01      11,658           0         100
UNOCAL CORP                       COM   915289102          79       2,238  SH     DEFINED     02       2,086           0         152
UNOCAL CORP                       COM   915289102         111       3,142  SH     OTHER       02       1,350       1,792           0
UNOCAL CORP                       COM   915289102          60       1,705  SH     DEFINED     03         100       1,605           0
UNOCAL CORP                       COM   915289102         304       8,571  SH     OTHER       03       1,891           0       6,680
UNOCAL CORP                       COM   915289102         186       5,249  SH     DEFINED     04       5,249           0           0
UNOCAL CORP                       COM   915289102         775      21,856  SH     OTHER       04      20,006           0       1,850
UNOCAL CORP                       COM   915289102          28         800  SH     DEFINED     05         800           0           0
UNOCAL CORP                       COM   915289102         106       3,000  SH     OTHER       05       3,000           0           0
UNOCAL CORP                       COM   915289102      38,863   1,096,674  SH     DEFINED  01,08     393,435     543,041     160,198
UNOCAL CORP                       COM   915289102          12         337  SH     DEFINED     10           0         337           0

UNOVA INC                         COM   91529B106         229      58,196  SH     DEFINED     01      33,527      17,100       7,569
UNOVA INC                         COM   91529B106           0          64  SH     OTHER       01          64           0           0
UNOVA INC                         COM   91529B106           4         964  SH     DEFINED     02         964           0           0
UNOVA INC                         COM   91529B106           2         400  SH     OTHER       04         400           0           0
UNOVA INC                         COM   91529B106         351      89,158  SH     DEFINED  01,08      89,158           0           0

UNUMPROVIDENT CORP                COM   91529Y106      11,441     419,870  SH     DEFINED     01     340,418      65,312      14,140
UNUMPROVIDENT CORP                COM   91529Y106         358      13,140  SH     OTHER       01      13,140           0           0
UNUMPROVIDENT CORP                COM   91529Y106          54       1,988  SH     DEFINED     03       1,988           0           0
UNUMPROVIDENT CORP                COM   91529Y106         432      15,856  SH     DEFINED     04      15,856           0           0
UNUMPROVIDENT CORP                COM   91529Y106         109       4,016  SH     OTHER       04       4,016           0           0
UNUMPROVIDENT CORP                COM   91529Y106       9,801     359,665  SH     DEFINED  01,08     359,665           0           0
UNUMPROVIDENT CORP                COM   91529Y106          11         400  SH     OTHER       10           0         400           0

UPROAR INC                        COM   916706104           8       2,099  SH     DEFINED     01       1,777           0         322
UPROAR INC                        COM   916706104          75      20,037  SH     DEFINED  01,08      20,037           0           0

USFREIGHTWAYS CORP                COM   916906100         374      16,502  SH     DEFINED     01      10,725           0       5,777
USFREIGHTWAYS CORP                COM   916906100       1,360      59,943  SH     DEFINED  01,08      59,943           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    484
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

URBAN OUTFITTERS INC              COM   917047102         179      17,300  SH     DEFINED     01           0      17,300           0
URBAN OUTFITTERS INC              COM   917047102           2         200  SH     DEFINED     04           0           0         200
URBAN OUTFITTERS INC              COM   917047102         230      22,206  SH     DEFINED  01,08      22,206           0           0

URBAN SHOPPING CTRS INC           COM   917060105         528      11,106  SH     DEFINED     01       9,122           0       1,984
URBAN SHOPPING CTRS INC           COM   917060105         120       2,526  SH     DEFINED  01,08       2,526           0           0

UROCOR INC                        COM   91727P105           9       1,157  SH     OTHER       01           0           0       1,157
UROCOR INC                        COM   91727P105          98      12,200  SH     DEFINED  01,08      12,200           0           0

UROLOGIX INC                      COM   917273104          10       1,300  SH     DEFINED     04       1,300           0           0
UROLOGIX INC                      COM   917273104         119      14,900  SH     DEFINED  01,08      14,900           0           0

USBANCORP INC PA                  COM   917292104          88      22,486  SH     DEFINED  01,08      22,486           0           0

USDATA CORP                       COM   917294100           1         200  SH     DEFINED     03           0         200           0
USDATA CORP                       COM   917294100          72      16,829  SH     DEFINED  01,08      16,829           0           0

USINTERNETWORKING INC             COM   917311805         390      58,416  SH     DEFINED     01      21,279           0      37,137
USINTERNETWORKING INC             COM   917311805           2         300  SH     DEFINED     03           0         300           0
USINTERNETWORKING INC             COM   917311805         812     121,654  SH     DEFINED  01,08     121,654           0           0

UTAH MED PRODS INC                COM   917488108          14       1,900  SH     DEFINED     01       1,900           0           0
UTAH MED PRODS INC                COM   917488108          59       8,000  SH     OTHER       04       8,000           0           0
UTAH MED PRODS INC                COM   917488108          41       5,555  SH     DEFINED  01,08       5,555           0           0

VDI MULTIMEDIA                    COM   917916108          56      10,311  SH     DEFINED  01,08      10,311           0           0

VI TECHNOLOGIES INC               COM   917920100         127      18,744  SH     DEFINED  01,08      18,744           0           0

UTILICORP UTD INC                 COM   918005109       1,682      64,998  SH     DEFINED     01      60,273         568       4,157
UTILICORP UTD INC                 COM   918005109          39       1,500  SH     OTHER       01           0       1,500           0
UTILICORP UTD INC                 COM   918005109          10         391  SH     DEFINED     02           0         391           0
UTILICORP UTD INC                 COM   918005109          39       1,500  SH     OTHER       02       1,500           0           0
UTILICORP UTD INC                 COM   918005109           8         300  SH     DEFINED     03         300           0           0
UTILICORP UTD INC                 COM   918005109          31       1,182  SH     OTHER       03           0       1,182           0
UTILICORP UTD INC                 COM   918005109         145       5,594  SH     DEFINED     04       5,594           0           0
UTILICORP UTD INC                 COM   918005109          58       2,250  SH     OTHER       04       2,250           0           0
UTILICORP UTD INC                 COM   918005109       6,646     256,849  SH     DEFINED  01,08     256,849           0           0
UTILICORP UTD INC                 COM   918005109           4         150  SH     DEFINED     10         150           0           0

UTILX CORP                        COM   918031105         115      18,956  SH     DEFINED  01,08      18,956           0           0

UTSTARCOM INC                     COM   918076100          38       1,797  SH     DEFINED     01         912         600         285
UTSTARCOM INC                     COM   918076100         180       8,593  SH     DEFINED  01,08       8,593           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    485
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VA LINUX SYSTEMS INC              COM   91819B105          46         992  SH     DEFINED     01         752           0         240
VA LINUX SYSTEMS INC              COM   91819B105           5         100  SH     OTHER       04         100           0           0
VA LINUX SYSTEMS INC              COM   91819B105       2,660      57,520  SH     DEFINED  01,08      57,520           0           0

V F CORP                          COM   918204108       4,863     196,977  SH     DEFINED     01     164,696      28,941       3,340
V F CORP                          COM   918204108          25       1,000  SH     DEFINED     02           0       1,000           0
V F CORP                          COM   918204108           2         100  SH     DEFINED     03           0         100           0
V F CORP                          COM   918204108           2         100  SH     DEFINED     04         100           0           0
V F CORP                          COM   918204108          84       3,400  SH     OTHER       04       2,800           0         600
V F CORP                          COM   918204108           2          70  SH     DEFINED     05          70           0           0
V F CORP                          COM   918204108       4,208     170,451  SH     DEFINED  01,08     170,451           0           0
V F CORP                          COM   918204108         770      31,200  SH     DEFINED     10      31,200           0           0

VIB CORP                          COM   91823H106          84      13,737  SH     DEFINED     03           0      13,737           0
VIB CORP                          COM   91823H106          14       2,281  SH     DEFINED  01,08       2,281           0           0

V-ONE CORP                        COM   918278102          57      23,989  SH     DEFINED  01,08      23,989           0           0

VSI HLDGS INC                     COM   918322108          84      22,750  SH     DEFINED  01,08      22,750           0           0

VTEL CORP                         COM   918333105          53      21,632  SH     DEFINED     01      21,632           0           0
VTEL CORP                         COM   918333105         100      40,994  SH     DEFINED  01,08      40,994           0           0

VYYO INC                          COM   918458100       1,706      56,882  SH     DEFINED     01      44,775      11,800         307
VYYO INC                          COM   918458100          29         950  SH     DEFINED     04         950           0           0
VYYO INC                          COM   918458100       1,232      41,073  SH     DEFINED  01,08      41,073           0           0

VAIL RESORTS INC                  COM   91879Q109         188       9,300  SH     DEFINED     01       6,877           0       2,423
VAIL RESORTS INC                  COM   91879Q109         616      30,400  SH     DEFINED  01,08      30,400           0           0

VALASSIS COMMUNICATIONS INC       COM   918866104         926      41,616  SH     DEFINED     01      32,985       6,400       2,231
VALASSIS COMMUNICATIONS INC       COM   918866104         197       8,850  SH     OTHER       01           0       8,850           0
VALASSIS COMMUNICATIONS INC       COM   918866104          22         997  SH     DEFINED     02           0         997           0
VALASSIS COMMUNICATIONS INC       COM   918866104       3,499     157,252  SH     DEFINED  01,08     157,252           0           0

VALHI INC NEW                     COM   918905100          61       4,822  SH     DEFINED     01       3,520           0       1,302
VALHI INC NEW                     COM   918905100       2,429     193,338  SH     DEFINED  01,08     193,338           0           0

VALENCE TECHNOLOGY INC            COM   918914102         912      52,849  SH     DEFINED     01      50,328         300       2,221
VALENCE TECHNOLOGY INC            COM   918914102         667      38,660  SH     DEFINED  01,08      38,660           0           0

VALENTIS INC                      COM   91913E104         252      30,548  SH     DEFINED     01      29,027       1,000         521
VALENTIS INC                      COM   91913E104         361      43,762  SH     DEFINED  01,08      43,762           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    486
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VALERO ENERGY CORP NEW            COM   91913Y100       1,645      46,749  SH     DEFINED     01      38,839       4,500       3,410
VALERO ENERGY CORP NEW            COM   91913Y100          32         920  SH     DEFINED     02         920           0           0
VALERO ENERGY CORP NEW            COM   91913Y100          35       1,000  SH     DEFINED     03           0       1,000           0
VALERO ENERGY CORP NEW            COM   91913Y100          44       1,254  SH     DEFINED     04       1,254           0           0
VALERO ENERGY CORP NEW            COM   91913Y100       8,076     229,515  SH     DEFINED  01,08     229,515           0           0

VALLEY NATL BANCORP               COM   919794107         203       7,450  SH     DEFINED     01       5,706           0       1,744
VALLEY NATL BANCORP               COM   919794107           7         264  SH     OTHER       01           0         264           0
VALLEY NATL BANCORP               COM   919794107         472      17,278  SH     DEFINED     04      17,278           0           0
VALLEY NATL BANCORP               COM   919794107         214       7,828  SH     OTHER       04       7,828           0           0
VALLEY NATL BANCORP               COM   919794107       3,996     146,301  SH     DEFINED  01,08     146,301           0           0

VALMONT INDS INC                  COM   920253101         293      14,767  SH     DEFINED     01      12,328           0       2,439
VALMONT INDS INC                  COM   920253101         838      42,171  SH     DEFINED  01,08      42,171           0           0

VALSPAR CORP                      COM   920355104       1,261      54,871  SH     DEFINED     01      51,923           0       2,948
VALSPAR CORP                      COM   920355104         276      12,000  SH     OTHER       01           0      12,000           0
VALSPAR CORP                      COM   920355104          14         600  SH     OTHER       02           0         600           0
VALSPAR CORP                      COM   920355104          23       1,000  SH     OTHER       04       1,000           0           0
VALSPAR CORP                      COM   920355104       2,812     122,300  SH     DEFINED  01,08     122,300           0           0

VALUE CITY DEPT STORES INC        COM   920387107         309      37,451  SH     DEFINED     01      34,774           0       2,677
VALUE CITY DEPT STORES INC        COM   920387107         473      57,323  SH     DEFINED  01,08      57,323           0           0

VALUE LINE INC                    COM   920437100          38       1,077  SH     DEFINED     01         754           0         323
VALUE LINE INC                    COM   920437100         938      26,747  SH     DEFINED  01,08      26,747           0           0

VALUECLICK INC                    COM   92046N102          25       3,955  SH     DEFINED     01       3,885           0          70
VALUECLICK INC                    COM   92046N102          44       6,908  SH     DEFINED  01,08       6,908           0           0

VALUEVISION INTL INC              COM   92047K107       1,067      42,449  SH     DEFINED     01      40,954           0       1,495
VALUEVISION INTL INC              COM   92047K107       1,526      60,746  SH     DEFINED  01,08      60,746           0           0

VAN KAMPEN MUN INCOME TR       UNDEFIND 920909108           0       4,836         OTHER       03       2,418           0       2,418
VAN KAMPEN MUN INCOME TR       UNDEFIND 920909108          92      10,955         DEFINED     04      10,955           0           0
VAN KAMPEN MUN INCOME TR       UNDEFIND 920909108          49       5,800         OTHER       04       5,800           0           0

VAN KAMPEN HIGH INCOME TR      UNDEFIND 920911104          87      18,305         OTHER       04      18,305           0           0

VAN KAMPEN MUN TR              UNDEFIND 920919107           1      10,355         DEFINED     01       1,365       8,990           0
VAN KAMPEN MUN TR              UNDEFIND 920919107         386      30,005         DEFINED     04      30,005           0           0
VAN KAMPEN MUN TR              UNDEFIND 920919107         240      18,649         OTHER       04      18,649           0           0

VAN KAMPEN FLA QUALITY MUN TR  UNDEFIND 920921103         180      12,869         DEFINED     04      12,869           0           0
VAN KAMPEN FLA QUALITY MUN TR  UNDEFIND 920921103          49       3,500         OTHER       04       3,500           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    487
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VAN KAMPEN TR INSD MUNS        UNDEFIND 920928108           2      10,523         DEFINED     01       7,223       3,300           0
VAN KAMPEN TR INSD MUNS        UNDEFIND 920928108           0       1,200         DEFINED     02       1,200           0           0
VAN KAMPEN TR INSD MUNS        UNDEFIND 920928108          31       2,100         DEFINED     04       2,100           0           0

VAN KAMPEN TR INVT GRADE MUNS  UNDEFIND 920929106           0         667         DEFINED     01         667           0           0
VAN KAMPEN TR INVT GRADE MUNS  UNDEFIND 920929106           0       2,000         OTHER       01           0       2,000           0
VAN KAMPEN TR INVT GRADE MUNS  UNDEFIND 920929106         367      26,834         DEFINED     04      26,834           0           0
VAN KAMPEN TR INVT GRADE MUNS  UNDEFIND 920929106         160      11,700         OTHER       04      11,700           0           0

VAN KAMPEN TR INVT FLA MUNS    UNDEFIND 920932100           0          98         DEFINED     01           0          98           0
VAN KAMPEN TR INVT FLA MUNS    UNDEFIND 920932100         221      15,668         DEFINED     04       8,342           0       7,326
VAN KAMPEN TR INVT FLA MUNS    UNDEFIND 920932100          54       3,800         OTHER       04       3,800           0           0

VAN KAMPEN MUN OPPORTUNITY TR  UNDEFIND 920935103           0       1,000         OTHER       01           0       1,000           0
VAN KAMPEN MUN OPPORTUNITY TR  UNDEFIND 920935103          47       3,334         DEFINED     04       3,334           0           0
VAN KAMPEN MUN OPPORTUNITY TR  UNDEFIND 920935103         167      11,800         OTHER       04      11,800           0           0

VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105           0       3,448         DEFINED     01           0       3,448           0
VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105           0       3,400         OTHER       01       3,400           0           0
VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105           0         500         DEFINED     03           0         500           0
VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105           2      19,700         OTHER       03           0      19,700           0
VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105           7         602         DEFINED     04         602           0           0
VAN KAMPEN MUN OPPORTUNITY II  UNDEFIND 920944105         139      11,525         OTHER       04       8,000           0       3,525

VAN KAMPEN BD FD               UNDEFIND 920955101           4      23,500         DEFINED     01       1,500      22,000           0
VAN KAMPEN BD FD               UNDEFIND 920955101           0       1,200         DEFINED     02       1,200           0           0
VAN KAMPEN BD FD               UNDEFIND 920955101           0          25         OTHER       03          25           0           0
VAN KAMPEN BD FD               UNDEFIND 920955101          19       1,125         DEFINED     04       1,125           0           0
VAN KAMPEN BD FD               UNDEFIND 920955101           3         200         OTHER       04         200           0           0
VAN KAMPEN BD FD               UNDEFIND 920955101           0       1,000         DEFINED     05       1,000           0           0

VAN KAMPEN INCOME TR           UNDEFIND 920957107           2      33,500         DEFINED     01           0      33,500           0
VAN KAMPEN INCOME TR           UNDEFIND 920957107          16       2,500         DEFINED     04       2,500           0           0

VAN KAMPEN SENIOR INCOME TR    UNDEFIND 920961109           1      10,000         OTHER       01      10,000           0           0
VAN KAMPEN SENIOR INCOME TR    UNDEFIND 920961109          70       8,000         OTHER       04       8,000           0           0

VAN KAMPEN VALUE MUN INCOME TR UNDEFIND 921132106           2      15,099         DEFINED     01           0      15,099           0

VANS INC                          COM   921930103         161      10,490  SH     DEFINED     01       9,591           0         899
VANS INC                          COM   921930103         123       8,000  SH     DEFINED     04           0           0       8,000
VANS INC                          COM   921930103         352      22,905  SH     DEFINED  01,08      22,905           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    488
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VARCO INTL INC DEL                COM   922122106       1,436      69,007  SH     DEFINED     01      57,408       5,493       6,106
VARCO INTL INC DEL                COM   922122106          83       4,000  SH     DEFINED     03           0       4,000           0
VARCO INTL INC DEL                COM   922122106           3         142  SH     OTHER       03           0         142           0
VARCO INTL INC DEL                COM   922122106         250      12,000  SH     DEFINED     04       4,000           0       8,000
VARCO INTL INC DEL                COM   922122106       5,263     252,894  SH     DEFINED  01,08     252,894           0           0

VARIAGENICS INC                   COM   922196100         614      27,450  SH     DEFINED  01,08      27,450           0           0

VARIAN MED SYS INC                COM   92220P105       1,866      41,299  SH     DEFINED     01      32,739       5,800       2,760
VARIAN MED SYS INC                COM   92220P105          25         560  SH     DEFINED     04         560           0           0
VARIAN MED SYS INC                COM   92220P105       1,920      42,496  SH     DEFINED  01,08      42,496           0           0

VARIAN INC                        COM   922206107       1,715      39,836  SH     DEFINED     01      38,759           0       1,077
VARIAN INC                        COM   922206107          22         500  SH     DEFINED     04         500           0           0
VARIAN INC                        COM   922206107       2,108      48,942  SH     DEFINED  01,08      48,942           0           0

VARIAN SEMICONDUCTOR EQUIPMNT     COM   922207105       1,280      34,188  SH     DEFINED     01      33,133           0       1,055
VARIAN SEMICONDUCTOR EQUIPMNT     COM   922207105          19         500  SH     DEFINED     04         500           0           0
VARIAN SEMICONDUCTOR EQUIPMNT     COM   922207105       1,652      44,135  SH     DEFINED  01,08      44,135           0           0
VARIAN SEMICONDUCTOR EQUIPMNT     COM   922207105          11         300  SH     OTHER       09         300           0           0

VASCO DATA SEC INTL INC           COM   92230Y104         664      41,661  SH     DEFINED     01      11,267      30,000         394
VASCO DATA SEC INTL INC           COM   92230Y104         132       8,303  SH     DEFINED  01,08       8,303           0           0

VASOMEDICAL INC                   COM   922321104         250      51,365  SH     DEFINED     01      50,474           0         891
VASOMEDICAL INC                   COM   922321104           2         500  SH     OTHER       04         500           0           0
VASOMEDICAL INC                   COM   922321104         159      32,516  SH     DEFINED  01,08      32,516           0           0

VAXGEN INC                        COM   922390208         155       6,615  SH     DEFINED     01       5,934           0         681
VAXGEN INC                        COM   922390208         194       8,316  SH     DEFINED  01,08       8,316           0           0

VECTREN CORP                      COM   92240G101       2,585     127,264  SH     DEFINED     01     110,032       5,500      11,732
VECTREN CORP                      COM   92240G101         235      11,549  SH     OTHER       01       4,618       6,931           0
VECTREN CORP                      COM   92240G101           8         399  SH     DEFINED     02         399           0           0
VECTREN CORP                      COM   92240G101          69       3,399  SH     OTHER       02           0       3,399           0
VECTREN CORP                      COM   92240G101          60       2,940  SH     DEFINED     04       2,940           0           0
VECTREN CORP                      COM   92240G101         290      14,301  SH     OTHER       04      14,301           0           0
VECTREN CORP                      COM   92240G101       3,618     178,097  SH     DEFINED  01,08     178,097           0           0
VECTREN CORP                      COM   92240G101           7         351  SH     DEFINED     10           0         351           0

VECTOR GROUP LTD                  COM   92240M108         159       9,157  SH     DEFINED     01       7,289           0       1,868
VECTOR GROUP LTD                  COM   92240M108       1,189      68,438  SH     DEFINED  01,08      68,438           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    489
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VEECO INSTRS INC DEL              COM   922417100       2,883      27,131  SH     DEFINED     01      26,509           0         622
VEECO INSTRS INC DEL              COM   922417100         298       2,800  SH     DEFINED     04           0           0       2,800
VEECO INSTRS INC DEL              COM   922417100       6,897      64,903  SH     DEFINED  01,08      64,903           0           0

VENTAS INC                        COM   92276F100         306      61,180  SH     DEFINED     01      60,101           0       1,079
VENTAS INC                        COM   92276F100           3         650  SH     OTHER       04         650           0           0
VENTAS INC                        COM   92276F100         479      95,884  SH     DEFINED  01,08      95,884           0           0

VENTANA MED SYS INC               COM   92276H106         266      10,464  SH     DEFINED     01       9,999           0         465
VENTANA MED SYS INC               COM   92276H106          13         500  SH     OTHER       04         500           0           0
VENTANA MED SYS INC               COM   92276H106         569      22,429  SH     DEFINED  01,08      22,429           0           0

VENTIV HEALTH INC                 COM   922793104         291      23,047  SH     DEFINED     01      22,276           0         771
VENTIV HEALTH INC                 COM   922793104         552      43,712  SH     DEFINED  01,08      43,712           0           0

VENTRO CORP                       COM   922815105         237      21,564  SH     DEFINED     01      20,830           0         734
VENTRO CORP                       COM   922815105         562      51,124  SH     DEFINED  01,08      51,124           0           0

VENATOR GROUP INC                 COM   922944103       1,246     100,694  SH     DEFINED     01      56,025      19,200      25,469
VENATOR GROUP INC                 COM   922944103         173      14,000  SH     DEFINED     03      14,000           0           0
VENATOR GROUP INC                 COM   922944103           5         400  SH     DEFINED     04         400           0           0
VENATOR GROUP INC                 COM   922944103          14       1,124  SH     OTHER       04       1,124           0           0
VENATOR GROUP INC                 COM   922944103       2,635     212,891  SH     DEFINED  01,08     212,891           0           0

VERAMARK TECHNOLOGIES INC         COM   923351100          35      11,085  SH     DEFINED  01,08      11,085           0           0

VERITY INC                        COM   92343C106       8,650     242,381  SH     DEFINED     01     222,991       1,200      18,190
VERITY INC                        COM   92343C106       1,620      45,400  SH     DEFINED  01,08      45,400           0           0

VERISIGN INC                      COM   92343E102      38,391     189,529  SH     DEFINED     01     161,479      13,786      14,264
VERISIGN INC                      COM   92343E102       6,831      33,722  SH     OTHER       01           0       1,259      32,463
VERISIGN INC                      COM   92343E102         304       1,500  SH     OTHER       02           0       1,500           0
VERISIGN INC                      COM   92343E102       2,012       9,934  SH     DEFINED     03       4,005       3,865       2,064
VERISIGN INC                      COM   92343E102       1,537       7,588  SH     OTHER       03         500       7,088           0
VERISIGN INC                      COM   92343E102      15,357      75,813  SH     DEFINED     04      73,388           0       2,425
VERISIGN INC                      COM   92343E102       5,006      24,712  SH     OTHER       04      22,692           0       2,020
VERISIGN INC                      COM   92343E102      37,491     185,086  SH     DEFINED  01,08     185,086           0           0
VERISIGN INC                      COM   92343E102          28         139  SH     DEFINED     10         139           0           0

VERITAS DGC INC                   COM   92343P107         822      28,422  SH     DEFINED     01      23,879       1,500       3,043
VERITAS DGC INC                   COM   92343P107       1,394      48,190  SH     DEFINED  01,08      48,190           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    490
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VERIZON COMMUNICATIONS            COM   92343V104     268,072   5,534,439  SH     DEFINED     01   4,371,841     824,625     337,973
VERIZON COMMUNICATIONS            COM   92343V104      18,626     384,535  SH     OTHER       01     149,955     217,261      17,319
VERIZON COMMUNICATIONS            COM   92343V104       4,869     100,531  SH     DEFINED     02      63,288      30,073       7,170
VERIZON COMMUNICATIONS            COM   92343V104       4,640      95,785  SH     OTHER       02      49,739      40,569       5,477
VERIZON COMMUNICATIONS            COM   92343V104      10,487     216,498  SH     DEFINED     03     129,946      70,111      16,441
VERIZON COMMUNICATIONS            COM   92343V104       4,356      89,932  SH     OTHER       03      56,365      26,614       6,953
VERIZON COMMUNICATIONS            COM   92343V104      27,063     558,723  SH     DEFINED     04     534,997           0      23,726
VERIZON COMMUNICATIONS            COM   92343V104      27,312     563,858  SH     OTHER       04     524,066           0      39,792
VERIZON COMMUNICATIONS            COM   92343V104       1,508      31,137  SH     DEFINED     05      30,710           0         427
VERIZON COMMUNICATIONS            COM   92343V104         508      10,488  SH     OTHER       05       6,548       3,940           0
VERIZON COMMUNICATIONS            COM   92343V104     236,107   4,874,510  SH     DEFINED  01,08   4,261,388     506,567     106,555
VERIZON COMMUNICATIONS            COM   92343V104         272       5,620  SH     DEFINED     09       5,620           0           0
VERIZON COMMUNICATIONS            COM   92343V104         115       2,364  SH     OTHER       09       1,534         830           0
VERIZON COMMUNICATIONS            COM   92343V104       2,363      48,779  SH     DEFINED     10      28,949      19,830           0
VERIZON COMMUNICATIONS            COM   92343V104       1,208      24,937  SH     OTHER       10       3,892      20,617         428

VERILINK CORP                     COM   923432108          21       4,500  SH     DEFINED     01       4,500           0           0
VERILINK CORP                     COM   923432108          90      19,412  SH     DEFINED  01,08      19,412           0           0

VERITAS SOFTWARE CO               COM   923436109     174,659   1,229,990  SH     DEFINED     01   1,106,624      56,374      66,992
VERITAS SOFTWARE CO               COM   923436109       1,140       8,030  SH     OTHER       01       1,840       5,540         650
VERITAS SOFTWARE CO               COM   923436109          14         100  SH     DEFINED     02         100           0           0
VERITAS SOFTWARE CO               COM   923436109      12,218      86,039  SH     DEFINED     03      31,738      48,524       5,777
VERITAS SOFTWARE CO               COM   923436109       1,980      13,944  SH     OTHER       03       2,808       8,761       2,375
VERITAS SOFTWARE CO               COM   923436109      37,958     267,310  SH     DEFINED     04     259,813           0       7,497
VERITAS SOFTWARE CO               COM   923436109       7,732      54,452  SH     OTHER       04      52,732           0       1,720
VERITAS SOFTWARE CO               COM   923436109       2,290      16,125  SH     DEFINED     05       5,900       9,000       1,225
VERITAS SOFTWARE CO               COM   923436109          85         600  SH     OTHER       05         200         400           0
VERITAS SOFTWARE CO               COM   923436109      91,615     645,178  SH     DEFINED  01,08     645,178           0           0
VERITAS SOFTWARE CO               COM   923436109          21         150  SH     DEFINED     09         150           0           0
VERITAS SOFTWARE CO               COM   923436109         795       5,601  SH     DEFINED     10       5,001         600           0

VERTEL CORP                       COM   924907108         269      29,090  SH     DEFINED     01      28,096         500         494
VERTEL CORP                       COM   924907108           5         500  SH     OTHER       04         500           0           0
VERTEL CORP                       COM   924907108         382      41,344  SH     DEFINED  01,08      41,344           0           0

VERSANT CORP                      COM   925284101          80      17,226  SH     DEFINED  01,08      17,226           0           0

VERSAR INC                        COM   925297103          30      15,438  SH     DEFINED  01,08      15,438           0           0

VERSATA INC                       COM   925298101         108       4,057  SH     DEFINED     01       3,986           0          71
VERSATA INC                       COM   925298101          93       3,507  SH     DEFINED  01,08       3,507           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    491
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VERTEX PHARMACEUTICALS INC        COM   92532F100         792       9,374  SH     DEFINED     01       2,634       1,600       5,140
VERTEX PHARMACEUTICALS INC        COM   92532F100         389       4,600  SH     OTHER       01       4,600           0           0
VERTEX PHARMACEUTICALS INC        COM   92532F100           8         100  SH     DEFINED     03           0         100           0
VERTEX PHARMACEUTICALS INC        COM   92532F100       7,400      87,572  SH     DEFINED  01,08      87,572           0           0

VERTICALNET INC                   COM   92532L107         259       7,371  SH     DEFINED     01       3,979         100       3,292
VERTICALNET INC                   COM   92532L107          14         400  SH     OTHER       03           0         400           0
VERTICALNET INC                   COM   92532L107           4         100  SH     DEFINED     04         100           0           0
VERTICALNET INC                   COM   92532L107          14         400  SH     OTHER       04         400           0           0
VERTICALNET INC                   COM   92532L107       3,834     109,148  SH     DEFINED  01,08     109,148           0           0
VERTICALNET INC                   COM   92532L107           8         226  SH     DEFINED     10          26         200           0

VERTEX INTERACTIVE INC            COM   925322109         215      11,761  SH     DEFINED     01      11,552           0         209
VERTEX INTERACTIVE INC            COM   925322109         136       7,445  SH     DEFINED  01,08       7,445           0           0

VESTA INS GROUP INC               COM   925391104           4         800  SH     DEFINED     04         800           0           0
VESTA INS GROUP INC               COM   925391104         171      31,862  SH     DEFINED  01,08      31,862           0           0

VIALINK CO                        COM   92552Q101         162      18,270  SH     DEFINED     01      17,966           0         304
VIALINK CO                        COM   92552Q101         208      23,454  SH     DEFINED  01,08      23,454           0           0

VIAD CORP                         COM   92552R109       1,840      69,281  SH     DEFINED     01      63,226       1,200       4,855
VIAD CORP                         COM   92552R109          12         456  SH     OTHER       01         456           0           0
VIAD CORP                         COM   92552R109         130       4,905  SH     DEFINED     02           0       4,905           0
VIAD CORP                         COM   92552R109          30       1,142  SH     OTHER       02         508         634           0
VIAD CORP                         COM   92552R109       6,893     259,496  SH     DEFINED  01,08     259,496           0           0
VIAD CORP                         COM   92552R109         374      14,076  SH     DEFINED     10      14,076           0           0

VIASAT INC                        COM   92552V100         385      17,212  SH     DEFINED     01      16,134         400         678
VIASAT INC                        COM   92552V100          22       1,000  SH     DEFINED     03           0           0       1,000
VIASAT INC                        COM   92552V100         531      23,734  SH     DEFINED  01,08      23,734           0           0

VIACOM INC                        COM   925524100         156       2,674  SH     DEFINED     01       1,512       1,062         100
VIACOM INC                        COM   925524100         234       4,000  SH     OTHER       01       3,500         500           0
VIACOM INC                        COM   925524100       1,490      25,478  SH     DEFINED     03      11,675      12,378       1,425
VIACOM INC                        COM   925524100          60       1,025  SH     OTHER       03         125         900           0
VIACOM INC                        COM   925524100         884      15,118  SH     DEFINED     04      15,018           0         100
VIACOM INC                        COM   925524100         165       2,821  SH     OTHER       04       2,571           0         250

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    492
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VIACOM INC                        COM   925524308     139,995   2,393,084  SH     DEFINED     01   2,125,629      97,112     170,343
VIACOM INC                        COM   925524308       1,368      23,389  SH     OTHER       01       7,954      14,284       1,151
VIACOM INC                        COM   925524308         131       2,240  SH     DEFINED     02       1,155         217         868
VIACOM INC                        COM   925524308         549       9,389  SH     OTHER       02         868       2,022       6,499
VIACOM INC                        COM   925524308      12,495     213,584  SH     DEFINED     03      82,161     117,417      14,006
VIACOM INC                        COM   925524308       2,577      44,055  SH     OTHER       03      16,266      26,804         985
VIACOM INC                        COM   925524308      40,073     685,016  SH     DEFINED     04     658,408           0      26,608
VIACOM INC                        COM   925524308      10,058     171,927  SH     OTHER       04     166,925           0       5,002
VIACOM INC                        COM   925524308         305       5,215  SH     DEFINED     05       4,915         300           0
VIACOM INC                        COM   925524308         225       3,845  SH     OTHER       05       2,145       1,700           0
VIACOM INC                        COM   925524308     132,045   2,257,180  SH     DEFINED  01,08   2,257,180           0           0
VIACOM INC                        COM   925524308         475       8,115  SH     DEFINED     10       1,464       6,651           0
VIACOM INC                        COM   925524308          44         752  SH     OTHER       10         152         600           0

VIATEL INC                        COM   925529208         479      46,694  SH     DEFINED     01      43,981           0       2,713
VIATEL INC                        COM   925529208          21       2,000  SH     OTHER       04       2,000           0           0
VIATEL INC                        COM   925529208         834      81,359  SH     DEFINED  01,08      81,359           0           0

VIASYSTEMS GROUP INC              COM   92553H100         832      48,927  SH     DEFINED     01      42,709           0       6,218
VIASYSTEMS GROUP INC              COM   92553H100         170      10,000  SH     OTHER       01           0           0      10,000
VIASYSTEMS GROUP INC              COM   92553H100           5         300  SH     DEFINED     04           0           0         300
VIASYSTEMS GROUP INC              COM   92553H100         823      48,410  SH     DEFINED  01,08      48,410           0           0

VIANT CORP                        COM   92553N107         259      44,026  SH     DEFINED     01      38,615           0       5,411
VIANT CORP                        COM   92553N107       2,099     357,219  SH     OTHER       01           0           0     357,219
VIANT CORP                        COM   92553N107          30       5,122  SH     OTHER       03           0       5,122           0
VIANT CORP                        COM   92553N107         383      65,140  SH     DEFINED  01,08      65,140           0           0

VIADOR INC                        COM   92553R108          96      10,928  SH     DEFINED     01      10,494           0         434
VIADOR INC                        COM   92553R108           4         400  SH     DEFINED     04         400           0           0
VIADOR INC                        COM   92553R108         152      17,418  SH     DEFINED  01,08      17,418           0           0

VICAL INC                         COM   925602104         535      20,685  SH     DEFINED     01      20,029           0         656
VICAL INC                         COM   925602104          13         500  SH     OTHER       01           0         500           0
VICAL INC                         COM   925602104           3         100  SH     DEFINED     04           0           0         100
VICAL INC                         COM   925602104         822      31,786  SH     DEFINED  01,08      31,786           0           0

VICINITY CORP                     COM   925653107         207      18,778  SH     DEFINED     01      18,536           0         242
VICINITY CORP                     COM   925653107         417      37,865  SH     DEFINED  01,08      37,865           0           0

VICON INDS INC                    COM   925811101          40      12,789  SH     DEFINED  01,08      12,789           0           0

VICOR CORP                        COM   925815102       1,219      22,476  SH     DEFINED     01      19,624           0       2,852
VICOR CORP                        COM   925815102         472       8,700  SH     DEFINED     04           0           0       8,700
VICOR CORP                        COM   925815102       4,036      74,405  SH     DEFINED  01,08      74,405           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    493
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VICORP RESTAURANTS INC            COM   925817108         129       6,600  SH     DEFINED     04           0           0       6,600
VICORP RESTAURANTS INC            COM   925817108         526      26,982  SH     DEFINED  01,08      26,982           0           0

VIA NET WRKS INC                  COM   925912107         163      16,976  SH     DEFINED     01      16,505           0         471
VIA NET WRKS INC                  COM   925912107         233      24,211  SH     DEFINED  01,08      24,211           0           0

VIDAMED INC                       COM   926530106          71      30,494  SH     DEFINED  01,08      30,494           0           0

VIDEO DISPLAY CORP                COM   926555103         115      13,700  SH     DEFINED  01,08      13,700           0           0

VIDEO SVCS CORP                   COM   92656U107          62      13,800  SH     DEFINED  01,08      13,800           0           0

VIEWCAST COM INC                  COM   926713108           3       1,500  SH     DEFINED     01           0       1,500           0
VIEWCAST COM INC                  COM   926713108          51      21,922  SH     DEFINED  01,08      21,922           0           0

VIGNETTE CORP                     COM   926734104         527      17,639  SH     DEFINED     01       9,967         350       7,322
VIGNETTE CORP                     COM   926734104           3         100  SH     DEFINED     02           0         100           0
VIGNETTE CORP                     COM   926734104          41       1,385  SH     DEFINED     04       1,385           0           0
VIGNETTE CORP                     COM   926734104       6,542     218,973  SH     DEFINED  01,08     218,973           0           0

VIISAGE TECHNOLOGY INC            COM   92675K106          37      12,308  SH     DEFINED  01,08      12,308           0           0

VINTAGE PETE INC                  COM   927460105       1,061      46,626  SH     DEFINED     01      34,488       4,100       8,038
VINTAGE PETE INC                  COM   927460105          91       4,000  SH     DEFINED     04       4,000           0           0
VINTAGE PETE INC                  COM   927460105       2,638     115,939  SH     DEFINED  01,08     115,939           0           0

VION PHARMACEUTICALS INC          COM   927624106         308      17,257  SH     DEFINED  01,08      17,257           0           0

VIRAGEN INC                       COM   927638106           4       2,600  SH     DEFINED     01       2,600           0           0
VIRAGEN INC                       COM   927638106          43      28,700  SH     DEFINED     04      28,700           0           0
VIRAGEN INC                       COM   927638106          62      41,100  SH     DEFINED  01,08      41,100           0           0

VIRATA CORP                       COM   927646109         131       1,986  SH     DEFINED     01       1,539           0         447
VIRATA CORP                       COM   927646109          13         200  SH     DEFINED     04         200           0           0
VIRATA CORP                       COM   927646109       5,218      78,912  SH     DEFINED  01,08      78,912           0           0

VIRCO MFG CO                      COM   927651109          55       4,499  SH     DEFINED     01       4,499           0           0
VIRCO MFG CO                      COM   927651109         432      35,621  SH     DEFINED  01,08      35,621           0           0

VIRGINIA CAP BANCSHARES INC       COM   927758102         226      13,139  SH     DEFINED  01,08      13,139           0           0

VITALCOM INC                      COM   927917104          27      11,900  SH     DEFINED  01,08      11,900           0           0

VIROLOGIC INC                     COM   92823R201         304      18,000  SH     DEFINED  01,08      18,000           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    494
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VIROPHARMA INC                    COM   928241108           6         250  SH     DEFINED     01         250           0           0
VIROPHARMA INC                    COM   928241108          16         600  SH     DEFINED     03         350           0         250
VIROPHARMA INC                    COM   928241108          81       3,120  SH     DEFINED     04       3,120           0           0
VIROPHARMA INC                    COM   928241108           3         100  SH     OTHER       04         100           0           0
VIROPHARMA INC                    COM   928241108         520      20,091  SH     DEFINED  01,08      20,091           0           0

VIRTUALFUND COM INC               COM   92825A107          62      21,700  SH     DEFINED  01,08      21,700           0           0

VISHAY INTERTECHNOLOGY INC        COM   928298108       3,272     106,420  SH     DEFINED     01     101,514         166       4,740
VISHAY INTERTECHNOLOGY INC        COM   928298108       1,775      57,708  SH     OTHER       01      57,708           0           0
VISHAY INTERTECHNOLOGY INC        COM   928298108          25         800  SH     DEFINED     03         800           0           0
VISHAY INTERTECHNOLOGY INC        COM   928298108           9         300  SH     OTHER       03         300           0           0
VISHAY INTERTECHNOLOGY INC        COM   928298108         526      17,103  SH     DEFINED     04       1,103           0      16,000
VISHAY INTERTECHNOLOGY INC        COM   928298108         523      16,993  SH     OTHER       04      16,502           0         491
VISHAY INTERTECHNOLOGY INC        COM   928298108      11,430     371,721  SH     DEFINED  01,08     371,721           0           0

VISTA INFORMATION SOLUTIONS       COM   928365204           6       3,000  SH     DEFINED     03           0           0       3,000
VISTA INFORMATION SOLUTIONS       COM   928365204          61      30,536  SH     DEFINED  01,08      30,536           0           0

VISTEON CORP                      COM   92839U107       3,785     250,239  SH     DEFINED     01     198,753      36,069      15,417
VISTEON CORP                      COM   92839U107          61       4,065  SH     OTHER       01       2,891       1,030         144
VISTEON CORP                      COM   92839U107           9         628  SH     DEFINED     02         407         221           0
VISTEON CORP                      COM   92839U107          66       4,333  SH     OTHER       02       2,683       1,624          26
VISTEON CORP                      COM   92839U107          15         979  SH     DEFINED     03         327         587          65
VISTEON CORP                      COM   92839U107          37       2,426  SH     OTHER       03       1,883         543           0
VISTEON CORP                      COM   92839U107         132       8,721  SH     DEFINED     04       8,343           0         378
VISTEON CORP                      COM   92839U107         123       8,151  SH     OTHER       04       8,055           0          96
VISTEON CORP                      COM   92839U107           1          55  SH     DEFINED     05          55           0           0
VISTEON CORP                      COM   92839U107           6         411  SH     OTHER       05           0         150         261
VISTEON CORP                      COM   92839U107       3,150     208,275  SH     DEFINED  01,08     205,278           0       2,997
VISTEON CORP                      COM   92839U107          14         948  SH     DEFINED     10         381         567           0
VISTEON CORP                      COM   92839U107          33       2,190  SH     OTHER       10       1,183       1,007           0

VISUAL DATA CORP                  COM   928428200          20       6,225  SH     DEFINED     04       6,150           0          75
VISUAL DATA CORP                  COM   928428200          32       9,794  SH     DEFINED  01,08       9,794           0           0

VISX INC DEL                      COM   92844S105       2,651      98,400  SH     DEFINED     01      86,891         300      11,209
VISX INC DEL                      COM   92844S105          48       1,775  SH     DEFINED     04       1,775           0           0
VISX INC DEL                      COM   92844S105       4,731     175,650  SH     DEFINED  01,08     175,650           0           0

VISUAL NETWORKS INC               COM   928444108         206      31,395  SH     DEFINED     01      30,944           0         451
VISUAL NETWORKS INC               COM   928444108         175      26,608  SH     DEFINED     02           0      26,608           0
VISUAL NETWORKS INC               COM   928444108         263      40,038  SH     DEFINED  01,08      40,038           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    495
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VITAL SIGNS INC                   COM   928469105         409      15,420  SH     DEFINED     01      13,756           0       1,664
VITAL SIGNS INC                   COM   928469105         846      31,929  SH     DEFINED  01,08      31,929           0           0

VITECH AMER INC                   COM   928489103          77      20,448  SH     DEFINED  01,08      20,448           0           0

VITRIA TECHNOLOGY                 COM   92849Q104         243       5,210  SH     DEFINED     01       3,328           0       1,882
VITRIA TECHNOLOGY                 COM   92849Q104       4,854     104,102  SH     DEFINED  01,08     104,102           0           0

VITESSE SEMICONDUCTOR CORP        COM   928497106      70,363     791,157  SH     DEFINED     01     772,121       2,445      16,591
VITESSE SEMICONDUCTOR CORP        COM   928497106          18         200  SH     OTHER       01           0         200           0
VITESSE SEMICONDUCTOR CORP        COM   928497106       2,697      30,325  SH     DEFINED     02      19,875       8,725       1,725
VITESSE SEMICONDUCTOR CORP        COM   928497106          40         450  SH     OTHER       02         275         175           0
VITESSE SEMICONDUCTOR CORP        COM   928497106       5,988      67,330  SH     DEFINED     03      25,450      37,415       4,465
VITESSE SEMICONDUCTOR CORP        COM   928497106         400       4,500  SH     OTHER       03         850       1,150       2,500
VITESSE SEMICONDUCTOR CORP        COM   928497106         433       4,868  SH     DEFINED     04       4,868           0           0
VITESSE SEMICONDUCTOR CORP        COM   928497106       1,768      19,878  SH     OTHER       04      12,390           0       7,488
VITESSE SEMICONDUCTOR CORP        COM   928497106      44,356     498,740  SH     DEFINED  01,08     498,740           0           0
VITESSE SEMICONDUCTOR CORP        COM   928497106          17         188  SH     DEFINED     10         188           0           0

VIVUS INC                         COM   928551100         140      32,875  SH     DEFINED     01      32,297           0         578
VIVUS INC                         COM   928551100           6       1,500  SH     DEFINED     04       1,500           0           0
VIVUS INC                         COM   928551100         267      62,817  SH     DEFINED  01,08      62,817           0           0

VIXEL CORP DEL                    COM   928552108         199      30,952  SH     DEFINED  01,08      30,952           0           0

VODAFONE GROUP PLC NEW            COM   92857W100      14,686     396,915  SH     DEFINED     01     268,377     109,353      19,185
VODAFONE GROUP PLC NEW            COM   92857W100       6,863     185,485  SH     OTHER       01     106,525      35,920      43,040
VODAFONE GROUP PLC NEW            COM   92857W100       4,687     126,670  SH     DEFINED     02      75,990      42,080       8,600
VODAFONE GROUP PLC NEW            COM   92857W100       1,598      43,179  SH     OTHER       02      19,179      19,025       4,975
VODAFONE GROUP PLC NEW            COM   92857W100      20,015     540,956  SH     DEFINED     03     287,352     237,828      15,776
VODAFONE GROUP PLC NEW            COM   92857W100       7,659     207,010  SH     OTHER       03     121,965      78,195       6,850
VODAFONE GROUP PLC NEW            COM   92857W100      22,661     612,448  SH     DEFINED     04     569,433           0      43,015
VODAFONE GROUP PLC NEW            COM   92857W100      12,730     344,054  SH     OTHER       04     321,483           0      22,571
VODAFONE GROUP PLC NEW            COM   92857W100       3,153      85,203  SH     DEFINED     05      65,748      17,255       2,200
VODAFONE GROUP PLC NEW            COM   92857W100       1,418      38,315  SH     OTHER       05      26,915      11,400           0
VODAFONE GROUP PLC NEW            COM   92857W100       1,286      34,750  SH     DEFINED  01,08      34,750           0           0
VODAFONE GROUP PLC NEW            COM   92857W100         629      17,000  SH     DEFINED     09      17,000           0           0
VODAFONE GROUP PLC NEW            COM   92857W100          73       1,965  SH     OTHER       09         815       1,150           0
VODAFONE GROUP PLC NEW            COM   92857W100         570      15,395  SH     DEFINED     10      13,315       2,080           0
VODAFONE GROUP PLC NEW            COM   92857W100         226       6,110  SH     OTHER       10         985       5,125           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    496
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

VOICESTREAM WIRELESS CORP         COM   928615103       2,834      24,419  SH     DEFINED     01      18,233           0       6,186
VOICESTREAM WIRELESS CORP         COM   928615103          30         255  SH     DEFINED     02         100         155           0
VOICESTREAM WIRELESS CORP         COM   928615103          83         718  SH     DEFINED     03           0         718           0
VOICESTREAM WIRELESS CORP         COM   928615103         101         868  SH     DEFINED     04          68           0         800
VOICESTREAM WIRELESS CORP         COM   928615103         214       1,847  SH     OTHER       04       1,847           0           0
VOICESTREAM WIRELESS CORP         COM   928615103      15,999     137,852  SH     DEFINED  01,08     137,852           0           0
VOICESTREAM WIRELESS CORP         COM   928615103           9          75  SH     DEFINED     10          75           0           0

VOLT INFORMATION SCIENCES INC     COM   928703107         373      17,372  SH     DEFINED     01      15,126           0       2,246
VOLT INFORMATION SCIENCES INC     COM   928703107           1          60  SH     OTHER       04           0           0          60
VOLT INFORMATION SCIENCES INC     COM   928703107       1,311      60,954  SH     DEFINED  01,08      60,954           0           0

VYSIS INC                         COM   928961101           7       1,000  SH     DEFINED     04       1,000           0           0
VYSIS INC                         COM   928961101          93      14,250  SH     DEFINED  01,08      14,250           0           0

VORNADO RLTY TR                   COM   929042109         284       7,648  SH     DEFINED     01       5,738           0       1,910
VORNADO RLTY TR                   COM   929042109          23         613  SH     DEFINED     04         613           0           0
VORNADO RLTY TR                   COM   929042109         265       7,133  SH     DEFINED  01,08       7,133           0           0

VOYAGER NET INC                   COM   92906W101          55       9,158  SH     DEFINED     01       8,996           0         162
VOYAGER NET INC                   COM   92906W101         172      28,552  SH     DEFINED  01,08      28,552           0           0

VULCAN MATLS CO                   COM   929160109       7,295     181,521  SH     DEFINED     01     143,148      29,314       9,059
VULCAN MATLS CO                   COM   929160109          20         500  SH     OTHER       01         500           0           0
VULCAN MATLS CO                   COM   929160109          20         500  SH     DEFINED     04         500           0           0
VULCAN MATLS CO                   COM   929160109         309       7,700  SH     OTHER       04       7,700           0           0
VULCAN MATLS CO                   COM   929160109       6,125     152,423  SH     DEFINED  01,08     152,423           0           0

WFS FINL INC                      COM   92923B106         319      18,857  SH     DEFINED     01      17,195           0       1,662
WFS FINL INC                      COM   92923B106         266      15,700  SH     DEFINED     04           0           0      15,700
WFS FINL INC                      COM   92923B106         540      31,857  SH     DEFINED  01,08      31,857           0           0

WD-40 CO                          COM   929236107         311      14,619  SH     DEFINED     01      13,384           0       1,235
WD-40 CO                          COM   929236107          34       1,600  SH     DEFINED     02           0       1,600           0
WD-40 CO                          COM   929236107           2         100  SH     OTHER       02         100           0           0
WD-40 CO                          COM   929236107       1,510      71,050  SH     DEFINED  01,08      71,050           0           0

WHX CORP                          COM   929248102           7       4,800  SH     DEFINED     01       4,800           0           0
WHX CORP                          COM   929248102           0           5  SH     OTHER       02           0           5           0
WHX CORP                          COM   929248102           1         500  SH     DEFINED     04         500           0           0
WHX CORP                          COM   929248102          53      35,411  SH     DEFINED  01,08      35,411           0           0

W HLDG CO INC                     COM   929251106         171      16,794  SH     DEFINED     01      11,198           0       5,596
W HLDG CO INC                     COM   929251106         748      73,380  SH     DEFINED  01,08      73,380           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    497
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

WJ COMMUNICATIONS INC             COM   929284107         130       3,500  SH     DEFINED     01           0       3,500           0
WJ COMMUNICATIONS INC             COM   929284107         137       3,700  SH     DEFINED  01,08       3,700           0           0

WLR FOODS INC                     COM   929286102          70       5,114  SH     DEFINED     01       5,114           0           0
WLR FOODS INC                     COM   929286102         629      46,197  SH     DEFINED  01,08      46,197           0           0

WMS INDS INC                      COM   929297109         340      15,096  SH     DEFINED     01      11,346           0       3,750
WMS INDS INC                      COM   929297109       1,046      46,501  SH     DEFINED  01,08      46,501           0           0

W P CAREY & CO LLC                COM   92930Y107           6         367  SH     DEFINED     01           0         367           0
W P CAREY & CO LLC                COM   92930Y107          89       5,076  SH     DEFINED     02       5,076           0           0
W P CAREY & CO LLC                COM   92930Y107         110       6,243  SH     OTHER       02       6,243           0           0
W P CAREY & CO LLC                COM   92930Y107          10         585  SH     DEFINED     03         585           0           0
W P CAREY & CO LLC                COM   92930Y107         194      11,035  SH     DEFINED     04      11,035           0           0
W P CAREY & CO LLC                COM   92930Y107          42       2,398  SH     OTHER       04       2,398           0           0
W P CAREY & CO LLC                COM   92930Y107         140       7,994  SH     DEFINED  01,08       7,994           0           0

WPS RESOURCES CORP                COM   92931B106       1,904      58,148  SH     DEFINED     01      52,573         500       5,075
WPS RESOURCES CORP                COM   92931B106          29         900  SH     OTHER       01         900           0           0
WPS RESOURCES CORP                COM   92931B106          29         900  SH     OTHER       02         300         600           0
WPS RESOURCES CORP                COM   92931B106          33       1,000  SH     DEFINED     03       1,000           0           0
WPS RESOURCES CORP                COM   92931B106          89       2,732  SH     OTHER       03       2,732           0           0
WPS RESOURCES CORP                COM   92931B106         118       3,602  SH     DEFINED     04       3,602           0           0
WPS RESOURCES CORP                COM   92931B106         147       4,490  SH     OTHER       04       2,090           0       2,400
WPS RESOURCES CORP                COM   92931B106       1,430      43,667  SH     DEFINED  01,08      43,667           0           0
WPS RESOURCES CORP                COM   92931B106          63       1,910  SH     DEFINED     10       1,910           0           0

WSFS FINL CORP                    COM   929328102         203      18,540  SH     DEFINED  01,08      18,540           0           0

WABASH NATL CORP                  COM   929566107         132      14,511  SH     DEFINED     01      11,204           0       3,307
WABASH NATL CORP                  COM   929566107          14       1,500  SH     OTHER       01       1,500           0           0
WABASH NATL CORP                  COM   929566107         381      41,802  SH     DEFINED  01,08      41,802           0           0

WABTEC CORP                       COM   929740108         362      35,711  SH     DEFINED     01      31,971           0       3,740
WABTEC CORP                       COM   929740108         758      74,902  SH     DEFINED  01,08      74,902           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    498
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

WACHOVIA CORP                     COM   929771103      23,830     420,377  SH     DEFINED     01     333,855      65,418      21,104
WACHOVIA CORP                     COM   929771103       3,222      56,834  SH     OTHER       01      10,640      45,294         900
WACHOVIA CORP                     COM   929771103         409       7,213  SH     DEFINED     02       3,553       2,600       1,060
WACHOVIA CORP                     COM   929771103         747      13,175  SH     OTHER       02      12,395           0         780
WACHOVIA CORP                     COM   929771103         378       6,660  SH     DEFINED     03         900       2,760       3,000
WACHOVIA CORP                     COM   929771103         117       2,060  SH     OTHER       03       1,760         300           0
WACHOVIA CORP                     COM   929771103       4,450      78,502  SH     DEFINED     04      76,177           0       2,325
WACHOVIA CORP                     COM   929771103       3,999      70,540  SH     OTHER       04      65,440           0       5,100
WACHOVIA CORP                     COM   929771103           2          37  SH     DEFINED     05          37           0           0
WACHOVIA CORP                     COM   929771103      17,940     316,471  SH     DEFINED  01,08     316,471           0           0
WACHOVIA CORP                     COM   929771103         108       1,898  SH     DEFINED     10       1,298         600           0
WACHOVIA CORP                     COM   929771103          45         800  SH     OTHER       10           0         800           0

WACKENHUT CORP                    COM   929794105          99       6,657  SH     DEFINED     01       5,257           0       1,400
WACKENHUT CORP                    COM   929794105         354      23,807  SH     DEFINED  01,08      23,807           0           0

WACKENHUT CORP                    COM   929794303         164      19,892  SH     DEFINED  01,08      19,892           0           0

WACKENHUT CORRECTIONS CORP        COM   929798106          28       3,600  SH     DEFINED     01           0       3,600           0
WACKENHUT CORRECTIONS CORP        COM   929798106           4         500  SH     DEFINED     02         500           0           0
WACKENHUT CORRECTIONS CORP        COM   929798106         227      29,079  SH     DEFINED  01,08      29,079           0           0

WADDELL & REED FINL INC           COM   930059100       1,842      59,412  SH     DEFINED     01      56,389           0       3,023
WADDELL & REED FINL INC           COM   930059100          32       1,022  SH     OTHER       01         511         511           0
WADDELL & REED FINL INC           COM   930059100           2          67  SH     DEFINED     03          67           0           0
WADDELL & REED FINL INC           COM   930059100           6         178  SH     DEFINED     04         178           0           0
WADDELL & REED FINL INC           COM   930059100       6,948     224,139  SH     DEFINED  01,08     224,139           0           0

WAL MART STORES INC               COM   931142103     504,029  10,473,337  SH     DEFINED     01   8,727,627   1,149,036     596,674
WAL MART STORES INC               COM   931142103      34,258     711,856  SH     OTHER       01     399,412     244,352      68,092
WAL MART STORES INC               COM   931142103      10,660     221,509  SH     DEFINED     02     114,842      94,642      12,025
WAL MART STORES INC               COM   931142103       3,344      69,496  SH     OTHER       02      31,180      31,716       6,600
WAL MART STORES INC               COM   931142103      30,980     643,744  SH     DEFINED     03     305,004     302,047      36,693
WAL MART STORES INC               COM   931142103       5,503     114,343  SH     OTHER       03      59,408      38,585      16,350
WAL MART STORES INC               COM   931142103      92,078   1,913,309  SH     DEFINED     04   1,823,674           0      89,635
WAL MART STORES INC               COM   931142103      58,924   1,224,395  SH     OTHER       04   1,169,888           0      54,507
WAL MART STORES INC               COM   931142103      10,775     223,905  SH     DEFINED     05     153,070      56,775      14,060
WAL MART STORES INC               COM   931142103       2,640      54,852  SH     OTHER       05      29,127      17,725       8,000
WAL MART STORES INC               COM   931142103     314,537   6,535,836  SH     DEFINED  01,08   6,511,442      24,394           0
WAL MART STORES INC               COM   931142103         797      16,559  SH     DEFINED     09      16,559           0           0
WAL MART STORES INC               COM   931142103          59       1,225  SH     OTHER       09         725         500           0
WAL MART STORES INC               COM   931142103      13,424     278,938  SH     DEFINED     10     234,081      44,857           0
WAL MART STORES INC               COM   931142103         563      11,691  SH     OTHER       10       3,000       8,691           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    499
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

<S>                             <C>       <C>      <C>        <C>          <C>    <C>      <C>       <C>          <C>          <C>

WALGREEN CO                       COM   931422109     357,098   9,412,933  SH     DEFINED     01   6,187,516   2,795,158     430,259
WALGREEN CO                       COM   931422109     127,028   3,348,392  SH     OTHER       01   1,726,974   1,483,035     138,383
WALGREEN CO                       COM   931422109      17,254     454,818  SH     DEFINED     02     262,391     152,477      39,950
WALGREEN CO                       COM   931422109       9,788     258,002  SH     OTHER       02     165,528      81,424      11,050
WALGREEN CO                       COM   931422109      30,916     814,927  SH     DEFINED     03     412,243     379,516      23,168
WALGREEN CO                       COM   931422109       6,619     174,476  SH     OTHER       03      88,111      66,115      20,250
WALGREEN CO                       COM   931422109     101,253   2,668,968  SH     DEFINED     04   2,569,373           0      99,595
WALGREEN CO                       COM   931422109      69,227   1,824,789  SH     OTHER       04   1,741,771           0      83,018
WALGREEN CO                       COM   931422109       5,705     150,373  SH     DEFINED     05      82,223      56,150      12,000
WALGREEN CO                       COM   931422109       1,819      47,956  SH     OTHER       05      29,906      17,050       1,000
WALGREEN CO                       COM   931422109      56,725   1,495,231  SH     DEFINED  01,08   1,495,231           0           0
WALGREEN CO                       COM   931422109         571      15,050  SH     DEFINED     09      15,050           0           0
WALGREEN CO                       COM   931422109      12,545     330,687  SH     DEFINED     10     126,547     203,240         900
WALGREEN CO                       COM   931422109       1,704      44,915  SH     OTHER       10      20,965      23,650         300

WALKER INTERACTIVE SYS INC        COM   931664106          68      22,760  SH     DEFINED  01,08      22,760           0           0

WALL STREET DELI INC              COM   931904106           9      13,250  SH     DEFINED  01,08      13,250           0           0

WALLACE COMPUTER SERVICES INC     COM   932270101       2,844     186,483  SH     DEFINED     01      46,411       8,500     131,572
WALLACE COMPUTER SERVICES INC     COM   932270101         214      14,000  SH     OTHER       01      14,000           0           0
WALLACE COMPUTER SERVICES INC     COM   932270101          18       1,200  SH     OTHER       03       1,200           0           0
WALLACE COMPUTER SERVICES INC     COM   932270101         457      29,947  SH     DEFINED     04      29,947           0           0
WALLACE COMPUTER SERVICES INC     COM   932270101         275      18,000  SH     OTHER       04      18,000           0           0
WALLACE COMPUTER SERVICES INC     COM   932270101       1,777     116,555  SH     DEFINED  01,08     116,555           0           0

WALTER INDS INC                   COM   93317Q105         512      57,710  SH     DEFINED     01      52,016           0       5,694
WALTER INDS INC                   COM   93317Q105         680      76,643  SH     DEFINED  01,08      76,643           0           0

WARNACO GROUP INC                 COM   934390105         238      59,406  SH     DEFINED     01      50,251           0       9,155
WARNACO GROUP INC                 COM   934390105           2         400  SH     DEFINED     04         400           0           0
WARNACO GROUP INC                 COM   934390105         614     153,380  SH     DEFINED  01,08     153,380           0           0

WARREN BANCORP INC                COM   934710104         253      31,609  SH     DEFINED  01,08      31,609           0           0

WASHINGTON FED INC                COM   938824109         950      41,762  SH     DEFINED     01      21,182       8,100      12,480
WASHINGTON FED INC                COM   938824109          40       1,745  SH     OTHER       01           0       1,745           0
WASHINGTON FED INC                COM   938824109       2,298     100,997  SH     DEFINED  01,08     100,997           0           0

WASHINGTON GAS LT CO              COM   938837101       1,686      62,725  SH     DEFINED     01      47,405       6,086       9,234
WASHINGTON GAS LT CO              COM   938837101          30       1,134  SH     OTHER       02           0       1,134           0
WASHINGTON GAS LT CO              COM   938837101         109       4,050  SH     DEFINED     04       4,050           0           0
WASHINGTON GAS LT CO              COM   938837101          45       1,688  SH     OTHER       04       1,688           0           0
WASHINGTON GAS LT CO              COM   938837101       3,632     135,159  SH     DEFINED  01,08     135,159           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    500
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WASHINGTON HOMES INC NEW          COM   938864105          99      10,182  SH     DEFINED  01,08      10,182           0           0

WASHINGTON MUT INC                COM   939322103      39,474     991,504  SH     DEFINED     01     783,199     146,140      62,165
WASHINGTON MUT INC                COM   939322103          25         640  SH     OTHER       01           0         337         303
WASHINGTON MUT INC                COM   939322103          20         500  SH     DEFINED     02         500           0           0
WASHINGTON MUT INC                COM   939322103         322       8,080  SH     DEFINED     03       1,722       6,358           0
WASHINGTON MUT INC                COM   939322103         528      13,263  SH     OTHER       03      13,263           0           0
WASHINGTON MUT INC                COM   939322103         322       8,093  SH     DEFINED     04       8,093           0           0
WASHINGTON MUT INC                COM   939322103         352       8,841  SH     OTHER       04       6,840           0       2,001
WASHINGTON MUT INC                COM   939322103      67,147   1,686,607  SH     DEFINED  01,08     875,819     649,458     161,330
WASHINGTON MUT INC                COM   939322103          92       2,300  SH     DEFINED     10       2,300           0           0

WASHINGTON POST CO                COM   939640108       3,720       7,047  SH     DEFINED     01       5,871         800         376
WASHINGTON POST CO                COM   939640108         146         277  SH     OTHER       01           0         277           0
WASHINGTON POST CO                COM   939640108          13          25  SH     DEFINED     04          25           0           0
WASHINGTON POST CO                COM   939640108      13,746      26,041  SH     DEFINED  01,08      26,041           0           0
WASHINGTON POST CO                COM   939640108         776       1,470  SH     DEFINED     10           0       1,470           0
WASHINGTON POST CO                COM   939640108         290         550  SH     OTHER       10           0         550           0

WASHINGTON REAL ESTATE INVT TR    COM   939653101         526      26,214  SH     DEFINED     01      21,125           0       5,089
WASHINGTON REAL ESTATE INVT TR    COM   939653101         609      30,375  SH     OTHER       01      10,125      20,250           0
WASHINGTON REAL ESTATE INVT TR    COM   939653101          20       1,000  SH     OTHER       03       1,000           0           0
WASHINGTON REAL ESTATE INVT TR    COM   939653101         113       5,654  SH     DEFINED     04       5,654           0           0
WASHINGTON REAL ESTATE INVT TR    COM   939653101         143       7,152  SH     OTHER       04       7,152           0           0
WASHINGTON REAL ESTATE INVT TR    COM   939653101         183       9,124  SH     DEFINED  01,08       9,124           0           0

WASHINGTON TR BANCORP             COM   940610108         210      14,437  SH     DEFINED  01,08      14,437           0           0

WASTE CONNECTIONS INC             COM   941053100         455      17,761  SH     DEFINED     01      16,426           0       1,335
WASTE CONNECTIONS INC             COM   941053100         584      22,791  SH     DEFINED  01,08      22,791           0           0

WASTE MGMT INC DEL                COM   94106L109      19,931   1,143,040  SH     DEFINED     01     891,838     199,520      51,682
WASTE MGMT INC DEL                COM   94106L109         231      13,228  SH     OTHER       01      11,175       1,957          96
WASTE MGMT INC DEL                COM   94106L109           8         475  SH     DEFINED     03         200         130         145
WASTE MGMT INC DEL                COM   94106L109           1          36  SH     OTHER       03          36           0           0
WASTE MGMT INC DEL                COM   94106L109         220      12,634  SH     DEFINED     04      12,634           0           0
WASTE MGMT INC DEL                COM   94106L109          29       1,652  SH     OTHER       04       1,507           0         145
WASTE MGMT INC DEL                COM   94106L109           7         400  SH     DEFINED     05         300           0         100
WASTE MGMT INC DEL                COM   94106L109      18,567   1,064,820  SH     DEFINED  01,08   1,064,820           0           0

WATCHGUARD TECHNOLOGIES INC       COM   941105108         680      11,337  SH     DEFINED     01      11,139           0         198
WATCHGUARD TECHNOLOGIES INC       COM   941105108         161       2,684  SH     OTHER       01           0       2,684           0
WATCHGUARD TECHNOLOGIES INC       COM   941105108       1,834      30,561  SH     DEFINED  01,08      30,561           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    501
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WATERS CORP                       COM   941848103      16,947     190,419  SH     DEFINED     01     181,452           0       8,967
WATERS CORP                       COM   941848103         107       1,200  SH     OTHER       01           0       1,200           0
WATERS CORP                       COM   941848103          36         400  SH     OTHER       04         400           0           0
WATERS CORP                       COM   941848103      31,008     348,407  SH     DEFINED  01,08     348,407           0           0

WATSCO INC                        COM   942622200         153      14,860  SH     DEFINED     01      10,119           0       4,741
WATSCO INC                        COM   942622200       1,115     108,375  SH     DEFINED     04     108,375           0           0
WATSCO INC                        COM   942622200         495      48,120  SH     DEFINED  01,08      48,120           0           0

WATSON PHARMACEUTICALS INC        COM   942683103      11,730     180,813  SH     DEFINED     01     143,144      26,133      11,536
WATSON PHARMACEUTICALS INC        COM   942683103          36         550  SH     OTHER       01         200         350           0
WATSON PHARMACEUTICALS INC        COM   942683103          52         800  SH     DEFINED     02           0         800           0
WATSON PHARMACEUTICALS INC        COM   942683103         162       2,500  SH     DEFINED     03           0       2,500           0
WATSON PHARMACEUTICALS INC        COM   942683103         299       4,614  SH     DEFINED     04       4,614           0           0
WATSON PHARMACEUTICALS INC        COM   942683103          26         394  SH     OTHER       04          94           0         300
WATSON PHARMACEUTICALS INC        COM   942683103      10,480     161,534  SH     DEFINED  01,08     161,534           0           0

WATTS INDS INC                    COM   942749102         101      10,057  SH     DEFINED     01       6,759           0       3,298
WATTS INDS INC                    COM   942749102          40       4,000  SH     DEFINED     04       4,000           0           0
WATTS INDS INC                    COM   942749102         483      48,281  SH     DEFINED  01,08      48,281           0           0

WAUSAU-MOSINEE PAPER CORP         COM   943315101         535      69,031  SH     DEFINED     01      51,345       8,765       8,922
WAUSAU-MOSINEE PAPER CORP         COM   943315101         118      15,255  SH     DEFINED     04           0           0      15,255
WAUSAU-MOSINEE PAPER CORP         COM   943315101          25       3,235  SH     OTHER       04       2,520           0         715
WAUSAU-MOSINEE PAPER CORP         COM   943315101       1,731     223,313  SH     DEFINED  01,08     223,313           0           0

WAVE SYSTEMS CORP                 COM   943526103         909      54,281  SH     DEFINED     01      45,501       2,250       6,530
WAVE SYSTEMS CORP                 COM   943526103         201      12,020  SH     DEFINED     04      12,020           0           0
WAVE SYSTEMS CORP                 COM   943526103         892      53,224  SH     DEFINED  01,08      53,224           0           0

WAVO CORP                         COM   944027101           1       1,000  SH     DEFINED     01       1,000           0           0
WAVO CORP                         COM   944027101           0         500  SH     OTHER       04           0           0         500
WAVO CORP                         COM   944027101          35      46,885  SH     DEFINED  01,08      46,885           0           0

WEATHERFORD INTL INC              COM   947074100       6,164     143,354  SH     DEFINED     01     132,921         190      10,243
WEATHERFORD INTL INC              COM   947074100         335       7,800  SH     OTHER       01           0           0       7,800
WEATHERFORD INTL INC              COM   947074100           2          50  SH     DEFINED     03          50           0           0
WEATHERFORD INTL INC              COM   947074100         202       4,700  SH     DEFINED     04           0           0       4,700
WEATHERFORD INTL INC              COM   947074100      12,870     299,310  SH     DEFINED  01,08     299,310           0           0

WEB STREET INC                    COM   947336103           6       3,036  SH     DEFINED     04       3,036           0           0
WEB STREET INC                    COM   947336103          69      32,477  SH     DEFINED  01,08      32,477           0           0

WEBB DEL CORP                     COM   947423109       1,415      50,984  SH     DEFINED     01      47,790           0       3,194
WEBB DEL CORP                     COM   947423109       1,087      39,167  SH     DEFINED  01,08      39,167           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    502
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WEBEX INC                         COM   94767L109       1,361      36,900  SH     DEFINED  01,08      36,900           0           0

WEBFINANCIAL CORP                 COM   94767P100          36      11,900  SH     DEFINED  01,08      11,900           0           0

WEBMETHODS INC                    COM   94768C108         341       2,963  SH     DEFINED     01         847       1,739         377
WEBMETHODS INC                    COM   94768C108         100         867  SH     OTHER       01           0           0         867
WEBMETHODS INC                    COM   94768C108          12         100  SH     DEFINED     02           0         100           0
WEBMETHODS INC                    COM   94768C108       4,274      37,122  SH     DEFINED  01,08      37,122           0           0

WEBHIRE INC                       COM   94768W104          62      17,573  SH     DEFINED  01,08      17,573           0           0

WEBSENSE INC                      COM   947684106          97       4,061  SH     DEFINED     01       3,988           0          73
WEBSENSE INC                      COM   947684106         442      18,559  SH     DEFINED  01,08      18,559           0           0

WEBLINK WIRELESS INC              COM   94769A101         334      43,435  SH     DEFINED     01      40,307           0       3,128
WEBLINK WIRELESS INC              COM   94769A101         364      47,398  SH     DEFINED  01,08      47,398           0           0

WEBMD CORP                        COM   94769M105         479      31,392  SH     DEFINED     01      24,296         312       6,784
WEBMD CORP                        COM   94769M105          15       1,000  SH     OTHER       01           0       1,000           0
WEBMD CORP                        COM   94769M105          15       1,000  SH     OTHER       02           0           0       1,000
WEBMD CORP                        COM   94769M105          93       6,125  SH     DEFINED     03           0       6,125           0
WEBMD CORP                        COM   94769M105         210      13,773  SH     DEFINED     04      13,016           0         758
WEBMD CORP                        COM   94769M105          23       1,500  SH     OTHER       04       1,000           0         500
WEBMD CORP                        COM   94769M105       5,037     330,300  SH     DEFINED  01,08     330,300           0           0
WEBMD CORP                        COM   94769M105          15       1,000  SH     DEFINED     10         500         500           0

WEBSTER FINL CORP CONN            COM   947890109       1,933      71,769  SH     DEFINED     01      61,534         770       9,465
WEBSTER FINL CORP CONN            COM   947890109       4,145     153,882  SH     DEFINED  01,08     153,882           0           0

WEBTRENDS CORP                    COM   94844D104       8,245     220,612  SH     DEFINED     01     203,380           0      17,232
WEBTRENDS CORP                    COM   94844D104       1,392      37,233  SH     DEFINED  01,08      37,233           0           0

WEBVAN GROUP INC                  COM   94845V103          44      19,182  SH     DEFINED     01      13,628          70       5,484
WEBVAN GROUP INC                  COM   94845V103           4       1,900  SH     DEFINED     03           0       1,600         300
WEBVAN GROUP INC                  COM   94845V103           3       1,322  SH     DEFINED     04       1,000           0         322
WEBVAN GROUP INC                  COM   94845V103           0          50  SH     OTHER       04          50           0           0
WEBVAN GROUP INC                  COM   94845V103         380     164,460  SH     DEFINED  01,08     164,460           0           0
WEBVAN GROUP INC                  COM   94845V103         681     294,520  SH     DEFINED     10     294,520           0           0

WEGENER CORP                      COM   948585104          47      30,945  SH     DEFINED  01,08      30,945           0           0

WEIDER NUTRITION INTL INC         COM   948603105          66      13,200  SH     DEFINED  01,08      13,200           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    503
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WEINGARTEN RLTY INVS              COM   948741103         654      16,058  SH     DEFINED     01      10,878           0       5,180
WEINGARTEN RLTY INVS              COM   948741103          10         250  SH     OTHER       01         250           0           0
WEINGARTEN RLTY INVS              COM   948741103          82       2,000  SH     DEFINED     03           0           0       2,000
WEINGARTEN RLTY INVS              COM   948741103           4         100  SH     OTHER       03         100           0           0
WEINGARTEN RLTY INVS              COM   948741103          20         500  SH     DEFINED     04         500           0           0
WEINGARTEN RLTY INVS              COM   948741103          20         500  SH     OTHER       04         500           0           0
WEINGARTEN RLTY INVS              COM   948741103           8         200  SH     DEFINED     05         200           0           0
WEINGARTEN RLTY INVS              COM   948741103          98       2,411  SH     OTHER       05       2,411           0           0
WEINGARTEN RLTY INVS              COM   948741103         279       6,841  SH     DEFINED  01,08       6,841           0           0

WEIRTON STL CORP                  COM   948774104          46      18,551  SH     DEFINED     01      12,984           0       5,567
WEIRTON STL CORP                  COM   948774104         208      83,238  SH     DEFINED  01,08      83,238           0           0

WEIS MKTS INC                     COM   948849104         109       2,750  SH     DEFINED     01       2,255           0         495
WEIS MKTS INC                     COM   948849104          40       1,000  SH     DEFINED     04       1,000           0           0
WEIS MKTS INC                     COM   948849104       3,119      78,588  SH     DEFINED  01,08      78,588           0           0

WELLMAN INC                       COM   949702104         720      49,848  SH     DEFINED     01      44,182           0       5,666
WELLMAN INC                       COM   949702104       1,463     101,319  SH     DEFINED  01,08     101,319           0           0

WELLPOINT HEALTH NETWORK NEW      COM   94973H108      10,959     114,161  SH     DEFINED     01      89,052      17,523       7,586
WELLPOINT HEALTH NETWORK NEW      COM   94973H108         355       3,700  SH     OTHER       01         400       3,300           0
WELLPOINT HEALTH NETWORK NEW      COM   94973H108          38         400  SH     DEFINED     04         400           0           0
WELLPOINT HEALTH NETWORK NEW      COM   94973H108          29         300  SH     OTHER       04         300           0           0
WELLPOINT HEALTH NETWORK NEW      COM   94973H108       9,144      95,248  SH     DEFINED  01,08      95,248           0           0

WELLS FARGO & CO NEW              COM   949746101     301,885   6,571,707  SH     DEFINED     01   4,691,882   1,554,118     325,707
WELLS FARGO & CO NEW              COM   949746101      22,691     493,965  SH     OTHER       01     153,713     276,549      63,703
WELLS FARGO & CO NEW              COM   949746101       3,721      81,009  SH     DEFINED     02      41,814      33,245       5,950
WELLS FARGO & CO NEW              COM   949746101       2,218      48,276  SH     OTHER       02      14,290      30,836       3,150
WELLS FARGO & CO NEW              COM   949746101      34,579     752,747  SH     DEFINED     03     370,993     350,054      31,700
WELLS FARGO & CO NEW              COM   949746101       9,787     213,051  SH     OTHER       03     108,915      97,761       6,375
WELLS FARGO & CO NEW              COM   949746101     102,514   2,231,617  SH     DEFINED     04   1,741,995           0     489,622
WELLS FARGO & CO NEW              COM   949746101      39,813     866,683  SH     OTHER       04     729,927           0     136,756
WELLS FARGO & CO NEW              COM   949746101       9,399     204,615  SH     DEFINED     05     133,820      60,970       9,825
WELLS FARGO & CO NEW              COM   949746101         949      20,660  SH     OTHER       05      10,210       9,350       1,100
WELLS FARGO & CO NEW              COM   949746101     124,771   2,716,129  SH     DEFINED  01,08   2,590,524      65,395      60,210
WELLS FARGO & CO NEW              COM   949746101         196       4,275  SH     DEFINED     09       4,275           0           0
WELLS FARGO & CO NEW              COM   949746101       9,632     209,677  SH     DEFINED     10      71,107     137,470       1,100
WELLS FARGO & CO NEW              COM   949746101       1,487      32,363  SH     OTHER       10      12,350      19,613         400

WELLS GARDNER ELECTRS CORP        COM   949765101          48      20,706  SH     DEFINED  01,08      20,706           0           0

WELLSFORD REAL PPTYS INC          COM   950240200         175       8,850  SH     DEFINED     01       8,850           0           0
WELLSFORD REAL PPTYS INC          COM   950240200         201      10,174  SH     DEFINED  01,08      10,174           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    504
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WENDYS INTL INC                   COM   950590109       4,021     200,427  SH     DEFINED     01     162,647      29,241       8,539
WENDYS INTL INC                   COM   950590109          42       2,100  SH     OTHER       01       2,000           0         100
WENDYS INTL INC                   COM   950590109          19         971  SH     DEFINED     04         971           0           0
WENDYS INTL INC                   COM   950590109          50       2,492  SH     OTHER       04       2,492           0           0
WENDYS INTL INC                   COM   950590109       3,499     174,413  SH     DEFINED  01,08     174,413           0           0

WERNER ENTERPRISES INC            COM   950755108         663      56,432  SH     DEFINED     01      48,327       1,305       6,800
WERNER ENTERPRISES INC            COM   950755108       2,202     187,372  SH     DEFINED  01,08     187,372           0           0

WESBANCO INC                      COM   950810101         813      37,929  SH     DEFINED     01      23,367      11,216       3,346
WESBANCO INC                      COM   950810101         575      26,838  SH     OTHER       05      26,838           0           0
WESBANCO INC                      COM   950810101         682      31,828  SH     DEFINED  01,08      31,828           0           0

WESCO FINL CORP                   COM   950817106         165         656  SH     DEFINED     01         231         400          25
WESCO FINL CORP                   COM   950817106          25         100  SH     OTHER       04         100           0           0
WESCO FINL CORP                   COM   950817106       2,399       9,556  SH     DEFINED  01,08       9,556           0           0

WESCO INTL INC                    COM   95082P105         164      20,478  SH     DEFINED     01      19,525           0         953
WESCO INTL INC                    COM   95082P105         744      92,952  SH     DEFINED  01,08      92,952           0           0

WESLEY JESSEN VISIONCARE INC      COM   951018100         686      17,847  SH     DEFINED     01      16,433           0       1,414
WESLEY JESSEN VISIONCARE INC      COM   951018100       2,397      62,372  SH     DEFINED  01,08      62,372           0           0

WEST COAST BANCORP ORE NEW        COM   952145100           5         400  SH     DEFINED     02         400           0           0
WEST COAST BANCORP ORE NEW        COM   952145100         237      19,878  SH     DEFINED  01,08      19,878           0           0

WEST MARINE INC                   COM   954235107           3         323  SH     DEFINED     01           0           0         323
WEST MARINE INC                   COM   954235107           1          94  SH     DEFINED     04          94           0           0
WEST MARINE INC                   COM   954235107         209      25,283  SH     DEFINED  01,08      25,283           0           0

WEST PHARMACEUTICAL SVSC INC      COM   955306105         142       6,111  SH     DEFINED     01       4,124           0       1,987
WEST PHARMACEUTICAL SVSC INC      COM   955306105          53       2,267  SH     OTHER       03           0       2,267           0
WEST PHARMACEUTICAL SVSC INC      COM   955306105       2,774     119,300  SH     OTHER       04     111,733           0       7,567
WEST PHARMACEUTICAL SVSC INC      COM   955306105         710      30,559  SH     DEFINED  01,08      30,559           0           0

WEST TELESERVICES CORP            COM   956188106          19         884  SH     DEFINED     01         610           0         274
WEST TELESERVICES CORP            COM   956188106       1,667      75,786  SH     DEFINED  01,08      75,786           0           0

WESTAFF INC                       COM   957070105          63      15,700  SH     DEFINED  01,08      15,700           0           0

WESTAMERICA BANCORPORATION        COM   957090103       1,589      47,535  SH     DEFINED     01      42,872           0       4,663
WESTAMERICA BANCORPORATION        COM   957090103       3,502     104,722  SH     DEFINED  01,08     104,722           0           0

WESTCOAST HOSPITALITY CORP        COM   95750P106          47       7,900  SH     DEFINED     04           0           0       7,900
WESTCOAST HOSPITALITY CORP        COM   95750P106          38       6,293  SH     DEFINED  01,08       6,293           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    505
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WESTELL TECHNOLOGIES INC          COM   957541105         408      31,695  SH     DEFINED     01      29,180       1,900         615
WESTELL TECHNOLOGIES INC          COM   957541105          83       6,445  SH     DEFINED     04         495           0       5,950
WESTELL TECHNOLOGIES INC          COM   957541105         756      58,743  SH     DEFINED  01,08      58,743           0           0

WESTCORP INC                      COM   957907108         199      13,292  SH     DEFINED     01      11,643           0       1,649
WESTCORP INC                      COM   957907108         984      65,617  SH     DEFINED  01,08      65,617           0           0

WESTERN DIGITAL CORP              COM   958102105         622     105,812  SH     DEFINED     01      85,982           0      19,830
WESTERN DIGITAL CORP              COM   958102105          29       5,000  SH     DEFINED     03       5,000           0           0
WESTERN DIGITAL CORP              COM   958102105           3         500  SH     DEFINED     04         500           0           0
WESTERN DIGITAL CORP              COM   958102105         964     164,161  SH     DEFINED  01,08     164,161           0           0

WESTERN GAS RES INC               COM   958259103       1,340      53,485  SH     DEFINED     01      49,629         200       3,656
WESTERN GAS RES INC               COM   958259103       1,257      50,159  SH     DEFINED  01,08      50,159           0           0

WESTERN MULTIPLEX CORP            COM   95874P107         620      38,600  SH     DEFINED  01,08      38,600           0           0

WESTERN PPTYS TR                  COM   959261108         125      10,184  SH     DEFINED     01       6,874           0       3,310
WESTERN PPTYS TR                  COM   959261108          23       1,830  SH     DEFINED     03         800       1,030           0
WESTERN PPTYS TR                  COM   959261108          37       3,000  SH     OTHER       03       3,000           0           0
WESTERN PPTYS TR                  COM   959261108          54       4,407  SH     DEFINED  01,08       4,407           0           0

WESTERN RES INC                   COM   959425109       1,878      86,867  SH     DEFINED     01      66,385       7,700      12,782
WESTERN RES INC                   COM   959425109         132       6,100  SH     OTHER       01       2,200         900       3,000
WESTERN RES INC                   COM   959425109         128       5,906  SH     DEFINED     02       1,000       4,906           0
WESTERN RES INC                   COM   959425109          29       1,351  SH     OTHER       02       1,351           0           0
WESTERN RES INC                   COM   959425109          39       1,800  SH     OTHER       03       1,800           0           0
WESTERN RES INC                   COM   959425109          78       3,600  SH     OTHER       04       3,600           0           0
WESTERN RES INC                   COM   959425109       4,345     200,943  SH     DEFINED  01,08     200,943           0           0

WESTERN WIRELESS CORP             COM   95988E204         162       4,540  SH     DEFINED     01       2,952           0       1,588
WESTERN WIRELESS CORP             COM   95988E204           7         200  SH     DEFINED     02         200           0           0
WESTERN WIRELESS CORP             COM   95988E204         570      16,000  SH     DEFINED     04           0           0      16,000
WESTERN WIRELESS CORP             COM   95988E204       2,134      59,895  SH     DEFINED  01,08      59,895           0           0

WESTFIELD AMER INC                COM   959910100         230      16,743  SH     DEFINED     01      11,725           0       5,018
WESTFIELD AMER INC                COM   959910100         100       7,280  SH     DEFINED  01,08       7,280           0           0

WESTON ROY F INC                  COM   961137106          84      22,400  SH     DEFINED  01,08      22,400           0           0

WESTPOINT STEVENS INC             COM   961238102         725      59,219  SH     DEFINED     01      57,698           0       1,521
WESTPOINT STEVENS INC             COM   961238102       1,711     139,658  SH     DEFINED  01,08     139,658           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    506
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WESTVACO CORP                     COM   961548104       4,774     178,900  SH     DEFINED     01     146,123      25,834       6,943
WESTVACO CORP                     COM   961548104           6         225  SH     OTHER       01         225           0           0
WESTVACO CORP                     COM   961548104           5         200  SH     DEFINED     03           0         200           0
WESTVACO CORP                     COM   961548104         121       4,525  SH     DEFINED     04       4,525           0           0
WESTVACO CORP                     COM   961548104       2,231      83,590  SH     OTHER       04      83,590           0           0
WESTVACO CORP                     COM   961548104       4,057     152,020  SH     DEFINED  01,08     152,020           0           0

WESTWOOD ONE INC                  COM   961815107       1,659      77,390  SH     DEFINED     01      67,608           0       9,782
WESTWOOD ONE INC                  COM   961815107           5         250  SH     OTHER       04         250           0           0
WESTWOOD ONE INC                  COM   961815107       6,504     303,406  SH     DEFINED  01,08     303,406           0           0

WET SEAL INC                      COM   961840105         338      21,521  SH     DEFINED  01,08      21,521           0           0

WEYCO GROUP INC                   COM   962149100         231       9,159  SH     DEFINED  01,08       9,159           0           0

WEYERHAEUSER CO                   COM   962166104      17,364     430,057  SH     DEFINED     01     339,805      75,729      14,523
WEYERHAEUSER CO                   COM   962166104         939      23,260  SH     OTHER       01       6,810      14,850       1,600
WEYERHAEUSER CO                   COM   962166104         469      11,622  SH     DEFINED     02      10,134         550         938
WEYERHAEUSER CO                   COM   962166104         123       3,050  SH     OTHER       02       2,350         700           0
WEYERHAEUSER CO                   COM   962166104         343       8,500  SH     DEFINED     03       3,475       3,875       1,150
WEYERHAEUSER CO                   COM   962166104         443      10,975  SH     OTHER       03      10,075         900           0
WEYERHAEUSER CO                   COM   962166104         595      14,725  SH     DEFINED     04      13,825           0         900
WEYERHAEUSER CO                   COM   962166104       1,095      27,114  SH     OTHER       04      26,364           0         750
WEYERHAEUSER CO                   COM   962166104           8         200  SH     OTHER       05         200           0           0
WEYERHAEUSER CO                   COM   962166104      27,767     687,719  SH     DEFINED  01,08     333,466     301,003      53,250
WEYERHAEUSER CO                   COM   962166104          69       1,700  SH     DEFINED     09       1,700           0           0
WEYERHAEUSER CO                   COM   962166104       1,078      26,700  SH     DEFINED     10         200      26,500           0

WHIRLPOOL CORP                    COM   963320106       5,111     131,463  SH     DEFINED     01     102,173      25,900       3,390
WHIRLPOOL CORP                    COM   963320106         171       4,400  SH     OTHER       01         700       3,700           0
WHIRLPOOL CORP                    COM   963320106           8         200  SH     DEFINED     03           0         200           0
WHIRLPOOL CORP                    COM   963320106          23         600  SH     OTHER       03           0         600           0
WHIRLPOOL CORP                    COM   963320106          25         650  SH     DEFINED     04         650           0           0
WHIRLPOOL CORP                    COM   963320106          27         700  SH     OTHER       04         700           0           0
WHIRLPOOL CORP                    COM   963320106       4,791     123,229  SH     DEFINED  01,08     123,229           0           0
WHIRLPOOL CORP                    COM   963320106           2          40  SH     DEFINED     10          40           0           0

WHITE ELECTR DESIGNS CORP         COM   963801105         169      14,077  SH     DEFINED     01      13,556           0         521
WHITE ELECTR DESIGNS CORP         COM   963801105         417      34,765  SH     DEFINED  01,08      34,765           0           0

WHITEHALL JEWELLERS INC           COM   965063100         106      13,390  SH     DEFINED     01      12,917           0         473
WHITEHALL JEWELLERS INC           COM   965063100          59       7,450  SH     DEFINED     04           0           0       7,450
WHITEHALL JEWELLERS INC           COM   965063100         121      15,301  SH     DEFINED  01,08      15,301           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    507
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WHITMAN CORP NEW                  COM   96647R107       1,247     107,845  SH     DEFINED     01      98,793       5,000       4,052
WHITMAN CORP NEW                  COM   96647R107         112       9,680  SH     OTHER       01       7,280       2,400           0
WHITMAN CORP NEW                  COM   96647R107          12       1,000  SH     OTHER       02           0       1,000           0
WHITMAN CORP NEW                  COM   96647R107          39       3,354  SH     OTHER       03           0           0       3,354
WHITMAN CORP NEW                  COM   96647R107           7         600  SH     DEFINED     04         600           0           0
WHITMAN CORP NEW                  COM   96647R107          23       2,000  SH     OTHER       04       2,000           0           0
WHITMAN CORP NEW                  COM   96647R107       4,365     377,558  SH     DEFINED  01,08     377,558           0           0

WHITNEY HLDG CORP                 COM   966612103         571      15,719  SH     DEFINED     01       9,314       1,500       4,905
WHITNEY HLDG CORP                 COM   966612103         446      12,285  SH     OTHER       04      12,285           0           0
WHITNEY HLDG CORP                 COM   966612103       1,694      46,646  SH     DEFINED  01,08      46,646           0           0

WHOLE FOODS MKT INC               COM   966837106       3,807      70,902  SH     DEFINED     01      67,243       1,200       2,459
WHOLE FOODS MKT INC               COM   966837106         159       2,960  SH     OTHER       01       1,880         330         750
WHOLE FOODS MKT INC               COM   966837106           5         100  SH     OTHER       04         100           0           0
WHOLE FOODS MKT INC               COM   966837106       2,832      52,750  SH     DEFINED  01,08      52,750           0           0
WHOLE FOODS MKT INC               COM   966837106          27         500  SH     DEFINED     09         500           0           0

WILD OATS MARKETS INC             COM   96808B107         173      14,709  SH     DEFINED     01      12,602           0       2,107
WILD OATS MARKETS INC             COM   96808B107           6         500  SH     OTHER       01           0         500           0
WILD OATS MARKETS INC             COM   96808B107         269      22,913  SH     DEFINED  01,08      22,913           0           0

WILEY JOHN & SONS INC             COM   968223206       1,077      46,935  SH     DEFINED     01      46,003           0         932
WILEY JOHN & SONS INC             COM   968223206       4,087     178,197  SH     DEFINED  01,08     178,197           0           0

WILEY JOHN & SONS INC             COM   968223305         908      39,272  SH     DEFINED  01,08      39,272           0           0

WILLAMETTE INDS INC               COM   969133107       5,323     190,113  SH     DEFINED     01     158,902      27,300       3,911
WILLAMETTE INDS INC               COM   969133107          28       1,000  SH     OTHER       02           0       1,000           0
WILLAMETTE INDS INC               COM   969133107           7         250  SH     DEFINED     03           0           0         250
WILLAMETTE INDS INC               COM   969133107       4,583     163,691  SH     DEFINED  01,08     163,691           0           0

WILLIAMS COMMUNICATIONS GROUP     COM   969455104       3,622     181,107  SH     DEFINED     01     179,658         500         949
WILLIAMS COMMUNICATIONS GROUP     COM   969455104          17         850  SH     DEFINED     04         850           0           0
WILLIAMS COMMUNICATIONS GROUP     COM   969455104           8         400  SH     OTHER       04         400           0           0
WILLIAMS COMMUNICATIONS GROUP     COM   969455104       1,629      81,471  SH     DEFINED  01,08      81,471           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    508
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WILLIAMS COS INC DEL              COM   969457100      43,571   1,031,259  SH     DEFINED     01     853,876     121,861      55,522
WILLIAMS COS INC DEL              COM   969457100         431      10,200  SH     OTHER       01       6,400       3,500         300
WILLIAMS COS INC DEL              COM   969457100         179       4,233  SH     DEFINED     02       2,966         667         600
WILLIAMS COS INC DEL              COM   969457100         124       2,941  SH     OTHER       02           0       2,941           0
WILLIAMS COS INC DEL              COM   969457100         191       4,513  SH     DEFINED     03         979       3,534           0
WILLIAMS COS INC DEL              COM   969457100         161       3,800  SH     OTHER       03           0       3,800           0
WILLIAMS COS INC DEL              COM   969457100      12,662     299,698  SH     DEFINED     04     261,786           0      37,912
WILLIAMS COS INC DEL              COM   969457100         640      15,158  SH     OTHER       04      14,958           0         200
WILLIAMS COS INC DEL              COM   969457100         106       2,500  SH     DEFINED     05       2,500           0           0
WILLIAMS COS INC DEL              COM   969457100      63,365   1,499,771  SH     DEFINED  01,08     689,884     677,004     132,883
WILLIAMS COS INC DEL              COM   969457100          81       1,925  SH     DEFINED     10       1,025         900           0

WILLIAMS CTLS INC                 COM   969465103         203     125,000  SH     DEFINED     04     125,000           0           0
WILLIAMS CTLS INC                 COM   969465103           1         356  SH     DEFINED  01,08         356           0           0

WILLIAMS CLAYTON ENERGY INC       COM   969490101         315       7,774  SH     DEFINED     01       7,695           0          79
WILLIAMS CLAYTON ENERGY INC       COM   969490101          12         300  SH     DEFINED     04         300           0           0
WILLIAMS CLAYTON ENERGY INC       COM   969490101         565      13,957  SH     DEFINED  01,08      13,957           0           0

WILLIAMS SONOMA INC               COM   969904101       1,220      35,099  SH     DEFINED     01      33,487           0       1,612
WILLIAMS SONOMA INC               COM   969904101         434      12,500  SH     OTHER       01           0           0      12,500
WILLIAMS SONOMA INC               COM   969904101           7         200  SH     DEFINED     03           0         200           0
WILLIAMS SONOMA INC               COM   969904101          70       2,000  SH     DEFINED     04       2,000           0           0
WILLIAMS SONOMA INC               COM   969904101       5,390     155,098  SH     DEFINED  01,08     155,098           0           0
WILLIAMS SONOMA INC               COM   969904101          42       1,200  SH     DEFINED     10       1,200           0           0
WILLIAMS SONOMA INC               COM   969904101          30         850  SH     OTHER       10           0         850           0

WILLIS LEASE FINANCE CORP         COM   970646105         143      22,400  SH     DEFINED     04           0           0      22,400
WILLIS LEASE FINANCE CORP         COM   970646105          45       7,100  SH     DEFINED  01,08       7,100           0           0

WILMINGTON TRUST CORP             COM   971807102       1,417      26,426  SH     DEFINED     01      20,819       3,900       1,707
WILMINGTON TRUST CORP             COM   971807102           2          40  SH     DEFINED     02           0          40           0
WILMINGTON TRUST CORP             COM   971807102          38         700  SH     DEFINED     03         700           0           0
WILMINGTON TRUST CORP             COM   971807102          40         750  SH     DEFINED     04         700           0          50
WILMINGTON TRUST CORP             COM   971807102         306       5,700  SH     OTHER       04       5,700           0           0
WILMINGTON TRUST CORP             COM   971807102       4,806      89,618  SH     DEFINED  01,08      89,618           0           0

WILSHIRE OIL CO TEX               COM   971889100           0          18  SH     DEFINED     04          18           0           0
WILSHIRE OIL CO TEX               COM   971889100         128      31,885  SH     DEFINED  01,08      31,885           0           0

WILSONS THE LEATHER EXPERTS       COM   972463103         108       5,992  SH     DEFINED     01       4,378           0       1,614
WILSONS THE LEATHER EXPERTS       COM   972463103         434      24,024  SH     DEFINED  01,08      24,024           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    509
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WIND RIVER SYSTEMS INC            COM   973149107       2,372      49,488  SH     DEFINED     01      44,787       2,120       2,581
WIND RIVER SYSTEMS INC            COM   973149107         288       6,000  SH     OTHER       01       6,000           0           0
WIND RIVER SYSTEMS INC            COM   973149107           7         150  SH     DEFINED     03           0         150           0
WIND RIVER SYSTEMS INC            COM   973149107           7         150  SH     DEFINED     04         150           0           0
WIND RIVER SYSTEMS INC            COM   973149107          22         450  SH     OTHER       04         450           0           0
WIND RIVER SYSTEMS INC            COM   973149107       9,521     198,618  SH     DEFINED  01,08     198,618           0           0

WINFIELD CAP CORP                 COM   973859101         119      11,322  SH     DEFINED  01,08      11,322           0           0

WINK COMMUNICATIONS               COM   974168106         267      22,255  SH     DEFINED     01      21,867           0         388
WINK COMMUNICATIONS               COM   974168106         588      49,040  SH     DEFINED  01,08      49,040           0           0

WINLAND ELECTRS INC               COM   974241101          77      40,000  SH     DEFINED     04      40,000           0           0
WINLAND ELECTRS INC               COM   974241101           5       2,700  SH     DEFINED  01,08       2,700           0           0

WINN DIXIE STORES INC             COM   974280109       3,471     241,448  SH     DEFINED     01     200,034      35,951       5,463
WINN DIXIE STORES INC             COM   974280109         128       8,934  SH     DEFINED     04       8,884           0          50
WINN DIXIE STORES INC             COM   974280109         124       8,600  SH     OTHER       04       8,600           0           0
WINN DIXIE STORES INC             COM   974280109          13         900  SH     DEFINED     05         900           0           0
WINN DIXIE STORES INC             COM   974280109       3,066     213,277  SH     DEFINED  01,08     213,277           0           0

WINNEBAGO INDS INC                COM   974637100         138      11,045  SH     DEFINED     01       5,498       2,000       3,547
WINNEBAGO INDS INC                COM   974637100       2,421     193,642  SH     DEFINED     04       1,000           0     192,642
WINNEBAGO INDS INC                COM   974637100         977      78,192  SH     DEFINED  01,08      78,192           0           0

WINSTAR COMMUNICATIONS INC        COM   975515107          95       6,106  SH     DEFINED     01       4,503           0       1,603
WINSTAR COMMUNICATIONS INC        COM   975515107         105       6,800  SH     OTHER       01       6,200         600           0
WINSTAR COMMUNICATIONS INC        COM   975515107          55       3,560  SH     DEFINED     04       3,560           0           0
WINSTAR COMMUNICATIONS INC        COM   975515107       1,110      71,617  SH     DEFINED  01,08      71,617           0           0
WINSTAR COMMUNICATIONS INC        COM   975515107          47       3,000  SH     DEFINED     10           0       3,000           0

WINSTON HOTELS INC                COM   97563A102         150      17,400  SH     DEFINED     01      17,400           0           0
WINSTON HOTELS INC                COM   97563A102          29       3,400  SH     DEFINED     04           0           0       3,400

WINTRUST FINANCIAL CORP           COM   97650W108         243      14,271  SH     DEFINED     01      14,171         100           0
WINTRUST FINANCIAL CORP           COM   97650W108         357      20,982  SH     DEFINED     04      20,982           0           0
WINTRUST FINANCIAL CORP           COM   97650W108         321      18,893  SH     DEFINED  01,08      18,893           0           0

WIRELESS TELECOM GROUP INC        COM   976524108          62      24,070  SH     DEFINED  01,08      24,070           0           0

WIRELESS FACILITIES INC           COM   97653A103          60       1,036  SH     DEFINED     01         693           0         343
WIRELESS FACILITIES INC           COM   97653A103           6         100  SH     OTHER       02           0         100           0
WIRELESS FACILITIES INC           COM   97653A103           7         115  SH     DEFINED     03           0         115           0
WIRELESS FACILITIES INC           COM   97653A103          23         400  SH     DEFINED     04         400           0           0
WIRELESS FACILITIES INC           COM   97653A103       2,662      46,140  SH     DEFINED  01,08      46,140           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    510
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WISCONSIN CENT TRANSN CORP        COM   976592105         593      56,127  SH     DEFINED     01      47,308           0       8,819
WISCONSIN CENT TRANSN CORP        COM   976592105       1,473     139,506  SH     OTHER       01           0     139,506           0
WISCONSIN CENT TRANSN CORP        COM   976592105       2,052     194,305  SH     DEFINED  01,08     194,305           0           0

WISCONSIN ENERGY CORP             COM   976657106       2,969     148,943  SH     DEFINED     01     123,375      12,625      12,943
WISCONSIN ENERGY CORP             COM   976657106       2,107     105,674  SH     OTHER       01      52,828      48,571       4,275
WISCONSIN ENERGY CORP             COM   976657106         208      10,452  SH     DEFINED     02       6,352       2,500       1,600
WISCONSIN ENERGY CORP             COM   976657106          90       4,490  SH     OTHER       02       3,087       1,403           0
WISCONSIN ENERGY CORP             COM   976657106         112       5,631  SH     DEFINED     03       4,298       1,333           0
WISCONSIN ENERGY CORP             COM   976657106         134       6,700  SH     OTHER       03       3,300       3,400           0
WISCONSIN ENERGY CORP             COM   976657106         551      27,651  SH     DEFINED     04      27,651           0           0
WISCONSIN ENERGY CORP             COM   976657106         812      40,738  SH     OTHER       04      37,438           0       3,300
WISCONSIN ENERGY CORP             COM   976657106          34       1,725  SH     DEFINED     05       1,725           0           0
WISCONSIN ENERGY CORP             COM   976657106       6,719     337,024  SH     DEFINED  01,08     337,024           0           0
WISCONSIN ENERGY CORP             COM   976657106          10         500  SH     DEFINED     10         500           0           0
WISCONSIN ENERGY CORP             COM   976657106          78       3,900  SH     OTHER       10       3,900           0           0

WISER OIL CO DEL                  COM   977284108         117      23,300  SH     DEFINED  01,08      23,300           0           0

WIT SOUNDVIEW GROUP INC           COM   977383108         730      81,132  SH     DEFINED     01      72,654           0       8,478
WIT SOUNDVIEW GROUP INC           COM   977383108           5         500  SH     DEFINED     02           0           0         500
WIT SOUNDVIEW GROUP INC           COM   977383108         400      44,423  SH     DEFINED  01,08      44,423           0           0

WITNESS SYS INC                   COM   977424100         355      19,666  SH     DEFINED  01,08      19,666           0           0

WOLOHAN LMBR CO                   COM   977865104          20       2,000  SH     DEFINED     01       2,000           0           0
WOLOHAN LMBR CO                   COM   977865104         233      23,121  SH     DEFINED  01,08      23,121           0           0

WOLVERINE TUBE INC                COM   978093102         533      35,829  SH     DEFINED     01      13,280      20,900       1,649
WOLVERINE TUBE INC                COM   978093102         357      23,967  SH     DEFINED  01,08      23,967           0           0

WOLVERINE WORLD WIDE INC          COM   978097103         449      48,246  SH     DEFINED     01      38,300           0       9,946
WOLVERINE WORLD WIDE INC          COM   978097103         707      75,937  SH     DEFINED     04      75,937           0           0
WOLVERINE WORLD WIDE INC          COM   978097103       1,155     123,985  SH     DEFINED  01,08     123,985           0           0
WOLVERINE WORLD WIDE INC          COM   978097103          10       1,105  SH     DEFINED     10       1,105           0           0

WOMEN COM NETWORKS INC            COM   978149102          27       9,868  SH     DEFINED     01       6,865           0       3,003
WOMEN COM NETWORKS INC            COM   978149102           0          75  SH     OTHER       04          75           0           0
WOMEN COM NETWORKS INC            COM   978149102         171      62,554  SH     DEFINED  01,08      62,554           0           0
WOMEN COM NETWORKS INC            COM   978149102           0          50  SH     DEFINED     10           0          50           0

WOODHEAD INDS INC                 COM   979438108         155       7,449  SH     DEFINED     01       5,754           0       1,695
WOODHEAD INDS INC                 COM   979438108         641      30,805  SH     DEFINED  01,08      30,805           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    511
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WOODWARD GOVERNOR CO              COM   980745103         220       4,931  SH     DEFINED     01       3,381           0       1,550
WOODWARD GOVERNOR CO              COM   980745103          76       1,700  SH     OTHER       04       1,700           0           0
WOODWARD GOVERNOR CO              COM   980745103         463      10,385  SH     DEFINED  01,08      10,385           0           0

WORKGROUP TECHNOLOGY CORP         COM   980903108           5      11,884  SH     DEFINED  01,08      11,884           0           0

WORKFLOW MGMT INC                 COM   98137N109         104      17,000  SH     DEFINED     04         800           0      16,200
WORKFLOW MGMT INC                 COM   98137N109         100      16,407  SH     DEFINED  01,08      16,407           0           0

WORLD ACCESS INC                  COM   98141A101         343      63,370  SH     DEFINED     01      58,006           0       5,364
WORLD ACCESS INC                  COM   98141A101          36       6,648  SH     OTHER       01           0       6,648           0
WORLD ACCESS INC                  COM   98141A101           5         840  SH     DEFINED     04         840           0           0
WORLD ACCESS INC                  COM   98141A101         424      78,464  SH     DEFINED  01,08      78,464           0           0

WORLD ACCEP CORP DEL              COM   981419104         184      36,173  SH     DEFINED  01,08      36,173           0           0

WORLD AWYS INC NEW                COM   98142H105           0         144  SH     DEFINED     04         144           0           0
WORLD AWYS INC NEW                COM   98142H105           9      11,200  SH     DEFINED  01,08      11,200           0           0

WORLD FUEL SVCS CORP              COM   981475106         646      79,500  SH     DEFINED     04      79,500           0           0
WORLD FUEL SVCS CORP              COM   981475106         261      32,092  SH     DEFINED  01,08      32,092           0           0

WORLDGATE COMMUNICATIONS INC      COM   98156L307         296      14,094  SH     DEFINED     01      13,470         200         424
WORLDGATE COMMUNICATIONS INC      COM   98156L307         821      39,098  SH     DEFINED  01,08      39,098           0           0

WORLD WRESTLING FEDN ENTMT INC    COM   98156Q108         170      11,223  SH     DEFINED     01      10,268         167         788
WORLD WRESTLING FEDN ENTMT INC    COM   98156Q108           1          34  SH     OTHER       01          34           0           0
WORLD WRESTLING FEDN ENTMT INC    COM   98156Q108           3         175  SH     DEFINED     04         175           0           0
WORLD WRESTLING FEDN ENTMT INC    COM   98156Q108         282      18,556  SH     DEFINED  01,08      18,556           0           0

WORLDCOM INC GA NEW               COM   98157D106     231,903   7,634,678  SH     DEFINED     01   5,504,634   1,704,289     425,755
WORLDCOM INC GA NEW               COM   98157D106      22,939     755,179  SH     OTHER       01     385,422     309,636      60,121
WORLDCOM INC GA NEW               COM   98157D106       4,689     154,366  SH     DEFINED     02      64,979      73,312      16,075
WORLDCOM INC GA NEW               COM   98157D106       1,139      37,491  SH     OTHER       02      14,267      19,469       3,755
WORLDCOM INC GA NEW               COM   98157D106      12,775     420,589  SH     DEFINED     03     198,325     199,903      22,361
WORLDCOM INC GA NEW               COM   98157D106       3,344     110,082  SH     OTHER       03      57,016      47,141       5,925
WORLDCOM INC GA NEW               COM   98157D106      51,712   1,702,443  SH     DEFINED     04   1,611,589           0      90,854
WORLDCOM INC GA NEW               COM   98157D106      24,331     801,034  SH     OTHER       04     768,973           0      32,061
WORLDCOM INC GA NEW               COM   98157D106      10,239     337,093  SH     DEFINED     05     201,724     106,857      28,512
WORLDCOM INC GA NEW               COM   98157D106       1,540      50,715  SH     OTHER       05      24,445      13,880      12,390
WORLDCOM INC GA NEW               COM   98157D106     135,255   4,452,842  SH     DEFINED  01,08   4,414,834      37,408         600
WORLDCOM INC GA NEW               COM   98157D106          87       2,861  SH     DEFINED     09       2,861           0           0
WORLDCOM INC GA NEW               COM   98157D106          66       2,185  SH     OTHER       09           0       2,185           0
WORLDCOM INC GA NEW               COM   98157D106       5,717     188,202  SH     DEFINED     10      70,874     116,728         600
WORLDCOM INC GA NEW               COM   98157D106       1,086      35,741  SH     OTHER       10       6,438      29,303           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    512
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

WORTHINGTON INDS INC              COM   981811102       1,691     180,364  SH     DEFINED     01     145,166      21,829      13,369
WORTHINGTON INDS INC              COM   981811102         105      11,250  SH     OTHER       01      11,250           0           0
WORTHINGTON INDS INC              COM   981811102          11       1,120  SH     OTHER       02           0       1,120           0
WORTHINGTON INDS INC              COM   981811102       1,328     141,622  SH     DEFINED  01,08     141,622           0           0

WORLDTEX INC                      COM   981907108           8      24,200  SH     DEFINED  01,08      24,200           0           0

WORLDPAGES COM INC                COM   981922107          86      20,320  SH     DEFINED     01      14,176           0       6,144
WORLDPAGES COM INC                COM   981922107         117      27,454  SH     DEFINED  01,08      27,454           0           0

WRIGLEY WM JR CO                  COM   982526105      22,659     302,619  SH     DEFINED     01     210,291      40,983      51,345
WRIGLEY WM JR CO                  COM   982526105      10,252     136,920  SH     OTHER       01      58,407      51,533      26,980
WRIGLEY WM JR CO                  COM   982526105         144       1,917  SH     DEFINED     02         500       1,417           0
WRIGLEY WM JR CO                  COM   982526105       2,390      31,922  SH     OTHER       02      30,922       1,000           0
WRIGLEY WM JR CO                  COM   982526105       5,152      68,807  SH     DEFINED     03      56,579       1,228      11,000
WRIGLEY WM JR CO                  COM   982526105         258       3,450  SH     OTHER       03       3,450           0           0
WRIGLEY WM JR CO                  COM   982526105       2,490      33,251  SH     DEFINED     04      27,851           0       5,400
WRIGLEY WM JR CO                  COM   982526105       8,512     113,685  SH     OTHER       04      19,685           0      94,000
WRIGLEY WM JR CO                  COM   982526105      12,610     168,420  SH     DEFINED  01,08     168,420           0           0
WRIGLEY WM JR CO                  COM   982526105         158       2,115  SH     DEFINED     10           0       2,115           0

WYNDHAM INTL INC                  COM   983101106         158      87,253  SH     DEFINED     01      61,054           0      26,199
WYNDHAM INTL INC                  COM   983101106           1         487  SH     DEFINED     04         487           0           0
WYNDHAM INTL INC                  COM   983101106          93      51,176  SH     DEFINED  01,08      37,676      13,500           0

XM SATELLITE RADIO HLDGS INC      COM   983759101         490      11,380  SH     DEFINED     01      10,770           0         610
XM SATELLITE RADIO HLDGS INC      COM   983759101           3          68  SH     DEFINED     04          68           0           0
XM SATELLITE RADIO HLDGS INC      COM   983759101          65       1,500  SH     DEFINED     05       1,500           0           0
XM SATELLITE RADIO HLDGS INC      COM   983759101       2,013      46,745  SH     DEFINED  01,08      46,745           0           0

X-RITE INC                        COM   983857103         155      17,668  SH     DEFINED     01      16,317           0       1,351
X-RITE INC                        COM   983857103         552      63,125  SH     DEFINED  01,08      63,125           0           0

XCEED INC                         COM   98388N105          41      16,277  SH     DEFINED     01      16,015           0         262
XCEED INC                         COM   98388N105          79      31,692  SH     DEFINED  01,08      31,692           0           0

XCARE NET INC                     COM   98388Y101          89      19,752  SH     DEFINED  01,08      19,752           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    513
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

XCEL ENERGY INC                   COM   98389B100      17,255     627,457  SH     DEFINED     01     510,572      91,177      25,708
XCEL ENERGY INC                   COM   98389B100       1,275      46,350  SH     OTHER       01      13,136      32,214       1,000
XCEL ENERGY INC                   COM   98389B100         248       9,008  SH     DEFINED     02       2,800       5,808         400
XCEL ENERGY INC                   COM   98389B100         338      12,297  SH     OTHER       02       6,207       5,490         600
XCEL ENERGY INC                   COM   98389B100          61       2,208  SH     DEFINED     03           0       2,208           0
XCEL ENERGY INC                   COM   98389B100          44       1,600  SH     OTHER       03         400       1,200           0
XCEL ENERGY INC                   COM   98389B100         728      26,483  SH     DEFINED     04      26,483           0           0
XCEL ENERGY INC                   COM   98389B100         997      36,268  SH     OTHER       04      35,114           0       1,154
XCEL ENERGY INC                   COM   98389B100      14,303     520,101  SH     DEFINED  01,08     520,101           0           0
XCEL ENERGY INC                   COM   98389B100          97       3,511  SH     DEFINED     09       3,511           0           0
XCEL ENERGY INC                   COM   98389B100         128       4,668  SH     DEFINED     10       2,868           0       1,800
XCEL ENERGY INC                   COM   98389B100          37       1,350  SH     OTHER       10       1,350           0           0

XETA TECHNOLOGIES INC             COM   983909102         192      16,200  SH     DEFINED  01,08      16,200           0           0

XILINX INC                        COM   983919101     148,504   1,734,354  SH     DEFINED     01   1,513,412     154,098      66,844
XILINX INC                        COM   983919101       9,064     105,856  SH     OTHER       01      37,490      27,585      40,781
XILINX INC                        COM   983919101         131       1,530  SH     DEFINED     02       1,490          40           0
XILINX INC                        COM   983919101         471       5,500  SH     OTHER       02           0       5,500           0
XILINX INC                        COM   983919101       8,890     103,825  SH     DEFINED     03      50,753      45,065       8,007
XILINX INC                        COM   983919101         462       5,400  SH     OTHER       03       1,540       3,860           0
XILINX INC                        COM   983919101       1,179      13,774  SH     DEFINED     04      12,639           0       1,135
XILINX INC                        COM   983919101         211       2,470  SH     OTHER       04       2,350           0         120
XILINX INC                        COM   983919101          34         400  SH     DEFINED     05         400           0           0
XILINX INC                        COM   983919101      43,374     506,553  SH     DEFINED  01,08     490,363      16,190           0
XILINX INC                        COM   983919101         409       4,773  SH     DEFINED     09       4,773           0           0
XILINX INC                        COM   983919101          34         400  SH     OTHER       09         400           0           0
XILINX INC                        COM   983919101         480       5,601  SH     DEFINED     10       3,651       1,950           0

XIRCOM INC                        COM   983922105         728      28,850  SH     DEFINED     01      27,074           0       1,776
XIRCOM INC                        COM   983922105           2          75  SH     DEFINED     03           0          75           0
XIRCOM INC                        COM   983922105       1,490      59,014  SH     DEFINED  01,08      59,014           0           0

XETEL CORP                        COM   983942103         106      13,217  SH     DEFINED  01,08      13,217           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    514
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

XEROX CORP                        COM   984121103      18,036   1,197,477  SH     DEFINED     01     985,534     168,742      43,201
XEROX CORP                        COM   984121103         213      14,130  SH     OTHER       01       9,970       2,430       1,730
XEROX CORP                        COM   984121103          68       4,500  SH     DEFINED     02       4,100         400           0
XEROX CORP                        COM   984121103         119       7,900  SH     OTHER       02       7,400         500           0
XEROX CORP                        COM   984121103          39       2,575  SH     DEFINED     03         600       1,400         575
XEROX CORP                        COM   984121103         201      13,362  SH     OTHER       03       9,960       3,402           0
XEROX CORP                        COM   984121103         310      20,580  SH     DEFINED     04      20,580           0           0
XEROX CORP                        COM   984121103       1,339      88,930  SH     OTHER       04      82,840           0       6,090
XEROX CORP                        COM   984121103      38,764   2,573,640  SH     DEFINED  01,08   1,036,734   1,261,541     275,365
XEROX CORP                        COM   984121103          56       3,746  SH     DEFINED     10         746       3,000           0
XEROX CORP                        COM   984121103          18       1,200  SH     OTHER       10       1,200           0           0

XPEDIOR INC                       COM   98413B100          28       8,636  SH     DEFINED     01       8,484           0         152
XPEDIOR INC                       COM   98413B100         220      67,611  SH     DEFINED  01,08      67,611           0           0

XTRA CORP                         COM   984138107         564      12,689  SH     DEFINED     01      10,372           0       2,317
XTRA CORP                         COM   984138107       1,677      37,746  SH     DEFINED  01,08      37,746           0           0

XYBERNAUT CORP                    COM   984149104         190      32,025  SH     DEFINED     01      31,077           0         948
XYBERNAUT CORP                    COM   984149104          29       4,850  SH     DEFINED     02         350       4,500           0
XYBERNAUT CORP                    COM   984149104           1         150  SH     OTHER       03           0         150           0
XYBERNAUT CORP                    COM   984149104           6       1,000  SH     OTHER       04       1,000           0           0
XYBERNAUT CORP                    COM   984149104         180      30,360  SH     DEFINED  01,08      30,360           0           0

YAHOO INC                         COM   984332106     104,283   1,145,968  SH     DEFINED     01   1,081,471      23,754      40,743
YAHOO INC                         COM   984332106         439       4,820  SH     OTHER       01         970       2,450       1,400
YAHOO INC                         COM   984332106         279       3,069  SH     DEFINED     02       1,400         919         750
YAHOO INC                         COM   984332106          68         750  SH     OTHER       02         450         100         200
YAHOO INC                         COM   984332106       1,082      11,887  SH     DEFINED     03       5,553       5,814         520
YAHOO INC                         COM   984332106         221       2,425  SH     OTHER       03       2,225         200           0
YAHOO INC                         COM   984332106      11,285     124,006  SH     DEFINED     04     113,301           0      10,705
YAHOO INC                         COM   984332106       5,543      60,911  SH     OTHER       04      57,011           0       3,900
YAHOO INC                         COM   984332106      71,048     780,744  SH     DEFINED  01,08     780,744           0           0
YAHOO INC                         COM   984332106       1,201      13,200  SH     DEFINED     10       9,420       3,780           0
YAHOO INC                         COM   984332106         159       1,750  SH     OTHER       10         100       1,650           0

YANKEE CANDLE INC                 COM   984757104         301      14,976  SH     DEFINED     01      14,715           0         261
YANKEE CANDLE INC                 COM   984757104       1,380      68,549  SH     DEFINED  01,08      68,549           0           0

XICOR INC                         COM   984903104         559      67,779  SH     DEFINED  01,08      67,779           0           0

YELLOW CORP                       COM   985509108         543      35,906  SH     DEFINED     01      30,053           0       5,853
YELLOW CORP                       COM   985509108         977      64,574  SH     DEFINED  01,08      64,574           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    515
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

YORK FINL CORP                    COM   986630101          51       3,330  SH     DEFINED     01       3,330           0           0
YORK FINL CORP                    COM   986630101         422      27,809  SH     DEFINED  01,08      27,809           0           0

YORK GROUP INC                    COM   986632107          72      12,000  SH     DEFINED  01,08      12,000           0           0

YORK INTL CORP NEW                COM   986670107       1,549      62,261  SH     DEFINED     01      55,679           0       6,582
YORK INTL CORP NEW                COM   986670107         249      10,000  SH     OTHER       01           0           0      10,000
YORK INTL CORP NEW                COM   986670107       2,759     110,912  SH     DEFINED  01,08     110,912           0           0
YORK INTL CORP NEW                COM   986670107           4         156  SH     DEFINED     10         156           0           0

YORK RESH CORP                    COM   987048105           1       1,000  SH     DEFINED     04       1,000           0           0
YORK RESH CORP                    COM   987048105          30      31,700  SH     DEFINED  01,08      31,700           0           0

YOUBET COM INC                    COM   987413101          19      10,000  SH     DEFINED     03      10,000           0           0
YOUBET COM INC                    COM   987413101          16       8,080  SH     DEFINED  01,08       8,080           0           0

YOUNG & RUBICAM INC               COM   987425105       5,106     103,150  SH     DEFINED     01      98,273         100       4,777
YOUNG & RUBICAM INC               COM   987425105          30         600  SH     DEFINED     02           0         600           0
YOUNG & RUBICAM INC               COM   987425105          25         500  SH     DEFINED     04         500           0           0
YOUNG & RUBICAM INC               COM   987425105       5,178     104,604  SH     DEFINED  01,08     104,604           0           0

YOUNG BROADCASTING INC            COM   987434107         352      11,184  SH     DEFINED     01      10,583           0         601
YOUNG BROADCASTING INC            COM   987434107       1,528      48,596  SH     DEFINED  01,08      48,596           0           0

YOUTHSTREAM MEDIA NETWORKS INC    COM   987819109          10       2,722  SH     DEFINED     04       2,722           0           0
YOUTHSTREAM MEDIA NETWORKS INC    COM   987819109          39      10,305  SH     DEFINED  01,08      10,305           0           0

Z TEL TECHNOLOGIES INC            COM   988792107          47       6,449  SH     DEFINED     01       6,336           0         113
Z TEL TECHNOLOGIES INC            COM   988792107           3         400  SH     DEFINED     04         400           0           0
Z TEL TECHNOLOGIES INC            COM   988792107         328      45,302  SH     DEFINED  01,08      45,302           0           0

ZALE CORP NEW                     COM   988858106       1,051      32,394  SH     DEFINED     01      23,194       3,100       6,100
ZALE CORP NEW                     COM   988858106       2,761      85,120  SH     DEFINED  01,08      85,120           0           0

ZAMBA CORP                        COM   988881108         175      41,161  SH     DEFINED  01,08      41,161           0           0

ZEMEX CDA CORP                    COM   988910105          79      10,774  SH     DEFINED     01      10,774           0           0
ZEMEX CDA CORP                    COM   988910105           6         846  SH     DEFINED  01,08         846           0           0

ZI CORP                           COM   988918108           5         750  SH     DEFINED     04         750           0           0
ZI CORP                           COM   988918108          97      13,800  SH     OTHER       04      13,800           0           0

ZANY BRAINY INC                   COM   98906Q101           3       1,500  SH     OTHER       04       1,500           0           0
ZANY BRAINY INC                   COM   98906Q101         104      52,025  SH     DEFINED  01,08      52,025           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    516
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

ZAPATA CORP                       COM   989070503           7       2,524  SH     OTHER       01           0       2,524           0
ZAPATA CORP                       COM   989070503           0          68  SH     DEFINED     04          68           0           0
ZAPATA CORP                       COM   989070503          88      30,661  SH     DEFINED  01,08      30,661           0           0

ZAPME CORP                        COM   98912E100         109      62,127  SH     DEFINED  01,08      62,127           0           0

ZEBRA TECHNOLOGIES CORP           COM   989207105       1,830      38,073  SH     DEFINED     01      29,705       5,810       2,558
ZEBRA TECHNOLOGIES CORP           COM   989207105         156       3,250  SH     OTHER       01           0       1,900       1,350
ZEBRA TECHNOLOGIES CORP           COM   989207105         105       2,190  SH     DEFINED     03           0       1,690         500
ZEBRA TECHNOLOGIES CORP           COM   989207105          14         300  SH     DEFINED     04         300           0           0
ZEBRA TECHNOLOGIES CORP           COM   989207105          48       1,000  SH     OTHER       04       1,000           0           0
ZEBRA TECHNOLOGIES CORP           COM   989207105       3,032      63,077  SH     DEFINED  01,08      63,077           0           0

ZENITH NATL INS CORP              COM   989390109         885      40,466  SH     DEFINED     01      18,300      19,500       2,666
ZENITH NATL INS CORP              COM   989390109       1,192      54,478  SH     DEFINED  01,08      54,478           0           0

ZEROPLUS COM INC                  COM   98949Y103          18      11,100  SH     DEFINED  01,08      11,100           0           0

ZIFF-DAVIS INC                    COM   989511100         206      25,351  SH     DEFINED     01      19,684           0       5,667
ZIFF-DAVIS INC                    COM   989511100       1,192     146,720  SH     DEFINED  01,08     146,720           0           0

ZILA INC                          COM   989513205           4       1,225  SH     DEFINED     01           0       1,225           0
ZILA INC                          COM   989513205           1         400  SH     OTHER       02           0           0         400
ZILA INC                          COM   989513205         195      53,711  SH     DEFINED  01,08      53,711           0           0

ZIONS BANCORPORATION              COM   989701107       6,526     127,608  SH     DEFINED     01      83,023      31,380      13,205
ZIONS BANCORPORATION              COM   989701107         437       8,550  SH     OTHER       01       7,050       1,500           0
ZIONS BANCORPORATION              COM   989701107       1,373      26,854  SH     DEFINED     02      17,934       4,920       4,000
ZIONS BANCORPORATION              COM   989701107          67       1,312  SH     OTHER       02       1,312           0           0
ZIONS BANCORPORATION              COM   989701107       1,173      22,935  SH     DEFINED     03       6,185      16,145         605
ZIONS BANCORPORATION              COM   989701107         130       2,550  SH     OTHER       03         100       2,450           0
ZIONS BANCORPORATION              COM   989701107          13         250  SH     DEFINED     04         250           0           0
ZIONS BANCORPORATION              COM   989701107          59       1,154  SH     OTHER       04       1,154           0           0
ZIONS BANCORPORATION              COM   989701107         274       5,365  SH     DEFINED     05       4,590         625         150
ZIONS BANCORPORATION              COM   989701107           8         160  SH     OTHER       05         160           0           0
ZIONS BANCORPORATION              COM   989701107      12,679     247,921  SH     DEFINED  01,08     247,921           0           0
ZIONS BANCORPORATION              COM   989701107           8         150  SH     OTHER       09           0         150           0

ZIXIT CORP                        COM   98974P100         851      27,905  SH     DEFINED     01      26,808           0       1,097
ZIXIT CORP                        COM   98974P100          16         525  SH     DEFINED     04         375           0         150
ZIXIT CORP                        COM   98974P100         805      26,381  SH     DEFINED  01,08      26,381           0           0

ZORAN CORP                        COM   98975F101         730      14,968  SH     DEFINED     01      14,704           0         264
ZORAN CORP                        COM   98975F101          12         252  SH     OTHER       01           0           0         252
ZORAN CORP                        COM   98975F101         949      19,457  SH     DEFINED  01,08      19,457           0           0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>

   FORM 13F                    DATE 09-29-00                    NORTHERN TRUST CORPORATION                       PAGE    517
   ________
                                                                             ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                            __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE
<S>                            <C>      <C>       <C>          <C>                <C>      <C>        <C>         <C>           <C>

ZONAGEN INC                       COM   98975L108          40      11,400  SH     DEFINED  01,08      11,400           0           0

ZOLTEK COS INC                    COM   98975W104         193      24,525  SH     DEFINED  01,08      24,525           0           0

ZOOM TELEPHONICS INC              COM   98976E103          71      10,628  SH     DEFINED  01,08      10,628           0           0

ZWEIG FD                          COM   989834106           3         300  SH     DEFINED     02         300           0           0
ZWEIG FD                          COM   989834106           7         654  SH     OTHER       02         654           0           0
ZWEIG FD                          COM   989834106          21       2,000  SH     DEFINED     04       2,000           0           0
ZWEIG FD                          COM   989834106          76       7,386  SH     OTHER       04       7,386           0           0

ZYGO CORP                         COM   989855101       1,166      13,407  SH     DEFINED     01      13,077           0         330
ZYGO CORP                         COM   989855101       2,777      31,918  SH     DEFINED  01,08      31,918           0           0

ZOLL MED CORP                     COM   989922109         435       8,930  SH     DEFINED     01       8,780           0         150
ZOLL MED CORP                     COM   989922109         498      10,212  SH     DEFINED  01,08      10,212           0           0

ZOMAX INC MINN                    COM   989929104         205      29,316  SH     DEFINED     01      28,410           0         906
ZOMAX INC MINN                    COM   989929104         244      34,889  SH     DEFINED  01,08      34,889           0           0

                            OVERALL TOTALS       100,877,860
                            REPORT ENTRY TOTAL        17,299
</TABLE>


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