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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: March 31, 2008


Check here if Amendment [X]; Amendment Number: 1


  This Amendment (Check only one.):      [X] is a restatement.
                                         [ ] adds new holdings entries

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed 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:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        June 2, 2008
-------------------------------    ------------------------  ------------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check if all holdings of this reporting manager are
    reported in this report.)

[ ] 13F NOTICE.  (Check if no holdings reported are in this report, and all
    holdings are reported in this report and a portion are reported by other
    reporting manager(s).)

[ ] 13F COMBINATION REPORT.  (Check 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).)






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  5



Form 13F Information Table Entry Total: 6,252

Form 13F Information Table Value Total: $20,022,967(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.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  BRAZOS CAPITAL MANAGEMENT, L.P.

4         28-11910                 FSC SECURITIES CORPORATION

5         28-12857                 AIG FINANCIAL ADVISORS, INC.





                                                        13F SECURITIES - 1Q 2008



                                                                                                    VOTING AUTHORITY
                           TITLE OF     CUSIP    VALUE   SHARES/  SH/ PUT/ INVESTMENT OTHER -------------------------------
       ISSUER NAME           CLASS      NUMBER  X $1000 PRINCIPAL PRN CALL DISCRETION  MGRS   SOLE (A)  SHARED (B) NONE (C)
------------------------ ------------ --------- ------- --------- --- ---- ---------- ----- ----------- ---------- --------
                                                                                  
1-800-FLOWERS.COM INC    EQUITY       68243Q106     177    20,747 SH    -- SOLE           1      20,747         --       --
3COM CORP COM            EQUITY       885535104       3     1,117 SH    -- DEFINED        5          --         --    1,117
3D SYSTEMS CORP          EQUITY       88554D205     222    15,102 SH    -- SOLE           1      15,102         --       --
3M CO                    EQUITY       88579Y101  51,655   652,618 SH    -- SOLE           1     652,618         --       --
3M CO                    EQUITY       88579Y101   3,059    38,646 SH    -- SOLE           2      38,646         --       --
3M CO COM                EQUITY       88579Y101      79     1,001 SH    -- DEFINED        4          --         --    1,001
3M CO COM                EQUITY       88579Y101     455     5,744 SH    -- DEFINED        5          --         --    5,744
3M CO NOTE 11/2          FIXED INCOME 88579YAB7       3         4 PRN   -- DEFINED        4          --         --        4
3PAR INC                 EQUITY       88580F109      44     6,438 SH    -- SOLE           1       6,438         --       --
4 KIDS ENTMT INC COM     EQUITY       350865101       9       890 SH    -- DEFINED        5          --         --      890
40 / 86 STRATEGIC
   INCOME FD SH BEN INT  EQUITY       349739102      97    11,680 SH    -- DEFINED        4          --         --   11,680
40 / 86 STRATEGIC
   INCOME FD SH BEN INT  EQUITY       349739102     217    26,091 SH    -- DEFINED        5          --         --   26,091
99 CENTS ONLY STORES     EQUITY       65440K106   1,499   151,526 SH    -- SOLE           1     151,526         --       --
A C MOORE ARTS & CRAFT   EQUITY       00086T103     118    17,361 SH    -- SOLE           1      17,361         --       --
AAR CORP COM             EQUITY       000361105       4       150 SH    -- DEFINED        5          --         --      150
AASTROM BIOSCIENCES INC
   COM                   EQUITY       00253U107       4    10,000 SH    -- DEFINED        5          --         --   10,000
ABB LTD                  EQUITY       000375204     646    24,000 SH    -- SOLE           2      24,000         --       --
ABB LTD SPONSORED ADR    EQUITY       000375204      89     3,300 SH    -- DEFINED        5          --         --    3,300
ABBOTT LABS              EQUITY       002824100  10,695   193,934 SH    -- SOLE           2     193,934         --       --
ABBOTT LABS COM          EQUITY       002824100       9       159 SH    -- DEFINED        4          --         --      159
ABBOTT LABS COM          EQUITY       002824100      79     1,439 SH    -- DEFINED        5          --         --    1,439
ABERCROMBIE + FITCH CO   EQUITY       002896207       8       103 SH    -- SOLE           2         103         --       --
ABERDEEN ASIA PACIFIC
   INCOM COM             EQUITY       003009107      18     2,850 SH    -- DEFINED        4          --         --    2,850
ABERDEEN ASIA PACIFIC
   INCOM COM             EQUITY       003009107      24     3,870 SH    -- DEFINED        5          --         --    3,870
ABERDEEN AUSTRALIA EQTY
   FD I COM              EQUITY       003011103     366    24,063 SH    -- DEFINED        4          --         --   24,063
ABERDEEN AUSTRALIA EQTY
   FD I COM              EQUITY       003011103       9       600 SH    -- DEFINED        5          --         --      600
ABINGTON BANCORP INC     EQUITY       00350L109      93     8,967 SH    -- SOLE           1       8,967         --       --
ABX HOLDINGS INC         EQUITY       00080S101     158    53,778 SH    -- SOLE           1      53,778         --       --
ACCENTURE LTD BERMUDA    EQUITY       G1150G111   1,591    45,250 SH    -- SOLE           2      45,250         --       --
ACCENTURE LTD BERMUDA
   CL A                  EQUITY       G1150G111       4       117 SH    -- DEFINED        4          --         --      117
ACCENTURE LTD BERMUDA
   CL A                  EQUITY       G1150G111      74     2,098 SH    -- DEFINED        5          --         --    2,098
ACCO BRANDS CORP         EQUITY       00081T108     628    46,298 SH    -- SOLE           1      46,298         --       --
ACE LTD                  EQUITY       G0070K103     593    10,764 SH    -- SOLE           2      10,764         --       --
ACERGY S A SPONSORED ADR EQUITY       00443E104      11       500 SH    -- DEFINED        5          --         --      500
ACI WORLDWIDE INC COM    EQUITY       004498101       6       300 SH    -- DEFINED        5          --         --      300
ACME PACKET INC          EQUITY       004764106     930   116,444 SH    -- SOLE           1     116,444         --       --
ACORDA THERAPEUTICS INC  EQUITY       00484M106     438    24,414 SH    -- SOLE           1      24,414         --       --
ACTEL CORP.              EQUITY       004934105     342    22,351 SH    -- SOLE           1      22,351         --       --
ACTIVISION INC NEW       EQUITY       004930202   1,307    47,861 SH    -- SOLE           2      47,861         --       --
ACTIVISION INC NEW COM
   NEW                   EQUITY       004930202      52     1,912 SH    -- DEFINED        4          --         --    1,912
ACTIVISION, INC.         EQUITY       004930202  19,848   726,754 SH    -- SOLE           1     726,754         --       --
ACTUANT CORP             EQUITY       00508X203   1,421    47,028 SH    -- SOLE           1      47,028         --       --
ACTUATE CORP.            EQUITY       00508B102     213    51,951 SH    -- SOLE           1      51,951         --       --
ACUITY BRANDS INC        EQUITY       00508Y102   1,512    35,194 SH    -- SOLE           1      35,194         --       --
ACXIOM CORP.             EQUITY       005125109   1,925   162,191 SH    -- SOLE           1     162,191         --       --
ADAMS GOLF INC COM NEW
   ADDED                 EQUITY       006228209       2       250 SH    -- DEFINED        4          --         --      250





                                                                                  
ADAPTEC, INC.            EQUITY       00651F108     299   101,539 SH    -- SOLE           1     101,539         --       --
ADC TELECOMMUNICATIONS
   INC                   EQUITY       000886309   3,431   284,012 SH    -- SOLE           1     284,012         --       --
ADMINISTAFF INC COM      EQUITY       007094105      12       510 SH    -- DEFINED        5          --         --      510
ADMINISTAFF, INC.        EQUITY       007094105     442    18,708 SH    -- SOLE           1      18,708         --       --
ADOBE SYS INC            EQUITY       00724F101  11,082   311,380 SH    -- SOLE           2     311,380         --       --
ADOBE SYS INC COM        EQUITY       00724F101      10       285 SH    -- DEFINED        4          --         --      285
ADOBE SYS INC COM        EQUITY       00724F101      20       556 SH    -- DEFINED        5          --         --      556
ADOBE SYSTEMS INC.       EQUITY       00724F101  26,386   741,376 SH    -- SOLE           1     741,376         --       --
ADOLOR CORPORATION       EQUITY       00724X102      35     7,757 SH    -- SOLE           1       7,757         --       --
ADTRAN, INC.             EQUITY       00738A106   3,351   181,127 SH    -- SOLE           1     181,127         --       --
ADVANCE AMERICA CASH
   ADVANCE               EQUITY       00739W107     396    52,508 SH    -- SOLE           1      52,508         --       --
ADVANCE AUTO PARTS       EQUITY       00751Y106   7,689   225,827 SH    -- SOLE           1     225,827         --       --
ADVANCE AUTO PARTS       EQUITY       00751Y106     212     6,230 SH    -- SOLE           2       6,230         --       --
ADVANCE AUTO PARTS INC
   COM                   EQUITY       00751Y106      18       530 SH    -- DEFINED        4          --         --      530
ADVANCED ANALOGIC
   TECHNOLOGI            EQUITY       00752J108     184    32,732 SH    -- SOLE           1      32,732         --       --
ADVANCED ENERGY
   INDUSTRIES            EQUITY       007973100     407    30,730 SH    -- SOLE           1      30,730         --       --
ADVANCED LIFE SCIENCES
   HLDGS COM             EQUITY       00765H107       7     8,000 SH    -- DEFINED        4          --         --    8,000
ADVANCED MEDICAL OPTICS  EQUITY       00763M108   2,943   144,962 SH    -- SOLE           1     144,962         --       --
ADVANCED MICRO DEVICES   EQUITY       007903AL1     741 1,160,000 SH    -- SOLE           1   1,160,000         --       --
ADVANCED MICRO DEVICES
   INC                   EQUITY       007903107       4       724 SH    -- SOLE           2         724         --       --
ADVANCED MICRO DEVICES
   INC COM               EQUITY       007903107     253    42,933 SH    -- DEFINED        5          --         --   42,933
ADVANCED MICRO DEVICES,
   INC.                  EQUITY       007903107   4,503   764,458 SH    -- SOLE           1     764,458         --       --
ADVANTA CORP [B]         EQUITY       007942204     224    31,803 SH    -- SOLE           1      31,803         --       --
ADVANTAGE ENERGY INCOME
   FD TR UNIT            EQUITY       00762L101     347    30,326 SH    -- DEFINED        4          --         --   30,326
ADVANTAGE ENERGY INCOME
   FD TR UNIT            EQUITY       00762L101      84     7,390 SH    -- DEFINED        5          --         --    7,390
ADVENT CLAYMORE ENH GRW
   & IN COM              EQUITY       00765E104      25     1,750 SH    -- DEFINED        5          --         --    1,750
ADVENT SOFTWARE, INC.    EQUITY       007974108   2,442    57,287 SH    -- SOLE           1      57,287         --       --
ADVISORY BRD CO          EQUITY       00762W107     851    15,496 SH    -- SOLE           1      15,496         --       --
ADVISORY BRD CO          EQUITY       00762W107     538     9,800 SH    -- SOLE           2       9,800         --       --
AECOM TECHNOLOGY CORP    EQUITY       00766T100     957    36,782 SH    -- SOLE           1      36,782         --       --
AEP INDUSTRIES INC       EQUITY       001031103     146     4,814 SH    -- SOLE           1       4,814         --       --
AERCAP HOLDINGS N V      EQUITY       N00985106   2,008   114,200 SH    -- SOLE           2     114,200         --       --
AEROPOSTALE              EQUITY       007865108     653    24,100 SH    -- SOLE           2      24,100         --       --
AEROPOSTALE COM          EQUITY       007865108       8       289 SH    -- DEFINED        4          --         --      289
AEROPOSTALE INC          EQUITY       007865108   5,853   215,916 SH    -- SOLE           1     215,916         --       --
AEROVIRONMENT INC        EQUITY       008073108     130     6,375 SH    -- SOLE           1       6,375         --       --
AES CORP                 EQUITY       00130H105      13       800 SH    -- SOLE           2         800         --       --
AES CORP COM             EQUITY       00130H105       8       500 SH    -- DEFINED        4          --         --      500
AES DRAX ENERGY LTD      EQUITY       00130H105  10,928   655,573 SH    -- SOLE           1     655,573         --       --
AES TR III PFD CV 6.75%  EQUITY       00808N202     312     6,700 SH    -- DEFINED        5          --         --    6,700
AETNA INC                EQUITY       00817Y108     586    13,934 SH    -- SOLE           2      13,934         --       --
AETNA INC NEW COM        EQUITY       00817Y108      20       482 SH    -- DEFINED        5          --         --      482
AETNA INC-NEW            EQUITY       00817Y108  25,997   617,661 SH    -- SOLE           1     617,661         --       --
AFC ENTERPRISES          EQUITY       00104Q107     214    23,802 SH    -- SOLE           1      23,802         --       --
AFFILIATED COMPUTER
   SERVICES CLASS A      EQUITY       008190100   2,117    42,247 SH    -- SOLE           1      42,247         --       --
AFFILIATED COMPUTER
   SVCS I                EQUITY       008190100       6       115 SH    -- SOLE           2         115         --       --
AFFILIATED MANAGERS
   GROUP                 EQUITY       008252108      71       780 SH    -- SOLE           1         780         --       --
AFFILIATED MANAGERS
   GROUP                 EQUITY       008252108     644     7,100 SH    -- SOLE           2       7,100         --       --
AFFILIATED MANAGERS
   GROUP COM             EQUITY       008252108       4        40 SH    -- DEFINED        5          --         --       40
AFFYMAX INC              EQUITY       00826A109      51     3,642 SH    -- SOLE           1       3,642         --       --
AFFYMETRIX INC           EQUITY       00826T108   3,883   223,060 SH    -- SOLE           1     223,060         --       --
AFFYMETRIX INC           EQUITY       00826T108     515    29,600 SH    -- SOLE           2      29,600         --       --
AFLAC INC                EQUITY       001055102     374     5,757 SH    -- SOLE           2       5,757         --       --
AFLAC INC COM            EQUITY       001055102      33       510 SH    -- DEFINED        4          --         --      510
AFLAC INC COM            EQUITY       001055102     450     6,927 SH    -- DEFINED        5          --         --    6,927
AFLAC, INC.              EQUITY       001055102  24,833   382,335 SH    -- SOLE           1     382,335         --       --





                                                                                  
AFTERMARKET TECHNOLOGY   EQUITY       008318107     364    18,743 SH    -- SOLE           1      18,743         --       --
AGCO CORP COM            EQUITY       001084102   4,982    83,200 SH    -- SOLE           3      32,900         --   50,300
AGCO CORP.               EQUITY       001084102  13,109   218,924 SH    -- SOLE           1     218,924         --       --
AGILENT TECHNOLOGIES INC EQUITY       00846U101   3,858   129,336 SH    -- SOLE           2     129,336         --       --
AGILENT TECHNOLOGIES
   INC COM               EQUITY       00846U101       3       116 SH    -- DEFINED        4          --         --      116
AGILENT TECHNOLOGIES
   INC COM               EQUITY       00846U101      20       655 SH    -- DEFINED        5          --         --      655
AGILENT TECHNOLOGIES
   INC.                  EQUITY       00846U101   4,733   158,667 SH    -- SOLE           1     158,667         --       --
AGILYSYS INC             EQUITY       00847J105     234    20,182 SH    -- SOLE           1      20,182         --       --
AGL RES INC              EQUITY       001204106   9,318   271,500 SH    -- SOLE           2     271,500         --       --
AGL RES INC COM          EQUITY       001204106       7       200 SH    -- DEFINED        4          --         --      200
AGL RESOURCES, INC.      EQUITY       001204106  18,623   542,617 SH    -- SOLE           1     542,617         --       --
AGNICO EAGLE MINES LTD
   COM                   EQUITY       008474108      75     1,105 SH    -- DEFINED        5          --         --    1,105
AGNICO-EAGLE MINES       EQUITY       008474108   1,258    18,556 SH    -- OTHER          1          --     18,556       --
AGREE REALTY CORP        EQUITY       008492100     183     6,650 SH    -- SOLE           1       6,650         --       --
AGRIUM INC               EQUITY       008916108   1,104    17,772 SH    -- OTHER          1          --     17,772       --
AGRIUM INC COM           EQUITY       008916108     863    13,892 SH    -- DEFINED        4          --         --   13,892
AH BELO CORP             EQUITY       001282102     166    14,526 SH    -- SOLE           1      14,526         --       --
AIR METHODS CORP         EQUITY       009128307     433     8,952 SH    -- SOLE           1       8,952         --       --
AIR PRODS & CHEMS INC
   COM                   EQUITY       009158106     351     3,815 SH    -- DEFINED        4          --         --    3,815
AIR PRODS + CHEMS INC    EQUITY       009158106      24       256 SH    -- SOLE           2         256         --       --
AIR PRODUCTS AND
   CHEMICALS INC         EQUITY       009158106  61,863   672,429 SH    -- SOLE           1     672,429         --       --
AIRGAS, INC.             EQUITY       009363102   8,945   196,717 SH    -- SOLE           1     196,717         --       --
AIRSPAN NETWORKS INC COM EQUITY       00950H102       5     5,000 SH    -- DEFINED        4          --         --    5,000
AIRTRAN HLDGS INC COM    EQUITY       00949P108      14     2,050 SH    -- DEFINED        5          --         --    2,050
AIRTRAN HOLDINGS, INC.   EQUITY       00949P108   1,958   296,595 SH    -- SOLE           1     296,595         --       --
AIRVANA INC              EQUITY       00950V101      38     7,274 SH    -- SOLE           1       7,274         --       --
AK STEEL CORP.           EQUITY       001547108     517     9,504 SH    -- SOLE           1       9,504         --       --
AK STL HLDG CORP         EQUITY       001547108     166     3,050 SH    -- SOLE           2       3,050         --       --
AK STL HLDG CORP COM     EQUITY       001547108       8       144 SH    -- DEFINED        4          --         --      144
AK STL HLDG CORP COM     EQUITY       001547108      11       200 SH    -- DEFINED        5          --         --      200
AKAMAI  TECHNOLOGIES
   INC.                  EQUITY       00971T101   2,243    79,642 SH    -- SOLE           1      79,642         --       --
AKAMAI TECHNOLOGIES INC  EQUITY       00971T101   3,911   138,900 SH    -- SOLE           2     138,900         --       --
AKAMAI TECHNOLOGIES INC
   COM                   EQUITY       00971T101       3        94 SH    -- DEFINED        5          --         --       94
AKORN INC                EQUITY       009728106     223    47,234 SH    -- SOLE           1      47,234         --       --
ALADDIN KNOWLEDGE SYS
   ORD (F)               EQUITY       M0392N101   3,585   188,365 SH    -- SOLE           3     188,365         --       --
ALASKA AIR GROUP, INC.   EQUITY       011659109   2,408   122,745 SH    -- SOLE           1     122,745         --       --
ALASKA COMM. SYS.
   HLDGS., INC.          EQUITY       01167P101     449    36,645 SH    -- SOLE           1      36,645         --       --
ALBANY INTERNATIONAL
   CORP. CLASS A         EQUITY       012348108     909    25,161 SH    -- SOLE           1      25,161         --       --
ALBANY MOLECULAR         EQUITY       012423109     254    20,945 SH    -- SOLE           1      20,945         --       --
ALBEMARLE CORP.          EQUITY       012653101   6,625   181,409 SH    -- SOLE           1     181,409         --       --
ALBERTO CULVER CO NEW    EQUITY       013078100     392    14,300 SH    -- SOLE           2      14,300         --       --
ALBERTO CULVER CO NEW
   COM                   EQUITY       013078100       5       200 SH    -- DEFINED        5          --         --      200
ALBERTO-CULVER CO        EQUITY       013078100   5,567   203,110 SH    -- SOLE           1     203,110         --       --
ALCATEL-LUCENT
   SPONSORED ADR         EQUITY       013904305       1       238 SH    -- DEFINED        4          --         --      238
ALCATEL-LUCENT
   SPONSORED ADR         EQUITY       013904305      24     4,099 SH    -- DEFINED        5          --         --    4,099
ALCOA INC                EQUITY       013817101   6,010   166,673 SH    -- SOLE           2     166,673         --       --
ALCOA INC COM            EQUITY       013817101      54     1,507 SH    -- DEFINED        4          --         --    1,507
ALCOA INC COM            EQUITY       013817101      84     2,340 SH    -- DEFINED        5          --         --    2,340
ALCOA, INC.              EQUITY       013817101  20,895   579,461 SH    -- SOLE           1     579,461         --       --
ALCON INC COM SHS        EQUITY       H01301102       4        30 SH    -- DEFINED        4          --         --       30
ALCON INC COM SHS        EQUITY       H01301102      14       100 SH    -- DEFINED        5          --         --      100
ALESCO FINANCIAL INC     EQUITY       014485106     151    52,316 SH    -- SOLE           1      52,316         --       --
ALESCO FINL INC COM      EQUITY       014485106      39    13,400 SH    -- DEFINED        5          --         --   13,400
ALEXANDER & BALDWIN,
   INC.                  EQUITY       014482103   4,287    99,515 SH    -- SOLE           1      99,515         --       --
ALEXANDRIA REAL ESTATE
   EQU                   EQUITY       015271109     125     1,350 SH    -- SOLE           2       1,350         --       --
ALEXANDRIA REAL ESTATE
   EQUITIE               EQUITY       015271109   1,176    12,688 SH    -- SOLE           1      12,688         --       --





                                                                                  
ALEXION
   PHARMACEUTICLAS, INC. EQUITY       015351109   1,853    31,242 SH    -- SOLE           1      31,242         --       --
ALEXZA PHARMACEUTICALS
   INC                   EQUITY       015384100     120    17,415 SH    -- SOLE           1      17,415         --       --
ALFA CORP.               EQUITY       015385107     618    28,115 SH    -- SOLE           1      28,115         --       --
ALICO INC                EQUITY       016230104     137     3,093 SH    -- SOLE           1       3,093         --       --
ALIGN TECHNOLOGY INC     EQUITY       016255101     564    50,775 SH    -- SOLE           1      50,775         --       --
ALIGN TECHNOLOGY INC COM EQUITY       016255101      16     1,400 SH    -- DEFINED        5          --         --    1,400
ALKERMES INC             EQUITY       01642T108   1,025    86,270 SH    -- SOLE           1      86,270         --       --
ALKERMES INC COM         EQUITY       01642T108     266    22,400 SH    -- DEFINED        5          --         --   22,400
ALLEGHANY CORP           EQUITY       017175100      75       219 SH    -- SOLE           1         219         --       --
ALLEGHENY ENERGY INC     EQUITY       017361106   3,662    72,521 SH    -- SOLE           1      72,521         --       --
ALLEGHENY ENERGY INC     EQUITY       017361106      10       200 SH    -- SOLE           2         200         --       --
ALLEGHENY ENERGY INC COM EQUITY       017361106      15       300 SH    -- DEFINED        5          --         --      300
ALLEGHENY TECHNOLOGIES
   INC                   EQUITY       01741R102   4,141    58,031 SH    -- SOLE           1      58,031         --       --
ALLEGHENY TECHNOLOGIES
   INC                   EQUITY       01741R102       9       121 SH    -- SOLE           2         121         --       --
ALLEGHENY TECHNOLOGIES
   INC COM               EQUITY       01741R102      11       150 SH    -- DEFINED        5          --         --      150
ALLEGIANT TRAVEL CO      EQUITY       01748X102     120     4,528 SH    -- SOLE           1       4,528         --       --
ALLERGAN INC             EQUITY       018490102      21       366 SH    -- SOLE           2         366         --       --
ALLERGAN INC COM         EQUITY       018490102      22       386 SH    -- DEFINED        4          --         --      386
ALLERGAN INC COM         EQUITY       018490102       3        49 SH    -- DEFINED        5          --         --       49
ALLERGAN, INC.           EQUITY       018490102  19,875   352,458 SH    -- SOLE           1     352,458         --       --
ALLETE INC COM NEW       EQUITY       018522300      12       300 SH    -- DEFINED        4          --         --      300
ALLETE INC.              EQUITY       018522300     850    21,998 SH    -- SOLE           1      21,998         --       --
ALLIANCE DATA SYSTEMS    EQUITY       018581108   8,983   189,086 SH    -- SOLE           1     189,086         --       --
ALLIANCE DATA SYSTEMS
   CORP                  EQUITY       018581108  28,725   604,600 SH    -- SOLE           2     604,600         --       --
ALLIANCE IMAGING INC     EQUITY       018606202     188    21,889 SH    -- SOLE           1      21,889         --       --
ALLIANCE ONE
   INTERNATIONAL I       EQUITY       018772103     496    82,079 SH    -- SOLE           1      82,079         --       --
ALLIANCE RES PARTNER L
   P UT LTD PART         EQUITY       01877R108     364    10,404 SH    -- DEFINED        5          --         --   10,404
ALLIANCEBERNSTEIN GBL
   HGH IN COM            EQUITY       01879R106       4       300 SH    -- DEFINED        4          --         --      300
ALLIANCEBERNSTEIN GBL
   HGH IN COM            EQUITY       01879R106      16     1,236 SH    -- DEFINED        5          --         --    1,236
ALLIANCEBERNSTEIN
   HOLDING LP UNIT LTD
   PARTN                 EQUITY       01881G106     301     4,745 SH    -- DEFINED        5          --         --    4,745
ALLIANCEBERNSTEIN
   INCOME FUN COM        EQUITY       01881E101     563    68,504 SH    -- DEFINED        4          --         --   68,504
ALLIANCEBERNSTEIN
   INCOME FUN COM        EQUITY       01881E101      49     6,000 SH    -- DEFINED        5          --         --    6,000
ALLIANT ENERGY CORP COM  EQUITY       018802108      43     1,225 SH    -- DEFINED        5          --         --    1,225
ALLIANT ENERGY CORP.     EQUITY       018802108  10,195   291,211 SH    -- SOLE           1     291,211         --       --
ALLIANT TECHSYSTEMS INC  EQUITY       018804104   8,116    78,388 SH    -- SOLE           1      78,388         --       --
ALLIANT TECHSYSTEMS INC
   COM                   EQUITY       018804104       9        85 SH    -- DEFINED        4          --         --       85
ALLIANT TECHSYSTEMS INC
   COM                   EQUITY       018804104      24       229 SH    -- DEFINED        5          --         --      229
ALLIANZ SE SP ADR 1/10
   SH                    EQUITY       018805101       1        61 SH    -- DEFINED        5          --         --       61
ALLIED CAP CORP NEW COM  EQUITY       01903Q108     156     8,487 SH    -- DEFINED        4          --         --    8,487
ALLIED CAP CORP NEW COM  EQUITY       01903Q108     796    43,181 SH    -- DEFINED        5          --         --   43,181
ALLIED CAPITAL CORP      EQUITY       01903Q108     113     6,109 SH    -- SOLE           1       6,109         --       --
ALLIED HEALTHCARE INTL
   INC                   EQUITY       01923A109     797   498,044 SH    -- SOLE           1     498,044         --       --
ALLIED IRISH BKS P L C
   SPON ADR ORD          EQUITY       019228402      53     1,230 SH    -- DEFINED        5          --         --    1,230
ALLIED WASTE INDUSTRIES
   IN                    EQUITY       019589308     168    15,503 SH    -- SOLE           2      15,503         --       --
ALLIED WASTE
   INDUSTRIES, INC.      EQUITY       019589308   3,356   310,483 SH    -- SOLE           1     310,483         --       --
ALLIS-CHALMERS ENERGY
   INC                   EQUITY       019645506     297    21,548 SH    -- SOLE           1      21,548         --       --
ALLOS THERAPEUTICS INC   EQUITY       019777101     268    44,147 SH    -- SOLE           1      44,147         --       --
ALLOS THERAPEUTICS INC
   COM                   EQUITY       019777101      12     2,000 SH    -- DEFINED        4          --         --    2,000
ALLSCRIPTS HEALTHCARE
   SOLUTION              EQUITY       01988P108     490    47,491 SH    -- SOLE           1      47,491         --       --
ALLSTATE CORP            EQUITY       020002101      32       670 SH    -- SOLE           2         670         --       --
ALLSTATE CORP COM        EQUITY       020002101      59     1,228 SH    -- DEFINED        4          --         --    1,228
ALLSTATE CORP COM        EQUITY       020002101     151     3,144 SH    -- DEFINED        5          --         --    3,144
ALLSTATE CORP.           EQUITY       020002101  36,220   753,651 SH    -- SOLE           1     753,651         --       --
ALNYLAM PHARMACEUTICALS
   INC                   EQUITY       02043Q107     733    30,028 SH    -- SOLE           1      30,028         --       --
ALON USA ENERGY INC      EQUITY       020520102     169    11,122 SH    -- SOLE           1      11,122         --       --
ALPHA NATURAL RESOURCES
   INC                   EQUITY       02076X102   2,443    56,227 SH    -- SOLE           1      56,227         --       --





                                                                                  
ALPHARMA INC. CLASS A    EQUITY       020813101     975    37,195 SH    -- SOLE           1      37,195         --       --
ALPINE GLOBAL DYNAMIC
   DIVD F COM            EQUITY       02082E106      18     1,000 SH    -- DEFINED        4          --         --    1,000
ALPINE GLOBAL PREMIER
   PPTYS COM SBI         EQUITY       02083A103     865    68,305 SH    -- DEFINED        4          --         --   68,305
ALPINE TOTAL DYNAMIC
   DIVID F COM SBI       EQUITY       021060108      17     1,025 SH    -- DEFINED        4          --         --    1,025
ALPINE TOTAL DYNAMIC
   DIVID F COM SBI       EQUITY       021060108      43     2,650 SH    -- DEFINED        5          --         --    2,650
ALTERA CORP              EQUITY       021441100     204    11,057 SH    -- SOLE           2      11,057         --       --
ALTERA CORP COM          EQUITY       021441100      11       585 SH    -- DEFINED        5          --         --      585
ALTERA CORP.             EQUITY       021441100   2,883   156,420 SH    -- SOLE           1     156,420         --       --
ALTRA HOLDINGS INC       EQUITY       02208R106     132     9,833 SH    -- SOLE           1       9,833         --       --
ALTRIA GROUP INC         EQUITY       02209S103  25,398 1,144,054 SH    -- SOLE           1   1,144,054         --       --
ALTRIA GROUP INC         EQUITY       02209S103   9,803   441,599 SH    -- SOLE           2     441,599         --       --
ALTRIA GROUP INC COM     EQUITY       02209S103     171     7,715 SH    -- DEFINED        4          --         --    7,715
ALTRIA GROUP INC COM     EQUITY       02209S103     248    11,181 SH    -- DEFINED        5          --         --   11,181
ALTUS PHARMACEUTICALS
   INC                   EQUITY       02216N105      83    18,179 SH    -- SOLE           1      18,179         --       --
ALUMINUM CORP CHINA LTD
   SPON ADR H SHS        EQUITY       022276109      97     2,400 SH    -- DEFINED        5          --         --    2,400
ALVARION LTD SHS         EQUITY       M0861T100       6       800 SH    -- DEFINED        5          --         --      800
ALZA CORP SDCV 7/2       FIXED INCOME 02261WAB5       3         3 PRN   -- DEFINED        4          --         --        3
AMAG PHARMACEUTICALS INC EQUITY       00163U106     581    14,367 SH    -- SOLE           1      14,367         --       --
AMAZON COM INC           EQUITY       023135106      26       369 SH    -- SOLE           2         369         --       --
AMAZON COM INC COM       EQUITY       023135106       9       122 SH    -- DEFINED        4          --         --      122
AMAZON COM INC COM       EQUITY       023135106      23       326 SH    -- DEFINED        5          --         --      326
AMAZON.COM, INC.         EQUITY       023135106  13,673   191,763 SH    -- SOLE           1     191,763         --       --
AMB PROPERTY CORP        EQUITY       00163T109  27,211   500,019 SH    -- SOLE           1     500,019         --       --
AMBAC FINANCIAL GROUP
   INC.                  EQUITY       023139108     411    71,491 SH    -- SOLE           1      71,491         --       --
AMBAC FINL GROUP INC     EQUITY       023139108       2       343 SH    -- SOLE           2         343         --       --
AMBAC FINL GROUP INC COM EQUITY       023139108     158    27,525 SH    -- DEFINED        5          --         --   27,525
AMBASSADORS GROUP INC    EQUITY       023177108     255    13,486 SH    -- SOLE           1      13,486         --       --
AMBASSADORS
   INTERNATIONAL         EQUITY       023178106      57     7,646 SH    -- SOLE           1       7,646         --       --
AMCOL INTERNATIONAL
   CORP.                 EQUITY       02341W103     687    22,011 SH    -- SOLE           1      22,011         --       --
AMCORE FINANCIAL, INC.   EQUITY       023912108     383    18,822 SH    -- SOLE           1      18,822         --       --
AMDOCS LTD               EQUITY       G02602103   3,758   132,500 SH    -- SOLE           2     132,500         --       --
AMDOCS LTD ORD           EQUITY       G02602103       6       200 SH    -- DEFINED        4          --         --      200
AMEDISYS INC             EQUITY       023436108     876    22,267 SH    -- SOLE           1      22,267         --       --
AMERCO, INC.             EQUITY       023586100     490     8,586 SH    -- SOLE           1       8,586         --       --
AMEREN CORP              EQUITY       023608102      11       249 SH    -- SOLE           2         249         --       --
AMEREN CORP COM          EQUITY       023608102       1        32 SH    -- DEFINED        4          --         --       32
AMEREN CORP COM          EQUITY       023608102      62     1,397 SH    -- DEFINED        5          --         --    1,397
AMEREN CORP.             EQUITY       023608102   4,090    92,860 SH    -- SOLE           1      92,860         --       --
AMERICA FIRST TAX EX
   IVS L P BEN UNIT CTF  EQUITY       02364V107       2       300 SH    -- DEFINED        4          --         --      300
AMERICA MOVIL SAB DE CV  EQUITY       02364W105   5,307    83,332 SH    -- SOLE           1      83,332         --       --
AMERICA MOVIL SAB DE CV
   SPON ADR A SHS        EQUITY       02364W204     286     4,500 SH    -- DEFINED        5          --         --    4,500
AMERICA MOVIL SAB DE CV
   SPON ADR L SHS        EQUITY       02364W105     104     1,632 SH    -- DEFINED        4          --         --    1,632
AMERICA MOVIL SAB DE CV
   SPON ADR L SHS        EQUITY       02364W105     669    10,499 SH    -- DEFINED        5          --         --   10,499
AMERICAN AXLE & MFG
   HOLDINGS              EQUITY       024061103     787    38,383 SH    -- SOLE           1      38,383         --       --
AMERICAN CAMPUS
   COMMUNITIES INC       EQUITY       024835100     636    23,238 SH    -- SOLE           1      23,238         --       --
AMERICAN CAP STRATEGIES
   LT                    EQUITY       024937104     189     5,533 SH    -- SOLE           2       5,533         --       --
AMERICAN CAP.
   STRATEGIES, INC.      EQUITY       024937104   3,008    88,059 SH    -- SOLE           1      88,059         --       --
AMERICAN CAPITAL
   STRATEGIES COM        EQUITY       024937104   1,088    31,844 SH    -- DEFINED        4          --         --   31,844
AMERICAN CAPITAL
   STRATEGIES COM        EQUITY       024937104     232     6,780 SH    -- DEFINED        5          --         --    6,780
AMERICAN CMNTY
   BANCSHARES IN COM     EQUITY       02520W106      25     2,795 SH    -- DEFINED        5          --         --    2,795
AMERICAN COMMERCIAL
   LINES INC             EQUITY       025195207     680    43,020 SH    -- SOLE           1      43,020         --       --
AMERICAN DAIRY INC       EQUITY       025334103      54     5,873 SH    -- SOLE           1       5,873         --       --
AMERICAN DENTAL
   PARTNERS INC          EQUITY       025353103     104    10,724 SH    -- SOLE           1      10,724         --       --
AMERICAN EAGLE
   OUTFITTERS            EQUITY       02553E106   8,935   510,285 SH    -- SOLE           1     510,285         --       --
AMERICAN EAGLE
   OUTFITTERS            EQUITY       02553E106  10,958   625,800 SH    -- SOLE           2     625,800         --       --
AMERICAN ECOLOGY CORP    EQUITY       025533407     352    13,915 SH    -- SOLE           1      13,915         --       --





                                                                                  
AMERICAN ECOLOGY CORP    EQUITY       025533407     231     9,131 SH    -- SOLE           2       9,131         --       --
AMERICAN ELEC PWR INC    EQUITY       025537101     327     7,859 SH    -- SOLE           2       7,859         --       --
AMERICAN ELEC PWR INC
   COM                   EQUITY       025537101     339     8,136 SH    -- DEFINED        5          --         --    8,136
AMERICAN ELECTRIC
   POWER, INC.           EQUITY       025537101  15,229   365,823 SH    -- SOLE           1     365,823         --       --
AMERICAN EQUITY INVT
   LIFE HL               EQUITY       025676206     453    48,768 SH    -- SOLE           1      48,768         --       --
AMERICAN EXPRESS CO      EQUITY       025816109     275     6,282 SH    -- SOLE           2       6,282         --       --
AMERICAN EXPRESS CO COM  EQUITY       025816109       3        62 SH    -- DEFINED        4          --         --       62
AMERICAN EXPRESS CO COM  EQUITY       025816109     281     6,426 SH    -- DEFINED        5          --         --    6,426
AMERICAN EXPRESS CO.     EQUITY       025816109  34,691   793,477 SH    -- SOLE           1     793,477         --       --
AMERICAN FINANCIAL
   GROUP, INC.           EQUITY       025932104   4,432   173,396 SH    -- SOLE           1     173,396         --       --
AMERICAN FINANCIAL
   REALTY TR             EQUITY       02607P305     887   111,768 SH    -- SOLE           1     111,768         --       --
AMERICAN FIRST MORTGAGE
   INVES                 EQUITY       55272X102     820   130,096 SH    -- SOLE           1     130,096         --       --
AMERICAN GREETINGS
   CORP. CLASS A         EQUITY       026375105   3,125   168,469 SH    -- SOLE           1     168,469         --       --
AMERICAN INTERNATIONAL
   GROUP                 EQUITY       026874107 136,176 3,148,571 SH    -- SOLE           1   3,148,571         --       --
AMERICAN INTL GROUP INC  EQUITY       026874107     130     3,015 SH    -- SOLE           2       3,015         --       --
AMERICAN INTL GROUP INC
   COM                   EQUITY       026874107     112     2,586 SH    -- DEFINED        4          --         --    2,586
AMERICAN INTL GROUP INC
   COM                   EQUITY       026874107     215     4,960 SH    -- DEFINED        5          --         --    4,960
AMERICAN MEDICAL
   SYSTEMS HOLDI         EQUITY       02744M108     877    61,820 SH    -- SOLE           1      61,820         --       --
AMERICAN NATIONAL IN     EQUITY       028591105      50       469 SH    -- SOLE           1         469         --       --
AMERICAN ORIENTAL
   BIOENGINEERING INC    EQUITY       028731107     390    48,167 SH    -- SOLE           1      48,167         --       --
AMERICAN PHYSICIANS
   CAPITAL IN            EQUITY       028884104     331     7,137 SH    -- SOLE           1       7,137         --       --
AMERICAN PUBLIC
   EDUCATION INC         EQUITY       02913V103     139     4,564 SH    -- SOLE           1       4,564         --       --
AMERICAN RAILCAR
   INDUSTRIES INC        EQUITY       02916P103     171     8,406 SH    -- SOLE           1       8,406         --       --
AMERICAN REPROGRAPHICS
   CO                    EQUITY       029263100     379    25,527 SH    -- SOLE           1      25,527         --       --
AMERICAN REPROGRAPHICS
   CO COM                EQUITY       029263100      15     1,000 SH    -- DEFINED        5          --         --    1,000
AMERICAN SCIENCE &
   ENGINEERI             EQUITY       029429107     430     7,873 SH    -- SOLE           1       7,873         --       --
AMERICAN STATES WATER
   CO.                   EQUITY       029899101     527    14,636 SH    -- SOLE           1      14,636         --       --
AMERICAN STS WTR CO COM  EQUITY       029899101      29       800 SH    -- DEFINED        5          --         --      800
AMERICAN SUPERCONDUCTOR
   CORP                  EQUITY       030111108     808    34,834 SH    -- SOLE           1      34,834         --       --
AMERICAN SUPERCONDUCTOR
   CORP CALL             OPTION       030111908       6        10--   CALL DEFINED        5          --         --       10
AMERICAN TOWER CORP      EQUITY       029912201   8,631   220,125 SH    -- SOLE           1     220,125         --       --
AMERICAN TOWER CORP      EQUITY       029912201     836    21,310 SH    -- SOLE           2      21,310         --       --
AMERICAN VANGUARD CORP   EQUITY       030371108     260    15,610 SH    -- SOLE           1      15,610         --       --
AMERICAN WOODMARK CORP
   COM                   EQUITY       030506109      10       500 SH    -- DEFINED        5          --         --      500
AMERICAN WOODMARK CORP.  EQUITY       030506109     192     9,336 SH    -- SOLE           1       9,336         --       --
AMERICANWEST
   BANCORPORATION        EQUITY       03058P109     129    14,745 SH    -- SOLE           1      14,745         --       --
AMERICREDIT CORP COM     EQUITY       03060R101       2       182 SH    -- DEFINED        5          --         --      182
AMERICREDIT CORP.        EQUITY       03060R101   2,777   275,814 SH    -- SOLE           1     275,814         --       --
AMERIGAS PARTNERS L P
   UNIT L P INT          EQUITY       030975106      11       350 SH    -- DEFINED        4          --         --      350
AMERIGAS PARTNERS L P
   UNIT L P INT          EQUITY       030975106      19       623 SH    -- DEFINED        5          --         --      623
AMERIGON INC             EQUITY       03070L300     274    18,547 SH    -- SOLE           1      18,547         --       --
AMERIGROUP CORP          EQUITY       03073T102   1,237    45,266 SH    -- SOLE           1      45,266         --       --
AMERIGROUP CORP          EQUITY       03073T102     123     4,500 SH    -- SOLE           2       4,500         --       --
AMERIGROUP CORP COM      EQUITY       03073T102       3       114 SH    -- DEFINED        5          --         --      114
AMERIPRISE FINANCIAL INC EQUITY       03076C106  64,256 1,239,260 SH    -- SOLE           1   1,239,260         --       --
AMERIPRISE FINL INC      EQUITY       03076C106   7,980   153,901 SH    -- SOLE           2     153,901         --       --
AMERIPRISE FINL INC COM  EQUITY       03076C106      35       676 SH    -- DEFINED        5          --         --      676
AMERIS BANCORP           EQUITY       03076K108     187    11,616 SH    -- SOLE           1      11,616         --       --
AMERISAFE INC            EQUITY       03071H100     204    16,127 SH    -- SOLE           1      16,127         --       --
AMERISOURCEBERGEN CO     EQUITY       03073E105   7,167   174,882 SH    -- SOLE           1     174,882         --       --
AMERISOURCEBERGEN CORP   EQUITY       03073E105   4,315   105,294 SH    -- SOLE           2     105,294         --       --
AMERISTAR CASINOS        EQUITY       03070Q101     396    21,688 SH    -- SOLE           1      21,688         --       --
AMERITYRE CORP COM       EQUITY       03073V107       2     1,000 SH    -- DEFINED        4          --         --    1,000
AMERON, INC.             EQUITY       030710107     731     7,815 SH    -- SOLE           1       7,815         --       --
AMETEK INC NEW           EQUITY       031100100   4,604   104,855 SH    -- SOLE           2     104,855         --       --
AMETEK INC NEW COM       EQUITY       031100100       8       187 SH    -- DEFINED        4          --         --      187





                                                                                  
AMETEK, INC.             EQUITY       031100100  11,189   254,822 SH    -- SOLE           1     254,822         --       --
AMGEN INC                EQUITY       031162100   1,020    24,425 SH    -- SOLE           2      24,425         --       --
AMGEN INC COM            EQUITY       031162100     259     6,207 SH    -- DEFINED        4          --         --    6,207
AMGEN INC COM            EQUITY       031162100     278     6,660 SH    -- DEFINED        5          --         --    6,660
AMGEN, INC.              EQUITY       031162100  36,103   864,129 SH    -- SOLE           1     864,129         --       --
AMICUS THERAPEUTICS INC  EQUITY       03152W109      46     4,297 SH    -- SOLE           1       4,297         --       --
AMKOR TECHNOLOGY INC     EQUITY       031652100     149    13,950 SH    -- SOLE           2      13,950         --       --
AMKOR TECHNOLOGY, INC    EQUITY       031652100     960    89,741 SH    -- SOLE           1      89,741         --       --
AMN HEALTHCARE SERVICE   EQUITY       001744101     459    29,761 SH    -- SOLE           1      29,761         --       --
AMPAL AMERICAN ISRAEL    EQUITY       032015109     112    17,509 SH    -- SOLE           1      17,509         --       --
AMPCO-PITTSBURGH CORP    EQUITY       032037103     267     6,205 SH    -- SOLE           1       6,205         --       --
AMPHENOL CORP NEW CL A   EQUITY       032095101       4       106 SH    -- DEFINED        5          --         --      106
AMPHENOL CORP. CLASS A   EQUITY       032095101  15,766   423,237 SH    -- SOLE           1     423,237         --       --
AMR CORP COM             EQUITY       001765106      58     6,432 SH    -- DEFINED        5          --         --    6,432
AMR CORP.                EQUITY       001765106     153    16,911 SH    -- SOLE           1      16,911         --       --
AMREP CORP               EQUITY       032159105      71     1,354 SH    -- SOLE           1       1,354         --       --
AMSURG CORP CL A         EQUITY       03232P405     621    26,210 SH    -- SOLE           1      26,210         --       --
AMTRUST FINANCIAL
   SERVICES INC          EQUITY       032359309     356    21,965 SH    -- SOLE           1      21,965         --       --
AMYLIN PHARMACEUTICALS
   INC                   EQUITY       032346108     260     8,900 SH    -- SOLE           2       8,900         --       --
AMYLIN PHARMACEUTICALS
   INC COM               EQUITY       032346108      44     1,500 SH    -- DEFINED        5          --         --    1,500
AMYLIN PHARMACEUTICALS,
   INC.                  EQUITY       032346108     273     9,339 SH    -- SOLE           1       9,339         --       --
ANADARKO PETE CORP       EQUITY       032511107      35       559 SH    -- SOLE           2         559         --       --
ANADARKO PETE CORP COM   EQUITY       032511107      15       232 SH    -- DEFINED        4          --         --      232
ANADARKO PETE CORP COM   EQUITY       032511107      39       611 SH    -- DEFINED        5          --         --      611
ANADARKO PETROLEUM CORP. EQUITY       032511107  24,984   396,383 SH    -- SOLE           1     396,383         --       --
ANADIGICS INC            EQUITY       032515108     352    53,683 SH    -- SOLE           1      53,683         --       --
ANADIGICS INC COM        EQUITY       032515108      10     1,600 SH    -- DEFINED        4          --         --    1,600
ANADIGICS INC COM        EQUITY       032515108       9     1,300 SH    -- DEFINED        5          --         --    1,300
ANALOG DEVICES INC       EQUITY       032654105      10       351 SH    -- SOLE           2         351         --       --
ANALOG DEVICES INC COM   EQUITY       032654105       2        62 SH    -- DEFINED        5          --         --       62
ANALOG DEVICES, INC.     EQUITY       032654105   7,976   270,189 SH    -- SOLE           1     270,189         --       --
ANALOGIC CORP.           EQUITY       032657207     756    11,358 SH    -- SOLE           1      11,358         --       --
ANAREN INC               EQUITY       032744104     160    12,625 SH    -- SOLE           1      12,625         --       --
ANCHOR BANCORP
   WISCONSIN, INC.       EQUITY       032839102     319    16,796 SH    -- SOLE           1      16,796         --       --
ANDERSONS INC/THE        EQUITY       034164103     595    13,345 SH    -- SOLE           1      13,345         --       --
ANGIODYNAMICS INC        EQUITY       03475V101     208    18,006 SH    -- SOLE           1      18,006         --       --
ANGLO AMERN PLC ADR NEW  EQUITY       03485P201     114     3,838 SH    -- DEFINED        4          --         --    3,838
ANGLO AMERN PLC ADR NEW  EQUITY       03485P201       5       170 SH    -- DEFINED        5          --         --      170
ANHEUSER BUSCH COS INC   EQUITY       035229103  25,382   534,930 SH    -- SOLE           2     534,930         --       --
ANHEUSER BUSCH COS INC
   COM                   EQUITY       035229103      64     1,350 SH    -- DEFINED        4          --         --    1,350
ANHEUSER BUSCH COS INC
   COM                   EQUITY       035229103     202     4,248 SH    -- DEFINED        5          --         --    4,248
ANHEUSER-BUSCH
   COMPANIES, INC.       EQUITY       035229103  38,960   821,071 SH    -- SOLE           1     821,071         --       --
ANIMAL HEALTH
   INTERNATIONA          EQUITY       03525N109   2,362   215,899 SH    -- SOLE           2     215,899         --       --
ANIMAL HEALTH
   INTERNATIONAL INC     EQUITY       03525N109     111    10,128 SH    -- SOLE           1      10,128         --       --
ANIXTER INTERNATIONALL,
   INC.                  EQUITY       035290105   1,697    26,496 SH    -- SOLE           1      26,496         --       --
ANIXTER INTL INC         EQUITY       035290105     448     7,000 SH    -- SOLE           2       7,000         --       --
ANIXTER INTL INC COM     EQUITY       035290105       1        18 SH    -- DEFINED        4          --         --       18
ANN TAYLOR STORES CORP.  EQUITY       036115103   3,576   147,905 SH    -- SOLE           1     147,905         --       --
ANNALY CAP MGMT INC COM  EQUITY       035710409     223    14,527 SH    -- DEFINED        5          --         --   14,527
ANNALY CAPITAL
   MANAGEMENT            EQUITY       035710409     119     7,800 SH    -- SOLE           2       7,800         --       --
ANNALY MTG MGMT INC      EQUITY       035710409     938    61,227 SH    -- SOLE           1      61,227         --       --
ANSOFT CORP              EQUITY       036384105   1,697    55,591 SH    -- SOLE           1      55,591         --       --
ANSYS INC                EQUITY       03662Q105   1,685    48,802 SH    -- SOLE           1      48,802         --       --
ANSYS INC                EQUITY       03662Q105     507    14,700 SH    -- SOLE           2      14,700         --       --
ANTARES PHARMA INC COM   EQUITY       036642106       1     1,000 SH    -- DEFINED        4          --         --    1,000
ANTHRACITE CAP INC COM   EQUITY       037023108       7       985 SH    -- DEFINED        5          --         --      985





                                                                                  
ANTHRACITE CAPITAL INC.  EQUITY       037023108   3,622   548,751 SH    -- SOLE           1     548,751         --       --
ANWORTH MORTGAGE ASSET   EQUITY       037347101   1,010   164,693 SH    -- SOLE           1     164,693         --       --
ANWORTH MORTGAGE ASSET
   CP COM                EQUITY       037347101       3       520 SH    -- DEFINED        5          --         --      520
AON CORP                 EQUITY       037389103     887    22,065 SH    -- SOLE           2      22,065         --       --
AON CORP COM             EQUITY       037389103       9       225 SH    -- DEFINED        5          --         --      225
AON CORP.                EQUITY       037389103   6,471   160,974 SH    -- SOLE           1     160,974         --       --
APACHE CORP              EQUITY       037411105   1,198     9,918 SH    -- SOLE           2       9,918         --       --
APACHE CORP COM          EQUITY       037411105      13       110 SH    -- DEFINED        4          --         --      110
APACHE CORP COM          EQUITY       037411105     193     1,598 SH    -- DEFINED        5          --         --    1,598
APACHE CORP.             EQUITY       037411105  38,090   315,264 SH    -- SOLE           1     315,264         --       --
APARTMENT INVT & MGMT
   CO - A                EQUITY       03748R101   1,585    44,267 SH    -- SOLE           1      44,267         --       --
APARTMENT INVT & MGMT
   CO CL A               EQUITY       03748R101      11       300 SH    -- DEFINED        5          --         --      300
APARTMENT INVT + MGMT CO EQUITY       03748R101     166     4,629 SH    -- SOLE           2       4,629         --       --
APCO ARGENTINA INC       EQUITY       037489101     203     7,828 SH    -- SOLE           1       7,828         --       --
APOGEE ENTERPRISES INC
   COM                   EQUITY       037598109     546    35,454 SH    -- DEFINED        4          --         --   35,454
APOGEE ENTERPRISES, INC. EQUITY       037598109     380    24,699 SH    -- SOLE           1      24,699         --       --
APOLLO GROUP INC         EQUITY       037604105       7       164 SH    -- SOLE           2         164         --       --
APOLLO GROUP INC CL A    EQUITY       037604105     410     9,500 SH    -- DEFINED        5          --         --    9,500
APOLLO GROUP, INC.
   CLASS A               EQUITY       037604105   4,728   109,455 SH    -- SOLE           1     109,455         --       --
APOLLO INVESTMENT CORP   EQUITY       03761U106   6,095   385,042 SH    -- SOLE           1     385,042         --       --
APOLLO INVT CORP COM     EQUITY       03761U106     189    11,937 SH    -- DEFINED        4          --         --   11,937
APOLLO INVT CORP COM     EQUITY       03761U106     639    40,350 SH    -- DEFINED        5          --         --   40,350
APPLE COMPUTER, INC.     EQUITY       037833100 116,473   811,662 SH    -- SOLE           1     811,662         --       --
APPLE INC                EQUITY       037833100  16,523   115,142 SH    -- SOLE           2     115,142         --       --
APPLE INC COM            EQUITY       037833100   1,514    10,550 SH    -- DEFINED        4          --         --   10,550
APPLE INC COM            EQUITY       037833100   2,772    19,319 SH    -- DEFINED        5          --         --   19,319
APPLERA CORP             EQUITY       038020202     470    31,700 SH    -- SOLE           2      31,700         --       --
APPLERA CORP  APPLIED
   BIOSYSTEM             EQUITY       038020103   3,739   113,793 SH    -- SOLE           1     113,793         --       --
APPLERA CORP-CELERA
   GROUP                 EQUITY       038020202     994    67,646 SH    -- SOLE           1      67,646         --       --
APPLIED ENERGETICS INC   EQUITY       03819M106      45    27,327 SH    -- SOLE           1      27,327         --       --
APPLIED INDUSTRIAL
   TECH., INC.           EQUITY       03820C105   1,104    36,950 SH    -- SOLE           1      36,950         --       --
APPLIED MATERIALS INC    EQUITY       038222105     952    48,818 SH    -- SOLE           2      48,818         --       --
APPLIED MATERIALS, INC.  EQUITY       038222105  28,617 1,466,771 SH    -- SOLE           1   1,466,771         --       --
APPLIED MATLS INC COM    EQUITY       038222105      13       675 SH    -- DEFINED        4          --         --      675
APPLIED MATLS INC COM    EQUITY       038222105      96     4,934 SH    -- DEFINED        5          --         --    4,934
APPLIED MICRO CIRCUITS
   CORP                  EQUITY       03822W406     400    55,759 SH    -- SOLE           1      55,759         --       --
APPROACH RESOURCES INC   EQUITY       03834A103     117     7,433 SH    -- SOLE           1       7,433         --       --
APPROACH RESOURCES INC
   COM                   EQUITY       03834A103   1,595   101,700 SH    -- SOLE           3     101,700         --       --
APRIA HEALTHCARE GROUP,
   INC.                  EQUITY       037933108   2,788   141,143 SH    -- SOLE           1     141,143         --       --
APTARGROUP, INC.         EQUITY       038336103   8,614   221,279 SH    -- SOLE           1     221,279         --       --
AQUA AMER INC            EQUITY       03836W103   8,772   467,100 SH    -- SOLE           2     467,100         --       --
AQUA AMERICA INC         EQUITY       03836W103   6,000   319,471 SH    -- SOLE           1     319,471         --       --
AQUA AMERICA INC COM     EQUITY       03836W103      34     1,801 SH    -- DEFINED        4          --         --    1,801
AQUA AMERICA INC COM     EQUITY       03836W103      88     4,710 SH    -- DEFINED        5          --         --    4,710
AQUILA INC               EQUITY       03840P102   3,900 1,215,054 SH    -- SOLE           1   1,215,054         --       --
AQUILA INC COM           EQUITY       03840P102       3       933 SH    -- DEFINED        4          --         --      933
AQUILA INC COM           EQUITY       03840P102       1       367 SH    -- DEFINED        5          --         --      367
ARACRUZ CELULOSE S A
   SPON ADR PFD B        EQUITY       038496204     116     1,700 SH    -- DEFINED        5          --         --    1,700
ARAID PHARAMACEUTICLAS,
   INC.                  EQUITY       04033A100     199    58,926 SH    -- SOLE           1      58,926         --       --
ARBITRON INC COM         EQUITY       03875Q108       4        97 SH    -- DEFINED        4          --         --       97
ARBITRON, INC.           EQUITY       03875Q108   1,045    24,221 SH    -- SOLE           1      24,221         --       --
ARBOR REALTY TRUST INC   EQUITY       038923108     175    11,604 SH    -- SOLE           1      11,604         --       --
ARBOR RLTY TR INC COM    EQUITY       038923108      21     1,400 SH    -- DEFINED        5          --         --    1,400
ARCH CHEMICALS INC       EQUITY       03937R102     335     9,000 SH    -- SOLE           2       9,000         --       --
ARCH CHEMICALS, INC.     EQUITY       03937R102     777    20,853 SH    -- SOLE           1      20,853         --       --
ARCH COAL INC COM        EQUITY       039380100      53     1,229 SH    -- DEFINED        5          --         --    1,229





                                                                                  
ARCH COAL, INC.          EQUITY       039380100  14,915   342,871 SH    -- SOLE           1     342,871         --       --
ARCHER DANIELS MIDLAND
   CO                    EQUITY       039483102   1,472    35,769 SH    -- SOLE           2      35,769         --       --
ARCHER DANIELS MIDLAND
   CO COM                EQUITY       039483102      55     1,342 SH    -- DEFINED        4          --         --    1,342
ARCHER DANIELS MIDLAND
   CO COM                EQUITY       039483102     140     3,400 SH    -- DEFINED        5          --         --    3,400
ARCHER DANIELS MIDLAND
   CO.                   EQUITY       039483102  17,751   431,279 SH    -- SOLE           1     431,279         --       --
ARCSIGHT INC             EQUITY       039666102      41     5,892 SH    -- SOLE           1       5,892         --       --
ARCTIC CAT, INC.         EQUITY       039670104      75    10,290 SH    -- SOLE           1      10,290         --       --
ARDEN GROUP INC          EQUITY       039762109     139       972 SH    -- SOLE           1         972         --       --
ARENA PHARMACEUTICALS
   INC                   EQUITY       040047102     424    61,919 SH    -- SOLE           1      61,919         --       --
ARENA RESOURCES INC      EQUITY       040049108   1,012    26,131 SH    -- SOLE           1      26,131         --       --
ARES CAP CORP COM        EQUITY       04010L103     184    14,644 SH    -- DEFINED        4          --         --   14,644
ARES CAPITAL CORP        EQUITY       04010L103     749    59,610 SH    -- SOLE           1      59,610         --       --
ARGON ST INC             EQUITY       040149106     190    11,166 SH    -- SOLE           1      11,166         --       --
ARIBA INC                EQUITY       04033V203     703    72,826 SH    -- SOLE           1      72,826         --       --
ARKANSAS BEST CORP.      EQUITY       040790107     616    19,346 SH    -- SOLE           1      19,346         --       --
ARLINGTON TANKERS LTD
   COM                   EQUITY       G04899103     202     9,623 SH    -- DEFINED        4          --         --    9,623
ARQULE, INC.             EQUITY       04269E107     143    33,405 SH    -- SOLE           1      33,405         --       --
ARRAY BIOPHARMA INC      EQUITY       04269X105     283    40,327 SH    -- SOLE           1      40,327         --       --
ARRIS GROUP INC          EQUITY       04269Q100     669   114,875 SH    -- SOLE           1     114,875         --       --
ARRIS GROUP INC COM      EQUITY       04269Q100       7     1,200 SH    -- DEFINED        5          --         --    1,200
ARROW ELECTRONICS INC    EQUITY       042735100   9,900   294,195 SH    -- SOLE           1     294,195         --       --
ARROW ELECTRS INC        EQUITY       042735100     178     5,300 SH    -- SOLE           2       5,300         --       --
ARROWHEAD RESEARCH CORP  EQUITY       042797100      82    29,036 SH    -- SOLE           1      29,036         --       --
ART TECHNOLOGY GROUP INC EQUITY       04289L107     426   109,743 SH    -- SOLE           1     109,743         --       --
ARTHROCARE CORP.         EQUITY       043136100     787    23,598 SH    -- SOLE           1      23,598         --       --
ARUBA NETWORKS INC       EQUITY       043176106      37     7,168 SH    -- SOLE           1       7,168         --       --
ARVINMERITOR, INC        EQUITY       043353101   2,926   233,856 SH    -- SOLE           1     233,856         --       --
ASBURY AUTOMOTIVE GROUP  EQUITY       043436104     302    21,980 SH    -- SOLE           1      21,980         --       --
ASHFORD HOSPITALITY
   TRUST                 EQUITY       044103109   1,313   231,203 SH    -- SOLE           1     231,203         --       --
ASHLAND INC              EQUITY       044209104   1,216    25,709 SH    -- SOLE           1      25,709         --       --
ASHLAND INC NEW          EQUITY       044209104       3        67 SH    -- SOLE           2          67         --       --
ASIAINFO HLDGS INC       EQUITY       04518A104     300    27,600 SH    -- SOLE           2      27,600         --       --
ASIAINFO HOLDINGS INC.   EQUITY       04518A104   4,367   409,175 SH    -- SOLE           1     409,175         --       --
ASPECT MEDICAL SYSTEMS,
   INC.                  EQUITY       045235108      81    13,273 SH    -- SOLE           1      13,273         --       --
ASPEN INSURANCE
   HOLDINGS L            EQUITY       G05384105     330    12,500 SH    -- SOLE           2      12,500         --       --
ASPEN INSURANCE
   HOLDINGS LTD SHS      EQUITY       G05384105      11       407 SH    -- DEFINED        5          --         --      407
ASSET ACCEPTANCE CAPITAL EQUITY       04543P100     123    12,800 SH    -- SOLE           1      12,800         --       --
ASSISTED LIVING
   CONCEPTS INC          EQUITY       04544X102     284    48,190 SH    -- SOLE           1      48,190         --       --
ASSOCIATED BANC-CORP.    EQUITY       045487105   8,162   306,502 SH    -- SOLE           1     306,502         --       --
ASSOCIATED ESTATES
   REALTY                EQUITY       045604105   1,514   132,331 SH    -- SOLE           1     132,331         --       --
ASSURANT INC             EQUITY       04621X108   2,706    44,470 SH    -- SOLE           1      44,470         --       --
ASSURANT INC             EQUITY       04621X108   4,206    69,114 SH    -- SOLE           2      69,114         --       --
ASTA FUNDING INC         EQUITY       046220109     134     9,649 SH    -- SOLE           1       9,649         --       --
ASTEC INDS INC COM       EQUITY       046224101     626    16,138 SH    -- SOLE           1      16,138         --       --
ASTORIA FINANCIAL CORP.  EQUITY       046265104   5,308   195,441 SH    -- SOLE           1     195,441         --       --
ASTRAZENECA PLC
   SPONSORED ADR         EQUITY       046353108       7       175 SH    -- DEFINED        5          --         --      175
ASTRONICS CORP COM       EQUITY       046433108      21     1,076 SH    -- DEFINED        5          --         --    1,076
ASYST TECHNOLOGIES, INC. EQUITY       04648X107     148    42,250 SH    -- SOLE           1      42,250         --       --
AT&T INC                 EQUITY       00206R102 223,955 5,847,386 SH    -- SOLE           1   5,847,386         --       --
AT&T INC COM             EQUITY       00206R102     851    22,208 SH    -- DEFINED        4          --         --   22,208
AT&T INC COM             EQUITY       00206R102   1,798    46,944 SH    -- DEFINED        5          --         --   46,944
AT+T INC                 EQUITY       00206R102  42,748 1,116,127 SH    -- SOLE           2   1,116,127         --       --
ATHENAHEALTH INC         EQUITY       04685W103     141     5,947 SH    -- SOLE           1       5,947         --       --
ATHEROS COMMUNICATIONS   EQUITY       04743P108   1,055    50,613 SH    -- SOLE           1      50,613         --       --
ATHEROS COMMUNICATIONS
   INC                   EQUITY       04743P108     942    45,200 SH    -- SOLE           2      45,200         --       --
ATLANTIC TELE-NETWORK
   INC                   EQUITY       049079205     273     8,079 SH    -- SOLE           1       8,079         --       --





                                                                                  
ATLAS AIR WORLDWIDE
   HLDGS IN COM NEW      EQUITY       049164205       5        86 SH    -- DEFINED        5          --         --       86
ATLAS AIR WORLDWIDE
   HOLDINGS INC          EQUITY       049164205     630    11,446 SH    -- SOLE           1      11,446         --       --
ATLAS AMERICA INC        EQUITY       049167109   1,185    19,602 SH    -- SOLE           1      19,602         --       --
ATLAS PIPELINE PARTNERS
   LP UNIT L P INT       EQUITY       049392103      28       706 SH    -- DEFINED        4          --         --      706
ATMEL CORP COM           EQUITY       049513104       7     2,083 SH    -- DEFINED        5          --         --    2,083
ATMEL CORP.              EQUITY       049513104   3,696 1,062,206 SH    -- SOLE           1   1,062,206         --       --
ATMI, INC.               EQUITY       00207R101     824    29,608 SH    -- SOLE           1      29,608         --       --
ATMOS ENERGY CORP COM    EQUITY       049560105      13       500 SH    -- DEFINED        4          --         --      500
ATMOS ENERGY CORP COM    EQUITY       049560105      15       600 SH    -- DEFINED        5          --         --      600
ATMOS ENERGY CORP.       EQUITY       049560105      76     2,974 SH    -- SOLE           1       2,974         --       --
ATP OIL & GAS CORP       EQUITY       00208J108     714    21,820 SH    -- SOLE           1      21,820         --       --
ATP OIL & GAS CORP COM   EQUITY       00208J108       7       200 SH    -- DEFINED        5          --         --      200
ATP OIL + GAS
   CORPORATION           EQUITY       00208J108  10,781   329,500 SH    -- SOLE           2     329,500         --       --
ATWOOD OCEANICS INC COM  EQUITY       050095108      16       175 SH    -- DEFINED        5          --         --      175
ATWOOD OCEANICS, INC.    EQUITY       050095108   2,157    23,521 SH    -- SOLE           1      23,521         --       --
AUDIOVOX COPR.           EQUITY       050757103     154    14,405 SH    -- SOLE           1      14,405         --       --
AUTHENTEC INC            EQUITY       052660107     857    86,171 SH    -- SOLE           1      86,171         --       --
AUTODESK INC COM         EQUITY       052769106       6       185 SH    -- DEFINED        4          --         --      185
AUTODESK INC COM         EQUITY       052769106       9       300 SH    -- DEFINED        5          --         --      300
AUTODESK INCORPORATED    EQUITY       052769106   2,256    71,676 SH    -- SOLE           2      71,676         --       --
AUTODESK, INC.           EQUITY       052769106   8,381   266,245 SH    -- SOLE           1     266,245         --       --
AUTOLIV                  EQUITY       052800109     166     3,300 SH    -- SOLE           2       3,300         --       --
AUTOLIV, INC.            EQUITY       052800109     103     2,060 SH    -- SOLE           1       2,060         --       --
AUTOMATIC DATA
   PROCESSING            EQUITY       053015103   7,614   179,625 SH    -- SOLE           2     179,625         --       --
AUTOMATIC DATA
   PROCESSING IN COM     EQUITY       053015103       4        97 SH    -- DEFINED        4          --         --       97
AUTOMATIC DATA
   PROCESSING IN COM     EQUITY       053015103      14       339 SH    -- DEFINED        5          --         --      339
AUTOMATIC DATA
   PROCESSING INC.       EQUITY       053015103  21,448   505,957 SH    -- SOLE           1     505,957         --       --
AUTONATION INC           EQUITY       05329W102     572    38,212 SH    -- SOLE           1      38,212         --       --
AUTONATION INC DEL       EQUITY       05329W102       2       161 SH    -- SOLE           2         161         --       --
AUTOZONE INC             EQUITY       053332102     205     1,801 SH    -- SOLE           2       1,801         --       --
AUTOZONE INC COM         EQUITY       053332102      14       122 SH    -- DEFINED        4          --         --      122
AUTOZONE INC COM         EQUITY       053332102      10        84 SH    -- DEFINED        5          --         --       84
AUTOZONE, INC.           EQUITY       053332102   8,518    74,834 SH    -- SOLE           1      74,834         --       --
AUXILIUM
   PHARMACEUTICALS INC   EQUITY       05334D107   1,391    52,022 SH    -- SOLE           1      52,022         --       --
AUXILIUM PHARMACEUTICL
   COM                   EQUITY       05334D107     340    12,700 SH    -- SOLE           3      12,700         --       --
AVALON PHARMACEUTICALS
   INC                   EQUITY       05346P106     686   277,671 SH    -- SOLE           1     277,671         --       --
AVALONBAY CMNTYS INC     EQUITY       053484101       9        92 SH    -- SOLE           2          92         --       --
AVALONBAY COMMUNITIES
   INC                   EQUITY       053484101   3,364    34,851 SH    -- SOLE           1      34,851         --       --
AVANEX CORP              EQUITY       05348W109     118   166,882 SH    -- SOLE           1     166,882         --       --
AVANEX CORP COM          EQUITY       05348W109       6     9,000 SH    -- DEFINED        5          --         --    9,000
AVATAR HOLDINGS, INC.    EQUITY       053494100     214     4,909 SH    -- SOLE           1       4,909         --       --
AVENTINE RENEWABLE
   ENERGY COM            EQUITY       05356X403       3       600 SH    -- DEFINED        5          --         --      600
AVENTINE RENEWABLE
   ENERGY HOLDINGS INC   EQUITY       05356X403     134    25,819 SH    -- SOLE           1      25,819         --       --
AVERY DENNISON CORP      EQUITY       053611109   2,402    48,764 SH    -- SOLE           2      48,764         --       --
AVERY DENNISON CORP.     EQUITY       053611109   2,330    47,305 SH    -- SOLE           1      47,305         --       --
AVID TECHNOLOGY, INC.    EQUITY       05367P100     793    32,567 SH    -- SOLE           1      32,567         --       --
AVIS BUDGET GROUP COM    EQUITY       053774105       1       107 SH    -- DEFINED        5          --         --      107
AVIS BUDGET GROUP INC    EQUITY       053774105   2,655   250,042 SH    -- SOLE           1     250,042         --       --
AVISTA CORP              EQUITY       05379B107     885    45,259 SH    -- SOLE           1      45,259         --       --
AVNET INC                EQUITY       053807103     169     5,150 SH    -- SOLE           2       5,150         --       --
AVNET, INC.              EQUITY       053807103  11,793   360,304 SH    -- SOLE           1     360,304         --       --
AVOCENT CORP COM         EQUITY       053893103       7       420 SH    -- DEFINED        5          --         --      420
AVOCENT CORPORATION      EQUITY       053893103   2,493   147,503 SH    -- SOLE           1     147,503         --       --
AVON PRODS INC           EQUITY       054303102      20       510 SH    -- SOLE           2         510         --       --
AVON PRODUCTS, INC.      EQUITY       054303102   7,256   183,513 SH    -- SOLE           1     183,513         --       --
AXA SPONSORED ADR        EQUITY       054536107       5       138 SH    -- DEFINED        5          --         --      138





                                                                                  
AXCELIS TECHNOLOGIES INC EQUITY       054540109     488    87,205 SH    -- SOLE           1      87,205         --       --
AXIS CAPITAL HOLDINGS
   LTD                   EQUITY       G0692U109      95     2,800 SH    -- SOLE           2       2,800         --       --
AXIS CAPITAL HOLDINGS
   SHS                   EQUITY       G0692U109       8       232 SH    -- DEFINED        4          --         --      232
AXIS CAPITAL HOLDINGS
   SHS                   EQUITY       G0692U109       1        39 SH    -- DEFINED        5          --         --       39
AXSYS TECHNOLOGIES INC
   COM                   EQUITY       054615109   1,175    23,557 SH    -- DEFINED        4          --         --   23,557
AZZ INC                  EQUITY       002474104     356     9,998 SH    -- SOLE           1       9,998         --       --
AZZ INC COM              EQUITY       002474104      83     2,334 SH    -- DEFINED        4          --         --    2,334
B & G FOODS INC NEW
   UNIT 99/99/9999       EQUITY       05508R205      11       575 SH    -- DEFINED        5          --         --      575
BADGER METER INC         EQUITY       056525108     527    12,206 SH    -- SOLE           1      12,206         --       --
BAIDU COM INC SPON ADR
   REP A                 EQUITY       056752108      40       166 SH    -- DEFINED        4          --         --      166
BAIDU COM INC SPON ADR
   REP A                 EQUITY       056752108      31       129 SH    -- DEFINED        5          --         --      129
BAIDU COM INC SPON ADR
   REP A (               EQUITY       056752108   4,361    18,200 SH    -- SOLE           3       8,400         --    9,800
BAIDU.COM                EQUITY       056752108     324     1,353 SH    -- SOLE           1       1,353         --       --
BAKER HUGHES INC         EQUITY       057224107     653     9,537 SH    -- SOLE           2       9,537         --       --
BAKER HUGHES INC COM     EQUITY       057224107      41       604 SH    -- DEFINED        4          --         --      604
BAKER HUGHES INC COM     EQUITY       057224107     122     1,780 SH    -- DEFINED        5          --         --    1,780
BAKER HUGHES, INC.       EQUITY       057224107   8,671   126,582 SH    -- SOLE           1     126,582         --       --
BALCHEM CORP             EQUITY       057665200     351    15,305 SH    -- SOLE           1      15,305         --       --
BALDOR ELECTRIC CO.      EQUITY       057741100   1,099    39,263 SH    -- SOLE           1      39,263         --       --
BALDWIN & LYONS, INC.,
   CLASS B               EQUITY       057755209     179     6,978 SH    -- SOLE           1       6,978         --       --
BALL CORP                EQUITY       058498106       5       117 SH    -- SOLE           2         117         --       --
BALL CORP.               EQUITY       058498106  10,569   230,059 SH    -- SOLE           1     230,059         --       --
BALLARD PWR SYS INC COM  EQUITY       05858H104       7     1,600 SH    -- DEFINED        5          --         --    1,600
BALLY TECHNOLOGIES INC   EQUITY       05874B107   2,860    83,291 SH    -- SOLE           1      83,291         --       --
BALLY TECHNOLOGIES INC   EQUITY       05874B107     488    14,200 SH    -- SOLE           2      14,200         --       --
BALLY TECHNOLOGIES INC
   COM                   EQUITY       05874B107   3,997   116,400 SH    -- SOLE           3      57,700         --   58,700
BALLY TECHNOLOGIES INC
   COM                   EQUITY       05874B107      34     1,000 SH    -- DEFINED        5          --         --    1,000
BANCFIRST CORP.          EQUITY       05945F103     313     6,841 SH    -- SOLE           1       6,841         --       --
BANCO ITAU HOLDING
   FINANCEIRA SA         EQUITY       059602201  32,035 1,407,531 SH    -- SOLE           1   1,407,531         --       --
BANCO SANTANDER CHILE SA EQUITY       05965X109   6,287   120,308 SH    -- SOLE           1     120,308         --       --
BANCOLOMBIA S A SPON
   ADR PREF              EQUITY       05968L102      15       421 SH    -- DEFINED        4          --         --      421
BANCOLOMBIA S.A.-SPONS
   ADR                   EQUITY       05968L102  21,933   618,533 SH    -- SOLE           1     618,533         --       --
BANCORP INC/THE          EQUITY       05969A105     118     9,730 SH    -- SOLE           1       9,730         --       --
BANCORPSOUTH, INC.       EQUITY       059692103      49     2,117 SH    -- SOLE           1       2,117         --       --
BANK AMER CORP           EQUITY       060505104  26,216   691,534 SH    -- SOLE           2     691,534         --       --
BANK ATLANTIC BANCORP
   CLASS A               EQUITY       065908501     140    35,852 SH    -- SOLE           1      35,852         --       --
BANK HAWAII CORP         EQUITY       062540109     161     3,250 SH    -- SOLE           2       3,250         --       --
BANK MUTUAL CORP         EQUITY       063750103     459    42,755 SH    -- SOLE           1      42,755         --       --
BANK NEW YORK MELLON
   CORP                  EQUITY       064058100  14,731   353,000 SH    -- SOLE           2     353,000         --       --
BANK NOVA SCOTIA
   HALIFAX COM           EQUITY       064149107       5       100 SH    -- DEFINED        5          --         --      100
BANK OF AMERICA CORP     EQUITY       060505104 130,938 3,453,929 SH    -- SOLE           1   3,453,929         --       --
BANK OF AMERICA
   CORPORATION COM       EQUITY       060505104     289     7,635 SH    -- DEFINED        4          --         --    7,635
BANK OF AMERICA
   CORPORATION COM       EQUITY       060505104     891    23,511 SH    -- DEFINED        5          --         --   23,511
BANK OF HAWAII CORP      EQUITY       062540109   6,256   126,236 SH    -- SOLE           1     126,236         --       --
BANK OF MONTREAL         EQUITY       063671101   6,376   142,442 SH    -- OTHER          1          --    142,442       --
BANK OF NEW YORK MELLON
   CORP COM              EQUITY       064058100     184     4,415 SH    -- DEFINED        4          --         --    4,415
BANK OF NEW YORK MELLON
   CORP COM              EQUITY       064058100      42       996 SH    -- DEFINED        5          --         --      996
BANK OF NEW YORK MELLON
   CORP/THE              EQUITY       064058100  60,316 1,445,393 SH    -- SOLE           1   1,445,393         --       --
BANK OF NOVA SCOTIA      EQUITY       064149107  13,854   306,340 SH    -- OTHER          1          --    306,340       --
BANK OF THE OZARKS INC   EQUITY       063904106     251    10,483 SH    -- SOLE           1      10,483         --       --
BANKFINANCIAL CORP       EQUITY       06643P104     316    19,884 SH    -- SOLE           1      19,884         --       --
BANKRATE INC             EQUITY       06646V108     482     9,655 SH    -- SOLE           1       9,655         --       --
BANKRATE INC             EQUITY       06646V108     654    13,100 SH    -- SOLE           2      13,100         --       --
BANKUNITED FINANCIAL
   CORP CLASS A          EQUITY       06652B103     137    27,400 SH    -- SOLE           1      27,400         --       --
BANNER CORPORATION       EQUITY       06652V109     306    13,284 SH    -- SOLE           1      13,284         --       --
BARCLAYS BANK PLC        EQUITY       06739H511     625    25,000 SH    -- SOLE           1      25,000         --       --





                                                                                  
BARCLAYS BANK PLC        EQUITY       06739H776   6,212   256,700 SH    -- SOLE           1     256,700         --       --
BARCLAYS BANK PLC ETN
   IPTH AGRI             EQUITY       06739H206      49       855 SH    -- DEFINED        4          --         --      855
BARCLAYS BANK PLC NT
   USD/JPY 36            EQUITY       06739G851      29       487 SH    -- DEFINED        4          --         --      487
BARCLAYS BANK PLC SP
   ADR 7.1%PF3           EQUITY       06739H776       7       200 SH    -- DEFINED        4          --         --      200
BARCLAYS BK PLC DJAIG
   CMDTY 36              EQUITY       06738C778   1,283    20,889 SH    -- DEFINED        4          --         --   20,889
BARCLAYS BK PLC DJAIG
   CMDTY 36              EQUITY       06738C778     162     2,642 SH    -- DEFINED        5          --         --    2,642
BARCLAYS BK PLC IP MSCI
   IND 36                EQUITY       06739F291      13       200 SH    -- DEFINED        4          --         --      200
BARCLAYS BK PLC IP MSCI
   IND 36                EQUITY       06739F291     144     2,185 SH    -- DEFINED        5          --         --    2,185
BARCLAYS BK PLC IPGS
   CRUDOIL36             EQUITY       06738C786      97     1,600 SH    -- DEFINED        4          --         --    1,600
BARCLAYS PLC ADR         EQUITY       06738E204     371    10,260 SH    -- DEFINED        4          --         --   10,260
BARCLAYS PLC ADR         EQUITY       06738E204     184     5,085 SH    -- DEFINED        5          --         --    5,085
BARD C R INC             EQUITY       067383109     230     2,390 SH    -- SOLE           2       2,390         --       --
BARD C R INC COM         EQUITY       067383109      10       100 SH    -- DEFINED        4          --         --      100
BARD C R INC COM         EQUITY       067383109       2        24 SH    -- DEFINED        5          --         --       24
BARE ESCENTUALS INC      EQUITY       067511105   1,296    55,329 SH    -- SOLE           1      55,329         --       --
BARNES & NOBLE, INC.     EQUITY       067774109   3,572   116,536 SH    -- SOLE           1     116,536         --       --
BARNES GROUP, INC.       EQUITY       067806109     907    39,530 SH    -- SOLE           1      39,530         --       --
BARR PHARMACEUTICALS INC EQUITY       068306109   2,217    45,882 SH    -- SOLE           1      45,882         --       --
BARR PHARMACEUTICALS INC EQUITY       068306109   3,625    75,029 SH    -- SOLE           2      75,029         --       --
BARR PHARMACEUTICALS
   INC COM               EQUITY       068306109     270     5,592 SH    -- DEFINED        4          --         --    5,592
BARR PHARMACEUTICALS
   INC COM               EQUITY       068306109      41       842 SH    -- DEFINED        5          --         --      842
BARRETT BUSINESS
   SERVICES              EQUITY       068463108     109     6,373 SH    -- SOLE           1       6,373         --       --
BARRICK GOLD CORP        EQUITY       067901108   1,709    39,339 SH    -- SOLE           2      39,339         --       --
BARRICK GOLD CORP COM    EQUITY       067901108      45     1,028 SH    -- DEFINED        4          --         --    1,028
BARRICK GOLD CORP COM    EQUITY       067901108      13       299 SH    -- DEFINED        5          --         --      299
BARRICK GOLD CORP COM
   (F)                   EQUITY       067901108   4,554   104,800 SH    -- SOLE           3      42,000         --   62,800
BARRICK GOLD CORPORATION EQUITY       067901108  18,212   416,975 SH    -- OTHER          1          --    416,975       --
BASIC ENERGY SERVICES
   INC                   EQUITY       06985P100     774    35,056 SH    -- SOLE           1      35,056         --       --
BASIN WTR INC COM        EQUITY       07011T306       7     1,300 SH    -- DEFINED        4          --         --    1,300
BAXTER INTERNATIONAL,
   INC.                  EQUITY       071813109  25,558   442,023 SH    -- SOLE           1     442,023         --       --
BAXTER INTL INC          EQUITY       071813109   1,247    21,573 SH    -- SOLE           2      21,573         --       --
BAXTER INTL INC COM      EQUITY       071813109      22       385 SH    -- DEFINED        4          --         --      385
BAXTER INTL INC COM      EQUITY       071813109      26       448 SH    -- DEFINED        5          --         --      448
BAYTEX ENERGY TR TRUST
   UNIT                  EQUITY       073176109     269    12,117 SH    -- DEFINED        4          --         --   12,117
BAYTEX ENERGY TR TRUST
   UNIT                  EQUITY       073176109       4       200 SH    -- DEFINED        5          --         --      200
BAYTEX ENERGY TRUST      EQUITY       073176109   1,173    52,839 SH    -- OTHER          1          --     52,839       --
BB&T CORP COM            EQUITY       054937107      21       661 SH    -- DEFINED        4          --         --      661
BB&T CORP COM            EQUITY       054937107      79     2,460 SH    -- DEFINED        5          --         --    2,460
BB+T CORP                EQUITY       054937107      21       653 SH    -- SOLE           2         653         --       --
BBT CORP.                EQUITY       054937107   9,749   304,095 SH    -- SOLE           1     304,095         --       --
BCE INC                  EQUITY       05534B760   3,863   114,059 SH    -- OTHER          1          --    114,059       --
BE AEROSPACE INC COM     EQUITY       073302101      10       300 SH    -- DEFINED        5          --         --      300
BE AEROSPACE, INC.       EQUITY       073302101   7,843   224,393 SH    -- SOLE           1     224,393         --       --
BEA SYS INC COM          EQUITY       073325102     535    27,926 SH    -- DEFINED        5          --         --   27,926
BEA SYSTEMS, INC.        EQUITY       073325102  11,232   586,650 SH    -- SOLE           1     586,650         --       --
BEACON ROOFING SUPPLY
   INC                   EQUITY       073685109     380    37,981 SH    -- SOLE           1      37,981         --       --
BEAR STEARNS COS         EQUITY       073902108     302    28,817 SH    -- SOLE           1      28,817         --       --
BEAR STEARNS COS INC     EQUITY       073902108       1       141 SH    -- SOLE           2         141         --       --
BEAR STEARNS COS INC COM EQUITY       073902108       1       135 SH    -- DEFINED        5          --         --      135
BEARINGPOINT INC         EQUITY       074002106     310   184,651 SH    -- SOLE           1     184,651         --       --
BEAZER HOMES USA, INC.   EQUITY       07556Q105     317    33,551 SH    -- SOLE           1      33,551         --       --
BEBE STORES, INC.        EQUITY       075571109     234    21,756 SH    -- SOLE           1      21,756         --       --
BECKMAN COULTER INC COM  EQUITY       075811109       6       100 SH    -- DEFINED        4          --         --      100
BECKMAN COULTER, INC.    EQUITY       075811109   9,650   149,503 SH    -- SOLE           1     149,503         --       --
BECTON DICKINSON & CO
   COM                   EQUITY       075887109       3        37 SH    -- DEFINED        4          --         --       37
BECTON DICKINSON & CO
   COM                   EQUITY       075887109       4        43 SH    -- DEFINED        5          --         --       43





                                                                                  
BECTON DICKINSON + CO    EQUITY       075887109   1,399    16,292 SH    -- SOLE           2      16,292         --       --
BECTON, DICKINSON AND
   CO.                   EQUITY       075887109  84,562   984,995 SH    -- SOLE           1     984,995         --       --
BED BATH & BEYOND INC
   COM                   EQUITY       075896100       1        40 SH    -- DEFINED        4          --         --       40
BED BATH & BEYOND INC
   COM                   EQUITY       075896100      14       478 SH    -- DEFINED        5          --         --      478
BED BATH & BEYOND, INC.  EQUITY       075896100   3,878   131,467 SH    -- SOLE           1     131,467         --       --
BED BATH + BEYOND INC    EQUITY       075896100       9       313 SH    -- SOLE           2         313         --       --
BEL FUSE INC. CLASS B    EQUITY       077347300     284    10,198 SH    -- SOLE           1      10,198         --       --
BELDEN INC               EQUITY       077454106   1,365    38,645 SH    -- SOLE           1      38,645         --       --
BELDEN INC COM           EQUITY       077454106      11       300 SH    -- DEFINED        4          --         --      300
BELO CORP.               EQUITY       080555105   2,975   281,432 SH    -- SOLE           1     281,432         --       --
BEMIS CO INC             EQUITY       081437105   2,419    95,112 SH    -- SOLE           2      95,112         --       --
BEMIS CO., INC.          EQUITY       081437105   1,152    45,287 SH    -- SOLE           1      45,287         --       --
BENCHMARK ELECTRONICS,
   INC.                  EQUITY       08160H101   1,118    62,310 SH    -- SOLE           1      62,310         --       --
BENEFICIAL MUTUAL
   BANCORP INC           EQUITY       08173R104     309    31,269 SH    -- SOLE           1      31,269         --       --
BENIHANA INC             EQUITY       082047200     119    10,553 SH    -- SOLE           1      10,553         --       --
BENTLEY PHARMACEUTICAL   EQUITY       082657107     266    16,397 SH    -- SOLE           1      16,397         --       --
BERKLEY W R CORP         EQUITY       084423102     930    33,600 SH    -- SOLE           2      33,600         --       --
BERKSHIRE HATHAWAY INC
   DEL CL B              EQUITY       084670207     121        27 SH    -- DEFINED        4          --         --       27
BERKSHIRE HATHAWAY INC
   DEL CL B              EQUITY       084670207   1,436       321 SH    -- DEFINED        5          --         --      321
BERKSHIRE HILLS BANCOR   EQUITY       084680107     231     9,175 SH    -- SOLE           1       9,175         --       --
BERRY PETE CO            EQUITY       085789105     551    11,850 SH    -- SOLE           2      11,850         --       --
BERRY PETROLEUM CO.
   CLASS A               EQUITY       085789105   1,576    33,893 SH    -- SOLE           1      33,893         --       --
BEST BUY CO INC          EQUITY       086516101   3,394    81,865 SH    -- SOLE           2      81,865         --       --
BEST BUY CO., INC.       EQUITY       086516101   6,396   154,269 SH    -- SOLE           1     154,269         --       --
BEST BUY INC COM         EQUITY       086516101      86     2,086 SH    -- DEFINED        5          --         --    2,086
BEST BUY INC SDCV
   2.250% 1/1            FIXED INCOME 086516AF8       3         3 PRN   -- DEFINED        4          --         --        3
BHP BILLITON LTD
   SPONSORED ADR         EQUITY       088606108     118     1,797 SH    -- DEFINED        4          --         --    1,797
BHP BILLITON LTD
   SPONSORED ADR         EQUITY       088606108     267     4,056 SH    -- DEFINED        5          --         --    4,056
BIDZ COM INC COM         EQUITY       08883T200      47     5,625 SH    -- DEFINED        4          --         --    5,625
BIG 5 SPORTING GOODS
   CORP                  EQUITY       08915P101     171    19,472 SH    -- SOLE           1      19,472         --       --
BIG LOTS INC             EQUITY       089302103       2       108 SH    -- SOLE           2         108         --       --
BIG LOTS INC.            EQUITY       089302103   2,525   113,232 SH    -- SOLE           1     113,232         --       --
BIGBAND NETWORKS INC     EQUITY       089750509      65    11,335 SH    -- SOLE           1      11,335         --       --
BIGBAND NETWORKS INC COM EQUITY       089750509      11     2,000 SH    -- DEFINED        4          --         --    2,000
BILL BARRETT CORP        EQUITY       06846N104   5,008   105,985 SH    -- SOLE           1     105,985         --       --
BIO RAD LABORATORIES INC EQUITY       090572207     640     7,200 SH    -- SOLE           2       7,200         --       --
BIODEL INC               EQUITY       09064M105      57     5,223 SH    -- SOLE           1       5,223         --       --
BIOFORM MEDICAL INC      EQUITY       09065G107      44     9,532 SH    -- SOLE           1       9,532         --       --
BIOGEN IDEC INC          EQUITY       09062X103   8,572   138,958 SH    -- SOLE           1     138,958         --       --
BIOGEN IDEC INC          EQUITY       09062X103      22       356 SH    -- SOLE           2         356         --       --
BIOGEN IDEC INC COM      EQUITY       09062X103       7       110 SH    -- DEFINED        4          --         --      110
BIOGEN IDEC INC COM      EQUITY       09062X103      19       300 SH    -- DEFINED        5          --         --      300
BIOMARIN PHARMACEUTICAL
   IN                    EQUITY       09061G101     336     9,500 SH    -- SOLE           2       9,500         --       --
BIOMARIN PHARMACEUTICAL
   INC.                  EQUITY       09061G101   2,907    82,188 SH    -- SOLE           1      82,188         --       --
BIOMED REALTY TRUST INC  EQUITY       09063H107   8,348   349,418 SH    -- SOLE           1     349,418         --       --
BIOMED REALTY TRUST INC
   COM                   EQUITY       09063H107       5       200 SH    -- DEFINED        5          --         --      200
BIOMIMETIC THERAPEUTICS
   INC                   EQUITY       09064X101      74     9,201 SH    -- SOLE           1       9,201         --       --
BIONOVO INC              EQUITY       090643107      57    45,050 SH    -- SOLE           1      45,050         --       --
BIO-RAD LABORATORIES,
   INC., CLASS A         EQUITY       090572207   1,426    16,026 SH    -- SOLE           1      16,026         --       --
BIO-REFERENCE LABS INC   EQUITY       09057G602     252     9,519 SH    -- SOLE           1       9,519         --       --
BIOVAIL CORP             EQUITY       09067J109     155    14,500 SH    -- OTHER          1          --     14,500       --
BIOVAIL CORP COM         EQUITY       09067J109     167    15,648 SH    -- DEFINED        4          --         --   15,648
BIOVAIL CORP COM         EQUITY       09067J109     260    24,400 SH    -- DEFINED        5          --         --   24,400
BJ SERVICES CO.          EQUITY       055482103   3,524   123,623 SH    -- SOLE           1     123,623         --       --
BJ SVCS CO               EQUITY       055482103   8,740   306,550 SH    -- SOLE           2     306,550         --       --
BJ SVCS CO COM           EQUITY       055482103       2        78 SH    -- DEFINED        5          --         --       78





                                                                                  
BJ'S RESTAURANTS INC     EQUITY       09180C106     210    14,594 SH    -- SOLE           1      14,594         --       --
BJS WHOLESALE CLUB INC
   COM                   EQUITY       05548J106       5       150 SH    -- DEFINED        4          --         --      150
BJS WHOLESALE CLUB INC
   COM                   EQUITY       05548J106      17       471 SH    -- DEFINED        5          --         --      471
BJ'S WHOLESALE CLUB INC. EQUITY       05548J106   5,506   154,259 SH    -- SOLE           1     154,259         --       --
BJS WHSL CLUB INC        EQUITY       05548J106     170     4,751 SH    -- SOLE           2       4,751         --       --
BLACK & DECKER CORP.     EQUITY       091797100   1,781    26,944 SH    -- SOLE           1      26,944         --       --
BLACK + DECKER
   CORPORATION           EQUITY       091797100       5        73 SH    -- SOLE           2          73         --       --
BLACK BOX CORP.          EQUITY       091826107     459    14,891 SH    -- SOLE           1      14,891         --       --
BLACK HILLS CORP COM     EQUITY       092113109      11       300 SH    -- DEFINED        4          --         --      300
BLACK HILLS CORP COM     EQUITY       092113109      34       950 SH    -- DEFINED        5          --         --      950
BLACK HILLS CORP.        EQUITY       092113109   4,366   122,014 SH    -- SOLE           1     122,014         --       --
BLACKBAUD INC            EQUITY       09227Q100     916    37,706 SH    -- SOLE           1      37,706         --       --
BLACKBAUD INC            EQUITY       09227Q100     507    20,900 SH    -- SOLE           2      20,900         --       --
BLACKBOARD INC           EQUITY       091935502     817    24,507 SH    -- SOLE           1      24,507         --       --
BLACKROCK CA INSD MUN
   2008 T COM            EQUITY       09247G108      12       803 SH    -- DEFINED        5          --         --      803
BLACKROCK CALIF MUN
   INCOME T SH BEN INT   EQUITY       09248E102      58     3,790 SH    -- DEFINED        5          --         --    3,790
BLACKROCK CORE BD TR
   SHS BEN INT           EQUITY       09249E101       2       195 SH    -- DEFINED        4          --         --      195
BLACKROCK CORPOR HI YLD
   FD V COM              EQUITY       09255N102      76     7,035 SH    -- DEFINED        4          --         --    7,035
BLACKROCK CORPOR HI YLD
   III COM               EQUITY       09255M104     280    42,875 SH    -- DEFINED        5          --         --   42,875
BLACKROCK CORPOR HIGH
   YLD FD COM            EQUITY       09255L106      47     7,301 SH    -- DEFINED        5          --         --    7,301
BLACKROCK DEBT STRAT FD
   INC COM               EQUITY       09255R103      13     2,500 SH    -- DEFINED        4          --         --    2,500
BLACKROCK DEBT STRAT FD
   INC COM               EQUITY       09255R103      21     4,045 SH    -- DEFINED        5          --         --    4,045
BLACKROCK ENHAN EQ YLD
   & PRE COM             EQUITY       09256E101       3       200 SH    -- DEFINED        5          --         --      200
BLACKROCK GLBL ENRGY &
   RES T COM             EQUITY       09250U101       6       200 SH    -- DEFINED        4          --         --      200
BLACKROCK HIGH INCOME
   SHS SHS BEN INT       EQUITY       09250E107      24    12,000 SH    -- DEFINED        4          --         --   12,000
BLACKROCK HIGH YIELD TR
   SH BEN INT            EQUITY       09248N102      31     5,000 SH    -- DEFINED        4          --         --    5,000
BLACKROCK HIGH YIELD TR
   SH BEN INT            EQUITY       09248N102       4       580 SH    -- DEFINED        5          --         --      580
BLACKROCK INC            EQUITY       09247X101     370     1,814 SH    -- SOLE           1       1,814         --       --
BLACKROCK INCOME OPP
   TRUST I COM           EQUITY       092475102       5       500 SH    -- DEFINED        5          --         --      500
BLACKROCK INCOME TR INC
   COM                   EQUITY       09247F100      41     7,000 SH    -- DEFINED        4          --         --    7,000
BLACKROCK INCOME TR INC
   COM                   EQUITY       09247F100      33     5,750 SH    -- DEFINED        5          --         --    5,750
BLACKROCK INSD MUN 2008
   TRM COM               EQUITY       09247K109      12       804 SH    -- DEFINED        5          --         --      804
BLACKROCK INSD MUN
   INCOME TR COM         EQUITY       092479104      13     1,000 SH    -- DEFINED        4          --         --    1,000
BLACKROCK KELSO CAPITAL
   CORP                  EQUITY       092533108     102     8,559 SH    -- SOLE           1       8,559         --       --
BLACKROCK MUNI INCOME
   TR II COM             EQUITY       09249N101      61     4,300 SH    -- DEFINED        4          --         --    4,300
BLACKROCK MUNIHOLDINGS
   CALIF COM             EQUITY       09254L107      92     7,360 SH    -- DEFINED        5          --         --    7,360
BLACKROCK MUNIHOLDINGS
   N Y I COM             EQUITY       09255C106      15     1,200 SH    -- DEFINED        5          --         --    1,200
BLACKROCK MUNIVEST FD
   II INC COM            EQUITY       09253T101      49     3,500 SH    -- DEFINED        5          --         --    3,500
BLACKROCK MUNIYIELD
   ARIZ FD COM           EQUITY       09254K109      19     1,475 SH    -- DEFINED        5          --         --    1,475
BLACKROCK MUNIYIELD
   CALIF IN COM          EQUITY       09254N103      19     1,500 SH    -- DEFINED        5          --         --    1,500
BLACKROCK MUNIYIELD FD
   INC COM               EQUITY       09253W104      23     1,750 SH    -- DEFINED        5          --         --    1,750
BLACKROCK MUNYIELD INSD
   FD I COM              EQUITY       09254E103      12     1,005 SH    -- DEFINED        5          --         --    1,005
BLACKROCK S&P QLTY RK
   EQ MD SHS BEN INT     EQUITY       09250D109      11       700 SH    -- DEFINED        4          --         --      700
BLACKROCK S&P QLTY RK
   EQ MD SHS BEN INT     EQUITY       09250D109      16     1,039 SH    -- DEFINED        5          --         --    1,039
BLACKROCK SR HIGH
   INCOME FD COM         EQUITY       09255T109     210    43,221 SH    -- DEFINED        5          --         --   43,221
BLACKROCK STRATEGIC MUN
   TR COM                EQUITY       09248T109      37     2,590 SH    -- DEFINED        4          --         --    2,590
BLACKROCK STRATEGIC MUN
   TR COM                EQUITY       09248T109       4       269 SH    -- DEFINED        5          --         --      269
BLACKSTONE GROUP L P
   COM UNIT LTD          EQUITY       09253U108      36     2,275 SH    -- DEFINED        5          --         --    2,275
BLADELOGIC INC           EQUITY       09265M102     140     4,978 SH    -- SOLE           1       4,978         --       --
BLDRS INDEX FDS TR EMER
   MK 50 ADR             EQUITY       09348R300      10       211 SH    -- DEFINED        4          --         --      211
BLDRS INDEX FDS TR EMER
   MK 50 ADR             EQUITY       09348R300      63     1,298 SH    -- DEFINED        5          --         --    1,298
BLDRS INDEX FDS TR EUR
   100 ADR               EQUITY       09348R409      48     1,705 SH    -- DEFINED        5          --         --    1,705
BLOCK FINANCIAL CORP     EQUITY       093671105   5,367   258,543 SH    -- SOLE           1     258,543         --       --
BLOCK H & R INC COM      EQUITY       093671105       5       247 SH    -- DEFINED        4          --         --      247
BLOCK H & R INC COM      EQUITY       093671105       6       285 SH    -- DEFINED        5          --         --      285
BLOCK H + R INC          EQUITY       093671105       8       389 SH    -- SOLE           2         389         --       --





                                                                                  
BLOCKBUSTER INC -CLA     EQUITY       093679108     537   164,759 SH    -- SOLE           1     164,759         --       --
BLOUNT INTERNATIONAL INC EQUITY       095180105     404    32,651 SH    -- SOLE           1      32,651         --       --
BLUE CHIP VALUE FD INC
   COM                   EQUITY       095333100     238    50,187 SH    -- DEFINED        4          --         --   50,187
BLUE COAT SYSTEMS INC    EQUITY       09534T508   1,356    61,540 SH    -- SOLE           1      61,540         --       --
BLUE COAT SYSTEMS INC
   COM NEW               EQUITY       09534T508   2,819   127,900 SH    -- SOLE           3     127,900         --       --
BLUE COAT SYSTEMS INC
   COM NEW               EQUITY       09534T508      32     1,458 SH    -- DEFINED        4          --         --    1,458
BLUE NILE INC            EQUITY       09578R103     623    11,505 SH    -- SOLE           1      11,505         --       --
BLUEGREEN CORP           EQUITY       096231105     122    18,212 SH    -- SOLE           1      18,212         --       --
BLUELINX HOLDINGS INC    EQUITY       09624H109      50     9,896 SH    -- SOLE           1       9,896         --       --
BLYTH INC.               EQUITY       09643P108   1,532    77,677 SH    -- SOLE           1      77,677         --       --
BMC SOFTWARE INC         EQUITY       055921100     167     5,150 SH    -- SOLE           2       5,150         --       --
BMC SOFTWARE INC COM     EQUITY       055921100      13       399 SH    -- DEFINED        5          --         --      399
BMC SOFTWARE, INC.       EQUITY       055921100   2,704    83,159 SH    -- SOLE           1      83,159         --       --
BMP SUNSTONE CORP        EQUITY       05569C105     201    26,199 SH    -- SOLE           1      26,199         --       --
BOB EVANS FARMS, INC.    EQUITY       096761101   2,766   100,240 SH    -- SOLE           1     100,240         --       --
BOEING CO                EQUITY       097023105  12,964   174,322 SH    -- SOLE           2     174,322         --       --
BOEING CO COM            EQUITY       097023105     449     6,039 SH    -- DEFINED        4          --         --    6,039
BOEING CO COM            EQUITY       097023105     190     2,561 SH    -- DEFINED        5          --         --    2,561
BOEING CO.               EQUITY       097023105  42,335   569,255 SH    -- SOLE           1     569,255         --       --
BOIS D' ARC ENERGY INC   EQUITY       09738U103     336    15,616 SH    -- SOLE           1      15,616         --       --
BOISE INC                EQUITY       09746Y105     227    35,516 SH    -- SOLE           1      35,516         --       --
BON-TON STORES INC COM   EQUITY       09776J101       6     1,040 SH    -- DEFINED        5          --         --    1,040
BON-TON STORES INC/THE   EQUITY       09776J101      48     8,771 SH    -- SOLE           1       8,771         --       --
BOOKS-A-MILLION INC      EQUITY       098570104     104    11,938 SH    -- SOLE           1      11,938         --       --
BORDERS GROUP, INC.      EQUITY       099709107   1,114   189,849 SH    -- SOLE           1     189,849         --       --
BORG WARNER INC          EQUITY       099724106  12,072   280,539 SH    -- SOLE           1     280,539         --       --
BORLAND SOFTWARE CORP.   EQUITY       099849101     126    62,385 SH    -- SOLE           1      62,385         --       --
BOSTON BEER INC CL A     EQUITY       100557107       2        33 SH    -- DEFINED        5          --         --       33
BOSTON BEER, INC. CLASS
   A                     EQUITY       100557107     368     7,749 SH    -- SOLE           1       7,749         --       --
BOSTON PPTYS INC         EQUITY       101121101      13       143 SH    -- SOLE           2         143         --       --
BOSTON PRIVATE
   FINANCIAL HOLDI       EQUITY       101119105     337    31,779 SH    -- SOLE           1      31,779         --       --
BOSTON SCIENTIFIC CORP   EQUITY       101137107      21     1,605 SH    -- SOLE           2       1,605         --       --
BOSTON SCIENTIFIC CORP
   COM                   EQUITY       101137107       9       722 SH    -- DEFINED        4          --         --      722
BOSTON SCIENTIFIC CORP
   COM                   EQUITY       101137107     101     7,850 SH    -- DEFINED        5          --         --    7,850
BOSTON SCIENTIFIC CORP.  EQUITY       101137107   7,083   550,334 SH    -- SOLE           1     550,334         --       --
BOTTOMLINE TECHNOLOGIES
   INC                   EQUITY       101388106     234    18,588 SH    -- SOLE           1      18,588         --       --
BOULDER GROWTH & INCOME
   FUND INC              EQUITY       101507101      88    10,583 SH    -- SOLE           1      10,583         --       --
BOWNE & CO., INC.        EQUITY       103043105     361    23,666 SH    -- SOLE           1      23,666         --       --
BOYD GAMING CORP.        EQUITY       103304101   2,684   134,190 SH    -- SOLE           1     134,190         --       --
BP PLC SPONSORED ADR     EQUITY       055622104     179     2,958 SH    -- DEFINED        4          --         --    2,958
BP PLC SPONSORED ADR     EQUITY       055622104     300     4,946 SH    -- DEFINED        5          --         --    4,946
BP PRUDHOE BAY RTY TR
   UNIT BEN INT          EQUITY       055630107     327     3,499 SH    -- DEFINED        4          --         --    3,499
BP PRUDHOE BAY RTY TR
   UNIT BEN INT          EQUITY       055630107      84       895 SH    -- DEFINED        5          --         --      895
BPZ RESOURCES INC        EQUITY       055639108   1,149    52,880 SH    -- SOLE           1      52,880         --       --
BPZ RESOURCES INC COM    EQUITY       055639108       2       100 SH    -- DEFINED        4          --         --      100
BRADY CORP.              EQUITY       104674106   1,445    43,238 SH    -- SOLE           1      43,238         --       --
BRE PROPERTIES INC CL A  EQUITY       05564E106      36       798 SH    -- DEFINED        4          --         --      798
BRE PROPERTIES, INC.,
   CLASS A               EQUITY       05564E106   5,586   122,609 SH    -- SOLE           1     122,609         --       --
BRIGGS & STRATTON CORP
   COM                   EQUITY       109043109       6       350 SH    -- DEFINED        5          --         --      350
BRIGGS & STRATTON CORP.  EQUITY       109043109     759    42,429 SH    -- SOLE           1      42,429         --       --
BRIGHAM EXPLORATION CO   EQUITY       109178103     238    39,139 SH    -- SOLE           1      39,139         --       --
BRIGHT HORIZONS FAM.
   SOLUTIONS             EQUITY       109195107     966    22,442 SH    -- SOLE           1      22,442         --       --
BRIGHTPOINT INC          EQUITY       109473405     365    43,628 SH    -- SOLE           1      43,628         --       --
BRIGHTPOINT INC COM NEW  EQUITY       109473405      26     3,107 SH    -- DEFINED        5          --         --    3,107
BRINKER INTERNATIONAL,
   INC.                  EQUITY       109641100   4,488   241,943 SH    -- SOLE           1     241,943         --       --
BRINKER INTL INC COM     EQUITY       109641100     199    10,711 SH    -- DEFINED        5          --         --   10,711





                                                                                  
BRINK'S CO/THE           EQUITY       109696104   7,727   115,024 SH    -- SOLE           1     115,024         --       --
BRISTOL MYERS SQUIBB CO  EQUITY       110122108     609    28,577 SH    -- SOLE           2      28,577         --       --
BRISTOL MYERS SQUIBB CO
   COM                   EQUITY       110122108      11       525 SH    -- DEFINED        4          --         --      525
BRISTOL MYERS SQUIBB CO
   COM                   EQUITY       110122108     163     7,644 SH    -- DEFINED        5          --         --    7,644
BRISTOL MYERS SQUIBB CO. EQUITY       110122108  63,965 3,003,038 SH    -- SOLE           1   3,003,038         --       --
BRISTOW GROUP INC        EQUITY       110394103     932    17,359 SH    -- SOLE           1      17,359         --       --
BRITISH AMERN TOB PLC
   SPONSORED ADR         EQUITY       110448107       2        24 SH    -- DEFINED        5          --         --       24
BROADCOM CORP            EQUITY       111320107   3,057   158,659 SH    -- SOLE           2     158,659         --       --
BROADCOM CORP CL A       EQUITY       111320107       2        79 SH    -- DEFINED        5          --         --       79
BROADCOM CORP.           EQUITY       111320107   4,363   226,401 SH    -- SOLE           1     226,401         --       --
BROADRIDGE FINANCIAL
   SOLUTIONS LLC         EQUITY       11133T103   5,917   336,221 SH    -- SOLE           1     336,221         --       --
BROADRIDGE FINL
   SOLUTIONS             EQUITY       11133T103     510    29,000 SH    -- SOLE           2      29,000         --       --
BROCADE COMMUNICATIONS
   SYS                   EQUITY       111621306   6,008   823,000 SH    -- SOLE           2     823,000         --       --
BROCADE COMMUNICATIONS
   SYS I COM NEW         EQUITY       111621306       2       302 SH    -- DEFINED        4          --         --      302
BROCADE COMMUNICATIONS
   SYS I COM NEW         EQUITY       111621306       2       250 SH    -- DEFINED        5          --         --      250
BROCADE COMMUNICATIONS
   SYSTEMS INC           EQUITY       111621306      27     3,741 SH    -- SOLE           1       3,741         --       --
BRONCO DRILLING CO INC   EQUITY       112211107     360    22,324 SH    -- SOLE           1      22,324         --       --
BROOKDALE SENIOR LIVING
   INC                   EQUITY       112463104      15       626 SH    -- SOLE           1         626         --       --
BROOKFIELD ASSET
   MANAGEMENT INC        EQUITY       112585104   1,105    39,995 SH    -- OTHER          1          --     39,995       --
BROOKFIELD ASSET MGMT
   INC CL A LTD VT SH    EQUITY       112585104       8       300 SH    -- DEFINED        5          --         --      300
BROOKFIELD HOMES CORP    EQUITY       112723101     163     9,691 SH    -- SOLE           1       9,691         --       --
BROOKFIELD PROPERTIES
   CORP                  EQUITY       112900105      97     5,003 SH    -- OTHER          1          --      5,003       --
BROOKLINE BANCORP INC    EQUITY       11373M107     574    49,964 SH    -- SOLE           1      49,964         --       --
BROOKS AUTOMATION INC    EQUITY       114340102     547    56,247 SH    -- SOLE           1      56,247         --       --
BROOKS AUTOMATION INC
   NEW                   EQUITY       114340102   1,175   120,900 SH    -- SOLE           2     120,900         --       --
BROWN & BROWN INC        EQUITY       115236101   4,736   272,491 SH    -- SOLE           1     272,491         --       --
BROWN FORMAN CORP        EQUITY       115637209       7       101 SH    -- SOLE           2         101         --       --
BROWN SHOE COMANY, INC.  EQUITY       115736100     569    37,757 SH    -- SOLE           1      37,757         --       --
BROWN-FORMAN CORP CLASS
   B                     EQUITY       115637209   2,416    36,479 SH    -- SOLE           1      36,479         --       --
BRT REALTY TRUST         EQUITY       055645303      89     6,343 SH    -- SOLE           1       6,343         --       --
BRUKER CORP              EQUITY       116794108     858    55,742 SH    -- SOLE           1      55,742         --       --
BRUNSWICK CORP           EQUITY       117043109       2       105 SH    -- SOLE           2         105         --       --
BRUNSWICK CORP.          EQUITY       117043109     831    52,051 SH    -- SOLE           1      52,051         --       --
BRUSH ENGINEERED
   MATERIALS             EQUITY       117421107     447    17,416 SH    -- SOLE           1      17,416         --       --
BRYN MAWR BK CORP COM    EQUITY       117665109      96     4,428 SH    -- DEFINED        4          --         --    4,428
BUCKEYE PARTNERS L P
   UNIT LTD PARTN        EQUITY       118230101     248     5,387 SH    -- DEFINED        4          --         --    5,387
BUCKEYE TECHNOLOGIES INC EQUITY       118255108     364    32,598 SH    -- SOLE           1      32,598         --       --
BUCKLE INC COM           EQUITY       118440106      25       562 SH    -- DEFINED        4          --         --      562
BUCKLE INC COM           EQUITY       118440106      43       952 SH    -- DEFINED        5          --         --      952
BUCKLE, INC.             EQUITY       118440106     539    12,046 SH    -- SOLE           1      12,046         --       --
BUCYRUS INTERNATIONAL
   INC-A                 EQUITY       118759109   4,440    43,675 SH    -- SOLE           1      43,675         --       --
BUCYRUS INTL INC NEW CL
   A                     EQUITY       118759109   6,729    66,200 SH    -- SOLE           3      32,800         --   33,400
BUCYRUS INTL INC NEW CL
   A                     EQUITY       118759109   1,021    10,046 SH    -- DEFINED        4          --         --   10,046
BUCYRUS INTL INC NEW CL
   A                     EQUITY       118759109       6        55 SH    -- DEFINED        5          --         --       55
BUFFALO WILD WINGS INC   EQUITY       119848109     322    13,145 SH    -- SOLE           1      13,145         --       --
BUILD-A-BEAR WORKSHOP
   INC                   EQUITY       120076104     122    13,456 SH    -- SOLE           1      13,456         --       --
BUILDERS FIRSTSOURCE INC EQUITY       12008R107      95    13,110 SH    -- SOLE           1      13,110         --       --
BUILDING MATERIAL
   HOLDING CORP          EQUITY       120113105     110    25,217 SH    -- SOLE           1      25,217         --       --
BUILDING MATLS HLDG
   CORP COM              EQUITY       120113105       2       484 SH    -- DEFINED        5          --         --      484
BUNGE LIMITED COM        EQUITY       G16962105       7        76 SH    -- DEFINED        4          --         --       76
BUNGE LIMITED COM        EQUITY       G16962105      20       230 SH    -- DEFINED        5          --         --      230
BURGER KING HOLDINGS INC EQUITY       121208201      27       989 SH    -- SOLE           1         989         --       --
BURLINGTON NORTHERN
   SANTA FE              EQUITY       12189T104  11,228   121,754 SH    -- SOLE           1     121,754         --       --
BURLINGTON NORTHN SANTA
   FE                    EQUITY       12189T104      33       354 SH    -- SOLE           2         354         --       --
BURLINGTON NORTHN SANTA
   FE C COM              EQUITY       12189T104       6        63 SH    -- DEFINED        4          --         --       63
BURLINGTON NORTHN SANTA
   FE C COM              EQUITY       12189T104     265     2,871 SH    -- DEFINED        5          --         --    2,871





                                                                                  
C H ROBINSON WORLDWIDE
   INC                   EQUITY       12541W209      11       205 SH    -- SOLE           2         205         --       --
C. R. BARD, INC.         EQUITY       067383109   4,166    43,218 SH    -- SOLE           1      43,218         --       --
C.H. ROBINSON WORLDWIDE
   INC                   EQUITY       12541W209   4,473    82,226 SH    -- SOLE           1      82,226         --       --
CA INC                   EQUITY       12673P105   3,866   171,826 SH    -- SOLE           1     171,826         --       --
CA INC                   EQUITY       12673P105      10       466 SH    -- SOLE           2         466         --       --
CA INC COM               EQUITY       12673P105       7       322 SH    -- DEFINED        5          --         --      322
CABELAS INC COM          EQUITY       126804301       3       200 SH    -- DEFINED        5          --         --      200
CABELA'S INC-CL A        EQUITY       126804301     472    33,350 SH    -- SOLE           1      33,350         --       --
CABLEVISION SYSTEMS CORP EQUITY       12686C109     144     6,723 SH    -- SOLE           1       6,723         --       --
CABOT CORP.              EQUITY       127055101   4,395   156,949 SH    -- SOLE           1     156,949         --       --
CABOT MICROELECTRONICS
   CORP                  EQUITY       12709P103     656    20,411 SH    -- SOLE           1      20,411         --       --
CABOT MICROELECTRONICS
   CORP COM              EQUITY       12709P103       3        81 SH    -- DEFINED        5          --         --       81
CABOT OIL & GAS CORP.,
   CLASS A               EQUITY       127097103     153     3,008 SH    -- SOLE           1       3,008         --       --
CABOT OIL + GAS CORP     EQUITY       127097103     549    10,800 SH    -- SOLE           2      10,800         --       --
CACHE INC                EQUITY       127150308      97     8,623 SH    -- SOLE           1       8,623         --       --
CACI INTERNATIONAL       EQUITY       127190304   1,208    26,512 SH    -- SOLE           1      26,512         --       --
CACI INTL INC            EQUITY       127190304     501    11,000 SH    -- SOLE           2      11,000         --       --
CACI INTL INC CL A       EQUITY       127190304       2        40 SH    -- DEFINED        5          --         --       40
CADBURY SCHWEPPES PLC
   ADR                   EQUITY       127209302       6       132 SH    -- DEFINED        5          --         --      132
CADENCE DESIGN SYSTEMS,
   INC.                  EQUITY       127387108   7,443   696,864 SH    -- SOLE           1     696,864         --       --
CADENCE PHARMACEUTICALS
   INC                   EQUITY       12738T100     109    18,265 SH    -- SOLE           1      18,265         --       --
CADIZ INC                EQUITY       127537207     157    10,200 SH    -- SOLE           1      10,200         --       --
CAE INC                  EQUITY       124765108      68     5,996 SH    -- OTHER          1          --      5,996       --
CAKTRONICS INC           EQUITY       234264109     488    27,269 SH    -- SOLE           1      27,269         --       --
CAL DIVE INTERNATIONAL
   INC                   EQUITY       12802T101   3,787   364,817 SH    -- SOLE           1     364,817         --       --
CAL MAINE FOODS INC      EQUITY       128030202  14,353   430,000 SH    -- SOLE           2     430,000         --       --
CALAMOS ASSET
   MANAGEMENT-A          EQUITY       12811R104     281    17,244 SH    -- SOLE           1      17,244         --       --
CALAMOS CONV & HIGH
   INCOME F COM SHS      EQUITY       12811P108      62     4,900 SH    -- DEFINED        4          --         --    4,900
CALAMOS CONV & HIGH
   INCOME F COM SHS      EQUITY       12811P108     709    55,973 SH    -- DEFINED        5          --         --   55,973
CALAMOS CONV OPP AND
   INC FD SH BEN INT     EQUITY       128117108      11       829 SH    -- DEFINED        4          --         --      829
CALAMOS CONV OPP AND
   INC FD SH BEN INT     EQUITY       128117108     374    27,267 SH    -- DEFINED        5          --         --   27,267
CALAMOS STRATEGIC TOTL
   RETN COM SH BEN INT   EQUITY       128125101      77     6,349 SH    -- DEFINED        4          --         --    6,349
CALAMOS STRATEGIC TOTL
   RETN COM SH BEN INT   EQUITY       128125101      17     1,404 SH    -- DEFINED        5          --         --    1,404
CALAVO GROWERS INC COM   EQUITY       128246105   1,547    89,000 SH    -- SOLE           3      89,000         --       --
CALGON CARBON CORP COM   EQUITY       129603106      10       666 SH    -- DEFINED        5          --         --      666
CALGON CARBON CORP.      EQUITY       129603106     519    34,480 SH    -- SOLE           1      34,480         --       --
CALIFORNIA PIZZA
   KITCHEN INC           EQUITY       13054D109     288    21,988 SH    -- SOLE           1      21,988         --       --
CALIFORNIA WATER
   SERVICE GROUP         EQUITY       130788102     641    16,790 SH    -- SOLE           1      16,790         --       --
CALIFORNIA WTR SVC
   GROUP COM             EQUITY       130788102       9       247 SH    -- DEFINED        4          --         --      247
CALLAWAY GOLF CO.        EQUITY       131193104   3,141   213,969 SH    -- SOLE           1     213,969         --       --
CALLON PETROLEUM CO.     EQUITY       13123X102     322    17,803 SH    -- SOLE           1      17,803         --       --
CAL-MAINE FOODS INC      EQUITY       128030202     361    10,812 SH    -- SOLE           1      10,812         --       --
CALPINE CORP             EQUITY       131347304     720    39,083 SH    -- SOLE           2      39,083         --       --
CALPINE CORP COM NEW
   ADDED                 EQUITY       131347304       8       450 SH    -- DEFINED        5          --         --      450
CALPINE CORP/NEW         EQUITY       131347304  17,203   929,023 SH    -- SOLE           1     929,023         --       --
CAMBREX CORP.            EQUITY       132011107     170    24,598 SH    -- SOLE           1      24,598         --       --
CAMDEN PROPERTY TRUST    EQUITY       133131102   3,361    66,948 SH    -- SOLE           1      66,948         --       --
CAMECO CORP              EQUITY       13321L108   3,535   107,190 SH    -- OTHER          1          --    107,190       --
CAMECO CORP COM          EQUITY       13321L108      21       652 SH    -- DEFINED        4          --         --      652
CAMECO CORP COM          EQUITY       13321L108     115     3,500 SH    -- DEFINED        5          --         --    3,500
CAMERON INTERNATIONAL
   CORP                  EQUITY       13342B105   3,925    94,251 SH    -- SOLE           1      94,251         --       --
CAMERON INTERNATIONAL
   CORP COM              EQUITY       13342B105      88     2,113 SH    -- DEFINED        4          --         --    2,113
CAMERON INTL CORP        EQUITY       13342B105   2,901    69,661 SH    -- SOLE           2      69,661         --       --
CAMERON INTL CORP COM    EQUITY       13342B105   2,927    70,300 SH    -- SOLE           3      15,900         --   54,400
CAMPBELL SOUP CO         EQUITY       134429109     708    20,864 SH    -- SOLE           2      20,864         --       --
CAMPBELL SOUP CO COM     EQUITY       134429109      27       800 SH    -- DEFINED        4          --         --      800





                                                                                  
CAMPBELL SOUP CO COM     EQUITY       134429109       2        50 SH    -- DEFINED        5          --         --       50
CAMPBELL SOUP CO.        EQUITY       134429109  10,126   298,271 SH    -- SOLE           1     298,271         --       --
CANADIAN IMPERIAL BANK
   OF COMMERCE           EQUITY       136069101   5,850    90,836 SH    -- OTHER          1          --     90,836       --
CANADIAN NATIONAL
   RAILWAY               EQUITY       136375102   6,705   138,300 SH    -- OTHER          1          --    138,300       --
CANADIAN NATL RY CO COM  EQUITY       136375102      27       565 SH    -- DEFINED        5          --         --      565
CANADIAN NATURAL
   RESORUCES             EQUITY       136385101  11,752   171,713 SH    -- OTHER          1          --    171,713       --
CANADIAN PAC RY LTD COM  EQUITY       13645T100      10       150 SH    -- DEFINED        4          --         --      150
CANADIAN PAC RY LTD COM  EQUITY       13645T100      13       200 SH    -- DEFINED        5          --         --      200
CANADIAN PACIFIC
   RAILWAY LTD           EQUITY       13645T100   2,294    35,660 SH    -- OTHER          1          --     35,660       --
CANADIAN SOLAR INC       EQUITY       136635109     479    22,900 SH    -- SOLE           1      22,900         --       --
CANADIAN SOLAR INC COM
   (F)                   EQUITY       136635109   1,768    84,600 SH    -- SOLE           3      84,600         --       --
CANTEL MEDICAL CORP      EQUITY       138098108     110    10,379 SH    -- SOLE           1      10,379         --       --
CAPELLA EDUCATION CO     EQUITY       139594105     503     9,217 SH    -- SOLE           1       9,217         --       --
CAPELLA EDUCATION CO     EQUITY       139594105     560    10,250 SH    -- SOLE           2      10,250         --       --
CAPITAL CITY BANK
   GROUP, INC.           EQUITY       139674105     296    10,223 SH    -- SOLE           1      10,223         --       --
CAPITAL CORP OF THE WEST EQUITY       140065202      66     8,191 SH    -- SOLE           1       8,191         --       --
CAPITAL ONE FINANCIAL
   CORP.                 EQUITY       14040H105  10,730   217,999 SH    -- SOLE           1     217,999         --       --
CAPITAL ONE FINL CORP    EQUITY       14040H105     162     3,296 SH    -- SOLE           2       3,296         --       --
CAPITAL ONE FINL CORP
   COM                   EQUITY       14040H105     300     6,090 SH    -- DEFINED        5          --         --    6,090
CAPITAL SENIOR LIVING
   CORP                  EQUITY       140475104     160    19,917 SH    -- SOLE           1      19,917         --       --
CAPITAL SOUTHWEST CORP   EQUITY       140501107     323     2,610 SH    -- SOLE           1       2,610         --       --
CAPITALSOURCE INC        EQUITY       14055X102      40     4,155 SH    -- SOLE           1       4,155         --       --
CAPITALSOURCE INC COM    EQUITY       14055X102     860    88,890 SH    -- DEFINED        5          --         --   88,890
CAPITOL BANCORP LTD      EQUITY       14056D105     258    12,221 SH    -- SOLE           1      12,221         --       --
CAPITOL BANCORP LTD COM  EQUITY       14056D105      24     1,125 SH    -- DEFINED        4          --         --    1,125
CAPITOL BANCORP LTD COM  EQUITY       14056D105      11       500 SH    -- DEFINED        5          --         --      500
CAPITOL FED FINL COM     EQUITY       14057C106      22       574 SH    -- DEFINED        5          --         --      574
CAPITOL FEDERAL
   FINANCIAL             EQUITY       14057C106      22       593 SH    -- SOLE           1         593         --       --
CAPSTEAD MTG CORP COM
   NO PAR                EQUITY       14067E506       1       100 SH    -- DEFINED        5          --         --      100
CAPSTEAD MTG CORP PFD B
   CV $1.26              EQUITY       14067E308      10       900 SH    -- DEFINED        5          --         --      900
CARACO PHARM LABS INC    EQUITY       14075T107     164     9,111 SH    -- SOLE           1       9,111         --       --
CARBO CERAMICS INC       EQUITY       140781105     698    17,401 SH    -- SOLE           1      17,401         --       --
CARDICA INC COM          EQUITY       14141R101       3       400 SH    -- DEFINED        5          --         --      400
CARDINAL HEALTH INC      EQUITY       14149Y108  10,891   207,403 SH    -- SOLE           1     207,403         --       --
CARDINAL HEALTH INC      EQUITY       14149Y108   5,648   107,556 SH    -- SOLE           2     107,556         --       --
CARDINAL HEALTH INC COM  EQUITY       14149Y108      88     1,672 SH    -- DEFINED        5          --         --    1,672
CARDTRONICS INC          EQUITY       14161H108      72    10,290 SH    -- SOLE           1      10,290         --       --
CARDTRONICS INC          EQUITY       14161H108   2,210   317,018 SH    -- SOLE           2     317,018         --       --
CAREER EDUCATION CORP    EQUITY       141665109   2,750   216,223 SH    -- SOLE           1     216,223         --       --
CAREER EDUCATION CORP
   COM                   EQUITY       141665109       4       350 SH    -- DEFINED        4          --         --      350
CARLISLE COS INC.        EQUITY       142339100   4,806   143,719 SH    -- SOLE           1     143,719         --       --
CARMAX INC               EQUITY       143130102  10,136   521,934 SH    -- SOLE           1     521,934         --       --
CARMAX INC               EQUITY       143130102     107     5,530 SH    -- SOLE           2       5,530         --       --
CARMAX INC COM           EQUITY       143130102       4       200 SH    -- DEFINED        5          --         --      200
CARMIKE CINEMAS INC      EQUITY       143436400     111    10,796 SH    -- SOLE           1      10,796         --       --
CARNIVAL CORP            EQUITY       143658300   7,316   180,725 SH    -- SOLE           1     180,725         --       --
CARNIVAL CORP            EQUITY       143658300   2,536    62,640 SH    -- SOLE           2      62,640         --       --
CARPENTER TECHNOLOGY
   CORP.                 EQUITY       144285103   6,624   118,346 SH    -- SOLE           1     118,346         --       --
CARRIZO OIL & GAS INC    EQUITY       144577103   2,216    37,394 SH    -- SOLE           1      37,394         --       --
CARRIZO OIL & INC COM    EQUITY       144577103     427     7,200 SH    -- SOLE           3       7,200         --       --
CARROLS RESTAURANT
   GROUP INC             EQUITY       14574X104      76     8,526 SH    -- SOLE           1       8,526         --       --
CARTER INC               EQUITY       146229109   1,951   120,810 SH    -- SOLE           1     120,810         --       --
CASCADE BANCORP          EQUITY       147154108     184    19,268 SH    -- SOLE           1      19,268         --       --
CASCADE BANCORP COM      EQUITY       147154108      14     1,500 SH    -- DEFINED        5          --         --    1,500
CASCADE CORP             EQUITY       147195101     500    10,132 SH    -- SOLE           1      10,132         --       --
CASELLA WASTE SYSTEMS,
   INC.                  EQUITY       147448104     213    19,505 SH    -- SOLE           1      19,505         --       --





                                                                                  
CASEYS GENERAL STORES,
   INC.                  EQUITY       147528103     980    43,344 SH    -- SOLE           1      43,344         --       --
CASH AMERICA
   INTERNATIONAL         EQUITY       14754D100     927    25,478 SH    -- SOLE           1      25,478         --       --
CASS INFORMATION
   SYSTEMS INC           EQUITY       14808P109     188     5,966 SH    -- SOLE           1       5,966         --       --
CASTLE A. M.  & CO.      EQUITY       148411101     326    12,081 SH    -- SOLE           1      12,081         --       --
CASUAL MALE RETAIL
   GROUP INC             EQUITY       148711104     130    30,993 SH    -- SOLE           1      30,993         --       --
CASUAL MALE RETAIL GRP
   COM                   EQUITY       148711104     574   136,600 SH    -- SOLE           3     136,600         --       --
CATERPILLAR INC          EQUITY       149123101   1,573    20,086 SH    -- SOLE           2      20,086         --       --
CATERPILLAR INC DEL COM  EQUITY       149123101     964    12,312 SH    -- DEFINED        4          --         --   12,312
CATERPILLAR INC DEL COM  EQUITY       149123101     136     1,735 SH    -- DEFINED        5          --         --    1,735
CATERPILLAR, INC.        EQUITY       149123101  51,526   658,148 SH    -- SOLE           1     658,148         --       --
CATHAY GENERAL BANCORP
   INC.                  EQUITY       149150104   3,333   160,805 SH    -- SOLE           1     160,805         --       --
CATO CORP. CLASS A       EQUITY       149205106     383    25,636 SH    -- SOLE           1      25,636         --       --
CAVIUM NETWORKS INC      EQUITY       14965A101      95     5,795 SH    -- SOLE           1       5,795         --       --
CAVIUM NETWORKS INC COM  EQUITY       14965A101       2       100 SH    -- DEFINED        5          --         --      100
CB RICHARD ELLIS GROUP
   INC                   EQUITY       12497T101       5       208 SH    -- SOLE           2         208         --       --
CB RICHARD ELLIS GROUP
   INC CL A              EQUITY       12497T101       7       326 SH    -- DEFINED        5          --         --      326
CB RICHARD ELLIS GROUP
   INC-A                 EQUITY       12497T101   1,593    73,623 SH    -- SOLE           1      73,623         --       --
CBEYOND INC              EQUITY       149847105     333    17,706 SH    -- SOLE           1      17,706         --       --
CBIZ INC                 EQUITY       124805102     331    40,711 SH    -- SOLE           1      40,711         --       --
CBRE REALTY FINANCE INC  EQUITY       12498B307     101    25,000 SH    -- SOLE           1      25,000         --       --
CBRL GROUP INC COM       EQUITY       12489V106       4       100 SH    -- DEFINED        5          --         --      100
CBRL GROUP, INC.         EQUITY       12489V106   2,554    71,394 SH    -- SOLE           1      71,394         --       --
CBS CORP CLASS B         EQUITY       124857202   3,988   180,614 SH    -- SOLE           2     180,614         --       --
CBS CORP NEW CL B        EQUITY       124857202      47     2,138 SH    -- DEFINED        4          --         --    2,138
CBS CORP NEW CL B        EQUITY       124857202      10       466 SH    -- DEFINED        5          --         --      466
CBS CORP-CL B            EQUITY       124857202  10,947   495,777 SH    -- SOLE           1     495,777         --       --
CDI CORP.                EQUITY       125071100     277    11,075 SH    -- SOLE           1      11,075         --       --
CEC ENTERTAINMENT, INC.  EQUITY       125137109     582    20,136 SH    -- SOLE           1      20,136         --       --
CEC ENTMT INC COM        EQUITY       125137109       3       100 SH    -- DEFINED        5          --         --      100
CEDAR FAIR L P
   DEPOSITRY UNIT        EQUITY       150185106      23     1,000 SH    -- DEFINED        5          --         --    1,000
CELADON GROUP INC        EQUITY       150838100     181    18,748 SH    -- SOLE           1      18,748         --       --
CELANESE CORP DE         EQUITY       150870103     176     4,500 SH    -- SOLE           2       4,500         --       --
CELANESE CORP DEL COM
   SER A                 EQUITY       150870103      11       287 SH    -- DEFINED        5          --         --      287
CELANESE CORP-SERIES A   EQUITY       150870103     960    24,590 SH    -- SOLE           1      24,590         --       --
CELESTICA INC            EQUITY       15101Q108     438    65,602 SH    -- OTHER          1          --     65,602       --
CELGENE CORP             EQUITY       151020104  19,306   314,999 SH    -- SOLE           1     314,999         --       --
CELGENE CORP             EQUITY       151020104   5,520    90,060 SH    -- SOLE           2      90,060         --       --
CELGENE CORP COM         EQUITY       151020104      29       478 SH    -- DEFINED        4          --         --      478
CELGENE CORP COM         EQUITY       151020104      27       439 SH    -- DEFINED        5          --         --      439
CELL GENESYS INC COM     EQUITY       150921104       2     1,016 SH    -- DEFINED        4          --         --    1,016
CELL GENESYS INC COM     EQUITY       150921104      59    25,000 SH    -- DEFINED        5          --         --   25,000
CELL GENESYS, INC.       EQUITY       150921104     157    66,983 SH    -- SOLE           1      66,983         --       --
CEL-SCI CORP COM NEW     EQUITY       150837409       1     1,500 SH    -- DEFINED        5          --         --    1,500
CEMEX SAB DE CV SPON
   ADR NEW               EQUITY       151290889      62     2,388 SH    -- DEFINED        4          --         --    2,388
CEMEX SAB DE CV SPON
   ADR NEW               EQUITY       151290889      86     3,277 SH    -- DEFINED        5          --         --    3,277
CENTENE CORP DEL         EQUITY       15135B101     522    37,417 SH    -- SOLE           1      37,417         --       --
CENTENE CORP DEL COM     EQUITY       15135B101       1        72 SH    -- DEFINED        5          --         --       72
CENTENNIAL BANK
   HOLDINGS INC          EQUITY       151345303     275    43,730 SH    -- SOLE           1      43,730         --       --
CENTENNIAL CELLULAR
   CORP.                 EQUITY       15133V208     617   104,381 SH    -- SOLE           1     104,381         --       --
CENTER FINANCIAL CORP    EQUITY       15146E102      78     8,623 SH    -- SOLE           1       8,623         --       --
CENTERLINE HOLDING CO    EQUITY       15188T108     177    43,689 SH    -- SOLE           1      43,689         --       --
CENTERPLATE INC UNIT
   99/99/9999            EQUITY       15200E204      78     7,950 SH    -- DEFINED        5          --         --    7,950
CENTERPOINT ENERGY INC   EQUITY       15189T107   2,036   142,701 SH    -- SOLE           1     142,701         --       --
CENTERPOINT ENERGY INC   EQUITY       15189T107     158    11,101 SH    -- SOLE           2      11,101         --       --
CENTERPOINT ENERGY INC
   COM                   EQUITY       15189T107       4       274 SH    -- DEFINED        4          --         --      274
CENTERPOINT ENERGY INC
   COM                   EQUITY       15189T107      26     1,803 SH    -- DEFINED        5          --         --    1,803





                                                                                  
CENTEX CORP.             EQUITY       152312104   1,395    57,612 SH    -- SOLE           1      57,612         --       --
CENTRAL EURO
   DISTRIBUTION CP       EQUITY       153435102   1,764    30,319 SH    -- SOLE           1      30,319         --       --
CENTRAL EUROPEAN DISTR
   COR                   EQUITY       153435102   1,047    18,000 SH    -- SOLE           2      18,000         --       --
CENTRAL GARDEN AND PET
   CO                    EQUITY       153527205     266    59,918 SH    -- SOLE           1      59,918         --       --
CENTRAL PACIFIC
   FINANCIAL CO          EQUITY       154760102     465    24,672 SH    -- SOLE           1      24,672         --       --
CENTRAL VT PUB SVC CORP
   COM                   EQUITY       155771108     209     8,739 SH    -- SOLE           1       8,739         --       --
CENTRAL VT PUB SVC CORP
   COM                   EQUITY       155771108      48     2,000 SH    -- DEFINED        5          --         --    2,000
CENTURY ALUMINUM CO.     EQUITY       156431108   1,662    25,084 SH    -- SOLE           1      25,084         --       --
CENTURYTEL INC           EQUITY       156700106     140     4,217 SH    -- SOLE           2       4,217         --       --
CENTURYTEL, INC.         EQUITY       156700106   4,458   134,103 SH    -- SOLE           1     134,103         --       --
CENVEO INC               EQUITY       15670S105     482    46,057 SH    -- SOLE           1      46,057         --       --
CEPHALON INC             EQUITY       156708109  14,927   231,786 SH    -- SOLE           1     231,786         --       --
CEPHALON INC COM         EQUITY       156708109      27       417 SH    -- DEFINED        4          --         --      417
CEPHEID                  EQUITY       15670R107   2,131    87,365 SH    -- SOLE           1      87,365         --       --
CEPHEID COM              EQUITY       15670R107     488    20,000 SH    -- SOLE           3      20,000         --       --
CERADYNE INC             EQUITY       156710105     746    23,330 SH    -- SOLE           1      23,330         --       --
CERADYNE INC COM         EQUITY       156710105      10       300 SH    -- DEFINED        5          --         --      300
CERAGON NETWORKS LTD
   ORD (F)               EQUITY       M22013102   1,558   164,900 SH    -- SOLE           3     164,900         --       --
CERNER CORP              EQUITY       156782104   5,946   159,509 SH    -- SOLE           1     159,509         --       --
CERNER CORP COM          EQUITY       156782104      19       500 SH    -- DEFINED        5          --         --      500
CEVA INC COM             EQUITY       157210105   1,461   191,000 SH    -- SOLE           3     191,000         --       --
CF INDS HLDGS INC        EQUITY       125269100     150     1,450 SH    -- SOLE           2       1,450         --       --
CF INDUSTRIES HOLDINGS
   INC                   EQUITY       125269100  16,798   162,109 SH    -- SOLE           1     162,109         --       --
CGI GROUP INC            EQUITY       39945C109     768    72,883 SH    -- OTHER          1          --     72,883       --
CH ENERGY GROUP INC.     EQUITY       12541M102   2,285    58,733 SH    -- SOLE           1      58,733         --       --
CHAMPION ENTERPRISES
   INC COM               EQUITY       158496109       1       100 SH    -- DEFINED        5          --         --      100
CHAMPION ENTERPRISES,
   INC.                  EQUITY       158496109     661    65,854 SH    -- SOLE           1      65,854         --       --
CHARLES RIVER
   LABORATORIES          EQUITY       159864107   9,640   163,555 SH    -- SOLE           1     163,555         --       --
CHARLES SCHWAB CORP.     EQUITY       808513105  25,585 1,358,746 SH    -- SOLE           1   1,358,746         --       --
CHARLOTTE RUSSE HOLDING
   INC                   EQUITY       161048103     377    21,727 SH    -- SOLE           1      21,727         --       --
CHARMING SHOPPES, INC.   EQUITY       161133103   1,820   376,898 SH    -- SOLE           1     376,898         --       --
CHART INDS INC COM PAR
   $0.01                 EQUITY       16115Q308     443    13,100 SH    -- SOLE           3      13,100         --       --
CHART INDUSTRIES INC     EQUITY       16115Q308   1,261    37,278 SH    -- SOLE           1      37,278         --       --
CHARTER COMMUNICATIONS
   INC CLASS A           EQUITY       16117M107     299   350,611 SH    -- SOLE           1     350,611         --       --
CHARTWELL DIVD & INCOME
   FD I COM              EQUITY       16139P104       7     1,000 SH    -- DEFINED        5          --         --    1,000
CHASE CORP COM           EQUITY       16150R104      13       700 SH    -- DEFINED        5          --         --      700
CHATTEM INC              EQUITY       162456107     966    14,554 SH    -- SOLE           1      14,554         --       --
CHATTEM INC              EQUITY       162456107     458     6,900 SH    -- SOLE           2       6,900         --       --
CHECK POINT SOFTWARE
   TECH LT ORD           EQUITY       M22465104       3       138 SH    -- DEFINED        5          --         --      138
CHECKPOINT SYSTEMS, INC. EQUITY       162825103     908    33,830 SH    -- SOLE           1      33,830         --       --
CHEESECAKE FACTORY       EQUITY       163072101   3,558   163,300 SH    -- SOLE           1     163,300         --       --
CHEESECAKE FACTORY INC
   COM                   EQUITY       163072101       2       100 SH    -- DEFINED        5          --         --      100
CHEMED CORP.             EQUITY       16359R103     866    20,517 SH    -- SOLE           1      20,517         --       --
CHEMICAL FINANCIAL CORP. EQUITY       163731102     508    21,289 SH    -- SOLE           1      21,289         --       --
CHEMTURA CORP            EQUITY       163893100   4,274   582,344 SH    -- SOLE           1     582,344         --       --
CHENIERE ENERGY INC      EQUITY       16411R208      18       891 SH    -- SOLE           1         891         --       --
CHENIERE ENERGY INC COM
   NEW                   EQUITY       16411R208       2       100 SH    -- DEFINED        5          --         --      100
CHENIERE ENERGY
   PARTNERS LP COM UNIT  EQUITY       16411Q101       9       600 SH    -- DEFINED        5          --         --      600
CHEROKEE INC DEL NEW     EQUITY       16444H102     217     6,434 SH    -- SOLE           1       6,434         --       --
CHESAPEAKE CORP.         EQUITY       165159104      82    17,085 SH    -- SOLE           1      17,085         --       --
CHESAPEAKE ENERGY CORP   EQUITY       165167107      25       547 SH    -- SOLE           2         547         --       --
CHESAPEAKE ENERGY CORP
   COM                   EQUITY       165167107      96     2,081 SH    -- DEFINED        4          --         --    2,081
CHESAPEAKE ENERGY CORP
   COM                   EQUITY       165167107     189     4,103 SH    -- DEFINED        5          --         --    4,103
CHESAPEAKE ENERGY CORP.  EQUITY       165167107  19,354   419,361 SH    -- SOLE           1     419,361         --       --
CHEVRON CORP             EQUITY       166764100  29,745   348,460 SH    -- SOLE           2     348,460         --       --
CHEVRON CORP NEW COM     EQUITY       166764100     822     9,633 SH    -- DEFINED        4          --         --    9,633





                                                                                  
CHEVRON CORP NEW COM     EQUITY       166764100   1,153    13,505 SH    -- DEFINED        5          --         --   13,505
CHEVRON CORPORATION      EQUITY       166764100 187,384 2,195,220 SH    -- SOLE           1   2,195,220         --       --
CHICAGO BRIDGE & IRON
   CO N V N Y REGISTRY
   SH                    EQUITY       167250109       7       185 SH    -- DEFINED        5          --         --      185
CHICAGO BRIDGE & IRON
   CO NV                 EQUITY       167250109     749    19,100 SH    -- SOLE           1      19,100         --       --
CHICAGO BRIDGE & IRON N
   Y REGI                EQUITY       167250109   5,513   140,500 SH    -- SOLE           3      60,800         --   79,700
CHICOS FAS INC COM       EQUITY       168615102       1       200 SH    -- DEFINED        4          --         --      200
CHICOS FAS INC COM       EQUITY       168615102     169    23,715 SH    -- DEFINED        5          --         --   23,715
CHICOS'S FAS INC.        EQUITY       168615102   2,979   418,957 SH    -- SOLE           1     418,957         --       --
CHILDREN'S PLACE, INC.   EQUITY       168905107     474    19,299 SH    -- SOLE           1      19,299         --       --
CHIMERA INVESTMENT CORP  EQUITY       16934Q109     352    28,597 SH    -- SOLE           1      28,597         --       --
CHINA ARCHITECTURAL
   ENGINEERING INC       EQUITY       16937S102      24     4,384 SH    -- SOLE           1       4,384         --       --
CHINA BAK BATTERY INC
   COM                   EQUITY       16936Y100       1       300 SH    -- DEFINED        5          --         --      300
CHINA DIRECT INC COM     EQUITY       169384104       8     1,000 SH    -- DEFINED        5          --         --    1,000
CHINA LIFE INS CO LTD
   SPON ADR REP H        EQUITY       16939P106      17       319 SH    -- DEFINED        5          --         --      319
CHINA MOBILE LIMITED
   SPONSORED ADR         EQUITY       16941M109      23       300 SH    -- DEFINED        5          --         --      300
CHINA MOBILE LTD         EQUITY       16941M109  88,528 1,180,221 SH    -- SOLE           1   1,180,221         --       --
CHINA NATURAL RESOURCES
   INC COM               EQUITY       G2110U109       9       500 SH    -- DEFINED        5          --         --      500
CHINA PETE & CHEM CORP
   SPON ADR H SHS        EQUITY       16941R108      28       324 SH    -- DEFINED        4          --         --      324
CHINA PETROLEUM &
   CHEM-ADR              EQUITY       16941R108  24,690   287,160 SH    -- SOLE           1     287,160         --       --
CHINA PRECISION STEEL
   INC COM               EQUITY       16941J106      14     3,760 SH    -- DEFINED        4          --         --    3,760
CHINA PRECISION STEEL
   INC COM               EQUITY       16941J106       2       500 SH    -- DEFINED        5          --         --      500
CHINA TECHFAITH WIRLS
   COMM T SPONSORED ADR  EQUITY       169424108       3       500 SH    -- DEFINED        5          --         --      500
CHIPOTLE MEXICAN GRILL
   INC                   EQUITY       169656204   2,731    28,130 SH    -- SOLE           1      28,130         --       --
CHIPOTLE MEXICAN GRILL
   INC                   EQUITY       169656105   8,859    78,100 SH    -- SOLE           1      78,100         --       --
CHIPOTLE MEXICAN GRILL
   INC CL A              EQUITY       169656105      50       444 SH    -- DEFINED        5          --         --      444
CHIQUITA BRANDS INTL     EQUITY       170032809     842    36,422 SH    -- SOLE           1      36,422         --       --
CHIQUITA BRANDS INTL
   INC *W EXP 03/19/200  EQUITY       170032114       1       237 SH    -- DEFINED        4          --         --      237
CHOICE HOTELS INTL INC.  EQUITY       169905106      35     1,033 SH    -- SOLE           1       1,033         --       --
CHOICEPOINT INC.         EQUITY       170388102  10,527   221,153 SH    -- SOLE           1     221,153         --       --
CHORDIANT SOFTWARE INC   EQUITY       170404305     169    28,095 SH    -- SOLE           1      28,095         --       --
CHRISTOPHER & BANKS
   CORPORATIO            EQUITY       171046105     310    31,061 SH    -- SOLE           1      31,061         --       --
CHUBB CORP               EQUITY       171232101   8,027   162,223 SH    -- SOLE           2     162,223         --       --
CHUBB CORP COM           EQUITY       171232101       2        50 SH    -- DEFINED        4          --         --       50
CHUBB CORP COM           EQUITY       171232101      12       236 SH    -- DEFINED        5          --         --      236
CHUBB CORP.              EQUITY       171232101  86,969 1,757,659 SH    -- SOLE           1   1,757,659         --       --
CHUNGHWA TELECOM CO LTD
   SPON ADR NEW ADDED    EQUITY       17133Q304      61     2,333 SH    -- DEFINED        4          --         --    2,333
CHUNGHWA TELECOM CO LTD
   SPON ADR NEW ADDED    EQUITY       17133Q304       1        39 SH    -- DEFINED        5          --         --       39
CHURCH & DWIGHT CO.,
   INC.                  EQUITY       171340102   8,670   159,853 SH    -- SOLE           1     159,853         --       --
CHURCH + DWIGHT INC      EQUITY       171340102     146     2,700 SH    -- SOLE           2       2,700         --       --
CHURCHILL DOWNS, INC.    EQUITY       171484108     383     8,108 SH    -- SOLE           1       8,108         --       --
CIA VALE DO RIO DOCE-ADR EQUITY       204412209  79,657 2,299,560 SH    -- SOLE           1   2,299,560         --       --
CIBER, INC.              EQUITY       17163B102     228    46,578 SH    -- SOLE           1      46,578         --       --
CIENA CORP               EQUITY       171779309   2,883    93,510 SH    -- SOLE           1      93,510         --       --
CIENA CORP               EQUITY       171779309       3       104 SH    -- SOLE           2         104         --       --
CIENA CORP COM NEW       EQUITY       171779309      88     2,840 SH    -- DEFINED        5          --         --    2,840
CIGNA CORP               EQUITY       125509109     228     5,615 SH    -- SOLE           2       5,615         --       --
CIGNA CORP.              EQUITY       125509109  13,395   330,167 SH    -- SOLE           1     330,167         --       --
CIMAREX ENERGY CO        EQUITY       171798101  10,865   198,486 SH    -- SOLE           1     198,486         --       --
CIMAREX ENERGY CO COM    EQUITY       171798101       6       107 SH    -- DEFINED        4          --         --      107
CINCINNATI BELL INC      EQUITY       171871106   3,416   801,779 SH    -- SOLE           1     801,779         --       --
CINCINNATI FINANCIAL
   CORP.                 EQUITY       172062101   7,828   205,777 SH    -- SOLE           1     205,777         --       --
CINCINNATI FINL CORP     EQUITY       172062101       8       198 SH    -- SOLE           2         198         --       --
CINEMARK HOLDINGS INC    EQUITY       17243V102     307    24,023 SH    -- SOLE           1      24,023         --       --
CINTAS CORP              EQUITY       172908105       4       156 SH    -- SOLE           2         156         --       --
CINTAS CORP.             EQUITY       172908105   1,915    67,112 SH    -- SOLE           1      67,112         --       --
CIRCOR INTERNATIONAL,
   INC.                  EQUITY       17273K109     649    14,040 SH    -- SOLE           1      14,040         --       --





                                                                                  
CIRCUIT CITY STORE INC
   COM                   EQUITY       172737108       2       600 SH    -- DEFINED        5          --         --      600
CIRCUIT CITY STORES,
   INC.                  EQUITY       172737108     395    99,351 SH    -- SOLE           1      99,351         --       --
CIRRUS LOGIC, INC.       EQUITY       172755100     508    75,638 SH    -- SOLE           1      75,638         --       --
CISCO SYS INC            EQUITY       17275R102  18,961   787,106 SH    -- SOLE           2     787,106         --       --
CISCO SYS INC COM        EQUITY       17275R102   1,108    46,012 SH    -- DEFINED        4          --         --   46,012
CISCO SYS INC COM        EQUITY       17275R102     625    25,964 SH    -- DEFINED        5          --         --   25,964
CISCO SYSTEMS, INC.      EQUITY       17275R102 103,825 4,309,862 SH    -- SOLE           1   4,309,862         --       --
CIT GROUP INC            EQUITY       125581108     626    52,814 SH    -- SOLE           1      52,814         --       --
CIT GROUP INC COM        EQUITY       125581108      12     1,000 SH    -- DEFINED        4          --         --    1,000
CIT GROUP INC COM        EQUITY       125581108       4       328 SH    -- DEFINED        5          --         --      328
CIT GROUP INC NEW        EQUITY       125581108      14     1,209 SH    -- SOLE           2       1,209         --       --
CITADEL BROADCASTING
   CORP                  EQUITY       17285T106     259   156,309 SH    -- SOLE           1     156,309         --       --
CITI TRENDS INC          EQUITY       17306X102   2,308   125,106 SH    -- SOLE           1     125,106         --       --
CITIGROUP INC            EQUITY       172967101  87,891 4,103,226 SH    -- SOLE           1   4,103,226         --       --
CITIGROUP INC            EQUITY       172967101  24,583 1,147,684 SH    -- SOLE           2   1,147,684         --       --
CITIGROUP INC COM        EQUITY       172967101     183     8,545 SH    -- DEFINED        4          --         --    8,545
CITIGROUP INC COM        EQUITY       172967101     461    21,537 SH    -- DEFINED        5          --         --   21,537
CITIZENS COMMUNICATIONS
   CO                    EQUITY       17453B101       4       392 SH    -- SOLE           2         392         --       --
CITIZENS COMMUNICATIONS
   CO COM                EQUITY       17453B101      57     5,428 SH    -- DEFINED        5          --         --    5,428
CITIZENS COMMUNICATIONS
   INC                   EQUITY       17453B101   1,506   143,603 SH    -- SOLE           1     143,603         --       --
CITIZENS INC             EQUITY       174740100     211    31,593 SH    -- SOLE           1      31,593         --       --
CITIZENS REPUBLIC
   BANCORP INC           EQUITY       174420109     807    64,954 SH    -- SOLE           1      64,954         --       --
CITRIX SYS INC           EQUITY       177376100       6       221 SH    -- SOLE           2         221         --       --
CITRIX SYS INC COM       EQUITY       177376100      12       400 SH    -- DEFINED        4          --         --      400
CITRIX SYSTEMS, INC.     EQUITY       177376100   2,686    91,587 SH    -- SOLE           1      91,587         --       --
CITY HOLDING CO.         EQUITY       177835105   2,058    51,586 SH    -- SOLE           1      51,586         --       --
CITY NATIONAL CORP.      EQUITY       178566105   4,821    97,465 SH    -- SOLE           1      97,465         --       --
CITY NATL CORP COM       EQUITY       178566105       5       100 SH    -- DEFINED        4          --         --      100
CITY NATL CORP COM       EQUITY       178566105       3        67 SH    -- DEFINED        5          --         --       67
CITYBANK                 EQUITY       17770A109     261    11,714 SH    -- SOLE           1      11,714         --       --
CKE RESTAURANTS INC      EQUITY       12561E105     551    49,090 SH    -- SOLE           1      49,090         --       --
CKX INC                  EQUITY       12562M106     309    32,475 SH    -- SOLE           1      32,475         --       --
CLARCOR, INC.            EQUITY       179895107   1,564    43,992 SH    -- SOLE           1      43,992         --       --
CLAYMORE ETF TRUST 2
   S&P GBL WATER         EQUITY       18383Q507       8       350 SH    -- DEFINED        4          --         --      350
CLAYMORE ETF TRUST 2
   S&P GBL WATER         EQUITY       18383Q507       2       100 SH    -- DEFINED        5          --         --      100
CLAYMORE EXCHANGE
   TRADED FD BNY BRI&C
   PTF                   EQUITY       18383M100      53     1,162 SH    -- DEFINED        4          --         --    1,162
CLAYMORE EXCHANGE
   TRADED FD BNY BRI&C
   PTF                   EQUITY       18383M100      68     1,482 SH    -- DEFINED        5          --         --    1,482
CLAYTON HOLDINGS INC     EQUITY       18418N107      48    10,286 SH    -- SOLE           1      10,286         --       --
CLAYTON WILLIAMS
   ENERGY, INC.          EQUITY       969490101     249     4,740 SH    -- SOLE           1       4,740         --       --
CLEAN ENERGY FUELS CORP  EQUITY       184499101     114     8,568 SH    -- SOLE           1       8,568         --       --
CLEAN ENERGY FUELS CORP
   COM                   EQUITY       184499101       4       300 SH    -- DEFINED        5          --         --      300
CLEAN HARBORS INC        EQUITY       184496107     924    14,222 SH    -- SOLE           1      14,222         --       --
CLEAN HBRS INC           EQUITY       184496107     306     4,700 SH    -- SOLE           2       4,700         --       --
CLEAR CHANNEL
   COMMUNICATIO          EQUITY       184502102      17       595 SH    -- SOLE           2         595         --       --
CLEAR CHANNEL
   COMMUNICATIONS        EQUITY       184502102  10,959   375,035 SH    -- SOLE           1     375,035         --       --
CLEAR CHANNEL
   COMMUNICATIONS COM    EQUITY       184502102      56     1,907 SH    -- DEFINED        4          --         --    1,907
CLEAR CHANNEL
   COMMUNICATIONS COM    EQUITY       184502102       2        55 SH    -- DEFINED        5          --         --       55
CLEAR CHANNEL OUTDOOR
   HOLDINGS INC          EQUITY       18451C109      41     2,133 SH    -- SOLE           1       2,133         --       --
CLEARWIRE CORP           EQUITY       185385309      13       889 SH    -- SOLE           1         889         --       --
CLEARWIRE CORP CL A      EQUITY       185385309       1       100 SH    -- DEFINED        4          --         --      100
CLEARWIRE CORP CL A      EQUITY       185385309       4       250 SH    -- DEFINED        5          --         --      250
CLECO CORP               EQUITY       12561W105   1,136    51,203 SH    -- SOLE           1      51,203         --       --
CLECO CORP NEW COM       EQUITY       12561W105      13       600 SH    -- DEFINED        5          --         --      600
CLEVELAND CLIFFS INC COM EQUITY       185896107   4,853    40,500 SH    -- SOLE           3      18,500         --   22,000
CLEVELAND CLIFFS INC COM EQUITY       185896107      11        91 SH    -- DEFINED        4          --         --       91
CLEVELAND CLIFFS INC COM EQUITY       185896107      12       100 SH    -- DEFINED        5          --         --      100





                                                                                  
CLEVELAND-CLIFFS, INC.   EQUITY       185896107  12,896   107,630 SH    -- SOLE           1     107,630         --       --
CLIFTON SAVINGS BANCORP
   INC                   EQUITY       18712Q103      97     9,586 SH    -- SOLE           1       9,586         --       --
CLOROX CO                EQUITY       189054109   2,368    41,816 SH    -- SOLE           2      41,816         --       --
CLOROX CO DEL COM        EQUITY       189054109      66     1,174 SH    -- DEFINED        4          --         --    1,174
CLOROX CO DEL COM        EQUITY       189054109       9       156 SH    -- DEFINED        5          --         --      156
CLOROX CO.               EQUITY       189054109   7,817   138,018 SH    -- SOLE           1     138,018         --       --
CLOUGH GLOBAL
   OPPORTUNITIES SH BEN
   INT                   EQUITY       18914E106      19     1,148 SH    -- DEFINED        4          --         --    1,148
CME GROUP INC            EQUITY       12572Q105  11,685    24,909 SH    -- SOLE           1      24,909         --       --
CME GROUP INC            EQUITY       12572Q105   2,690     5,734 SH    -- SOLE           2       5,734         --       --
CME GROUP INC COM        EQUITY       12572Q105   3,753     8,000 SH    -- SOLE           3       2,900         --    5,100
CME GROUP INC COM        EQUITY       12572Q105      21        45 SH    -- DEFINED        5          --         --       45
CMGI INC                 EQUITY       125750307     554    41,797 SH    -- SOLE           1      41,797         --       --
CMGI INC COM NEW         EQUITY       125750307       1       100 SH    -- DEFINED        4          --         --      100
CMS ENERGY CORP          EQUITY       125896100     326    24,089 SH    -- SOLE           2      24,089         --       --
CMS ENERGY CORP.         EQUITY       125896100   4,880   360,402 SH    -- SOLE           1     360,402         --       --
CNA FINANCIAL CORP       EQUITY       126117100     291    11,266 SH    -- SOLE           1      11,266         --       --
CNA SURETY CORP.         EQUITY       12612L108     218    14,188 SH    -- SOLE           1      14,188         --       --
CNET NETWORKS INC.       EQUITY       12613R104     921   129,733 SH    -- SOLE           1     129,733         --       --
CNX GAS CORP COM         EQUITY       12618H309      10       300 SH    -- DEFINED        5          --         --      300
COACH INC                EQUITY       189754104   9,805   325,219 SH    -- SOLE           1     325,219         --       --
COACH INC                EQUITY       189754104     330    10,932 SH    -- SOLE           2      10,932         --       --
COACH INC COM            EQUITY       189754104      20       650 SH    -- DEFINED        4          --         --      650
COACH INC COM            EQUITY       189754104      37     1,233 SH    -- DEFINED        5          --         --    1,233
COBIZ FINANCIAL INC      EQUITY       190897108     207    15,870 SH    -- SOLE           1      15,870         --       --
COCA COLA CO             EQUITY       191216100   2,711    44,541 SH    -- SOLE           2      44,541         --       --
COCA COLA CO COM         EQUITY       191216100     158     2,599 SH    -- DEFINED        4          --         --    2,599
COCA COLA CO COM         EQUITY       191216100     781    12,830 SH    -- DEFINED        5          --         --   12,830
COCA COLA ENTERPRISES
   INC                   EQUITY       191219104     167     6,894 SH    -- SOLE           2       6,894         --       --
COCA COLA ENTERPRISES,
   INC.                  EQUITY       191219104   4,892   202,141 SH    -- SOLE           1     202,141         --       --
COCA COLA FEMSA S A B
   DE C V SPON ADR REP L EQUITY       191241108     370     6,564 SH    -- DEFINED        4          --         --    6,564
COCA-COLA BOTTLING CO.   EQUITY       191098102     314     5,103 SH    -- SOLE           1       5,103         --       --
COCA-COLA CO.            EQUITY       191216100  75,502 1,240,377 SH    -- SOLE           1   1,240,377         --       --
COEUR D ALENE MINES
   CORP IDA COM          EQUITY       192108108       5     1,200 SH    -- DEFINED        5          --         --    1,200
COEUR D'ALENE MINES CORP EQUITY       192108108   1,701   421,062 SH    -- SOLE           1     421,062         --       --
COGENT COMMUNICATIONS
   GROUP                 EQUITY       19239V302     734    40,088 SH    -- SOLE           1      40,088         --       --
COGENT INC               EQUITY       19239Y108     352    37,357 SH    -- SOLE           1      37,357         --       --
COGNEX CORP.             EQUITY       192422103     829    37,954 SH    -- SOLE           1      37,954         --       --
COGNIZANT TECH SOLUTION  EQUITY       192446102  21,134   733,042 SH    -- SOLE           1     733,042         --       --
COGNIZANT TECHNOLOGY
   SOLUT                 EQUITY       192446102   1,394    48,345 SH    -- SOLE           2      48,345         --       --
COGNIZANT TECHNOLOGY
   SOLUTIO CL A          EQUITY       192446102      23       800 SH    -- DEFINED        5          --         --      800
COHEN & STEERS ADV INC
   RLTY COM              EQUITY       19247W102      76     4,927 SH    -- DEFINED        4          --         --    4,927
COHEN & STEERS INC       EQUITY       19247A100     397    15,002 SH    -- SOLE           1      15,002         --       --
COHEN & STEERS PREM INC
   RLTY COM              EQUITY       19247V104      29     1,850 SH    -- DEFINED        4          --         --    1,850
COHEN & STEERS QUALITY
   RLTY COM              EQUITY       19247L106      12       775 SH    -- DEFINED        4          --         --      775
COHEN & STEERS QUALITY
   RLTY COM              EQUITY       19247L106      14       900 SH    -- DEFINED        5          --         --      900
COHEN & STEERS REIT &
   PFD IN COM            EQUITY       19247X100       8       400 SH    -- DEFINED        4          --         --      400
COHEN & STEERS REIT &
   PFD IN COM            EQUITY       19247X100       8       400 SH    -- DEFINED        5          --         --      400
COHEN & STEERS REIT &
   UTIL I COM            EQUITY       19247Y108      19     1,100 SH    -- DEFINED        5          --         --    1,100
COHEN & STEERS SELECT
   UTIL F COM            EQUITY       19248A109      11       500 SH    -- DEFINED        4          --         --      500
COHEN & STEERS SELECT
   UTIL F COM            EQUITY       19248A109      11       500 SH    -- DEFINED        5          --         --      500
COHEN & STEERS TOTAL
   RETURN COM            EQUITY       19247R103       8       500 SH    -- DEFINED        4          --         --      500
COHEN & STEERS WRLDWD
   RLT IN COM            EQUITY       19248J100      42     2,850 SH    -- DEFINED        4          --         --    2,850
COHU, INC.               EQUITY       192576106     317    19,505 SH    -- SOLE           1      19,505         --       --
COINSTAR, INC            EQUITY       19259P300     671    23,859 SH    -- SOLE           1      23,859         --       --
COLDWATER CREEK INC COM  EQUITY       193068103     185    36,545 SH    -- DEFINED        5          --         --   36,545
COLDWATER CREEK, INC.    EQUITY       193068103     712   141,064 SH    -- SOLE           1     141,064         --       --





                                                                                  
COLE, K. PRODUCTIONS,
   INC. CLASS A          EQUITY       193294105     144     8,517 SH    -- SOLE           1       8,517         --       --
COLEMAN CABLE INC        EQUITY       193459302      79     7,201 SH    -- SOLE           1       7,201         --       --
COLGATE PALMOLIVE CO     EQUITY       194162103   1,693    21,727 SH    -- SOLE           2      21,727         --       --
COLGATE PALMOLIVE CO COM EQUITY       194162103     171     2,189 SH    -- DEFINED        4          --         --    2,189
COLGATE PALMOLIVE CO COM EQUITY       194162103     332     4,260 SH    -- DEFINED        5          --         --    4,260
COLGATE-PALMOLIVE CO.    EQUITY       194162103  63,785   818,700 SH    -- SOLE           1     818,700         --       --
COLLECTIVE BRANDS INC    EQUITY       19421W100   2,560   211,206 SH    -- SOLE           1     211,206         --       --
COLONIAL BANCGROUP INC
   COM                   EQUITY       195493309       5       500 SH    -- DEFINED        4          --         --      500
COLONIAL BANCGROUP, INC. EQUITY       195493309   4,488   466,087 SH    -- SOLE           1     466,087         --       --
COLONIAL PPTYS TR COM
   SH BEN INT            EQUITY       195872106      86     3,569 SH    -- DEFINED        4          --         --    3,569
COLUMBIA BANKING
   SYSTEM, INC           EQUITY       197236102     344    15,350 SH    -- SOLE           1      15,350         --       --
COLUMBIA SPORTSWEAR      EQUITY       198516106     522    11,865 SH    -- SOLE           1      11,865         --       --
COLUMBUS MCKINNON CORP
   NY                    EQUITY       199333105   4,452   143,700 SH    -- SOLE           2     143,700         --       --
COLUMBUS MCKINNON
   CORP/NY               EQUITY       199333105     501    16,156 SH    -- SOLE           1      16,156         --       --
COMCAST CORP NEW         EQUITY       20030N200     494    25,784 SH    -- SOLE           2      25,784         --       --
COMCAST CORP NEW CL A    EQUITY       20030N101      16       805 SH    -- DEFINED        4          --         --      805
COMCAST CORP NEW CL A    EQUITY       20030N101      80     4,119 SH    -- DEFINED        5          --         --    4,119
COMCAST CORP NEW CL A
   SPL                   EQUITY       20030N200       4       187 SH    -- DEFINED        4          --         --      187
COMCAST CORP NEW CL A
   SPL                   EQUITY       20030N200      57     3,006 SH    -- DEFINED        5          --         --    3,006
COMCAST CORP-CL A        EQUITY       20030N101  38,561 1,993,843 SH    -- SOLE           1   1,993,843         --       --
COMERICA INC             EQUITY       200340107       6       180 SH    -- SOLE           2         180         --       --
COMERICA INC COM         EQUITY       200340107       9       250 SH    -- DEFINED        5          --         --      250
COMERICA, INC.           EQUITY       200340107   3,602   102,674 SH    -- SOLE           1     102,674         --       --
COMFORT SYS USA INC      EQUITY       199908104     457    35,135 SH    -- SOLE           1      35,135         --       --
COMMERCE BANCSHARES      EQUITY       200525103     100     2,369 SH    -- SOLE           1       2,369         --       --
COMMERCE GROUP, INC.     EQUITY       200641108   5,216   144,636 SH    -- SOLE           1     144,636         --       --
COMMERCIAL METALS CO.    EQUITY       201723103   8,379   279,577 SH    -- SOLE           1     279,577         --       --
COMMERCIAL VEHICLE
   GROUP INC             EQUITY       202608105     182    18,357 SH    -- SOLE           1      18,357         --       --
COMMSCOPE INC            EQUITY       203372107     132     3,800 SH    -- SOLE           2       3,800         --       --
COMMSCOPE INC COM        EQUITY       203372107       3        85 SH    -- DEFINED        5          --         --       85
COMMSCOPE INC.           EQUITY       203372107   5,600   160,767 SH    -- SOLE           1     160,767         --       --
COMMUNITY BANCORP        EQUITY       20343T100     121     8,943 SH    -- SOLE           1       8,943         --       --
COMMUNITY BANK SYSTEM,
   INC.                  EQUITY       203607106     634    25,816 SH    -- SOLE           1      25,816         --       --
COMMUNITY BK SYS INC COM EQUITY       203607106      74     3,000 SH    -- DEFINED        4          --         --    3,000
COMMUNITY CAP CORP S C
   COM                   EQUITY       20363C102       2       115 SH    -- DEFINED        5          --         --      115
COMMUNITY HEALTH SYS     EQUITY       203668108   7,747   230,767 SH    -- SOLE           1     230,767         --       --
COMMUNITY HEALTH SYS
   INC NEW COM           EQUITY       203668108      10       300 SH    -- DEFINED        4          --         --      300
COMMUNITY TRUST BANCORP  EQUITY       204149108     383    13,056 SH    -- SOLE           1      13,056         --       --
COMMVAULT SYSTEMS INC    EQUITY       204166102   1,407   113,459 SH    -- SOLE           1     113,459         --       --
COMPANHIA DE BEBIDAS-PR
   ADR                   EQUITY       20441W203   8,048   106,531 SH    -- SOLE           1     106,531         --       --
COMPANHIA DE SANEAMENTO
   BASI SPONSORED ADR    EQUITY       20441A102       9       200 SH    -- DEFINED        5          --         --      200
COMPANHIA SIDERURGICA
   NACION SPONSORED ADR  EQUITY       20440W105       4       108 SH    -- DEFINED        4          --         --      108
COMPANHIA VALE DO RIO
   DOCE                  EQUITY       204412209   4,361   125,900 SH    -- SOLE           2     125,900         --       --
COMPANHIA VALE DO RIO
   DOCE CALL             OPTION       204412909       6        10--   CALL DEFINED        5          --         --       10
COMPANHIA VALE DO RIO
   DOCE SPONSORED ADR    EQUITY       204412209      63     1,820 SH    -- DEFINED        4          --         --    1,820
COMPANHIA VALE DO RIO
   DOCE SPONSORED ADR    EQUITY       204412209      89     2,580 SH    -- DEFINED        5          --         --    2,580
COMPASS DIVERSIFIED
   HOLDINGS              EQUITY       20451Q104     239    18,160 SH    -- SOLE           1      18,160         --       --
COMPASS MINERALS
   INTERNATION           EQUITY       20451N101   1,628    27,595 SH    -- SOLE           1      27,595         --       --
COMPELLENT TECHNOLOGIES
   INC                   EQUITY       20452A108      70     5,671 SH    -- SOLE           1       5,671         --       --
COMPLETE PRODUCTION
   SERVICES INC          EQUITY       20453E109     841    36,666 SH    -- SOLE           1      36,666         --       --
COMPTON PETE CORP COM    EQUITY       204940100      11     1,000 SH    -- DEFINED        5          --         --    1,000
COMPTON PETROLEUM        EQUITY       204940100     349    31,481 SH    -- OTHER          1          --     31,481       --
COMPUCREDIT CORPORATION  EQUITY       20478N100     138    15,599 SH    -- SOLE           1      15,599         --       --
COMPUTER ASSOC INTL INC
   NOTE 1.625%12/1       FIXED INCOME 204912AQ2       1         1 PRN   -- DEFINED        4          --         --        1
COMPUTER PROGRAMS & SY   EQUITY       205306103     163     7,791 SH    -- SOLE           1       7,791         --       --
COMPUTER SCIENCES CORP   EQUITY       205363104       8       196 SH    -- SOLE           2         196         --       --





                                                                                  
COMPUTER SCIENCES CORP
   COM                   EQUITY       205363104       7       178 SH    -- DEFINED        4          --         --      178
COMPUTER SCIENCES CORP
   COM                   EQUITY       205363104      13       310 SH    -- DEFINED        5          --         --      310
COMPUTER SCIENCES CORP.  EQUITY       205363104   5,420   132,866 SH    -- SOLE           1     132,866         --       --
COMPUWARE CORP           EQUITY       205638109     161    21,978 SH    -- SOLE           2      21,978         --       --
COMPUWARE CORP.          EQUITY       205638109     556    75,738 SH    -- SOLE           1      75,738         --       --
COMPX INTERNATIONAL INC. EQUITY       20563P101      10     1,040 SH    -- SOLE           1       1,040         --       --
COMSCORE INC             EQUITY       20564W105     103     5,134 SH    -- SOLE           1       5,134         --       --
COMSTOCK RES INC COM NEW EQUITY       205768203       8       200 SH    -- DEFINED        4          --         --      200
COMSTOCK RESOURCES, INC. EQUITY       205768203   1,535    38,096 SH    -- SOLE           1      38,096         --       --
COMSYS IT PARTNERS INC   EQUITY       20581E104     127    15,043 SH    -- SOLE           1      15,043         --       --
COMTECH GROUP INC        EQUITY       205821200     182    16,857 SH    -- SOLE           1      16,857         --       --
COMTECH
   TELECOMMUNICATIONS    EQUITY       205826209     775    19,863 SH    -- SOLE           1      19,863         --       --
COMTECH
   TELECOMMUNICATIONS    EQUITY       205826209     507    13,000 SH    -- SOLE           2      13,000         --       --
COMVERGE INC             EQUITY       205859101      58     5,650 SH    -- SOLE           1       5,650         --       --
CON WAY INC              EQUITY       205944101     166     3,350 SH    -- SOLE           2       3,350         --       --
CONAGRA FOODS INC COM    EQUITY       205887102      24     1,000 SH    -- DEFINED        4          --         --    1,000
CONAGRA FOODS INC COM    EQUITY       205887102      11       470 SH    -- DEFINED        5          --         --      470
CONAGRA INC              EQUITY       205887102      14       583 SH    -- SOLE           2         583         --       --
CONAGRA, INC.            EQUITY       205887102  11,679   487,630 SH    -- SOLE           1     487,630         --       --
CONCEPTUS INC            EQUITY       206016107     468    25,228 SH    -- SOLE           1      25,228         --       --
CONCHO RESOURCES INC     EQUITY       20605P101     507    19,780 SH    -- SOLE           1      19,780         --       --
CONCUR TECHNOLOGIES COM  EQUITY       206708109     379    12,200 SH    -- SOLE           3      12,200         --       --
CONCUR TECHNOLOGIES INC  EQUITY       206708109   1,898    61,132 SH    -- SOLE           1      61,132         --       --
CONEXANT SYSTEMS INC.    EQUITY       207142100     244   420,838 SH    -- SOLE           1     420,838         --       --
CONMED CORP.             EQUITY       207410101     622    24,269 SH    -- SOLE           1      24,269         --       --
CONN'S INC               EQUITY       208242107     170    10,453 SH    -- SOLE           1      10,453         --       --
CONOCOPHILLIPS           EQUITY       20825C104  26,719   350,593 SH    -- SOLE           2     350,593         --       --
CONOCOPHILLIPS COM       EQUITY       20825C104      79     1,032 SH    -- DEFINED        4          --         --    1,032
CONOCOPHILLIPS COM       EQUITY       20825C104   1,196    15,693 SH    -- DEFINED        5          --         --   15,693
CONOCOPHILLIPS
   PETROLEUM CO          EQUITY       20825C104  80,724 1,059,233 SH    -- SOLE           1   1,059,233         --       --
CONS TOMOKA LAND
   CO-FLORIDA            EQUITY       210226106     275     4,904 SH    -- SOLE           1       4,904         --       --
CONSECO INC              EQUITY       208464883      65     6,383 SH    -- SOLE           1       6,383         --       --
CONSECO INC COM NEW      EQUITY       208464883       1       115 SH    -- DEFINED        5          --         --      115
CONSOL ENERGY INC        EQUITY       20854P109   5,804    83,878 SH    -- SOLE           1      83,878         --       --
CONSOL ENERGY INC        EQUITY       20854P109      15       218 SH    -- SOLE           2         218         --       --
CONSOL ENERGY INC COM    EQUITY       20854P109   5,300    76,600 SH    -- SOLE           3      27,900         --   48,700
CONSOL ENERGY INC COM    EQUITY       20854P109     107     1,550 SH    -- DEFINED        4          --         --    1,550
CONSOL ENERGY INC COM    EQUITY       20854P109      62       900 SH    -- DEFINED        5          --         --      900
CONSOLIDATED
   COMMUNICATIONS        EQUITY       209034107     300    19,797 SH    -- SOLE           1      19,797         --       --
CONSOLIDATED EDISON INC  EQUITY       209115104      13       325 SH    -- SOLE           2         325         --       --
CONSOLIDATED EDISON INC
   COM                   EQUITY       209115104      97     2,448 SH    -- DEFINED        4          --         --    2,448
CONSOLIDATED EDISON INC
   COM                   EQUITY       209115104     191     4,800 SH    -- DEFINED        5          --         --    4,800
CONSOLIDATED EDISON,
   INC.                  EQUITY       209115104   7,288   183,567 SH    -- SOLE           1     183,567         --       --
CONSOLIDATED GRAPHICS
   INC COM               EQUITY       209341106      10       186 SH    -- DEFINED        5          --         --      186
CONSOLIDATED GRAPHICS,
   INC.                  EQUITY       209341106     409     7,302 SH    -- SOLE           1       7,302         --       --
CONSTANT CONTACT INC     EQUITY       210313102      90     6,208 SH    -- SOLE           1       6,208         --       --
CONSTANT CONTACT INC COM EQUITY       210313102       1       100 SH    -- DEFINED        5          --         --      100
CONSTELLATION BRANDS     EQUITY       21036P108   2,037   115,280 SH    -- SOLE           1     115,280         --       --
CONSTELLATION BRANDS INC EQUITY       21036P108       4       232 SH    -- SOLE           2         232         --       --
CONSTELLATION BRANDS
   INC CL A              EQUITY       21036P108      13       734 SH    -- DEFINED        5          --         --      734
CONSTELLATION ENERGY
   GROUP                 EQUITY       210371100     131     1,483 SH    -- SOLE           2       1,483         --       --
CONSTELLATION ENERGY
   GROUP I COM           EQUITY       210371100       2        22 SH    -- DEFINED        5          --         --       22
CONSTELLATION ENERGY
   GRUOP INC             EQUITY       210371100  58,423   661,865 SH    -- SOLE           1     661,865         --       --
CONTANGO OIL & GAS CO    EQUITY       21075N204     727    11,250 SH    -- SOLE           1      11,250         --       --
CONTINENTAL AIRLS INC
   COM CL B              EQUITY       210795308      77     3,984 SH    -- SOLE           1       3,984         --       --
CONTINENTAL RESOURCES
   INC COM               EQUITY       212015101      10       300 SH    -- DEFINED        4          --         --      300





                                                                                  
CONTINENTAL RESOURCES
   INC COM               EQUITY       212015101     172     5,400 SH    -- DEFINED        5          --         --    5,400
CONTINENTAL RESOURCES
   INC/OK                EQUITY       212015101   1,688    52,917 SH    -- SOLE           1      52,917         --       --
CONVERGYS CORP           EQUITY       212485106   1,765   117,187 SH    -- SOLE           1     117,187         --       --
CONVERGYS CORP           EQUITY       212485106       2       151 SH    -- SOLE           2         151         --       --
CONVERGYS CORP COM       EQUITY       212485106      19     1,290 SH    -- DEFINED        5          --         --    1,290
CON-WAY INC              EQUITY       205944101   5,405   109,239 SH    -- SOLE           1     109,239         --       --
CON-WAY INC COM          EQUITY       205944101      57     1,148 SH    -- DEFINED        5          --         --    1,148
COOPER COMPANIES, INC.   EQUITY       216648402      28       818 SH    -- SOLE           1         818         --       --
COOPER INDS LTD CL A     EQUITY       G24182100       3        86 SH    -- DEFINED        5          --         --       86
COOPER INDUSTRIES LTD    EQUITY       G24182100       8       211 SH    -- SOLE           2         211         --       --
COOPER TIRE & RUBBER CO  EQUITY       216831107     792    52,914 SH    -- SOLE           1      52,914         --       --
COPART INC COM           EQUITY       217204106       4       100 SH    -- DEFINED        5          --         --      100
COPART, INC.             EQUITY       217204106   6,420   165,630 SH    -- SOLE           1     165,630         --       --
CORE LABORATORIES N V
   COM                   EQUITY       N22717107      12       100 SH    -- DEFINED        5          --         --      100
CORE-MARK HOLDING CO INC EQUITY       218681104     226     7,867 SH    -- SOLE           1       7,867         --       --
CORINTHIAN COLLEGES INC  EQUITY       218868107   1,996   276,032 SH    -- SOLE           1     276,032         --       --
CORN PRODUCTS
   INTERNATIONAL         EQUITY       219023108   6,586   177,322 SH    -- SOLE           1     177,322         --       --
CORNELL COMPANIES INC    EQUITY       219141108   1,898    84,519 SH    -- SOLE           1      84,519         --       --
CORNELL COMPANIES INC
   COM                   EQUITY       219141108   3,416   152,100 SH    -- SOLE           3     152,100         --       --
CORNING INC              EQUITY       219350105  11,052   459,737 SH    -- SOLE           2     459,737         --       --
CORNING INC COM          EQUITY       219350105      25     1,037 SH    -- DEFINED        4          --         --    1,037
CORNING INC COM          EQUITY       219350105   1,516    63,078 SH    -- DEFINED        5          --         --   63,078
CORNING, INC.            EQUITY       219350105  79,858 3,321,895 SH    -- SOLE           1   3,321,895         --       --
CORP EXEC BOARD CO.      EQUITY       21988R102   6,183   152,736 SH    -- SOLE           1     152,736         --       --
CORPORATE EXECUTIVE BRD
   CO COM                EQUITY       21988R102      73     1,797 SH    -- DEFINED        4          --         --    1,797
CORPORATE EXECUTIVE BRD
   CO COM                EQUITY       21988R102      36       900 SH    -- DEFINED        5          --         --      900
CORPORATE OFFICE
   PROPERTIES TRUST SBI
   MD                    EQUITY       22002T108   2,041    60,738 SH    -- SOLE           1      60,738         --       --
CORRECTIONS CORP AMER
   NEW                   EQUITY       22025Y407   6,707   243,700 SH    -- SOLE           2     243,700         --       --
CORRECTIONS CORP. OF
   AMERICA               EQUITY       22025Y407   8,946   325,085 SH    -- SOLE           1     325,085         --       --
CORRECTIONS CP AM NEW
   COM NEW               EQUITY       22025Y407     372    13,500 SH    -- SOLE           3      13,500         --       --
CORUS BANKSHARES, INC.   EQUITY       220873103     325    33,393 SH    -- SOLE           1      33,393         --       --
CORUS ENTERTAINMENT INC  EQUITY       220874101     419    24,072 SH    -- OTHER          1          --     24,072       --
CORVEL CORP.             EQUITY       221006109     200     6,531 SH    -- SOLE           1       6,531         --       --
COSAN LTD SHS A (F)      EQUITY       G25343107   1,613   130,900 SH    -- SOLE           3      51,900         --   79,000
COSTAR GROUP, INC.       EQUITY       22160N109     708    16,468 SH    -- SOLE           1      16,468         --       --
COSTCO COMPANIES INC
   NOTE 8/1              FIXED INCOME 22160QAC6       4         3 PRN   -- DEFINED        4          --         --        3
COSTCO WHOLESALE
   CORPORATION           EQUITY       22160K105  18,258   281,020 SH    -- SOLE           1     281,020         --       --
COSTCO WHSL CORP NEW     EQUITY       22160K105   1,333    20,520 SH    -- SOLE           2      20,520         --       --
COSTCO WHSL CORP NEW COM EQUITY       22160K105     877    13,500 SH    -- SOLE           3      13,500         --       --
COSTCO WHSL CORP NEW COM EQUITY       22160K105      20       315 SH    -- DEFINED        4          --         --      315
COSTCO WHSL CORP NEW COM EQUITY       22160K105     168     2,585 SH    -- DEFINED        5          --         --    2,585
COTT CORP                EQUITY       22163N106     481   135,193 SH    -- OTHER          1          --    135,193       --
COUNTRYWIDE FINANCIAL    EQUITY       222372104   2,124   386,115 SH    -- SOLE           1     386,115         --       --
COUNTRYWIDE FINANCIAL
   CORP COM              EQUITY       222372104      40     7,271 SH    -- DEFINED        5          --         --    7,271
COUNTRYWIDE FINL CORP    EQUITY       222372104       4       694 SH    -- SOLE           2         694         --       --
COURIER CORP             EQUITY       222660102     223     8,934 SH    -- SOLE           1       8,934         --       --
COVAD COMMUNICATIONS
   GROUP I COM           EQUITY       222814204       2     2,000 SH    -- DEFINED        5          --         --    2,000
COVANCE INC COM          EQUITY       222816100   5,598    67,473 SH    -- SOLE           3      26,800         --   40,673
COVANCE INC COM          EQUITY       222816100      31       368 SH    -- DEFINED        5          --         --      368
COVANCE INC.             EQUITY       222816100  12,716   153,262 SH    -- SOLE           1     153,262         --       --
COVANTA HOLDING CORP     EQUITY       22282E102      44     1,601 SH    -- SOLE           1       1,601         --       --
COVENTRY HEALTH CARE INC EQUITY       222862104   4,289   106,285 SH    -- SOLE           2     106,285         --       --
COVENTRY HEALTH CARE,
   INC.                  EQUITY       222862104   2,718    67,367 SH    -- SOLE           1      67,367         --       --
COVIDIEN LTD             EQUITY       G2552X108      26       596 SH    -- SOLE           2         596         --       --
COVIDIEN LTD COM         EQUITY       G2552X108     136     3,084 SH    -- DEFINED        4          --         --    3,084
COVIDIEN LTD COM         EQUITY       G2552X108     402     9,079 SH    -- DEFINED        5          --         --    9,079





                                                                                  
COWEN GROUP INC          EQUITY       223621103      89    12,503 SH    -- SOLE           1      12,503         --       --
COX RADIO INC-CL A       EQUITY       224051102     314    26,451 SH    -- SOLE           1      26,451         --       --
CPFL ENERGIA S A
   SPONSORED ADR         EQUITY       126153105      43       704 SH    -- DEFINED        4          --         --      704
CPFL ENERGIA S A
   SPONSORED ADR         EQUITY       126153105       3        57 SH    -- DEFINED        5          --         --       57
CPI CORP.                EQUITY       125902106      77     4,460 SH    -- SOLE           1       4,460         --       --
CPI INTERNATIONAL INC    EQUITY       12618M100      61     6,159 SH    -- SOLE           1       6,159         --       --
CRA INTERNATIONAL INC    EQUITY       12618T105     303     9,427 SH    -- SOLE           1       9,427         --       --
CRA INTL INC COM         EQUITY       12618T105      30       948 SH    -- DEFINED        4          --         --      948
CRANE CO.                EQUITY       224399105   4,993   123,737 SH    -- SOLE           1     123,737         --       --
CRAWFORD & CO. CLASS B   EQUITY       224633107     114    21,776 SH    -- SOLE           1      21,776         --       --
CRAY INC                 EQUITY       225223304     166    27,865 SH    -- SOLE           1      27,865         --       --
CREDENCE SYSTEMS CORP.   EQUITY       225302108     148    86,792 SH    -- SOLE           1      86,792         --       --
CREDICORP LTD COM        EQUITY       G2519Y108     507     7,064 SH    -- DEFINED        4          --         --    7,064
CREDIT ACCEPTANCE CORP.  EQUITY       225310101      68     4,393 SH    -- SOLE           1       4,393         --       --
CREDIT SUISSE ASSET
   MGMT INC COM          EQUITY       224916106       5     1,330 SH    -- DEFINED        4          --         --    1,330
CREDIT SUISSE GROUP
   SPONSORED ADR         EQUITY       225401108      38       751 SH    -- DEFINED        4          --         --      751
CREDIT SUISSE GROUP
   SPONSORED ADR         EQUITY       225401108       7       131 SH    -- DEFINED        5          --         --      131
CREE INC                 EQUITY       225447101   6,625   236,943 SH    -- SOLE           1     236,943         --       --
CREE INC COM             EQUITY       225447101   4,381   156,700 SH    -- SOLE           3      70,600         --   86,100
CREE INC COM             EQUITY       225447101      72     2,575 SH    -- DEFINED        4          --         --    2,575
CRESUD SA                EQUITY       226406106   1,449    93,370 SH    -- SOLE           1      93,370         --       --
CROCS INC                EQUITY       227046109      22     1,287 SH    -- SOLE           1       1,287         --       --
CROCS INC COM            EQUITY       227046109      21     1,220 SH    -- DEFINED        5          --         --    1,220
CROSS COUNTRY
   HEALTHCARE INC        EQUITY       227483104     340    27,510 SH    -- SOLE           1      27,510         --       --
CROSS TIMBERS RTY TR TR
   UNIT                  EQUITY       22757R109       5       100 SH    -- DEFINED        4          --         --      100
CROSSTEX ENERGY INC      EQUITY       22765Y104   1,074    31,632 SH    -- SOLE           1      31,632         --       --
CROWN CASTLE
   INTERNATIONAL         EQUITY       228227104   3,488   101,128 SH    -- SOLE           1     101,128         --       --
CROWN CASTLE INTL CORP
   COM                   EQUITY       228227104       4       112 SH    -- DEFINED        4          --         --      112
CROWN HOLDINGS INC       EQUITY       228368106      44     1,764 SH    -- SOLE           1       1,764         --       --
CROWN HOLDINGS INC COM   EQUITY       228368106      25     1,000 SH    -- DEFINED        4          --         --    1,000
CROWN MEDIA
   HOLDINGS-CLASS A      EQUITY       228411104      72    13,852 SH    -- SOLE           1      13,852         --       --
CRYOLIFE INC.            EQUITY       228903100     199    21,128 SH    -- SOLE           1      21,128         --       --
CRYSTAL RIV CAP INC COM  EQUITY       229393301       8       900 SH    -- DEFINED        5          --         --      900
CRYSTAL RIVER CAPITAL
   INC                   EQUITY       229393301     192    21,451 SH    -- SOLE           1      21,451         --       --
CSG SYSTEMS
   INTERNATIONAL, INC    EQUITY       126349109   1,271   111,781 SH    -- SOLE           1     111,781         --       --
CSK AUTO CORP            EQUITY       125965103     351    37,713 SH    -- SOLE           1      37,713         --       --
CSS INDUSTRIES, INC.     EQUITY       125906107     235     6,724 SH    -- SOLE           1       6,724         --       --
CSX CORP                 EQUITY       126408103  24,948   444,942 SH    -- SOLE           1     444,942         --       --
CSX CORP                 EQUITY       126408103     734    13,082 SH    -- SOLE           2      13,082         --       --
CSX CORP COM             EQUITY       126408103      97     1,730 SH    -- DEFINED        4          --         --    1,730
CSX CORP COM             EQUITY       126408103     179     3,200 SH    -- DEFINED        5          --         --    3,200
CTC MEDIA INC            EQUITY       12642X106      30     1,099 SH    -- SOLE           1       1,099         --       --
CTRIP COM INTL LTD ADR   EQUITY       22943F100       5       100 SH    -- DEFINED        5          --         --      100
CTRIP COM INTL LTD ADR
   (F)                   EQUITY       22943F100   3,383    63,800 SH    -- SOLE           3      25,400         --   38,400
CTS CORP.                EQUITY       126501105     310    28,944 SH    -- SOLE           1      28,944         --       --
CUBIC CORP.              EQUITY       229669106     379    13,342 SH    -- SOLE           1      13,342         --       --
CUBIST PHARMA INC        EQUITY       229678107     875    47,477 SH    -- SOLE           1      47,477         --       --
CUBIST PHARMACEUTICALS
   INC COM               EQUITY       229678107       8       449 SH    -- DEFINED        5          --         --      449
CULLEN FROST BANKERS
   INC COM               EQUITY       229899109       5       100 SH    -- DEFINED        4          --         --      100
CULLEN FROST BANKERS
   INC COM               EQUITY       229899109      11       207 SH    -- DEFINED        5          --         --      207
CULLEN/FROST BANKERS     EQUITY       229899109   7,492   141,259 SH    -- SOLE           1     141,259         --       --
CUMMINS INC              EQUITY       231021106   6,371   136,069 SH    -- SOLE           1     136,069         --       --
CUMMINS INC              EQUITY       231021106     180     3,852 SH    -- SOLE           2       3,852         --       --
CUMMINS INC COM          EQUITY       231021106      18       379 SH    -- DEFINED        4          --         --      379
CUMMINS INC COM          EQUITY       231021106       9       200 SH    -- DEFINED        5          --         --      200
CUMULUS MEDIA, INC.      EQUITY       231082108     155    24,367 SH    -- SOLE           1      24,367         --       --





                                                                                  
CURRENCY SHARES EURO TR
   EURO SHS              EQUITY       23130C108   1,569     9,910 SH    -- DEFINED        4 309,261,383         --    9,910
CURRENCY SHARES EURO TR
   EURO SHS              EQUITY       23130C108       7        42 SH    -- DEFINED        5          --         --       42
CURRENCYSHARES
   AUSTRALIAN DL
   AUSTRALIAN DOL        EQUITY       23129U101      40       435 SH    -- DEFINED        4          --         --      435
CURRENCYSHARES
   AUSTRALIAN DL
   AUSTRALIAN DOL        EQUITY       23129U101       2        20 SH    -- DEFINED        5          --         --       20
CURRENCYSHARES CDN DLR
   TR CDN DOLLAR SHS     EQUITY       23129X105      44       450 SH    -- DEFINED        4          --         --      450
CURRENCYSHARES CDN DLR
   TR CDN DOLLAR SHS     EQUITY       23129X105     115     1,176 SH    -- DEFINED        5          --         --    1,176
CURRENCYSHARES SWEDISH
   KRONA SWEDISH KRONA   EQUITY       23129R108       5        30 SH    -- DEFINED        4          --         --       30
CURRENCYSHARES SWISS
   FRANC T SWISS FRANC
   SH                    EQUITY       23129V109       5        50 SH    -- DEFINED        4          --         --       50
CURRENCYSHARES SWISS
   FRANC T SWISS FRANC
   SH                    EQUITY       23129V109     105     1,038 SH    -- DEFINED        5          --         --    1,038
CURRENCYSHS BRIT POUND
   STER BRIT POUND STE   EQUITY       23129S106       9        45 SH    -- DEFINED        4          --         --       45
CURRENCYSHS BRIT POUND
   STER BRIT POUND STE   EQUITY       23129S106       5        25 SH    -- DEFINED        5          --         --       25
CURRENCYSHS JAPANESE
   YEN TR JAPANESE YEN   EQUITY       23130A102       5        50 SH    -- DEFINED        4          --         --       50
CURRENCYSHS JAPANESE
   YEN TR JAPANESE YEN   EQUITY       23130A102     242     2,410 SH    -- DEFINED        5          --         --    2,410
CURTISS-WRIGHT CORP.     EQUITY       231561101   1,576    37,999 SH    -- SOLE           1      37,999         --       --
CUSHING MLP TOTAL
   RETURN FD COM SHS     EQUITY       231631102      21     1,250 SH    -- DEFINED        5          --         --    1,250
CUTERA INC               EQUITY       232109108     147    10,890 SH    -- SOLE           1      10,890         --       --
CV THERAPEUTICS, INC.    EQUITY       126667104     363    50,937 SH    -- SOLE           1      50,937         --       --
CVB FINANCIAL CORP       EQUITY       126600105     592    56,900 SH    -- SOLE           1      56,900         --       --
CVR ENERGY INC           EQUITY       12662P108     396    17,188 SH    -- SOLE           1      17,188         --       --
CVS CAREMARK CORP        EQUITY       126650100  46,207 1,140,635 SH    -- SOLE           1   1,140,635         --       --
CVS CAREMARK CORP        EQUITY       126650100  18,654   460,474 SH    -- SOLE           2     460,474         --       --
CVS CAREMARK
   CORPORATION COM       EQUITY       126650100      69     1,692 SH    -- DEFINED        4          --         --    1,692
CVS CAREMARK
   CORPORATION COM       EQUITY       126650100     235     5,794 SH    -- DEFINED        5          --         --    5,794
CYBERONICS               EQUITY       23251P102     293    20,186 SH    -- SOLE           1      20,186         --       --
CYBERSOURCE CORP         EQUITY       23251J106     803    54,974 SH    -- SOLE           1      54,974         --       --
CYBERSOURCE CORP DEL     EQUITY       23251J106     387    26,500 SH    -- SOLE           2      26,500         --       --
CYMER, INC.              EQUITY       232572107     677    25,984 SH    -- SOLE           1      25,984         --       --
CYNOSURE INC             EQUITY       232577205     147     6,890 SH    -- SOLE           1       6,890         --       --
CYNOSURE INC CL A        EQUITY       232577205       4       200 SH    -- DEFINED        4          --         --      200
CYPRESS BIOSCIENCE INC   EQUITY       232674507     227    31,739 SH    -- SOLE           1      31,739         --       --
CYPRESS SEMICONDUCTOR
   CORP COM              EQUITY       232806109       2       100 SH    -- DEFINED        4          --         --      100
CYPRESS SEMICONDUCTOR
   CORP COM              EQUITY       232806109      23       965 SH    -- DEFINED        5          --         --      965
CYPRESS SEMICONDUCTOR
   CORP.                 EQUITY       232806109   8,583   363,516 SH    -- SOLE           1     363,516         --       --
CYTEC INDUSTRIES, INC.   EQUITY       232820100   5,455   101,299 SH    -- SOLE           1     101,299         --       --
CYTOKINETICS INC         EQUITY       23282W100      98    29,538 SH    -- SOLE           1      29,538         --       --
CYTRX CORP               EQUITY       232828301      86    74,486 SH    -- SOLE           1      74,486         --       --
CYTRX CORP COM NEW       EQUITY       232828301      17    15,000 SH    -- DEFINED        4          --         --   15,000
CYTRX CORP COM NEW       EQUITY       232828301       7     6,000 SH    -- DEFINED        5          --         --    6,000
D R HORTON INC           EQUITY       23331A109   3,130   198,727 SH    -- SOLE           2     198,727         --       --
D.R. HORTON INC          EQUITY       23331A109   1,988   126,223 SH    -- SOLE           1     126,223         --       --
DAKTRONICS INC           EQUITY       234264109   3,301   184,300 SH    -- SOLE           2     184,300         --       --
DAKTRONICS INC COM       EQUITY       234264109      36     2,000 SH    -- DEFINED        4          --         --    2,000
DANAHER CORP             EQUITY       235851102   7,285    95,824 SH    -- SOLE           2      95,824         --       --
DANAHER CORP DEL COM     EQUITY       235851102       9       120 SH    -- DEFINED        4          --         --      120
DANAHER CORP DEL COM     EQUITY       235851102      67       885 SH    -- DEFINED        5          --         --      885
DANAHER CORP.            EQUITY       235851102  23,116   304,038 SH    -- SOLE           1     304,038         --       --
DANAOS CORPORATION SHS   EQUITY       Y1968P105       7       300 SH    -- DEFINED        5          --         --      300
DARDEN RESTAURANTS INC   EQUITY       237194105   3,121    95,871 SH    -- SOLE           2      95,871         --       --
DARDEN RESTAURANTS INC
   COM                   EQUITY       237194105       2        50 SH    -- DEFINED        5          --         --       50
DARDEN RESTAURANTS, INC. EQUITY       237194105   1,999    61,401 SH    -- SOLE           1      61,401         --       --
DARLING INTERNATIONAL
   INC                   EQUITY       237266101   2,691   207,770 SH    -- SOLE           1     207,770         --       --
DARLING INTL INC         EQUITY       237266101     512    39,500 SH    -- SOLE           2      39,500         --       --
DARLING INTL INC COM     EQUITY       237266101   3,494   269,800 SH    -- SOLE           3     269,800         --       --
DARWIN PROFESSIONAL
   UNDERWRITERS INC      EQUITY       237502109     148     6,587 SH    -- SOLE           1       6,587         --       --
DATA DOMAIN INC          EQUITY       23767P109     185     7,766 SH    -- SOLE           1       7,766         --       --
DATASCOPE CORP.          EQUITY       238113104     457    11,027 SH    -- SOLE           1      11,027         --       --





                                                                                  
DAVITA INC               EQUITY       23918K108     108     2,256 SH    -- SOLE           1       2,256         --       --
DAVITA INC               EQUITY       23918K108   2,775    58,100 SH    -- SOLE           2      58,100         --       --
DAWSON GEOPHYSICAL CO    EQUITY       239359102     441     6,539 SH    -- SOLE           1       6,539         --       --
DCT INDUSTRIAL TRUST INC EQUITY       233153105   1,373   137,893 SH    -- SOLE           1     137,893         --       --
DCT INDUSTRIAL TRUST
   INC COM               EQUITY       233153105     251    25,227 SH    -- DEFINED        4          --         --   25,227
DEALERTRACK HLDGS INC    EQUITY       242309102     621    30,697 SH    -- SOLE           1      30,697         --       --
DEAN FOODS CO            EQUITY       242370104   7,639   380,243 SH    -- SOLE           1     380,243         --       --
DEAN FOODS CO NEW        EQUITY       242370104       4       181 SH    -- SOLE           2         181         --       --
DECKERS OUTDOOR CORP     EQUITY       243537107   1,743    16,169 SH    -- SOLE           1      16,169         --       --
DECKERS OUTDOOR CORP     EQUITY       243537107     863     8,000 SH    -- SOLE           2       8,000         --       --
DECKERS OUTDOOR CORP COM EQUITY       243537107     280     2,600 SH    -- SOLE           3       2,600         --       --
DECKERS OUTDOOR CORP COM EQUITY       243537107      40       368 SH    -- DEFINED        4          --         --      368
DEERE & CO COM           EQUITY       244199105      81     1,012 SH    -- DEFINED        4          --         --    1,012
DEERE & CO COM           EQUITY       244199105     162     2,014 SH    -- DEFINED        5          --         --    2,014
DEERE & CO.              EQUITY       244199105  25,620   318,499 SH    -- SOLE           1     318,499         --       --
DEERE + CO               EQUITY       244199105   1,952    24,271 SH    -- SOLE           2      24,271         --       --
DEERFIELD CAPITAL CORP   EQUITY       244331104      81    57,220 SH    -- SOLE           1      57,220         --       --
DEERFIELD CAPITAL CORP
   COM ADDED             EQUITY       244331104       3     2,000 SH    -- DEFINED        4          --         --    2,000
DEERFIELD CAPITAL CORP
   COM ADDED             EQUITY       244331104       1     1,000 SH    -- DEFINED        5          --         --    1,000
DEL MONTE                EQUITY       24522P103      72     7,602 SH    -- SOLE           1       7,602         --       --
DEL MONTE FOODS CO COM   EQUITY       24522P103       1       117 SH    -- DEFINED        5          --         --      117
DELAWARE INV MN MUN INC
   FD I COM              EQUITY       24610V103      23     1,700 SH    -- DEFINED        4          --         --    1,700
DELAWARE INVTS DIV &
   INCOME COM            EQUITY       245915103       3       289 SH    -- DEFINED        4          --         --      289
DELEK US HOLDINGS INC    EQUITY       246647101     128    10,091 SH    -- SOLE           1      10,091         --       --
DELL INC                 EQUITY       24702R101  28,274 1,419,371 SH    -- SOLE           1   1,419,371         --       --
DELL INC                 EQUITY       24702R101     209    10,488 SH    -- SOLE           2      10,488         --       --
DELL INC COM             EQUITY       24702R101     176     8,823 SH    -- DEFINED        4          --         --    8,823
DELL INC COM             EQUITY       24702R101      82     4,111 SH    -- DEFINED        5          --         --    4,111
DELPHI FINANCIAL GROUP,
   INC., CLASS A         EQUITY       247131105   1,089    37,258 SH    -- SOLE           1      37,258         --       --
DELTA AIR LINES INC      EQUITY       247361702   1,034   120,254 SH    -- SOLE           1     120,254         --       --
DELTA AIR LINES INC DEL
   COM NEW               EQUITY       247361702       4       500 SH    -- DEFINED        4          --         --      500
DELTA NAT GAS INC COM    EQUITY       247748106       2       100 SH    -- DEFINED        4          --         --      100
DELTA PETROLEUM CORP     EQUITY       247907207   1,270    56,356 SH    -- SOLE           1      56,356         --       --
DELTEK INC               EQUITY       24784L105     100     7,717 SH    -- SOLE           1       7,717         --       --
DELTIC TIMBER CORP.      EQUITY       247850100     501     9,002 SH    -- SOLE           1       9,002         --       --
DELUXE CORP COM          EQUITY       248019101       5       239 SH    -- DEFINED        4          --         --      239
DELUXE CORP COM          EQUITY       248019101       4       200 SH    -- DEFINED        5          --         --      200
DELUXE CORP.             EQUITY       248019101   3,195   166,324 SH    -- SOLE           1     166,324         --       --
DENBURY RESOURCES INC    EQUITY       247916208  16,766   587,250 SH    -- SOLE           1     587,250         --       --
DENDREON CORP            EQUITY       24823Q107     345    71,643 SH    -- SOLE           1      71,643         --       --
DENDREON CORP COM        EQUITY       24823Q107     469    97,300 SH    -- DEFINED        5          --         --   97,300
DENISON MINES CORP       EQUITY       248356107     151    24,123 SH    -- OTHER          1          --     24,123       --
DENNY'S CORPORATION      EQUITY       24869P104     240    80,371 SH    -- SOLE           1      80,371         --       --
DENTSPLY INTERNATIONAL
   INC.                  EQUITY       249030107  16,544   428,594 SH    -- SOLE           1     428,594         --       --
DENTSPLY INTL INC NEW
   COM                   EQUITY       249030107      70     1,819 SH    -- DEFINED        4          --         --    1,819
DENTSPLY INTL INC NEW
   COM                   EQUITY       249030107       9       241 SH    -- DEFINED        5          --         --      241
DEVELOPERS DIVERSIFIED
   RLT                   EQUITY       251591103       6       143 SH    -- SOLE           2         143         --       --
DEVELOPERS DIVERSIFIED
   RLTY COM              EQUITY       251591103      83     1,987 SH    -- DEFINED        4          --         --    1,987
DEVELOPERS DIVERSIFIED
   RLTY COM              EQUITY       251591103      12       282 SH    -- DEFINED        5          --         --      282
DEVON ENERGY CORP NEW
   COM                   EQUITY       25179M103      35       338 SH    -- DEFINED        4          --         --      338
DEVON ENERGY CORP NEW
   COM                   EQUITY       25179M103     360     3,454 SH    -- DEFINED        5          --         --    3,454
DEVON ENERGY CORP.       EQUITY       25179M103  28,544   273,590 SH    -- SOLE           1     273,590         --       --
DEVON ENERGY
   CORPORATION N         EQUITY       25179M103   1,203    11,531 SH    -- SOLE           2      11,531         --       --
DEVRY, INC.              EQUITY       251893103   8,089   193,329 SH    -- SOLE           1     193,329         --       --
DG FASTCHANNEL INC       EQUITY       23326R109     245    12,793 SH    -- SOLE           1      12,793         --       --
DG FASTCHANNEL INC COM   EQUITY       23326R109   1,111    57,900 SH    -- SOLE           3      57,900         --       --





                                                                                  
DIAGEO P L C SPON ADR
   NEW                   EQUITY       25243Q205       8       100 SH    -- DEFINED        4          --         --      100
DIAGEO P L C SPON ADR
   NEW                   EQUITY       25243Q205      18       218 SH    -- DEFINED        5          --         --      218
DIAGEO PLC               EQUITY       25243Q205     337     4,141 SH    -- SOLE           2       4,141         --       --
DIAMOND HILL INVESTMENT
   GROU COM NEW          EQUITY       25264R207       8       100 SH    -- DEFINED        5          --         --      100
DIAMOND MANAGEMENT &
   TECHNOLOGY
   CONSULTANTS INC       EQUITY       25269L106     146    22,617 SH    -- SOLE           1      22,617         --       --
DIAMOND OFFSHORE
   DRILLING              EQUITY       25271C102   6,155    52,876 SH    -- SOLE           1      52,876         --       --
DIAMOND OFFSHORE
   DRILLING IN COM       EQUITY       25271C102     260     2,234 SH    -- DEFINED        5          --         --    2,234
DIAMONDROCK HOSPITALITY
   CO                    EQUITY       252784301   3,003   237,000 SH    -- SOLE           1     237,000         --       --
DIAMONDS TR UNIT SER 1   EQUITY       252787106      17       139 SH    -- DEFINED        4          --         --      139
DIAMONDS TR UNIT SER 1   EQUITY       252787106     114       929 SH    -- DEFINED        5          --         --      929
DIANA SHIPPING INC COM   EQUITY       Y2066G104     241     9,148 SH    -- DEFINED        4          --         --    9,148
DIANA SHIPPING INC COM   EQUITY       Y2066G104      97     3,700 SH    -- DEFINED        5          --         --    3,700
DICE HOLDINGS INC        EQUITY       253017107     130    14,538 SH    -- SOLE           1      14,538         --       --
DICK'S SPORTING GOODS
   INC                   EQUITY       253393102   5,327   198,934 SH    -- SOLE           1     198,934         --       --
DIEBOLD, INC.            EQUITY       253651103   5,903   157,198 SH    -- SOLE           1     157,198         --       --
DIGI INTERNATIONAL INC   EQUITY       253798102     250    21,665 SH    -- SOLE           1      21,665         --       --
DIGITAL ALLY INC COM
   ADDED                 EQUITY       25382P109       7     1,000 SH    -- DEFINED        5          --         --    1,000
DIGITAL REALTY TRUST INC EQUITY       253868103   3,834   107,995 SH    -- SOLE           1     107,995         --       --
DIGITAL RIV INC          EQUITY       25388B104   4,075   131,576 SH    -- SOLE           1     131,576         --       --
DIGITAL RIV INC COM      EQUITY       25388B104       8       248 SH    -- DEFINED        5          --         --      248
DILLARDS INC             EQUITY       254067101       1        68 SH    -- SOLE           2          68         --       --
DILLARDS, INC. CLASS A   EQUITY       254067101     297    17,282 SH    -- SOLE           1      17,282         --       --
DIME COMMUNITY
   BANCSHARES            EQUITY       253922108     369    21,126 SH    -- SOLE           1      21,126         --       --
DIODES INC               EQUITY       254543101     561    25,549 SH    -- SOLE           1      25,549         --       --
DIODES INC               EQUITY       254543101   2,196   100,000 SH    -- SOLE           2     100,000         --       --
DIODES INC COM           EQUITY       254543101     268    12,220 SH    -- DEFINED        4          --         --   12,220
DIONEX CORP              EQUITY       254546104     462     6,000 SH    -- SOLE           2       6,000         --       --
DIONEX CORP.             EQUITY       254546104   1,256    16,320 SH    -- SOLE           1      16,320         --       --
DIRECTV GROUP INC        EQUITY       25459L106      21       852 SH    -- SOLE           2         852         --       --
DIRECTV GROUP INC COM    EQUITY       25459L106       1        46 SH    -- DEFINED        4          --         --       46
DIRECTV GROUP INC COM    EQUITY       25459L106      13       512 SH    -- DEFINED        5          --         --      512
DIRECTV GROUP INC/THE    EQUITY       25459L106  10,476   422,607 SH    -- SOLE           1     422,607         --       --
DISCOVER FINANCIAL
   SERVICES              EQUITY       254709108   5,677   346,799 SH    -- SOLE           1     346,799         --       --
DISCOVER FINL SVCS       EQUITY       254709108     116     7,058 SH    -- SOLE           2       7,058         --       --
DISCOVER FINL SVCS COM   EQUITY       254709108      11       644 SH    -- DEFINED        5          --         --      644
DISCOVERY HOLDING CO CL
   A COM                 EQUITY       25468Y107       1        49 SH    -- DEFINED        4          --         --       49
DISCOVERY HOLDING CO-A   EQUITY       25468Y107     445    20,973 SH    -- SOLE           1      20,973         --       --
DISCOVERY LABORATORIES
   INC                   EQUITY       254668106     195    82,854 SH    -- SOLE           1      82,854         --       --
DISH NETWORK CORP        EQUITY       25470M109   3,449   120,038 SH    -- SOLE           1     120,038         --       --
DISNEY WALT CO           EQUITY       254687106   1,578    50,289 SH    -- SOLE           2      50,289         --       --
DISNEY WALT CO COM
   DISNEY                EQUITY       254687106     131     4,189 SH    -- DEFINED        4          --         --    4,189
DISNEY WALT CO COM
   DISNEY                EQUITY       254687106     539    17,178 SH    -- DEFINED        5          --         --   17,178
DISNEY WALT CO NOTE
   2.125% 4/1            FIXED INCOME 254687AU0       4         4 PRN   -- DEFINED        4          --         --        4
DITECH NETWORKS INC      EQUITY       25500T108      65    22,168 SH    -- SOLE           1      22,168         --       --
DIVIDEND CAP RLTY INCM
   ALLC COM              EQUITY       25537T105      33     4,572 SH    -- DEFINED        4          --         --    4,572
DIVX INC                 EQUITY       255413106     139    19,925 SH    -- SOLE           1      19,925         --       --
DNP SELECT INCOME FD COM EQUITY       23325P104      10       950 SH    -- DEFINED        4          --         --      950
DNP SELECT INCOME FD COM EQUITY       23325P104      79     7,271 SH    -- DEFINED        5          --         --    7,271
DOLAN MEDIA CO           EQUITY       25659P402     192     9,566 SH    -- SOLE           1       9,566         --       --
DOLBY LABORATORIES INC
   COM                   EQUITY       25659T107   4,188   115,500 SH    -- SOLE           3      46,200         --   69,300
DOLBY LABORATORIES
   INC-CL A              EQUITY       25659T107     134     3,699 SH    -- SOLE           1       3,699         --       --
DOLLAR FINANCIAL CORP    EQUITY       256664103     317    13,771 SH    -- SOLE           1      13,771         --       --
DOLLAR THRIFTY
   AUTOMOTIVE            EQUITY       256743105     251    18,418 SH    -- SOLE           1      18,418         --       --
DOLLAR TREE INC          EQUITY       256746108   6,228   225,742 SH    -- SOLE           1     225,742         --       --
DOMINION RES BLACK
   WARRIOR T UNITS BEN
   INT                   EQUITY       25746Q108     225    10,578 SH    -- DEFINED        4          --         --   10,578
DOMINION RES INC VA NEW  EQUITY       25746U109   1,533    37,545 SH    -- SOLE           2      37,545         --       --





                                                                                  
DOMINION RES INC VA NEW
   COM                   EQUITY       25746U109       4       100 SH    -- DEFINED        4          --         --      100
DOMINION RES INC VA NEW
   COM                   EQUITY       25746U109     102     2,500 SH    -- DEFINED        5          --         --    2,500
DOMINION RESOURCES, INC. EQUITY       25746U109  25,664   628,396 SH    -- SOLE           1     628,396         --       --
DOMINO'S PIZZA INC       EQUITY       25754A201     812    60,216 SH    -- SOLE           1      60,216         --       --
DOMTAR CORP              EQUITY       257559104     163    23,800 SH    -- SOLE           2      23,800         --       --
DOMTAR CORP COM          EQUITY       257559104       2       289 SH    -- DEFINED        5          --         --      289
DONALDSON CO., INC.      EQUITY       257651109   6,757   167,740 SH    -- SOLE           1     167,740         --       --
DONEGAL GROUP INC-CL A   EQUITY       257701201     198    11,388 SH    -- SOLE           1      11,388         --       --
DONNELLEY R R + SONS CO  EQUITY       257867101     162     5,357 SH    -- SOLE           2       5,357         --       --
DORCHESTER MINERALS LP   EQUITY       25820R105      88     4,200 SH    -- SOLE           1       4,200         --       --
DORCHESTER MINERALS LP
   COM UNIT              EQUITY       25820R105       4       185 SH    -- DEFINED        4          --         --      185
DOT HILL SYS CORP COM    EQUITY       25848T109      72    23,890 SH    -- DEFINED        5          --         --   23,890
DOUBLE HULL TANKERS INC
   COM                   EQUITY       Y21110104      11     1,000 SH    -- DEFINED        5          --         --    1,000
DOUBLE-TAKE SOFTWARE INC EQUITY       258598101      84     7,198 SH    -- SOLE           1       7,198         --       --
DOUGLAS EMMETT INC       EQUITY       25960P109      86     3,897 SH    -- SOLE           1       3,897         --       --
DOUGLAS EMMETT INC COM   EQUITY       25960P109       2       100 SH    -- DEFINED        5          --         --      100
DOVER CORP               EQUITY       260003108   4,241   101,519 SH    -- SOLE           2     101,519         --       --
DOVER CORP COM           EQUITY       260003108      11       268 SH    -- DEFINED        5          --         --      268
DOVER CORP.              EQUITY       260003108   3,587    85,856 SH    -- SOLE           1      85,856         --       --
DOVER DOWNS GAMING &
   ENTERTA               EQUITY       260095104     114    13,416 SH    -- SOLE           1      13,416         --       --
DOW CHEM CO              EQUITY       260543103      41     1,123 SH    -- SOLE           2       1,123         --       --
DOW CHEM CO COM          EQUITY       260543103     294     7,965 SH    -- DEFINED        5          --         --    7,965
DOW CHEMICAL CO.         EQUITY       260543103  20,325   551,567 SH    -- SOLE           1     551,567         --       --
DOWNEY FINANCIAL CORP.   EQUITY       261018105     333    18,113 SH    -- SOLE           1      18,113         --       --
DPL INC COM              EQUITY       233293109      48     1,887 SH    -- DEFINED        4          --         --    1,887
DPL, INC.                EQUITY       233293109   7,063   275,479 SH    -- SOLE           1     275,479         --       --
DR REDDYS LABS LTD ADR   EQUITY       256135203      20     1,400 SH    -- DEFINED        5          --         --    1,400
DREAMWORKS ANIMATION
   SKG-A                 EQUITY       26153C103      17       672 SH    -- SOLE           1         672         --       --
DREMAN/CLAYMORE DIVID &
   INC COM               EQUITY       26153R100      13       914 SH    -- DEFINED        4          --         --      914
DREMAN/CLAYMORE DIVID &
   INC COM               EQUITY       26153R100       8       588 SH    -- DEFINED        5          --         --      588
DRESS BARN, INC.         EQUITY       261570105     522    40,357 SH    -- SOLE           1      40,357         --       --
DRESSER-RAND GROUP INC   EQUITY       261608103      57     1,841 SH    -- SOLE           1       1,841         --       --
DRESSER-RAND GROUP INC
   COM                   EQUITY       261608103      65     2,100 SH    -- DEFINED        5          --         --    2,100
DREW INDUSTRIES INC      EQUITY       26168L205     381    15,568 SH    -- SOLE           1      15,568         --       --
DREYFUS MUN INCOME INC
   COM                   EQUITY       26201R102      75     8,827 SH    -- DEFINED        4          --         --    8,827
DREYFUS STRATEGIC MUN
   BD FD COM             EQUITY       26202F107     243    30,900 SH    -- DEFINED        5          --         --   30,900
DRILL QUIP               EQUITY       262037104   1,062    22,860 SH    -- SOLE           1      22,860         --       --
DRIL-QUIP INC COM        EQUITY       262037104      28       608 SH    -- DEFINED        4          --         --      608
DRS TECHNOLOGIES INC     EQUITY       23330X100   6,113   104,883 SH    -- SOLE           1     104,883         --       --
DRS TECHNOLOGIES INC COM EQUITY       23330X100       1        21 SH    -- DEFINED        4          --         --       21
DRYSHIPS INC SHS         EQUITY       Y2109Q101       6       100 SH    -- DEFINED        4          --         --      100
DRYSHIPS INC SHS         EQUITY       Y2109Q101      48       800 SH    -- DEFINED        5          --         --      800
DRYSHIPS INC SHS (F)     EQUITY       Y2109Q101   3,672    61,300 SH    -- SOLE           3      33,300         --   28,000
DSP GROUP, INC. COM      EQUITY       23332B106     328    25,780 SH    -- SOLE           1      25,780         --       --
DST SYS INC DEL          EQUITY       233326107   2,577    39,200 SH    -- SOLE           2      39,200         --       --
DST SYS INC DEL DBCV
   4.125% 8/1            FIXED INCOME 233326AB3       1         1 PRN   -- DEFINED        4          --         --        1
DST SYSTEMS INC          EQUITY       233326107   7,898   120,144 SH    -- SOLE           1     120,144         --       --
DSW INC-CLASS A          EQUITY       23334L102     180    13,903 SH    -- SOLE           1      13,903         --       --
DTE ENERGY CO            EQUITY       233331107       8       195 SH    -- SOLE           2         195         --       --
DTE ENERGY CO COM        EQUITY       233331107      11       276 SH    -- DEFINED        4          --         --      276
DTE ENERGY CO COM        EQUITY       233331107      18       450 SH    -- DEFINED        5          --         --      450
DTE ENERGY CO.           EQUITY       233331107  20,669   531,468 SH    -- SOLE           1     531,468         --       --
DTS INC                  EQUITY       23335C101     374    15,604 SH    -- SOLE           1      15,604         --       --
DU PONT E I DE NEMOURS
   & CO COM              EQUITY       263534109     118     2,523 SH    -- DEFINED        4          --         --    2,523
DU PONT E I DE NEMOURS
   & CO COM              EQUITY       263534109      46       990 SH    -- DEFINED        5          --         --      990
DU PONT E I DE NEMOURS
   + C                   EQUITY       263534109  24,005   513,369 SH    -- SOLE           2     513,369         --       --





                                                                                  
DUFF & PHELPS CORP       EQUITY       26433B107     146     8,093 SH    -- SOLE           1       8,093         --       --
DUFF & PHELPS UTIL CORP
   BD T COM              EQUITY       26432K108      39     3,500 SH    -- DEFINED        5          --         --    3,500
DUKE ENERGY CORP         EQUITY       26441C105   9,368   524,790 SH    -- SOLE           1     524,790         --       --
DUKE ENERGY CORP NEW COM EQUITY       26441C105      31     1,746 SH    -- DEFINED        4          --         --    1,746
DUKE ENERGY CORP NEW COM EQUITY       26441C105     295    16,527 SH    -- DEFINED        5          --         --   16,527
DUKE ENERGY HLDG CORP    EQUITY       26441C105     670    37,509 SH    -- SOLE           2      37,509         --       --
DUKE REALTY              EQUITY       264411505   3,351   146,921 SH    -- SOLE           1     146,921         --       --
DUKE REALTY CORP COM NEW EQUITY       264411505     431    18,900 SH    -- DEFINED        5          --         --   18,900
DUN & BRADSTREET CORP
   NEW WI                EQUITY       26483E100  11,011   135,307 SH    -- SOLE           1     135,307         --       --
DUPONT FABROS
   TECHNOLOGY INC        EQUITY       26613Q106     495    30,021 SH    -- SOLE           1      30,021         --       --
DURECT CORP COM          EQUITY       266605104   1,507   287,000 SH    -- SOLE           3     287,000         --       --
DURECT CORPORATION       EQUITY       266605104     920   175,239 SH    -- SOLE           1     175,239         --       --
DWS DREMAN VAL INCOME
   EDGE F COM            EQUITY       23339M105      11       853 SH    -- DEFINED        5          --         --      853
DWS HIGH INCOME TR SHS   EQUITY       23337C109      51    11,200 SH    -- DEFINED        5          --         --   11,200
DWS MULTI MKT INCOME TR
   SHS                   EQUITY       23338L108       6       700 SH    -- DEFINED        4          --         --      700
DWS MULTI MKT INCOME TR
   SHS                   EQUITY       23338L108      15     1,887 SH    -- DEFINED        5          --         --    1,887
DWS RREEF REAL ESTATE
   FD II COM             EQUITY       23338X102      21     1,700 SH    -- DEFINED        5          --         --    1,700
DWS RREEF REAL ESTATE
   FD INC COM            EQUITY       233384106       8       450 SH    -- DEFINED        5          --         --      450
DYCOM INDUSTRIES, INC.   EQUITY       267475101   1,578   131,424 SH    -- SOLE           1     131,424         --       --
DYNAMEX INC              EQUITY       26784F103     230     9,097 SH    -- SOLE           1       9,097         --       --
DYNAMIC MATERIALS CORP   EQUITY       267888105   1,248    28,878 SH    -- SOLE           1      28,878         --       --
DYNAMIC MATLS CORP COM   EQUITY       267888105   1,598    37,000 SH    -- SOLE           3      37,000         --       --
DYNCORP INTERNATIONAL
   INC                   EQUITY       26817C101     357    21,418 SH    -- SOLE           1      21,418         --       --
DYNEGY INC               EQUITY       26817G102   1,708   216,449 SH    -- SOLE           1     216,449         --       --
DYNEGY INC DEL           EQUITY       26817G102       5       593 SH    -- SOLE           2         593         --       --
DYNEGY INC DEL CL A      EQUITY       26817G102       4       490 SH    -- DEFINED        5          --         --      490
DYNEX CAP INC COM NEW    EQUITY       26817Q506       2       260 SH    -- DEFINED        5          --         --      260
DYNEX CAP INC PFD D
   9.50%                 EQUITY       26817Q605       9       852 SH    -- DEFINED        5          --         --      852
E M C CORP MASS COM      EQUITY       268648102     190    13,284 SH    -- DEFINED        4          --         --   13,284
E M C CORP MASS COM      EQUITY       268648102     365    25,435 SH    -- DEFINED        5          --         --   25,435
E TRADE FINANCIAL CORP
   COM                   EQUITY       269246104      19     5,050 SH    -- DEFINED        5          --         --    5,050
E TRADE FINL CORP        EQUITY       269246104       2       552 SH    -- SOLE           2         552         --       --
E*TRADE FINANCIAL CORP   EQUITY       269246104     477   123,654 SH    -- SOLE           1     123,654         --       --
EAGLE BULK SHIPPING INC  EQUITY       Y2187A101   3,349   130,000 SH    -- SOLE           2     130,000         --       --
EAGLE BULK SHIPPING INC
   COM                   EQUITY       Y2187A101      74     2,888 SH    -- DEFINED        4          --         --    2,888
EAGLE BULK SHIPPING INC
   COM                   EQUITY       Y2187A101      95     3,700 SH    -- DEFINED        5          --         --    3,700
EAGLE MATERIALS INC      EQUITY       26969P108      10       270 SH    -- SOLE           1         270         --       --
EAGLE MATERIALS INC COM  EQUITY       26969P108       6       171 SH    -- DEFINED        4          --         --      171
EAGLE MATERIALS INC COM  EQUITY       26969P108      28       800 SH    -- DEFINED        5          --         --      800
EAGLE TEST SYSTEMS INC   EQUITY       270006109     110    10,520 SH    -- SOLE           1      10,520         --       --
EARTHLINK INC            EQUITY       270321102     716    94,839 SH    -- SOLE           1      94,839         --       --
EARTHLINK INC COM        EQUITY       270321102       2       300 SH    -- DEFINED        4          --         --      300
EAST WEST BANCORP        EQUITY       27579R104      35     1,967 SH    -- SOLE           1       1,967         --       --
EAST WEST BANCORP INC
   COM                   EQUITY       27579R104      26     1,438 SH    -- DEFINED        4          --         --    1,438
EASTERN AMERN NAT GAS
   TR SPERS RCT UNIT     EQUITY       276217106      56     2,000 SH    -- DEFINED        5          --         --    2,000
EASTGROUP PROPERTIES,
   INC.                  EQUITY       277276101   7,848   168,921 SH    -- SOLE           1     168,921         --       --
EASTMAN CHEM CO          EQUITY       277432100       6        95 SH    -- SOLE           2          95         --       --
EASTMAN CHEMICAL CO.     EQUITY       277432100   5,805    92,955 SH    -- SOLE           1      92,955         --       --
EASTMAN KODAK CO         EQUITY       277461109       6       344 SH    -- SOLE           2         344         --       --
EASTMAN KODAK CO COM     EQUITY       277461109       9       520 SH    -- DEFINED        5          --         --      520
EASTMAN KODAK CO.        EQUITY       277461109   9,115   515,835 SH    -- SOLE           1     515,835         --       --
EATON CORP               EQUITY       278058102      14       175 SH    -- SOLE           2         175         --       --
EATON CORP COM           EQUITY       278058102      49       610 SH    -- DEFINED        4          --         --      610
EATON CORP COM           EQUITY       278058102       8       100 SH    -- DEFINED        5          --         --      100
EATON CORP.              EQUITY       278058102   5,275    66,207 SH    -- SOLE           1      66,207         --       --
EATON VANCE CORP.        EQUITY       278265103   8,424   276,110 SH    -- SOLE           1     276,110         --       --





                                                                                  
EATON VANCE CR
   OPPORTUNIT FD COM     EQUITY       278271101       3       250 SH    -- DEFINED        5          --         --      250
EATON VANCE ENH EQTY
   INC FD COM            EQUITY       278277108      43     2,500 SH    -- DEFINED        4          --         --    2,500
EATON VANCE ENH EQTY
   INC FD COM            EQUITY       278277108      24     1,400 SH    -- DEFINED        5          --         --    1,400
EATON VANCE ENHANCED EQ
   INC COM               EQUITY       278274105      52     3,001 SH    -- DEFINED        5          --         --    3,001
EATON VANCE FLTING RATE
   INC COM               EQUITY       278279104      56     3,950 SH    -- DEFINED        4          --         --    3,950
EATON VANCE INS MUN BD
   FD COM                EQUITY       27827X101      33     2,500 SH    -- DEFINED        5          --         --    2,500
EATON VANCE LTD DUR
   INCOME F COM          EQUITY       27828H105      87     6,150 SH    -- DEFINED        4          --         --    6,150
EATON VANCE LTD DUR
   INCOME F COM          EQUITY       27828H105      23     1,610 SH    -- DEFINED        5          --         --    1,610
EATON VANCE MUNI INCOME
   TRUS SH BEN INT       EQUITY       27826U108     444    32,800 SH    -- DEFINED        4          --         --   32,800
EATON VANCE MUNI INCOME
   TRUS SH BEN INT       EQUITY       27826U108      38     2,819 SH    -- DEFINED        5          --         --    2,819
EATON VANCE SH TM DR
   DIVR IN COM           EQUITY       27828V104      19     1,250 SH    -- DEFINED        4          --         --    1,250
EATON VANCE SR FLTNG
   RTE TR COM            EQUITY       27828Q105      80     5,767 SH    -- DEFINED        4          --         --    5,767
EATON VANCE SR FLTNG
   RTE TR COM            EQUITY       27828Q105     144    10,465 SH    -- DEFINED        5          --         --   10,465
EATON VANCE SR INCOME
   TR SH BEN INT         EQUITY       27826S103       9     1,450 SH    -- DEFINED        4          --         --    1,450
EATON VANCE TAX ADVT
   DIV INC COM           EQUITY       27828G107      13       560 SH    -- DEFINED        5          --         --      560
EATON VANCE TAX MNGED
   BUY WR COM            EQUITY       27828X100       8       500 SH    -- DEFINED        5          --         --      500
EATON VANCE TX ADV GLBL
   DIV COM               EQUITY       27828S101      30     1,347 SH    -- DEFINED        4          --         --    1,347
EATON VANCE TX ADV GLBL
   DIV COM               EQUITY       27828S101      19       862 SH    -- DEFINED        5          --         --      862
EATON VANCE TX MGD DIV
   EQ IN COM             EQUITY       27828N102      17     1,100 SH    -- DEFINED        4          --         --    1,100
EATON VANCE TX MGD DIV
   EQ IN COM             EQUITY       27828N102       8       540 SH    -- DEFINED        5          --         --      540
EATON VANCE TX MNG BY
   WRT OP COM            EQUITY       27828Y108       3       220 SH    -- DEFINED        4          --         --      220
EATON VANCE TX MNG BY
   WRT OP COM            EQUITY       27828Y108      16     1,000 SH    -- DEFINED        5          --         --    1,000
EBAY INC                 EQUITY       278642103   3,946   132,233 SH    -- SOLE           2     132,233         --       --
EBAY INC COM             EQUITY       278642103      59     1,965 SH    -- DEFINED        4          --         --    1,965
EBAY INC COM             EQUITY       278642103     228     7,657 SH    -- DEFINED        5          --         --    7,657
EBAY, INC.               EQUITY       278642103  35,782 1,199,134 SH    -- SOLE           1   1,199,134         --       --
ECHELON                  EQUITY       27874N105     347    25,677 SH    -- SOLE           1      25,677         --       --
ECHELON CORP COM         EQUITY       27874N105      14     1,000 SH    -- DEFINED        4          --         --    1,000
ECHELON CORP COM         EQUITY       27874N105       7       500 SH    -- DEFINED        5          --         --      500
ECHOSTAR CORP            EQUITY       278768106      35     1,193 SH    -- SOLE           1       1,193         --       --
ECLIPSYS CORP COM        EQUITY       278856109       2       125 SH    -- DEFINED        5          --         --      125
ECLIPSYS CORP.           EQUITY       278856109     768    39,189 SH    -- SOLE           1      39,189         --       --
ECOLAB INC               EQUITY       278865100       9       210 SH    -- SOLE           2         210         --       --
ECOLAB INC COM           EQUITY       278865100     190     4,366 SH    -- DEFINED        5          --         --    4,366
ECOLAB, INC.             EQUITY       278865100   4,971   114,449 SH    -- SOLE           1     114,449         --       --
EDDIE BAUER HOLDINGS INC EQUITY       071625107     102    26,135 SH    -- SOLE           1      26,135         --       --
EDGE PETROLEUM CORP      EQUITY       279862106      98    24,424 SH    -- SOLE           1      24,424         --       --
EDISON INTERNATIONAL INC EQUITY       281020107  31,642   645,487 SH    -- SOLE           1     645,487         --       --
EDISON INTL              EQUITY       281020107   1,051    21,439 SH    -- SOLE           2      21,439         --       --
EDISON INTL COM          EQUITY       281020107      48       985 SH    -- DEFINED        5          --         --      985
EDWARDS LIFESCIENCES CP  EQUITY       28176E108   6,034   135,435 SH    -- SOLE           1     135,435         --       --
EHEALTH INC              EQUITY       28238P109     253    11,450 SH    -- SOLE           1      11,450         --       --
EI DU PONT DE NEMOURS &
   CO                    EQUITY       263534109  31,809   680,253 SH    -- SOLE           1     680,253         --       --
EL PASO CORP             EQUITY       28336L109   6,375   383,113 SH    -- SOLE           1     383,113         --       --
EL PASO CORP             EQUITY       28336L109      14       838 SH    -- SOLE           2         838         --       --
EL PASO CORP COM         EQUITY       28336L109      10       580 SH    -- DEFINED        4          --         --      580
EL PASO CORP COM         EQUITY       28336L109      13       800 SH    -- DEFINED        5          --         --      800
EL PASO ELECTRIC CO.     EQUITY       283677854     839    39,277 SH    -- SOLE           1      39,277         --       --
ELAN PLC ADR             EQUITY       284131208      16       752 SH    -- DEFINED        5          --         --      752
ELBIT SYSTEMS LTD        EQUITY       M3760D101     283     5,100 SH    -- SOLE           2       5,100         --       --
ELDORADO GOLD
   CORPORATION           EQUITY       284902103      38     5,518 SH    -- OTHER          1          --      5,518       --
ELECTRO RENT CORP.       EQUITY       285218103     225    14,862 SH    -- SOLE           1      14,862         --       --
ELECTRO SCIENTIFIC
   INDUSTRIES,           EQUITY       285229100     413    25,068 SH    -- SOLE           1      25,068         --       --
ELECTRONIC ARTS          EQUITY       285512109  49,510   991,788 SH    -- SOLE           1     991,788         --       --
ELECTRONIC ARTS INC      EQUITY       285512109   5,601   112,195 SH    -- SOLE           2     112,195         --       --
ELECTRONIC ARTS INC COM  EQUITY       285512109      50       997 SH    -- DEFINED        4          --         --      997





                                                                                  
ELECTRONIC ARTS INC COM  EQUITY       285512109       3        65 SH    -- DEFINED        5          --         --       65
ELECTRONIC DATA SYS
   CORP N                EQUITY       285661104      10       609 SH    -- SOLE           2         609         --       --
ELECTRONIC DATA SYS NEW
   COM                   EQUITY       285661104      54     3,220 SH    -- DEFINED        5          --         --    3,220
ELECTRONIC DATA SYSTEMS
   CORP.                 EQUITY       285661104   3,759   225,761 SH    -- SOLE           1     225,761         --       --
ELECTRONICS FOR
   IMAGING, INC.         EQUITY       286082102     685    45,884 SH    -- SOLE           1      45,884         --       --
ELI LILLY AND CO.        EQUITY       532457108 100,498 1,948,017 SH    -- SOLE           1   1,948,017         --       --
ELIZABETH ARDEN INC      EQUITY       28660G106     417    20,922 SH    -- SOLE           1      20,922         --       --
EMBARQ CORP              EQUITY       29078E105  12,653   315,530 SH    -- SOLE           1     315,530         --       --
EMBARQ CORP              EQUITY       29078E105     161     4,013 SH    -- SOLE           2       4,013         --       --
EMBARQ CORP COM          EQUITY       29078E105      53     1,318 SH    -- DEFINED        5          --         --    1,318
EMC CORP                 EQUITY       268648102   1,517   105,811 SH    -- SOLE           2     105,811         --       --
EMC CORP.                EQUITY       268648102  30,275 2,111,197 SH    -- SOLE           1   2,111,197         --       --
EMC INS GROUP INC        EQUITY       268664109     138     5,125 SH    -- SOLE           1       5,125         --       --
EMCOR GROUP, INC.        EQUITY       29084Q100   1,215    54,715 SH    -- SOLE           1      54,715         --       --
EMERGENCY MED SVCS CORP  EQUITY       29100P102   3,573   144,700 SH    -- SOLE           2     144,700         --       --
EMERGENCY MEDICAL
   SERVICES CORP         EQUITY       29100P102     197     7,969 SH    -- SOLE           1       7,969         --       --
EMERGENT BIOSOLUTIONS
   INC                   EQUITY       29089Q105      46     5,124 SH    -- SOLE           1       5,124         --       --
EMERITUS CORP            EQUITY       291005106     219    10,479 SH    -- SOLE           1      10,479         --       --
EMERSON ELEC CO          EQUITY       291011104   7,159   139,113 SH    -- SOLE           2     139,113         --       --
EMERSON ELEC CO COM      EQUITY       291011104     199     3,860 SH    -- DEFINED        4          --         --    3,860
EMERSON ELEC CO COM      EQUITY       291011104      58     1,127 SH    -- DEFINED        5          --         --    1,127
EMERSON ELECTRIC CO.     EQUITY       291011104  21,940   426,350 SH    -- SOLE           1     426,350         --       --
EMMIS COMMUNICATIONS
   CORP. CLASS A         EQUITY       291525103      90    25,817 SH    -- SOLE           1      25,817         --       --
EMPIRE DIST ELEC CO COM  EQUITY       291641108      56     2,750 SH    -- DEFINED        4          --         --    2,750
EMPIRE DISTRICT
   ELECTRIC CO.          EQUITY       291641108     583    28,782 SH    -- SOLE           1      28,782         --       --
EMPLOYERS HOLDINGS INC   EQUITY       292218104     789    42,568 SH    -- SOLE           1      42,568         --       --
EMS TECHNOLOGIES INC     EQUITY       26873N108     357    13,171 SH    -- SOLE           1      13,171         --       --
EMULEX CORP              EQUITY       292475209   1,189    73,223 SH    -- SOLE           1      73,223         --       --
EMULEX CORP              EQUITY       292475209     991    61,000 SH    -- SOLE           2      61,000         --       --
EMULEX CORP COM NEW      EQUITY       292475209       8       500 SH    -- DEFINED        5          --         --      500
ENBRIDGE ENERGY
   MANAGEMENT L SHS
   UNITS LLI             EQUITY       29250X103       3        58 SH    -- DEFINED        4          --         --       58
ENBRIDGE ENERGY
   PARTNERS L P COM      EQUITY       29250R106     182     3,830 SH    -- DEFINED        4          --         --    3,830
ENBRIDGE ENERGY
   PARTNERS L P COM      EQUITY       29250R106     147     3,100 SH    -- DEFINED        5          --         --    3,100
ENBRIDGE INC             EQUITY       29250N105   2,012    48,809 SH    -- OTHER          1          --     48,809       --
ENCANA CORP              EQUITY       292505104  15,771   207,193 SH    -- OTHER          1          --    207,193       --
ENCANA CORP COM          EQUITY       292505104      91     1,204 SH    -- DEFINED        4          --         --    1,204
ENCANA CORP COM          EQUITY       292505104      77     1,018 SH    -- DEFINED        5          --         --    1,018
ENCORE ACQUISITION CO    EQUITY       29255W100   7,228   179,445 SH    -- SOLE           1     179,445         --       --
ENCORE CAP GROUP INC COM EQUITY       292554102       5       700 SH    -- DEFINED        5          --         --      700
ENCORE CAPITAL GROUP INC EQUITY       292554102      94    13,786 SH    -- SOLE           1      13,786         --       --
ENCORE WIRE CORP         EQUITY       292562105     365    20,035 SH    -- SOLE           1      20,035         --       --
ENCORIUM GROUP INC COM   EQUITY       29257R109       4     2,000 SH    -- DEFINED        5          --         --    2,000
ENCYSIVE
   PHARMACEUTICALS INC   EQUITY       29256X107     145    61,510 SH    -- SOLE           1      61,510         --       --
ENDO PHARMACEUTICALS     EQUITY       29264F205   7,710   322,070 SH    -- SOLE           1     322,070         --       --
ENDO PHARMACEUTICALS
   HLDGS I COM           EQUITY       29264F205       4       175 SH    -- DEFINED        4          --         --      175
ENERGEN CORP             EQUITY       29265N108     690    11,070 SH    -- SOLE           2      11,070         --       --
ENERGEN CORP COM         EQUITY       29265N108       1        19 SH    -- DEFINED        4          --         --       19
ENERGEN CORP.            EQUITY       29265N108  10,747   172,501 SH    -- SOLE           1     172,501         --       --
ENERGIZER HLDGS INC      EQUITY       29266R108   7,224    79,840 SH    -- SOLE           2      79,840         --       --
ENERGIZER HLDGS INC COM  EQUITY       29266R108      16       176 SH    -- DEFINED        5          --         --      176
ENERGIZER HOLDINGS INC   EQUITY       29266R108  12,416   137,224 SH    -- SOLE           1     137,224         --       --
ENERGY CONVERSION
   DEVICES IN COM        EQUITY       292659109      21       700 SH    -- DEFINED        4          --         --      700
ENERGY CONVERSION
   DEVICES IN COM        EQUITY       292659109      19       650 SH    -- DEFINED        5          --         --      650
ENERGY CONVERSION
   DEVICES, INC          EQUITY       292659109   1,016    33,973 SH    -- SOLE           1      33,973         --       --
ENERGY EAST CORP         EQUITY       29266M109   9,160   379,788 SH    -- SOLE           1     379,788         --       --
ENERGY EAST CORP COM     EQUITY       29266M109      65     2,702 SH    -- DEFINED        4          --         --    2,702





                                                                                  
ENERGY INCOME & GROWTH
   FD COM                EQUITY       292697109      32     1,473 SH    -- DEFINED        4          --         --    1,473
ENERGY INCOME & GROWTH
   FD COM                EQUITY       292697109      26     1,200 SH    -- DEFINED        5          --         --    1,200
ENERGY INFRASTRUCTURE
   ACQUISITION CORP      EQUITY       29269P109     191    19,157 SH    -- SOLE           1      19,157         --       --
ENERGY PARTNERS LTD      EQUITY       29270U105     230    24,243 SH    -- SOLE           1      24,243         --       --
ENERGY SOLUTIONS INC     EQUITY       292756202     321    14,000 SH    -- SOLE           2      14,000         --       --
ENERGY TRANSFER EQUITY
   LP                    EQUITY       29273V100   6,794   217,466 SH    -- SOLE           1     217,466         --       --
ENERGYSOLUTIONS INC      EQUITY       292756202     591    25,749 SH    -- SOLE           1      25,749         --       --
ENERGYSOUTH INC          EQUITY       292970100     318     6,084 SH    -- SOLE           1       6,084         --       --
ENERNOC INC              EQUITY       292764107     220    19,313 SH    -- SOLE           1      19,313         --       --
ENERPLUS RES FD UNIT TR
   G NEW                 EQUITY       29274D604     228     5,263 SH    -- DEFINED        4          --         --    5,263
ENERPLUS RES FD UNIT TR
   G NEW                 EQUITY       29274D604      17       400 SH    -- DEFINED        5          --         --      400
ENERPLUS RESOURCES FUND  EQUITY       29274D604   1,691    38,855 SH    -- OTHER          1          --     38,855       --
ENERSIS S A SPONSORED
   ADR                   EQUITY       29274F104      20     1,105 SH    -- DEFINED        5          --         --    1,105
ENERSYS                  EQUITY       29275Y102     439    18,353 SH    -- SOLE           1      18,353         --       --
ENGLOBAL CORP            EQUITY       293306106     123    14,345 SH    -- SOLE           1      14,345         --       --
ENGLOBAL CORP COM        EQUITY       293306106       5       600 SH    -- DEFINED        5          --         --      600
ENNIS INC                EQUITY       293389102     368    21,950 SH    -- SOLE           1      21,950         --       --
ENPRO INDUSTRIES INC     EQUITY       29355X107     574    18,408 SH    -- SOLE           1      18,408         --       --
ENSCO INTERNATIONAL,
   INC.                  EQUITY       26874Q100  14,395   229,872 SH    -- SOLE           1     229,872         --       --
ENSCO INTL INC           EQUITY       26874Q100     180     2,872 SH    -- SOLE           2       2,872         --       --
ENSCO INTL INC COM       EQUITY       26874Q100      11       171 SH    -- DEFINED        5          --         --      171
ENSIGN GROUP INC/THE     EQUITY       29358P101      37     3,955 SH    -- SOLE           1       3,955         --       --
ENTEGRIS INC             EQUITY       29362U104     714    99,342 SH    -- SOLE           1      99,342         --       --
ENTEGRIS INC COM         EQUITY       29362U104       3       382 SH    -- DEFINED        5          --         --      382
ENTERCOM COMMUNICATIONS
   CORP CL A             EQUITY       293639100       2       214 SH    -- DEFINED        4          --         --      214
ENTERCOM COMMUNICATIONS
   CORP.                 EQUITY       293639100     881    88,720 SH    -- SOLE           1      88,720         --       --
ENTERGY ARKANSAS INC     EQUITY       29364G103   8,635    79,163 SH    -- SOLE           1      79,163         --       --
ENTERGY CORP NEW         EQUITY       29364G103      25       228 SH    -- SOLE           2         228         --       --
ENTERGY CORP NEW COM     EQUITY       29364G103      41       373 SH    -- DEFINED        4          --         --      373
ENTERGY CORP NEW COM     EQUITY       29364G103      11       100 SH    -- DEFINED        5          --         --      100
ENTERPRISE FINANCIAL
   SERVICE               EQUITY       293712105     221     8,840 SH    -- SOLE           1       8,840         --       --
ENTERPRISE PROD PTNRS    EQUITY       293792107   2,921    98,350 SH    -- SOLE           1      98,350         --       --
ENTERPRISE PRODS
   PARTNERS L COM        EQUITY       293792107       9       290 SH    -- DEFINED        4          --         --      290
ENTERPRISE PRODS
   PARTNERS L COM        EQUITY       293792107     312    10,495 SH    -- DEFINED        5          --         --   10,495
ENTERTAINMENT
   PROPERTIES TRUST      EQUITY       29380T105   7,964   161,445 SH    -- SOLE           1     161,445         --       --
ENTRAVISION COMMUNIC     EQUITY       29382R107     359    53,856 SH    -- SOLE           1      53,856         --       --
ENTROPIC COMMUNICATIONS
   INC                   EQUITY       29384R105      32     7,910 SH    -- SOLE           1       7,910         --       --
ENZO BIOCHEM, INC.       EQUITY       294100102     242    26,633 SH    -- SOLE           1      26,633         --       --
ENZON PHARMACEUTICALS
   INC                   EQUITY       293904108     348    37,803 SH    -- SOLE           1      37,803         --       --
EOG RES INC COM          EQUITY       26875P101      22       185 SH    -- DEFINED        5          --         --      185
EOG RESOURCES INC        EQUITY       26875P101  25,705   214,208 SH    -- SOLE           1     214,208         --       --
EOG RESOURCES INC        EQUITY       26875P101      35       295 SH    -- SOLE           2         295         --       --
EPICOR SOFTWARE CORP     EQUITY       29426L108   4,145   370,100 SH    -- SOLE           2     370,100         --       --
EPICOR SOFTWARE
   CORPORATION           EQUITY       29426L108     558    49,847 SH    -- SOLE           1      49,847         --       --
EPIQ SYS INC COM         EQUITY       26882D109     821    52,900 SH    -- SOLE           3      52,900         --       --
EPIQ SYSTEMS INC         EQUITY       26882D109     412    26,524 SH    -- SOLE           1      26,524         --       --
EPOCH HOLDING CORP       EQUITY       29428R103      89     7,461 SH    -- SOLE           1       7,461         --       --
EQUIFAX INC              EQUITY       294429105  10,246   297,155 SH    -- SOLE           2     297,155         --       --
EQUIFAX, INC.            EQUITY       294429105   1,882    54,589 SH    -- SOLE           1      54,589         --       --
EQUINIX INC              EQUITY       29444U502   2,051    30,853 SH    -- SOLE           1      30,853         --       --
EQUINIX INC              EQUITY       29444U502     691    10,400 SH    -- SOLE           2      10,400         --       --
EQUITABLE RES INC COM    EQUITY       294549100     636    10,800 SH    -- DEFINED        5          --         --   10,800
EQUITABLE RESOURCES,
   INC.                  EQUITY       294549100  17,136   290,932 SH    -- SOLE           1     290,932         --       --
EQUITY LIFESTYLE
   PROPERTIES INC        EQUITY       29472R108   7,615   154,248 SH    -- SOLE           1     154,248         --       --
EQUITY ONE INC           EQUITY       294752100   2,848   118,819 SH    -- SOLE           1     118,819         --       --
EQUITY RESIDENTIAL       EQUITY       29476L107   6,996   168,630 SH    -- SOLE           1     168,630         --       --





                                                                                  
EQUITY RESIDENTIAL       EQUITY       29476L107      13       322 SH    -- SOLE           2         322         --       --
ERESEARCH TECHNOLOGY INC EQUITY       29481V108     720    58,000 SH    -- SOLE           2      58,000         --       --
ERESEARCHTECHNOLOGY IN   EQUITY       29481V108     417    33,600 SH    -- SOLE           1      33,600         --       --
ERESEARCHTECHNOLOGY INC
   COM                   EQUITY       29481V108       2       200 SH    -- DEFINED        5          --         --      200
ERICSSON L M TEL CO ADR
   B SEK 10              EQUITY       294821608       2        80 SH    -- DEFINED        4          --         --       80
ERIE INDEMNITY COMPA     EQUITY       29530P102      68     1,323 SH    -- SOLE           1       1,323         --       --
ESCO ELECTRONICS CORP    EQUITY       296315104     884    22,258 SH    -- SOLE           1      22,258         --       --
ESMARK INC               EQUITY       296475106     128    11,313 SH    -- SOLE           1      11,313         --       --
ESPEED INC               EQUITY       296643109     195    16,693 SH    -- SOLE           1      16,693         --       --
ESSEX PROPERTY TRUST,
   INC.                  EQUITY       297178105  11,739   102,989 SH    -- SOLE           1     102,989         --       --
ESTEE LAUDER
   COMPANIES-CL A        EQUITY       518439104   2,291    49,966 SH    -- SOLE           1      49,966         --       --
ESTERLINE TECHNOLOGIES
   CORP.                 EQUITY       297425100   1,264    25,090 SH    -- SOLE           1      25,090         --       --
ETABLISSEMENTS DELHAIZE
   FRER SPONSORED ADR    EQUITY       29759W101      13       162 SH    -- DEFINED        4          --         --      162
ETHAN ALLEN INTERIOR     EQUITY       297602104     599    21,063 SH    -- SOLE           1      21,063         --       --
EURONET WORLDWIDE INC    EQUITY       298736109     758    39,332 SH    -- SOLE           1      39,332         --       --
EV3 INC                  EQUITY       26928A200     323    39,734 SH    -- SOLE           1      39,734         --       --
EVERCORE PARTNERS INC    EQUITY       29977A105     140     7,907 SH    -- SOLE           1       7,907         --       --
EVEREST RE GROUP LTD COM EQUITY       G3223R108      10       116 SH    -- DEFINED        5          --         --      116
EVERGREEN ENERGY INC     EQUITY       30024B104     111    71,786 SH    -- SOLE           1      71,786         --       --
EVERGREEN ENERGY INC COM EQUITY       30024B104       2     1,000 SH    -- DEFINED        5          --         --    1,000
EVERGREEN GBL DIVID OPP
   FUND COM              EQUITY       30024H101       8       500 SH    -- DEFINED        5          --         --      500
EVERGREEN INCOME
   ADVANTAGE F COM SHS   EQUITY       30023Y105      56     5,334 SH    -- DEFINED        4          --         --    5,334
EVERGREEN INCOME
   ADVANTAGE F COM SHS   EQUITY       30023Y105       7       709 SH    -- DEFINED        5          --         --      709
EVERGREEN INTL BALANCED
   INCO COM              EQUITY       30024R109       3       175 SH    -- DEFINED        5          --         --      175
EVERGREEN MULTI SECT
   INC FUN COM SHS       EQUITY       30024Y104      12       755 SH    -- DEFINED        5          --         --      755
EVERGREEN SOLAR INC      EQUITY       30033R108     799    86,161 SH    -- SOLE           1      86,161         --       --
EVERGREEN UTLS & HIGH
   INCM F COM            EQUITY       30034Q109      23     1,000 SH    -- DEFINED        5          --         --    1,000
EXACT SCIENCES CORP COM  EQUITY       30063P105       3     1,000 SH    -- DEFINED        5          --         --    1,000
EXAR CORP.               EQUITY       300645108     290    35,225 SH    -- SOLE           1      35,225         --       --
EXCEL MARITIME CARRIERS
   LTD COM               EQUITY       V3267N107     305    10,400 SH    -- DEFINED        5          --         --   10,400
EXCEL TECHNOLOGY         EQUITY       30067T103     256     9,479 SH    -- SOLE           1       9,479         --       --
EXCO RESOURCES INC       EQUITY       269279402     978    52,887 SH    -- SOLE           1      52,887         --       --
EXELIXIS, INC.           EQUITY       30161Q104     622    89,461 SH    -- SOLE           1      89,461         --       --
EXELON CORP              EQUITY       30161N101  27,200   334,687 SH    -- SOLE           1     334,687         --       --
EXELON CORP              EQUITY       30161N101      64       790 SH    -- SOLE           2         790         --       --
EXELON CORP COM          EQUITY       30161N101     344     4,233 SH    -- DEFINED        4          --         --    4,233
EXELON CORP COM          EQUITY       30161N101      47       577 SH    -- DEFINED        5          --         --      577
EXIDE TECHNOLOGIES       EQUITY       302051206     838    63,984 SH    -- SOLE           1      63,984         --       --
EXLSERVICE HOLDINGS INC  EQUITY       302081104     445    19,387 SH    -- SOLE           1      19,387         --       --
EXPEDIA INC              EQUITY       30212P105   6,057   276,695 SH    -- SOLE           1     276,695         --       --
EXPEDIA INC DEL          EQUITY       30212P105     138     6,299 SH    -- SOLE           2       6,299         --       --
EXPEDIA INC DEL COM      EQUITY       30212P105       2        85 SH    -- DEFINED        4          --         --       85
EXPEDITORS
   INTERNATIONAL OF WA   EQUITY       302130109   4,623   102,317 SH    -- SOLE           1     102,317         --       --
EXPEDITORS INTL WA INC   EQUITY       302130109      12       255 SH    -- SOLE           2         255         --       --
EXPEDITORS INTL WASH
   INC COM               EQUITY       302130109      20       448 SH    -- DEFINED        5          --         --      448
EXPONENT INC             EQUITY       30214U102     418    12,730 SH    -- SOLE           1      12,730         --       --
EXPRESS SCRIPTS INC      EQUITY       302182100   1,434    22,302 SH    -- SOLE           2      22,302         --       --
EXPRESS SCRIPTS INC COM  EQUITY       302182100      51       800 SH    -- DEFINED        4          --         --      800
EXPRESS SCRIPTS, INC.    EQUITY       302182100  10,535   163,789 SH    -- SOLE           1     163,789         --       --
EXPRESSJET HOLDINGS IN   EQUITY       30218U108     122    46,463 SH    -- SOLE           1      46,463         --       --
EXTERRAN HLDGS INC       EQUITY       30225X103  22,047   341,600 SH    -- SOLE           2     341,600         --       --
EXTERRAN HOLDINGS INC    EQUITY       30225X103  13,324   206,450 SH    -- SOLE           1     206,450         --       --
EXTRA SPACE STORAGE INC  EQUITY       30225T102     716    44,208 SH    -- SOLE           1      44,208         --       --
EXTREME NETWORK INC      EQUITY       30226D106     315   101,627 SH    -- SOLE           1     101,627         --       --
EXTREME NETWORKS INC COM EQUITY       30226D106       2       500 SH    -- DEFINED        5          --         --      500
EXXON MOBIL CORP         EQUITY       30231G102  44,029   520,561 SH    -- SOLE           2     520,561         --       --





                                                                                  
EXXON MOBIL CORP COM     EQUITY       30231G102   1,197    14,147 SH    -- DEFINED        4          --         --   14,147
EXXON MOBIL CORP COM     EQUITY       30231G102   2,721    32,173 SH    -- DEFINED        5          --         --   32,173
EXXON MOBIL CORP.        EQUITY       30231G102 317,005 3,747,995 SH    -- SOLE           1   3,747,995         --       --
EZCORP INC               EQUITY       302301106     391    31,778 SH    -- SOLE           1      31,778         --       --
EZCORP INC               EQUITY       302301106     528    42,900 SH    -- SOLE           2      42,900         --       --
F M C CORP COM NEW       EQUITY       302491303   8,656   156,000 SH    -- SOLE           3      58,900         --   97,100
F M C CORP COM NEW       EQUITY       302491303       9       154 SH    -- DEFINED        4          --         --      154
F M C CORP COM NEW       EQUITY       302491303       3        60 SH    -- DEFINED        5          --         --       60
F5 NETWORKS INC          EQUITY       315616102   3,690   203,106 SH    -- SOLE           1     203,106         --       --
FACTSET RESEARCH
   SYSTEMS, INC.         EQUITY       303075105      73     1,354 SH    -- SOLE           1       1,354         --       --
FACTSET RESH SYS INC COM EQUITY       303075105      11       200 SH    -- DEFINED        5          --         --      200
FAIR ISSAC CORP          EQUITY       303250104   2,539   117,975 SH    -- SOLE           1     117,975         --       --
FAIRCHILD SEMICONDUCTOR
   CORP.                 EQUITY       303726103   3,549   297,711 SH    -- SOLE           1     297,711         --       --
FAIRCHILD SEMICONDUCTOR
   INTL COM              EQUITY       303726103       2       150 SH    -- DEFINED        5          --         --      150
FAIRFAX FINANCIAL
   HOLDINGS LTD          EQUITY       303901102   1,149     3,861 SH    -- OTHER          1          --      3,861       --
FAIRPOINT
   COMMUNICATIONS INC    EQUITY       305560104     697    77,305 SH    -- SOLE           1      77,305         --       --
FAIRPOINT
   COMMUNICATIONS INC
   COM                   EQUITY       305560104      88     9,750 SH    -- DEFINED        5          --         --    9,750
FALCONSTOR SOFTWARE INC  EQUITY       306137100     209    27,456 SH    -- SOLE           1      27,456         --       --
FAMILY DLR STORES INC    EQUITY       307000109   2,798   143,488 SH    -- SOLE           2     143,488         --       --
FAMILY DLR STORES INC
   COM                   EQUITY       307000109      38     1,950 SH    -- DEFINED        5          --         --    1,950
FAMILY DOLLAR STORES,
   INC.                  EQUITY       307000109   3,841   196,995 SH    -- SOLE           1     196,995         --       --
FARMER BROS. CO.         EQUITY       307675108     134     5,776 SH    -- SOLE           1       5,776         --       --
FARO TECHNOLOGIES INC    EQUITY       311642102     444    14,231 SH    -- SOLE           1      14,231         --       --
FASTENAL CO COM          EQUITY       311900104     488    10,618 SH    -- DEFINED        4          --         --   10,618
FASTENAL CO COM          EQUITY       311900104     481    10,475 SH    -- DEFINED        5          --         --   10,475
FASTENAL CO.             EQUITY       311900104  14,066   306,249 SH    -- SOLE           1     306,249         --       --
FBL FINANCIAL GROUP,
   INC., CLASS A         EQUITY       30239F106     352    12,342 SH    -- SOLE           1      12,342         --       --
FBR CAPITAL MARKETS CORP EQUITY       30247C301     180    26,655 SH    -- SOLE           1      26,655         --       --
FCSTONE GROUP INC        EQUITY       31308T100     209     7,557 SH    -- SOLE           1       7,557         --       --
FEDERAL AGRIC MTG CORP   EQUITY       313148306     231     8,854 SH    -- SOLE           1       8,854         --       --
FEDERAL HOME LN MTG CORP EQUITY       313400301     139     5,492 SH    -- SOLE           2       5,492         --       --
FEDERAL HOME LN MTG
   CORP COM              EQUITY       313400301       6       242 SH    -- DEFINED        4          --         --      242
FEDERAL HOME LN MTG
   CORP COM              EQUITY       313400301       4       144 SH    -- DEFINED        5          --         --      144
FEDERAL NATIONAL
   MORTGAGE ASSO         EQUITY       313586109  20,570   781,546 SH    -- SOLE           1     781,546         --       --
FEDERAL NATL MTG ASSN    EQUITY       313586109     634    24,106 SH    -- SOLE           2      24,106         --       --
FEDERAL NATL MTG ASSN
   COM                   EQUITY       313586109       4       162 SH    -- DEFINED        4          --         --      162
FEDERAL NATL MTG ASSN
   COM                   EQUITY       313586109      15       564 SH    -- DEFINED        5          --         --      564
FEDERAL REALTY INVS
   TRUST                 EQUITY       313747206  18,808   241,283 SH    -- SOLE           1     241,283         --       --
FEDERAL REALTY INVT TR
   SH BEN INT NEW        EQUITY       313747206      22       280 SH    -- DEFINED        4          --         --      280
FEDERAL SIGNAL CORP.     EQUITY       313855108   2,156   154,428 SH    -- SOLE           1     154,428         --       --
FEDERATED INVESTORS      EQUITY       314211103  10,078   257,356 SH    -- SOLE           1     257,356         --       --
FEDERATED INVS INC PA    EQUITY       314211103     190     4,853 SH    -- SOLE           2       4,853         --       --
FEDEX CORP               EQUITY       31428X106      34       370 SH    -- SOLE           2         370         --       --
FEDEX CORP COM           EQUITY       31428X106       2        17 SH    -- DEFINED        4          --         --       17
FEDEX CORP COM           EQUITY       31428X106     569     6,142 SH    -- DEFINED        5          --         --    6,142
FEDEX CORPORATION        EQUITY       31428X106  11,784   127,160 SH    -- SOLE           1     127,160         --       --
FEI COMPANY              EQUITY       30241L109     680    31,127 SH    -- SOLE           1      31,127         --       --
FELCOR LODGING TR INC
   PFD CV A $1.95        EQUITY       31430F200      10       500 SH    -- DEFINED        5          --         --      500
FELCOR LODGING TRUST,
   INC.                  EQUITY       31430F101   1,792   148,924 SH    -- SOLE           1     148,924         --       --
FERRELLGAS PARTNERS
   L.P. UNIT LTD PART    EQUITY       315293100      52     2,442 SH    -- DEFINED        4          --         --    2,442
FERRELLGAS PARTNERS
   L.P. UNIT LTD PART    EQUITY       315293100     146     6,900 SH    -- DEFINED        5          --         --    6,900
FERRO CORP.              EQUITY       315405100   2,088   140,527 SH    -- SOLE           1     140,527         --       --
FIBERTOWER CORP          EQUITY       31567R100     230   130,643 SH    -- SOLE           1     130,643         --       --
FIDELITY COMWLTH TR NDQ
   CP IDX TRK            EQUITY       315912808      54       600 SH    -- DEFINED        5          --         --      600
FIDELITY NATIONAL
   FINANCIAL CL A        EQUITY       31620R105       7       378 SH    -- DEFINED        5          --         --      378
FIDELITY NATIONAL FINL-A EQUITY       31620R105   9,429   514,426 SH    -- SOLE           1     514,426         --       --





                                                                                  
FIDELITY NAT'L INFO
   SVCS INC              EQUITY       31620M106   2,802    73,460 SH    -- SOLE           1      73,460         --       --
FIDELITY NATL
   INFORMATION           EQUITY       31620M106  19,749   517,805 SH    -- SOLE           2     517,805         --       --
FIDELITY NATL
   INFORMATION SV COM    EQUITY       31620M106       4       107 SH    -- DEFINED        5          --         --      107
FIDUCIARY CLAYMORE MLP
   OPP F COM             EQUITY       31647Q106      24     1,166 SH    -- DEFINED        5          --         --    1,166
FIFTH THIRD BANCORP      EQUITY       316773100   4,576   218,723 SH    -- SOLE           1     218,723         --       --
FIFTH THIRD BANCORP      EQUITY       316773100      53     2,537 SH    -- SOLE           2       2,537         --       --
FIFTH THIRD BANCORP COM  EQUITY       316773100      20       939 SH    -- DEFINED        4          --         --      939
FIFTH THIRD BANCORP COM  EQUITY       316773100      32     1,553 SH    -- DEFINED        5          --         --    1,553
FINANCIAL FEDERAL CORP.  EQUITY       317492106     477    21,848 SH    -- SOLE           1      21,848         --       --
FINANCIAL SELECT SECTOR
   SPDR FUND             EQUITY       81369Y605     497    20,000 SH    -- SOLE           1      20,000         --       --
FINISAR COM              EQUITY       31787A101      12     9,703 SH    -- DEFINED        5          --         --    9,703
FINISAR CORPORATION      EQUITY       31787A101     294   229,846 SH    -- SOLE           1     229,846         --       --
FINISH LINE INC CL A     EQUITY       317923100       1       300 SH    -- DEFINED        5          --         --      300
FINISH LINE, INC.        EQUITY       317923100     173    36,449 SH    -- SOLE           1      36,449         --       --
FIRST ACCEPTANCE CORP    EQUITY       318457108      42    14,580 SH    -- SOLE           1      14,580         --       --
FIRST ADVANTAGE CORP CL
   A                     EQUITY       31845F100      34     1,618 SH    -- DEFINED        4          --         --    1,618
FIRST ADVANTAGE CORP-CL
   A                     EQUITY       31845F100     135     6,375 SH    -- SOLE           1       6,375         --       --
FIRST AMERICAN CAP
   TRUST CLASS A         EQUITY       318522307   7,495   220,839 SH    -- SOLE           1     220,839         --       --
FIRST AMERN CORP CALIF
   COM                   EQUITY       318522307      39     1,138 SH    -- DEFINED        5          --         --    1,138
FIRST BANCORP N C COM    EQUITY       318910106      33     1,650 SH    -- DEFINED        4          --         --    1,650
FIRST BANCORP NORTH
   CAROLINA              EQUITY       318910106     206    10,328 SH    -- SOLE           1      10,328         --       --
FIRST BANCORP P R COM    EQUITY       318672102       5       522 SH    -- DEFINED        5          --         --      522
FIRST BANCORP/PUERTO
   RICO                  EQUITY       318672102     806    79,363 SH    -- SOLE           1      79,363         --       --
FIRST BUSEY CORP         EQUITY       319383105     470    22,267 SH    -- SOLE           1      22,267         --       --
FIRST CASH FINL SVCS INC EQUITY       31942D107     221    21,349 SH    -- SOLE           1      21,349         --       --
FIRST CHARTER CORP COM   EQUITY       319439105      30     1,120 SH    -- DEFINED        5          --         --    1,120
FIRST CHARTER CORP.      EQUITY       319439105     805    30,156 SH    -- SOLE           1      30,156         --       --
FIRST CITIZENS
   BANCSHARES, INC
   CLASS A               EQUITY       31946M103       6        42 SH    -- SOLE           1          42         --       --
FIRST CMNTY BANCORP CA   EQUITY       31983B101   7,951   296,109 SH    -- SOLE           1     296,109         --       --
FIRST COMMONWEALTH
   FINANCIAL             EQUITY       319829107     736    63,490 SH    -- SOLE           1      63,490         --       --
FIRST COMMUNITY
   BANCSHARES INC        EQUITY       31983A103     314     8,616 SH    -- SOLE           1       8,616         --       --
FIRST FINANCIAL BANCORP  EQUITY       320209109     383    28,486 SH    -- SOLE           1      28,486         --       --
FIRST FINANCIAL
   BANKSHARES            EQUITY       32020R109     730    17,805 SH    -- SOLE           1      17,805         --       --
FIRST FINANCIAL CORP.    EQUITY       320218100     349    11,329 SH    -- SOLE           1      11,329         --       --
FIRST FINANCIAL
   HOLDINGS, INC.        EQUITY       320239106     240    10,239 SH    -- SOLE           1      10,239         --       --
FIRST HORIZON NATIONAL
   CORP                  EQUITY       320517105     484    34,556 SH    -- SOLE           1      34,556         --       --
FIRST HORIZON NATL CORP  EQUITY       320517105       2       151 SH    -- SOLE           2         151         --       --
FIRST HORIZON NATL CORP
   COM                   EQUITY       320517105     182    12,993 SH    -- DEFINED        5          --         --   12,993
FIRST INDUSTRIAL
   REALITY TRUST         EQUITY       32054K103   7,883   255,194 SH    -- SOLE           1     255,194         --       --
FIRST INDUSTRIAL REALTY
   TRUS COM              EQUITY       32054K103      17       551 SH    -- DEFINED        4          --         --      551
FIRST INDUSTRIAL REALTY
   TRUS COM              EQUITY       32054K103      12       403 SH    -- DEFINED        5          --         --      403
FIRST MARBLEHEAD CORP
   COM                   EQUITY       320771108      15     2,000 SH    -- DEFINED        5          --         --    2,000
FIRST MARBLEHEAD
   CORP/THE              EQUITY       320771108      11     1,417 SH    -- SOLE           1       1,417         --       --
FIRST MERCHANTS CORP.    EQUITY       320817109     449    15,715 SH    -- SOLE           1      15,715         --       --
FIRST MERCURY FINANCIAL
   CORP                  EQUITY       320841109     185    10,604 SH    -- SOLE           1      10,604         --       --
FIRST MIDWEST BANCORP,
   INC.                  EQUITY       320867104  10,460   376,651 SH    -- SOLE           1     376,651         --       --
FIRST NIAGARA FINANCIAL
   GRP                   EQUITY       33582V108   4,604   338,774 SH    -- SOLE           1     338,774         --       --
FIRST NIAGARA FINL GP
   INC COM               EQUITY       33582V108       4       258 SH    -- DEFINED        5          --         --      258
FIRST PLACE FINANCIAL
   CORP                  EQUITY       33610T109     183    14,087 SH    -- SOLE           1      14,087         --       --
FIRST REGIONAL
   BANCORP/CAL           EQUITY       33615C101     117     7,152 SH    -- SOLE           1       7,152         --       --
FIRST SOLAR INC          EQUITY       336433107     153       660 SH    -- SOLE           1         660         --       --
FIRST SOLAR INC          EQUITY       336433107   1,456     6,300 SH    -- SOLE           2       6,300         --       --
FIRST SOLAR INC COM      EQUITY       336433107   9,639    41,700 SH    -- SOLE           3      17,800         --   23,900
FIRST SOLAR INC COM      EQUITY       336433107      71       306 SH    -- DEFINED        4          --         --      306
FIRST SOLAR INC COM      EQUITY       336433107      30       130 SH    -- DEFINED        5          --         --      130
FIRST SOUTH BANCORP IN   EQUITY       33646W100     164     7,303 SH    -- SOLE           1       7,303         --       --





                                                                                  
FIRST ST BANCORPORATIO   EQUITY       336453105     235    17,544 SH    -- SOLE           1      17,544         --       --
FIRST TR ABERDEEN GLBL
   OPP F COM SHS         EQUITY       337319107       3       200 SH    -- DEFINED        4          --         --      200
FIRST TR FTSE
   EPRA/NAREIT GL COM    EQUITY       33736N101      55     1,243 SH    -- DEFINED        4          --         --    1,243
FIRST TR STRTGC HIGH
   INCM FD COM           EQUITY       337347108       6       550 SH    -- DEFINED        4          --         --      550
FIRST TR VALUE LINE 100
   ETF COM SHS           EQUITY       33735G107       2       122 SH    -- DEFINED        5          --         --      122
FIRSTENERGY CORP         EQUITY       337932107     474     6,904 SH    -- SOLE           2       6,904         --       --
FIRSTENERGY CORP COM     EQUITY       337932107      10       150 SH    -- DEFINED        4          --         --      150
FIRSTENERGY CORP.        EQUITY       337932107  12,129   176,754 SH    -- SOLE           1     176,754         --       --
FIRSTFED FINANCIAL CORP. EQUITY       337907109     318    11,700 SH    -- SOLE           1      11,700         --       --
FIRSTMERIT CORP.         EQUITY       337915102   5,366   259,730 SH    -- SOLE           1     259,730         --       --
FISERV INC               EQUITY       337738108  32,499   675,797 SH    -- SOLE           2     675,797         --       --
FISERV INC COM           EQUITY       337738108      63     1,318 SH    -- DEFINED        5          --         --    1,318
FISERV, INC.             EQUITY       337738108   3,921    81,534 SH    -- SOLE           1      81,534         --       --
FISHER COMMUNICATIONS
   INC                   EQUITY       337756209     167     5,358 SH    -- SOLE           1       5,358         --       --
FISHER SCIENTIFIC INTL
   INC NOTE 2.500%10/0   FIXED INCOME 338032AW5       2         1 PRN   -- DEFINED        4          --         --        1
FLAGSTAR BANCORP, INC.   EQUITY       337930101     276    38,171 SH    -- SOLE           1      38,171         --       --
FLAGSTONE REINSURANCE
   HLDGS SHS             EQUITY       G3529T105       4       300 SH    -- DEFINED        5          --         --      300
FLAHERTY & CRMRN CLYMRE
   T R COM               EQUITY       338479108      16     1,000 SH    -- DEFINED        5          --         --    1,000
FLAHERTY & CRUMRINE PFD
   INC COM               EQUITY       338480106     543    53,309 SH    -- DEFINED        4          --         --   53,309
FLEETWOOD ENTERPRISES,
   INC.                  EQUITY       339099103     253    54,959 SH    -- SOLE           1      54,959         --       --
FLEXTRONICS INTL LTD ORD EQUITY       Y2573F102       3       300 SH    -- DEFINED        5          --         --      300
FLIR SYS INC             EQUITY       302445101     797    26,500 SH    -- SOLE           2      26,500         --       --
FLIR SYSTEMS INC (USD)   EQUITY       302445101   3,423   113,746 SH    -- SOLE           1     113,746         --       --
FLOTEK INDS INC DEL COM  EQUITY       343389102      16     1,116 SH    -- DEFINED        4          --         --    1,116
FLOTEK INDUSTRIES INC    EQUITY       343389102     287    19,689 SH    -- SOLE           1      19,689         --       --
FLOW INTERNATIONAL CORP  EQUITY       343468104     297    31,974 SH    -- SOLE           1      31,974         --       --
FLOWERS FOODS INC        EQUITY       343498101   1,630    65,844 SH    -- SOLE           1      65,844         --       --
FLOWERS FOODS INC        EQUITY       343498101     647    26,150 SH    -- SOLE           2      26,150         --       --
FLOWSERVE CORP COM       EQUITY       34354P105   5,720    54,800 SH    -- SOLE           3      24,000         --   30,800
FLOWSERVE CORP.          EQUITY       34354P105  14,257   136,587 SH    -- SOLE           1     136,587         --       --
FLUOR CORP               EQUITY       343412102   6,538    46,316 SH    -- SOLE           1      46,316         --       --
FLUOR CORP NEW           EQUITY       343412102      15       106 SH    -- SOLE           2         106         --       --
FLUOR CORP NEW COM       EQUITY       343412102   6,592    46,700 SH    -- SOLE           3      20,900         --   25,800
FLUOR CORP NEW COM       EQUITY       343412102      22       157 SH    -- DEFINED        4          --         --      157
FLUSHING FINANCIAL CORP  EQUITY       343873105     318    18,117 SH    -- SOLE           1      18,117         --       --
FMC CORP.                EQUITY       302491303  10,032   180,783 SH    -- SOLE           1     180,783         --       --
FMC TECHNOLOGIES INC     EQUITY       30249U101  17,828   313,384 SH    -- SOLE           1     313,384         --       --
FMC TECHNOLOGIES INC COM EQUITY       30249U101     185     3,247 SH    -- DEFINED        4          --         --    3,247
FNB CORP.                EQUITY       302520101     808    51,783 SH    -- SOLE           1      51,783         --       --
FOCUS MEDIA HLDG LTD
   SPONSORED ADR         EQUITY       34415V109      51     1,465 SH    -- DEFINED        5          --         --    1,465
FOCUS MEDIA HOLDING-ADR  EQUITY       34415V109     207     5,880 SH    -- SOLE           1       5,880         --       --
FOMENTO ECONOMICO MEX
   -SP ADR               EQUITY       344419106  10,386   248,581 SH    -- SOLE           1     248,581         --       --
FOMENTO ECONOMICO
   MEXICANO S SPON ADR
   UNITS                 EQUITY       344419106      10       246 SH    -- DEFINED        4          --         --      246
FOOT LOCKER INC          EQUITY       344849104   4,388   372,784 SH    -- SOLE           1     372,784         --       --
FORCE PROTECTION INC     EQUITY       345203202     117    58,395 SH    -- SOLE           1      58,395         --       --
FORCE PROTECTION INC
   COM NEW               EQUITY       345203202       7     3,250 SH    -- DEFINED        5          --         --    3,250
FORD MOTOR CO.           EQUITY       345370860   5,698   996,098 SH    -- SOLE           1     996,098         --       --
FORD MTR CO CAP TR II
   PFD TR CV6.5%         EQUITY       345395206   1,120    38,100 SH    -- DEFINED        5          --         --   38,100
FORD MTR CO DEL          EQUITY       345370860      15     2,638 SH    -- SOLE           2       2,638         --       --
FORD MTR CO DEL COM PAR
   $0.01                 EQUITY       345370860      19     3,333 SH    -- DEFINED        4          --         --    3,333
FORD MTR CO DEL COM PAR
   $0.01                 EQUITY       345370860     175    30,550 SH    -- DEFINED        5          --         --   30,550
FORDING CANADIAN COAL
   TRUST                 EQUITY       345425102   2,386    45,748 SH    -- OTHER          1          --     45,748       --
FORDING CDN COAL TR TR
   UNIT                  EQUITY       345425102       8       162 SH    -- DEFINED        4          --         --      162
FOREST CITY
   ENTERPRISES, INC.
   CLASS A               EQUITY       345550107      47     1,278 SH    -- SOLE           1       1,278         --       --
FOREST LABORATORIES,
   INC.                  EQUITY       345838106  14,173   354,240 SH    -- SOLE           1     354,240         --       --
FOREST LABS INC          EQUITY       345838106      15       372 SH    -- SOLE           2         372         --       --





                                                                                  
FOREST LABS INC COM      EQUITY       345838106      16       400 SH    -- DEFINED        4          --         --      400
FOREST LABS INC COM      EQUITY       345838106       1        25 SH    -- DEFINED        5          --         --       25
FOREST OIL CORP          EQUITY       346091705  10,414   212,697 SH    -- SOLE           1     212,697         --       --
FORESTAR REAL ESTATE
   GROUP INC             EQUITY       346233109      33     1,328 SH    -- SOLE           1       1,328         --       --
FORMFACTOR INC           EQUITY       346375108     783    40,985 SH    -- SOLE           1      40,985         --       --
FORRESTER RESEARCH, INC. EQUITY       346563109     345    12,963 SH    -- SOLE           1      12,963         --       --
FORRESTER RESH INC COM   EQUITY       346563109       4       144 SH    -- DEFINED        5          --         --      144
FORTRESS INVESTMENT
   GROUP LL CL A         EQUITY       34958B106      85     6,900 SH    -- DEFINED        5          --         --    6,900
FORTUNE BRANDS INC       EQUITY       349631101      13       184 SH    -- SOLE           2         184         --       --
FORTUNE BRANDS INC COM   EQUITY       349631101      27       385 SH    -- DEFINED        4          --         --      385
FORTUNE BRANDS INC COM   EQUITY       349631101      51       733 SH    -- DEFINED        5          --         --      733
FORTUNE BRANDS INC PFD
   CV $2.67              EQUITY       349631200       7        14 SH    -- DEFINED        5          --         --       14
FORTUNE BRANDS, INC.     EQUITY       349631101   4,810    69,205 SH    -- SOLE           1      69,205         --       --
FORWARD AIR CORP         EQUITY       349853101     917    25,880 SH    -- SOLE           1      25,880         --       --
FORWARD AIR CORP         EQUITY       349853101     567    16,000 SH    -- SOLE           2      16,000         --       --
FOSSIL INC               EQUITY       349882100     611    20,000 SH    -- SOLE           2      20,000         --       --
FOSSIL, INC.             EQUITY       349882100   1,143    37,439 SH    -- SOLE           1      37,439         --       --
FOSTER WHEELER LTD SHS
   NEW                   EQUITY       G36535139      58     1,020 SH    -- DEFINED        4          --         --    1,020
FOSTER WHEELER LTD SHS
   NEW                   EQUITY       G36535139      88     1,562 SH    -- DEFINED        5          --         --    1,562
FOUNDATION COAL HLDGS
   COM                   EQUITY       35039W100   4,701    93,400 SH    -- SOLE           3      47,300         --   46,100
FOUNDATION COAL
   HOLDINGS INC          EQUITY       35039W100     866    17,198 SH    -- SOLE           1      17,198         --       --
FOUNDRY NETWORKS INC     EQUITY       35063R100   5,564   480,487 SH    -- SOLE           1     480,487         --       --
FOUNDRY NETWORKS INC     EQUITY       35063R100   4,044   349,200 SH    -- SOLE           2     349,200         --       --
FOUNDRY NETWORKS INC COM EQUITY       35063R100      40     3,456 SH    -- DEFINED        5          --         --    3,456
FPIC INS GROUP INC       EQUITY       302563101     369     7,825 SH    -- SOLE           1       7,825         --       --
FPIC INS GROUP INC       EQUITY       302563101     542    11,500 SH    -- SOLE           2      11,500         --       --
FPL GROUP INC            EQUITY       302571104   6,853   109,222 SH    -- SOLE           2     109,222         --       --
FPL GROUP INC COM        EQUITY       302571104      17       264 SH    -- DEFINED        4          --         --      264
FPL GROUP INC COM        EQUITY       302571104     176     2,800 SH    -- DEFINED        5          --         --    2,800
FPL GROUP, INC.          EQUITY       302571104  10,572   168,502 SH    -- SOLE           1     168,502         --       --
FRANCE TELECOM
   SPONSORED ADR         EQUITY       35177Q105      27       818 SH    -- DEFINED        5          --         --      818
FRANKLIN BANK
   CORP/HOUSTON          EQUITY       352451108      66    21,703 SH    -- SOLE           1      21,703         --       --
FRANKLIN ELECTRIC CO.,
   INC.                  EQUITY       353514102     566    16,555 SH    -- SOLE           1      16,555         --       --
FRANKLIN RES INC         EQUITY       354613101      18       188 SH    -- SOLE           2         188         --       --
FRANKLIN RES INC COM     EQUITY       354613101      28       284 SH    -- DEFINED        4          --         --      284
FRANKLIN RES INC COM     EQUITY       354613101      44       450 SH    -- DEFINED        5          --         --      450
FRANKLIN RESOURCES, INC. EQUITY       354613101   7,777    80,186 SH    -- SOLE           1      80,186         --       --
FRANKLIN TEMPLETON LTD
   DUR I COM             EQUITY       35472T101      20     1,858 SH    -- DEFINED        4          --         --    1,858
FRANKLIN TEMPLETON LTD
   DUR I COM             EQUITY       35472T101      14     1,300 SH    -- DEFINED        5          --         --    1,300
FREDDIE MAC              EQUITY       313400301   9,116   360,030 SH    -- SOLE           1     360,030         --       --
FRED'S INC.              EQUITY       356108100     352    34,377 SH    -- SOLE           1      34,377         --       --
FREEPORT MCMORAN COPPER
   +                     EQUITY       35671D857   8,901    92,504 SH    -- SOLE           2      92,504         --       --
FREEPORT-MCMORAN COPPER
   & GO COM              EQUITY       35671D857     238     2,474 SH    -- DEFINED        4          --         --    2,474
FREEPORT-MCMORAN COPPER
   & GO COM              EQUITY       35671D857     934     9,705 SH    -- DEFINED        5          --         --    9,705
FREEPORT-MCMORAN COPPER
   & GOLD COMMON         EQUITY       35671D857  23,126   240,349 SH    -- SOLE           1     240,349         --       --
FREIGHTCAR AMERICA INC   EQUITY       357023100     361    10,514 SH    -- SOLE           1      10,514         --       --
FREMONT GENERAL CORP.    EQUITY       357288109      28    58,135 SH    -- SOLE           1      58,135         --       --
FRESH DEL MONTE PRODUCE  EQUITY       G36738105     182     5,000 SH    -- SOLE           2       5,000         --       --
FRIEDMAN BILLINGS
   RAMSEY GRO CL A       EQUITY       358434108      40    23,791 SH    -- DEFINED        5          --         --   23,791
FRIEDMAN BILLINGS
   RAMSEY-A              EQUITY       358434108     205   120,419 SH    -- SOLE           1     120,419         --       --
FRONTEER DEV GROUP INC
   COM                   EQUITY       35903Q106       3       645 SH    -- DEFINED        4          --         --      645
FRONTEER DEV GROUP INC
   COM                   EQUITY       35903Q106       2       489 SH    -- DEFINED        5          --         --      489
FRONTIER FINANCIAL CORP. EQUITY       35907K105     627    35,446 SH    -- SOLE           1      35,446         --       --
FRONTIER FINL CORP WASH
   COM                   EQUITY       35907K105      35     2,000 SH    -- DEFINED        5          --         --    2,000
FRONTIER OIL CORP COM    EQUITY       35914P105      92     3,365 SH    -- DEFINED        5          --         --    3,365
FRONTIER OIL CORP.       EQUITY       35914P105   6,795   249,257 SH    -- SOLE           1     249,257         --       --





                                                                                  
FRONTLINE LTD            EQUITY       G3682E127   5,260   114,300 SH    -- SOLE           2     114,300         --       --
FRONTLINE LTD SHS        EQUITY       G3682E127     248     5,395 SH    -- DEFINED        4          --         --    5,395
FRONTLINE LTD SHS        EQUITY       G3682E127     442     9,595 SH    -- DEFINED        5          --         --    9,595
FTD GROUP INC            EQUITY       30267U108     220    16,414 SH    -- SOLE           1      16,414         --       --
FTI CONSULTING INC       EQUITY       302941109   2,888    40,659 SH    -- SOLE           1      40,659         --       --
FTI CONSULTING INC       EQUITY       302941109   1,051    14,800 SH    -- SOLE           2      14,800         --       --
FTI CONSULTING INC COM   EQUITY       302941109       7        93 SH    -- DEFINED        5          --         --       93
FUEL TECH INC            EQUITY       359523107     305    14,855 SH    -- SOLE           1      14,855         --       --
FUEL TECH INC COM        EQUITY       359523107      14       700 SH    -- DEFINED        4          --         --      700
FUEL TECH INC COM        EQUITY       359523107       4       200 SH    -- DEFINED        5          --         --      200
FUELCELL ENERGY INC      EQUITY       35952H106     378    56,838 SH    -- SOLE           1      56,838         --       --
FULTON FIN CORP          EQUITY       360271100      80     6,520 SH    -- SOLE           1       6,520         --       --
FULTON FINL CORP PA COM  EQUITY       360271100       9       767 SH    -- DEFINED        4          --         --      767
FULTON FINL CORP PA COM  EQUITY       360271100       1       105 SH    -- DEFINED        5          --         --      105
FURMANITE CORP           EQUITY       361086101     778    91,400 SH    -- SOLE           1      91,400         --       --
FURMANITE CORPORATION
   COM                   EQUITY       361086101   2,268   266,800 SH    -- SOLE           3     266,800         --       --
FURNITURE BRANDS
   INTERNATIONAL         EQUITY       360921100   1,831   156,482 SH    -- SOLE           1     156,482         --       --
FUSHI COPPERWELD INC     EQUITY       36113E107     747    49,800 SH    -- SOLE           1      49,800         --       --
FUSHI COPPERWELD INC COM EQUITY       36113E107   1,752   116,500 SH    -- SOLE           3     116,500         --       --
FX ENERGY INC            EQUITY       302695101     147    34,577 SH    -- SOLE           1      34,577         --       --
FX REAL ESTATE AND
   ENTERTAINMENT INC     EQUITY       302709100      38     6,494 SH    -- SOLE           1       6,494         --       --
G & K SERVICES, INC.
   CLASS A               EQUITY       361268105     609    17,111 SH    -- SOLE           1      17,111         --       --
GABELLI CONV & INCOME
   SECS F CONV SECS FD   EQUITY       36240B109      31     4,300 SH    -- DEFINED        5          --         --    4,300
GABELLI EQUITY TR INC
   COM                   EQUITY       362397101      22     2,539 SH    -- DEFINED        5          --         --    2,539
GABELLI HLTHCARE &
   WELLNESS SHS          EQUITY       36246K103       6       861 SH    -- DEFINED        4          --         --      861
GABELLI HLTHCARE &
   WELLNESS SHS          EQUITY       36246K103       6       954 SH    -- DEFINED        5          --         --      954
GABELLI UTIL TR COM      EQUITY       36240A101      53     5,700 SH    -- DEFINED        5          --         --    5,700
GAFISA S A SPONS ADR     EQUITY       362607301     223     6,686 SH    -- DEFINED        4          --         --    6,686
GAIAM INC                EQUITY       36268Q103     257    14,847 SH    -- SOLE           1      14,847         --       --
GALLAGHER ARTHUR J & CO
   COM                   EQUITY       363576109       9       400 SH    -- DEFINED        5          --         --      400
GALLAGHER, ARTHUR J & CO EQUITY       363576109  22,934   970,958 SH    -- SOLE           1     970,958         --       --
GAMCO INVESTORS INC      EQUITY       361438104     239     4,736 SH    -- SOLE           1       4,736         --       --
GAMESTOP CORP NEW        EQUITY       36467W109     915    17,700 SH    -- SOLE           2      17,700         --       --
GAMESTOP CORP NEW CL A   EQUITY       36467W109   4,830    93,400 SH    -- SOLE           3      37,200         --   56,200
GAMESTOP CORP-CL A       EQUITY       36467W109   5,806   112,282 SH    -- SOLE           1     112,282         --       --
GAMING PARTNERS INTL
   CORP COM              EQUITY       36467A107       2       343 SH    -- DEFINED        5          --         --      343
GAMMON GOLD INC COM      EQUITY       36467T106       4       500 SH    -- DEFINED        5          --         --      500
GANDER MOUNTAIN CO       EQUITY       36471P108      26     4,339 SH    -- SOLE           1       4,339         --       --
GANNETT CO., INC.        EQUITY       364730101  21,186   729,298 SH    -- SOLE           1     729,298         --       --
GANNETT INC              EQUITY       364730101   5,670   195,197 SH    -- SOLE           2     195,197         --       --
GAP INC                  EQUITY       364760108     377    19,144 SH    -- SOLE           2      19,144         --       --
GAP INC DEL COM          EQUITY       364760108      86     4,371 SH    -- DEFINED        4          --         --    4,371
GAP INC DEL COM          EQUITY       364760108      12       600 SH    -- DEFINED        5          --         --      600
GAP, INC.                EQUITY       364760108  16,711   849,111 SH    -- SOLE           1     849,111         --       --
GARDNER DENVER INC       EQUITY       365558105     464    12,500 SH    -- SOLE           2      12,500         --       --
GARDNER DENVER, INC.     EQUITY       365558105     410    11,052 SH    -- SOLE           1      11,052         --       --
GARMIN LTD ORD           EQUITY       G37260109       5        99 SH    -- DEFINED        4          --         --       99
GARMIN LTD ORD           EQUITY       G37260109     208     3,855 SH    -- DEFINED        5          --         --    3,855
GARTNER INC. CLASS A     EQUITY       366651107   4,064   210,145 SH    -- SOLE           1     210,145         --       --
GASCO ENERGY INC COM     EQUITY       367220100       3     1,200 SH    -- DEFINED        4          --         --    1,200
GATEHOUSE MEDIA INC      EQUITY       367348109     112    19,165 SH    -- SOLE           1      19,165         --       --
GATX CORP.               EQUITY       361448103   4,517   115,621 SH    -- SOLE           1     115,621         --       --
GAYLORD ENTERTAINMENT
   CO.                   EQUITY       367905106   1,064    35,142 SH    -- SOLE           1      35,142         --       --
GCI, INC.                EQUITY       369385109     283    46,011 SH    -- SOLE           1      46,011         --       --
GEHL COMPANY             EQUITY       368483103     152     8,991 SH    -- SOLE           1       8,991         --       --
GEMSTAR-TV GUIDE
   INTERNATIONAL         EQUITY       36866W106   1,010   214,820 SH    -- SOLE           1     214,820         --       --





                                                                                  
GEN PROBE INC NEW        EQUITY       36866T103     699    14,500 SH    -- SOLE           2      14,500         --       --
GENCO SHIPPING &
   TRADING LTD SHS       EQUITY       Y2685T107       9       159 SH    -- DEFINED        4          --         --      159
GENCO SHIPPING +
   TRADING L             EQUITY       Y2685T107   2,816    49,900 SH    -- SOLE           2      49,900         --       --
GENCORP, INC.            EQUITY       368682100     495    48,132 SH    -- SOLE           1      48,132         --       --
GENENTECH INC            EQUITY       368710406   4,643    57,200 SH    -- SOLE           2      57,200         --       --
GENENTECH INC COM NEW    EQUITY       368710406      11       135 SH    -- DEFINED        4          --         --      135
GENENTECH INC COM NEW    EQUITY       368710406      15       185 SH    -- DEFINED        5          --         --      185
GENENTECH, INC.          EQUITY       368710406  11,425   140,733 SH    -- SOLE           1     140,733         --       --
GENERAL CABLE CORP DEL
   NEW COM               EQUITY       369300108       9       144 SH    -- DEFINED        5          --         --      144
GENERAL CABLE CORP.      EQUITY       369300108      58       989 SH    -- SOLE           1         989         --       --
GENERAL DYNAMICS CORP    EQUITY       369550108  18,931   227,069 SH    -- SOLE           2     227,069         --       --
GENERAL DYNAMICS CORP
   COM                   EQUITY       369550108     204     2,452 SH    -- DEFINED        4          --         --    2,452
GENERAL DYNAMICS CORP
   COM                   EQUITY       369550108      67       800 SH    -- DEFINED        5          --         --      800
GENERAL DYNAMICS CORP.   EQUITY       369550108  26,420   316,902 SH    -- SOLE           1     316,902         --       --
GENERAL ELEC CO          EQUITY       369604103  44,991 1,215,641 SH    -- SOLE           2   1,215,641         --       --
GENERAL ELECTRIC CO COM  EQUITY       369604103   3,605    97,408 SH    -- DEFINED        4          --         --   97,408
GENERAL ELECTRIC CO COM  EQUITY       369604103   3,379    91,289 SH    -- DEFINED        5          --         --   91,289
GENERAL ELECTRIC CO.     EQUITY       369604103 240,126 6,488,141 SH    -- SOLE           1   6,488,141         --       --
GENERAL GROWTH PPTYS INC EQUITY       370021107      12       319 SH    -- SOLE           2         319         --       --
GENERAL GROWTH
   PROPERTIES INC        EQUITY       370021107   4,459   116,829 SH    -- SOLE           1     116,829         --       --
GENERAL MARITIME CORP
   SHS                   EQUITY       Y2692M103       7       300 SH    -- DEFINED        5          --         --      300
GENERAL MILLS, INC.      EQUITY       370334104  30,648   511,828 SH    -- SOLE           1     511,828         --       --
GENERAL MLS INC          EQUITY       370334104  18,908   315,762 SH    -- SOLE           2     315,762         --       --
GENERAL MLS INC COM      EQUITY       370334104      36       596 SH    -- DEFINED        5          --         --      596
GENERAL MOLY INC         EQUITY       370373102     333    41,650 SH    -- SOLE           1      41,650         --       --
GENERAL MOTORS CORP      EQUITY       370442105   4,817   252,862 SH    -- SOLE           1     252,862         --       --
GENERAL MTRS CORP        EQUITY       370442105   2,002   105,077 SH    -- SOLE           2     105,077         --       --
GENERAL MTRS CORP COM    EQUITY       370442105      13       657 SH    -- DEFINED        4          --         --      657
GENERAL MTRS CORP COM    EQUITY       370442105      98     5,121 SH    -- DEFINED        5          --         --    5,121
GENERAL MTRS CORP DEB
   SR CV C 33            EQUITY       370442717      83     5,000 SH    -- DEFINED        5          --         --    5,000
GENESCO, INC.            EQUITY       371532102     451    19,530 SH    -- SOLE           1      19,530         --       --
GENESEE & WYO INC        EQUITY       371559105     922    26,805 SH    -- SOLE           1      26,805         --       --
GENESIS ENERGY L P UNIT
   LTD PARTN             EQUITY       371927104       8       400 SH    -- DEFINED        4          --         --      400
GENESIS LEASE LTD ADR    EQUITY       37183T107      13       900 SH    -- DEFINED        5          --         --      900
GENOMIC HEALTH INC       EQUITY       37244C101     221    11,715 SH    -- SOLE           1      11,715         --       --
GENOPTIX INC             EQUITY       37243V100     123     4,916 SH    -- SOLE           1       4,916         --       --
GEN-PROBE INC            EQUITY       36866T103   6,425   133,304 SH    -- SOLE           1     133,304         --       --
GEN-PROBE INC NEW COM    EQUITY       36866T103   2,492    51,700 SH    -- SOLE           3      20,500         --   31,200
GENTEK INC               EQUITY       37245X203     223     7,428 SH    -- SOLE           1       7,428         --       --
GENTEX CORP.             EQUITY       371901109   5,879   342,817 SH    -- SOLE           1     342,817         --       --
GENTIVA HEALTH SERVICES  EQUITY       37247A102     515    23,688 SH    -- SOLE           1      23,688         --       --
GENUINE PARTS CO         EQUITY       372460105   2,283    56,762 SH    -- SOLE           2      56,762         --       --
GENUINE PARTS CO.        EQUITY       372460105   3,019    75,073 SH    -- SOLE           1      75,073         --       --
GENVEC INC               EQUITY       37246C109     100    56,853 SH    -- SOLE           1      56,853         --       --
GENWORTH FINANCIAL
   INC-CL A              EQUITY       37247D106   7,618   336,480 SH    -- SOLE           1     336,480         --       --
GENWORTH FINL INC        EQUITY       37247D106     150     6,617 SH    -- SOLE           2       6,617         --       --
GENWORTH FINL INC COM
   CL A                  EQUITY       37247D106       1        65 SH    -- DEFINED        5          --         --       65
GENZYME CORP             EQUITY       372917104  11,214   150,442 SH    -- SOLE           1     150,442         --       --
GENZYME CORP             EQUITY       372917104   9,727   130,487 SH    -- SOLE           2     130,487         --       --
GENZYME CORP COM         EQUITY       372917104      14       185 SH    -- DEFINED        4          --         --      185
GEO GROUP INC            EQUITY       36159R103   2,502    87,959 SH    -- SOLE           1      87,959         --       --
GEO GROUP INC COM        EQUITY       36159R103     643    22,600 SH    -- SOLE           3      22,600         --       --
GEOEYE INC               EQUITY       37250W108     390    15,018 SH    -- SOLE           1      15,018         --       --
GEOGLOBAL RESOURCES INC  EQUITY       37249T109      77    27,622 SH    -- SOLE           1      27,622         --       --
GEOKINETICS INC          EQUITY       372910307     106     5,854 SH    -- SOLE           1       5,854         --       --
GEOMET INC               EQUITY       37250U201     103    15,526 SH    -- SOLE           1      15,526         --       --





                                                                                  
GEORGIA GULF CORP.       EQUITY       373200203     205    29,516 SH    -- SOLE           1      29,516         --       --
GERBER SCIENTIFIC, INC.  EQUITY       373730100     176    19,834 SH    -- SOLE           1      19,834         --       --
GERDAU S A SPONSORED ADR EQUITY       373737105      48     1,556 SH    -- DEFINED        4          --         --    1,556
GERDAU S A SPONSORED ADR EQUITY       373737105      39     1,287 SH    -- DEFINED        5          --         --    1,287
GERDAU SA                EQUITY       373737105  30,687 1,003,830 SH    -- SOLE           1   1,003,830         --       --
GERON CORP               EQUITY       374163103     305    62,521 SH    -- SOLE           1      62,521         --       --
GERON CORP COM           EQUITY       374163103     210    43,090 SH    -- DEFINED        5          --         --   43,090
GETTY IMAGES INC         EQUITY       374276103   3,620   113,140 SH    -- SOLE           1     113,140         --       --
GETTY IMAGES INC COM     EQUITY       374276103      15       475 SH    -- DEFINED        4          --         --      475
GEVITY HR INC            EQUITY       374393106     182    20,978 SH    -- SOLE           1      20,978         --       --
GFI GROUP INC            EQUITY       361652209     788    13,748 SH    -- SOLE           1      13,748         --       --
GIBRALTAR INDS INC COM   EQUITY       374689107      14     1,168 SH    -- DEFINED        5          --         --    1,168
GIBRALTAR INDUSTRIES INC EQUITY       374689107     252    21,457 SH    -- SOLE           1      21,457         --       --
GIGAMEDIA LTD ORD        EQUITY       Y2711Y104       6       400 SH    -- DEFINED        5          --         --      400
G-III APPAREL GROUP LTD  EQUITY       36237H101     150    11,168 SH    -- SOLE           1      11,168         --       --
GILDAN ACTIVEWEAR INC    EQUITY       375916103     471    12,474 SH    -- OTHER          1          --     12,474       --
GILDAN ACTIVEWEAR INC
   COM                   EQUITY       375916103       9       254 SH    -- DEFINED        4          --         --      254
GILEAD SCIENCES INC      EQUITY       375558103  10,052   195,070 SH    -- SOLE           2     195,070         --       --
GILEAD SCIENCES INC COM  EQUITY       375558103      65     1,264 SH    -- DEFINED        4          --         --    1,264
GILEAD SCIENCES INC COM  EQUITY       375558103      41       787 SH    -- DEFINED        5          --         --      787
GILEAD SCIENCES, INC.    EQUITY       375558103  46,122   895,046 SH    -- SOLE           1     895,046         --       --
GLACIER BANCORP, INC.    EQUITY       37637Q105     867    45,202 SH    -- SOLE           1      45,202         --       --
GLADSTONE CAPITAL CORP   EQUITY       376535100     331    17,702 SH    -- SOLE           1      17,702         --       --
GLATFELTER, P.H. CO.     EQUITY       377316104     584    38,628 SH    -- SOLE           1      38,628         --       --
GLAXOSMITHKLINE PLC
   SPONSORED ADR         EQUITY       37733W105      27       646 SH    -- DEFINED        4          --         --      646
GLAXOSMITHKLINE PLC
   SPONSORED ADR         EQUITY       37733W105     111     2,619 SH    -- DEFINED        5          --         --    2,619
GLG PARTNERS INC         EQUITY       37929X107      12     1,005 SH    -- SOLE           1       1,005         --       --
GLG PARTNERS INC         EQUITY       37929X107      97     8,200 SH    -- SOLE           2       8,200         --       --
GLOBAL CASH ACCESS INC   EQUITY       378967103     222    37,904 SH    -- SOLE           1      37,904         --       --
GLOBAL HIGH INCOME FUND
   INC COM               EQUITY       37933G108      12       900 SH    -- DEFINED        5          --         --      900
GLOBAL INDS LTD COM      EQUITY       379336100      13       821 SH    -- DEFINED        4          --         --      821
GLOBAL INDUSTRIES INC    EQUITY       379336100   5,464   339,600 SH    -- SOLE           2     339,600         --       --
GLOBAL INDUSTRIES LT     EQUITY       379336100     442    27,444 SH    -- SOLE           1      27,444         --       --
GLOBAL PAYMENTS INC.     EQUITY       37940X102   7,847   189,715 SH    -- SOLE           1     189,715         --       --
GLOBAL PMTS INC          EQUITY       37940X102  30,168   729,400 SH    -- SOLE           2     729,400         --       --
GLOBAL PMTS INC COM      EQUITY       37940X102      34       813 SH    -- DEFINED        4          --         --      813
GLOBAL PMTS INC COM      EQUITY       37940X102       2        60 SH    -- DEFINED        5          --         --       60
GLOBAL SOURCES LTD       EQUITY       G39300101     103     6,930 SH    -- SOLE           2       6,930         --       --
GLOBAL SOURCES LTD ORD   EQUITY       G39300101       4       237 SH    -- DEFINED        4          --         --      237
GLOBAL TRAFFIC NETWORK
   COM                   EQUITY       37947B103     950   108,400 SH    -- SOLE           3     108,400         --       --
GLOBALSTAR INC           EQUITY       378973408     121    16,628 SH    -- SOLE           1      16,628         --       --
GLOBECOMM SYSTEMS INC
   COM                   EQUITY       37956X103   1,282   147,400 SH    -- SOLE           3     147,400         --       --
GLU MOBILE INC           EQUITY       379890106      29     6,377 SH    -- SOLE           1       6,377         --       --
GMH COMMUNITIES TRUST    EQUITY       36188G102     734    84,610 SH    -- SOLE           1      84,610         --       --
GMX RES INC              EQUITY       38011M108     262     7,500 SH    -- SOLE           2       7,500         --       --
GMX RES INC COM          EQUITY       38011M108     761    21,800 SH    -- SOLE           3      21,800         --       --
GMX RESOURCES INC        EQUITY       38011M108     401    11,488 SH    -- SOLE           1      11,488         --       --
GOLDCORP INC NEW COM     EQUITY       380956409     102     2,631 SH    -- DEFINED        5          --         --    2,631
GOLDCORP INC.            EQUITY       380956409   9,164   236,161 SH    -- OTHER          1          --    236,161       --
GOLDMAN SACHS GROUP INC  EQUITY       38141G104  32,169   194,502 SH    -- SOLE           1     194,502         --       --
GOLDMAN SACHS GROUP INC  EQUITY       38141G104   4,664    28,203 SH    -- SOLE           2      28,203         --       --
GOLDMAN SACHS GROUP INC
   COM                   EQUITY       38141G104      73       441 SH    -- DEFINED        4          --         --      441
GOLDMAN SACHS GROUP INC
   COM                   EQUITY       38141G104     487     2,943 SH    -- DEFINED        5          --         --    2,943
GOODRICH CORP            EQUITY       382388106       9       149 SH    -- SOLE           2         149         --       --
GOODRICH CORP COM        EQUITY       382388106      49       846 SH    -- DEFINED        4          --         --      846
GOODRICH CORP COM        EQUITY       382388106       5        80 SH    -- DEFINED        5          --         --       80





                                                                                  
GOODRICH CORP.           EQUITY       382388106   3,053    53,093 SH    -- SOLE           1      53,093         --       --
GOODRICH PETE CORP COM
   NEW                   EQUITY       382410405     247     8,200 SH    -- SOLE           3       8,200         --       --
GOODRICH PETROLEUM CORP  EQUITY       382410405     492    16,347 SH    -- SOLE           1      16,347         --       --
GOODYEAR TIRE & RUBBER
   CO.                   EQUITY       382550101   3,525   136,634 SH    -- SOLE           1     136,634         --       --
GOODYEAR TIRE & RUBR CO
   COM                   EQUITY       382550101      24       937 SH    -- DEFINED        5          --         --      937
GOODYEAR TIRE AND RUBBER EQUITY       382550101       7       287 SH    -- SOLE           2         287         --       --
GOOGLE INC               EQUITY       38259P508  73,795   167,538 SH    -- SOLE           1     167,538         --       --
GOOGLE INC               EQUITY       38259P508  11,760    26,698 SH    -- SOLE           2      26,698         --       --
GOOGLE INC CL A          EQUITY       38259P508      40        91 SH    -- DEFINED        4          --         --       91
GOOGLE INC CL A          EQUITY       38259P508     503     1,141 SH    -- DEFINED        5          --         --    1,141
GORMAN RUPP CO COM       EQUITY       383082104     405    12,308 SH    -- SOLE           1      12,308         --       --
GRACE, W.R. & CO.        EQUITY       38388F108   1,372    60,123 SH    -- SOLE           1      60,123         --       --
GRACO INC COM            EQUITY       384109104     286     7,900 SH    -- DEFINED        5          --         --    7,900
GRACO, INC.              EQUITY       384109104   5,255   144,931 SH    -- SOLE           1     144,931         --       --
GRAFTECH INTERNATIONAL
   LTD                   EQUITY       384313102   1,450    89,458 SH    -- SOLE           1      89,458         --       --
GRAFTECH INTL LTD        EQUITY       384313102     357    22,050 SH    -- SOLE           2      22,050         --       --
GRAINGER W W INC         EQUITY       384802104       6        80 SH    -- SOLE           2          80         --       --
GRAMERCY CAPITAL CORP    EQUITY       384871109     447    21,353 SH    -- SOLE           1      21,353         --       --
GRANITE CONSTRUCTION,
   INC.                  EQUITY       387328107   3,486   106,573 SH    -- SOLE           1     106,573         --       --
GRANT PRIDECO INC        EQUITY       38821G101  28,431   578,105 SH    -- SOLE           1     578,105         --       --
GRANT PRIDECO INC COM    EQUITY       38821G101       9       192 SH    -- DEFINED        4          --         --      192
GRANT PRIDECO INC COM    EQUITY       38821G101      10       200 SH    -- DEFINED        5          --         --      200
GRAPHIC PACKAGING
   HOLDING CO            EQUITY       388689101     172    58,961 SH    -- SOLE           1      58,961         --       --
GRAY TELEVISION INC      EQUITY       389375106     204    35,917 SH    -- SOLE           1      35,917         --       --
GREAT ATLANTIC &
   PACIFIC TEA CO        EQUITY       390064103     628    23,946 SH    -- SOLE           1      23,946         --       --
GREAT LAKES DREDGE &
   DOCK CORP             EQUITY       390607109      52    10,066 SH    -- SOLE           1      10,066         --       --
GREAT NORTHN IRON ORE
   PPTYS CTFS BEN INT    EQUITY       391064102       4        30 SH    -- DEFINED        4          --         --       30
GREAT PLAINS ENERGY INC  EQUITY       391164100   5,052   204,968 SH    -- SOLE           1     204,968         --       --
GREAT PLAINS ENERGY INC
   COM                   EQUITY       391164100       6       250 SH    -- DEFINED        4          --         --      250
GREAT PLAINS ENERGY INC
   COM                   EQUITY       391164100       9       350 SH    -- DEFINED        5          --         --      350
GREAT SOUTHERN BANCORP,
   INC.                  EQUITY       390905107     139     8,928 SH    -- SOLE           1       8,928         --       --
GREAT WOLF RESORTS INC   EQUITY       391523107     168    26,327 SH    -- SOLE           1      26,327         --       --
GREATBATCH INC           EQUITY       39153L106     353    19,156 SH    -- SOLE           1      19,156         --       --
GREATBATCH INC COM       EQUITY       39153L106       6       300 SH    -- DEFINED        5          --         --      300
GREEN BANKSHARES INC     EQUITY       394361208     173     9,804 SH    -- SOLE           1       9,804         --       --
GREEN MOUNTAIN COFFEE
   ROASTE                EQUITY       393122106     467    14,765 SH    -- SOLE           1      14,765         --       --
GREENBRIER COMPANIES INC EQUITY       393657101     364    13,715 SH    -- SOLE           1      13,715         --       --
GREENFIELD ONLINE        EQUITY       395150105     221    18,623 SH    -- SOLE           1      18,623         --       --
GREENHAVEN CONT CMDTY
   INDEX UNIT BEN INT
   ADDED                 EQUITY       395258106      73     2,250 SH    -- DEFINED        5          --         --    2,250
GREENHILL & CO INC       EQUITY       395259104   1,067    15,340 SH    -- SOLE           1      15,340         --       --
GREENHILL & CO INC COM   EQUITY       395259104       3        40 SH    -- DEFINED        5          --         --       40
GREENHILL + CO INC       EQUITY       395259104     654     9,400 SH    -- SOLE           2       9,400         --       --
GREIF INC                EQUITY       397624107     516     7,600 SH    -- SOLE           2       7,600         --       --
GREIF INC CL A           EQUITY       397624107   2,743    40,374 SH    -- SOLE           1      40,374         --       --
GREIF INC CL A           EQUITY       397624107   3,668    54,000 SH    -- SOLE           3      25,100         --   28,900
GREY WOLF, INC.          EQUITY       397888108   1,075   158,600 SH    -- SOLE           1     158,600         --       --
GRIFFON CORP.            EQUITY       398433102     220    25,588 SH    -- SOLE           1      25,588         --       --
GROUP 1 AUTOMOTIVE, INC. EQUITY       398905109     459    19,543 SH    -- SOLE           1      19,543         --       --
GRUBB & ELLIS CO         EQUITY       400095204     232    33,737 SH    -- SOLE           1      33,737         --       --
GRUPO AEROPORTUARIO CTR
   NORT SPON ADR         EQUITY       400501102      15       657 SH    -- DEFINED        4          --         --      657
GRUPO AEROPORTUARIO CTR
   NORT SPON ADR         EQUITY       400501102       3       150 SH    -- DEFINED        5          --         --      150
GRUPO AEROPORTUARIO DEL
   PACIFICO SA DE CV     EQUITY       400506101  33,260   739,120 SH    -- SOLE           1     739,120         --       --
GSI COMMERCE INC         EQUITY       36238G102     225    17,145 SH    -- SOLE           1      17,145         --       --
GTX INC                  EQUITY       40052B108     232    14,457 SH    -- SOLE           1      14,457         --       --
GUANGSHEN RY LTD
   SPONSORED ADR         EQUITY       40065W107       3       100 SH    -- DEFINED        5          --         --      100
GUARANTY FINANCIAL
   GROUP INC             EQUITY       40108N106       6       582 SH    -- SOLE           1         582         --       --





                                                                                  
GUESS INC                EQUITY       401617105   1,295    32,000 SH    -- SOLE           2      32,000         --       --
GUESS INC COM            EQUITY       401617105   5,601   138,400 SH    -- SOLE           3      62,300         --   76,100
GUESS INC COM            EQUITY       401617105       7       164 SH    -- DEFINED        5          --         --      164
GUESS? INC               EQUITY       401617105   6,242   154,236 SH    -- SOLE           1     154,236         --       --
GUIDANCE SOFTWARE INC    EQUITY       401692108      25     2,791 SH    -- SOLE           1       2,791         --       --
GULF ISLAND
   FABRICATION, INC.     EQUITY       402307102     264     9,200 SH    -- SOLE           1       9,200         --       --
GULFMARK OFFSHORE, INC.  EQUITY       402629109   1,074    19,622 SH    -- SOLE           1      19,622         --       --
GULFPORT ENERGY CORP     EQUITY       402635304     208    19,649 SH    -- SOLE           1      19,649         --       --
GYMBOREE CORP            EQUITY       403777105     606    15,200 SH    -- SOLE           2      15,200         --       --
GYMBOREE CORP COM        EQUITY       403777105     367     9,200 SH    -- SOLE           3       9,200         --       --
GYMBOREE CORP.           EQUITY       403777105   1,718    43,086 SH    -- SOLE           1      43,086         --       --
H & Q HEALTHCARE FD SH
   BEN INT               EQUITY       404052102       3       200 SH    -- DEFINED        5          --         --      200
H J HEINZ CO.            EQUITY       423074103   9,792   208,463 SH    -- SOLE           1     208,463         --       --
H&E EQUIPMENT SERVICES
   INC                   EQUITY       404030108     192    15,263 SH    -- SOLE           1      15,263         --       --
H.B. FULLER CO.          EQUITY       359694106   1,007    49,335 SH    -- SOLE           1      49,335         --       --
HACKETT GROUP INC COM
   ADDED                 EQUITY       404609109       3       700 SH    -- DEFINED        4          --         --      700
HAEMONETICS CORP COM     EQUITY       405024100      18       300 SH    -- DEFINED        5          --         --      300
HAEMONETICS CORP.        EQUITY       405024100   1,357    22,771 SH    -- SOLE           1      22,771         --       --
HAIN CELESTIAL GROUP INC EQUITY       405217100   1,004    34,044 SH    -- SOLE           1      34,044         --       --
HAIN CELESTIAL GROUP
   INC COM               EQUITY       405217100      99     3,350 SH    -- DEFINED        5          --         --    3,350
HALLIBURTON CO           EQUITY       406216101   5,201   132,252 SH    -- SOLE           2     132,252         --       --
HALLIBURTON CO COM       EQUITY       406216101     705    17,929 SH    -- DEFINED        4          --         --   17,929
HALLIBURTON CO COM       EQUITY       406216101      40     1,020 SH    -- DEFINED        5          --         --    1,020
HALLIBURTON CO NOTE
   3.125% 7/1            FIXED INCOME 406216AM3       6         3 PRN   -- DEFINED        4          --         --        3
HALLIBURTON CO.          EQUITY       406216101 110,899 2,819,701 SH    -- SOLE           1   2,819,701         --       --
HALLMARK FINANCIAL
   SERVICES              EQUITY       40624Q203      44     3,952 SH    -- SOLE           1       3,952         --       --
HALOZYME THERAPEUTICS
   INC                   EQUITY       40637H109     351    55,240 SH    -- SOLE           1      55,240         --       --
HANCOCK HOLDING CO.      EQUITY       410120109     964    22,953 SH    -- SOLE           1      22,953         --       --
HANCOCK JOHN INV TRUST
   TAX ADV GLB SH        EQUITY       41013P749     153     9,900 SH    -- DEFINED        5          --         --    9,900
HANCOCK JOHN PATRIOT
   PREM II COM SH BEN
   INT                   EQUITY       41013T105      11     1,228 SH    -- DEFINED        4          --         --    1,228
HANCOCK JOHN PFD INCOME
   FD I COM              EQUITY       41013X106     781    41,104 SH    -- DEFINED        4          --         --   41,104
HANCOCK JOHN PFD INCOME
   FD I COM              EQUITY       41021P103      13       747 SH    -- DEFINED        5          --         --      747
HANCOCK JOHN TAX-ADV
   DIV INC COM           EQUITY       41013V100      12       812 SH    -- DEFINED        4          --         --      812
HANESBRANDS INC          EQUITY       410345102   6,833   233,993 SH    -- SOLE           1     233,993         --       --
HANMI FINL CORP          EQUITY       410495105     242    32,738 SH    -- SOLE           1      32,738         --       --
HANOVER INSURANCE GROUP
   INC/                  EQUITY       410867105   5,134   124,797 SH    -- SOLE           1     124,797         --       --
HANSEN MEDICAL INC       EQUITY       411307101     115     8,214 SH    -- SOLE           1       8,214         --       --
HANSEN MEDICAL INC COM   EQUITY       411307101      14     1,000 SH    -- DEFINED        5          --         --    1,000
HANSEN NATURAL CORP      EQUITY       411310105   5,297   150,055 SH    -- SOLE           1     150,055         --       --
HARDINGE INC             EQUITY       412324303     131     9,534 SH    -- SOLE           1       9,534         --       --
HARLEY DAVIDSON INC      EQUITY       412822108   6,674   177,985 SH    -- SOLE           2     177,985         --       --
HARLEY DAVIDSON INC COM  EQUITY       412822108      22       577 SH    -- DEFINED        4          --         --      577
HARLEY DAVIDSON INC COM  EQUITY       412822108     183     4,883 SH    -- DEFINED        5          --         --    4,883
HARLEY-DAVIDSON          EQUITY       412822108   3,850   102,665 SH    -- SOLE           1     102,665         --       --
HARLEYSVILLE GROUP, INC. EQUITY       412824104     457    12,674 SH    -- SOLE           1      12,674         --       --
HARLEYSVILLE NATIONAL
   CORP.                 EQUITY       412850109     380    26,353 SH    -- SOLE           1      26,353         --       --
HARMAN INTL INDS INC COM EQUITY       413086109       1        29 SH    -- DEFINED        4          --         --       29
HARMAN INTL INDS INC NEW EQUITY       413086109       3        72 SH    -- SOLE           2          72         --       --
HARMAN INT'L
   INDUSTRIES, INC.      EQUITY       413086109   1,127    25,887 SH    -- SOLE           1      25,887         --       --
HARMONIC INC COM         EQUITY       413160102      23     3,000 SH    -- DEFINED        5          --         --    3,000
HARMONIC INC.            EQUITY       413160102     608    80,030 SH    -- SOLE           1      80,030         --       --
HARRIS CORP DEL          EQUITY       413875105   3,572    73,600 SH    -- SOLE           2      73,600         --       --
HARRIS CORP.             EQUITY       413875105  15,776   325,086 SH    -- SOLE           1     325,086         --       --
HARRIS INTERACTIVE INC   EQUITY       414549105     124    45,264 SH    -- SOLE           1      45,264         --       --
HARRIS INTERACTIVE INC
   COM                   EQUITY       414549105       3       966 SH    -- DEFINED        5          --         --      966
HARRIS STRATEX NETWORKS
   INC                   EQUITY       41457P106     217    21,670 SH    -- SOLE           1      21,670         --       --





                                                                                  
HARRY WINSTON DIAMOND
   CORP                  EQUITY       41587B100     306    12,790 SH    -- OTHER          1          --     12,790       --
HARSCO CORP              EQUITY       415864107     997    18,000 SH    -- SOLE           2      18,000         --       --
HARSCO CORP COM          EQUITY       415864107       1        21 SH    -- DEFINED        4          --         --       21
HARSCO CORP COM          EQUITY       415864107       4        70 SH    -- DEFINED        5          --         --       70
HARSCO CORP.             EQUITY       415864107  11,155   201,425 SH    -- SOLE           1     201,425         --       --
HARTE-HANKS
   COMMUNICATIONS        EQUITY       416196103   1,503   109,949 SH    -- SOLE           1     109,949         --       --
HARTFORD FINANCIAL SVCS
   GR                    EQUITY       416515104   7,583   100,085 SH    -- SOLE           2     100,085         --       --
HARTFORD FINANCIAL SVCS
   GROUP                 EQUITY       416515104  30,495   402,465 SH    -- SOLE           1     402,465         --       --
HARTFORD FINL SVCS
   GROUP INC COM         EQUITY       416515104      44       578 SH    -- DEFINED        4          --         --      578
HARTFORD FINL SVCS
   GROUP INC COM         EQUITY       416515104      61       806 SH    -- DEFINED        5          --         --      806
HARVEST ENERGY TR TRUST
   UNIT                  EQUITY       41752X101   1,384    61,857 SH    -- DEFINED        4          --         --   61,857
HARVEST ENERGY TR TRUST
   UNIT                  EQUITY       41752X101     204     9,108 SH    -- DEFINED        5          --         --    9,108
HARVEST ENERGY TRUST     EQUITY       41752X101     339    15,129 SH    -- OTHER          1          --     15,129       --
HARVEST NATURAL RESOUR   EQUITY       41754V103     361    29,928 SH    -- SOLE           1      29,928         --       --
HASBRO INC               EQUITY       418056107       5       170 SH    -- SOLE           2         170         --       --
HASBRO INC COM           EQUITY       418056107       3       100 SH    -- DEFINED        5          --         --      100
HASBRO, INC.             EQUITY       418056107   1,793    64,258 SH    -- SOLE           1      64,258         --       --
HAVERTY FURNITURE
   COMPANIES             EQUITY       419596101     169    15,882 SH    -- SOLE           1      15,882         --       --
HAWAIIAN ELEC
   INDUSTRIES COM        EQUITY       419870100      17       700 SH    -- DEFINED        5          --         --      700
HAWAIIAN ELECTRIC
   INDUSTRIES,           EQUITY       419870100   4,755   199,202 SH    -- SOLE           1     199,202         --       --
HAYES LEMMERZ
   INTERNATIONAL         EQUITY       420781304     239    85,794 SH    -- SOLE           1      85,794         --       --
HAYNES INTERNATIONAL INV EQUITY       420877201   9,981   181,871 SH    -- SOLE           1     181,871         --       --
HCC INS HLDGS INC        EQUITY       404132102   3,544   156,200 SH    -- SOLE           2     156,200         --       --
HCC INSURANCE HOLDINGS,
   INC.                  EQUITY       404132102   6,304   277,835 SH    -- SOLE           1     277,835         --       --
HCP INC                  EQUITY       40414L109  11,762   347,882 SH    -- SOLE           1     347,882         --       --
HCP INC                  EQUITY       40414L109       9       260 SH    -- SOLE           2         260         --       --
HCP INC COM              EQUITY       40414L109      34       997 SH    -- DEFINED        4          --         --      997
HCP INC COM              EQUITY       40414L109     130     3,846 SH    -- DEFINED        5          --         --    3,846
HEADWATERS INC           EQUITY       42210P102     446    33,814 SH    -- SOLE           1      33,814         --       --
HEADWATERS INC COM       EQUITY       42210P102       7       500 SH    -- DEFINED        5          --         --      500
HEALTH CARE REIT INC COM EQUITY       42217K106      36       802 SH    -- DEFINED        5          --         --      802
HEALTH MANAGEMENT ASSOC. EQUITY       421933102   3,073   581,001 SH    -- SOLE           1     581,001         --       --
HEALTH MGMT ASSOC INC
   NEW CL A              EQUITY       421933102      35     6,653 SH    -- DEFINED        4          --         --    6,653
HEALTH NET INC.          EQUITY       42222G108   8,291   269,184 SH    -- SOLE           1     269,184         --       --
HEALTHCARE RLTY TR COM   EQUITY       421946104     224     8,555 SH    -- DEFINED        4          --         --    8,555
HEALTHCARE RLTY TR COM   EQUITY       421946104      42     1,600 SH    -- DEFINED        5          --         --    1,600
HEALTHCARE SVCS GRP IN   EQUITY       421906108     736    35,676 SH    -- SOLE           1      35,676         --       --
HEALTHEXTRAS INC         EQUITY       422211102   1,107    44,566 SH    -- SOLE           1      44,566         --       --
HEALTHEXTRAS INC         EQUITY       422211102     720    29,000 SH    -- SOLE           2      29,000         --       --
HEALTHSOUTH CORP         EQUITY       421924309   1,202    67,548 SH    -- SOLE           1      67,548         --       --
HEALTHSPRING INC         EQUITY       42224N101     578    41,027 SH    -- SOLE           1      41,027         --       --
HEALTHSPRING INC COM     EQUITY       42224N101      14       959 SH    -- DEFINED        4          --         --      959
HEALTHWAYS INC           EQUITY       422245100   1,063    30,075 SH    -- SOLE           1      30,075         --       --
HEARST-ARGYLE TELEVI     EQUITY       422317107       5       261 SH    -- SOLE           1         261         --       --
HEARTLAND EXPRESS, INC.  EQUITY       422347104     709    49,729 SH    -- SOLE           1      49,729         --       --
HEARTLAND FINANCIAL USA
   INC                   EQUITY       42234Q102     231    10,899 SH    -- SOLE           1      10,899         --       --
HEARTLAND PAYMENT
   SYSTEMS IN            EQUITY       42235N108     322    14,005 SH    -- SOLE           1      14,005         --       --
HECLA MNG CO             EQUITY       422704106   1,151   103,178 SH    -- SOLE           1     103,178         --       --
HECLA MNG CO             EQUITY       422704106     474    42,500 SH    -- SOLE           2      42,500         --       --
HECLA MNG CO COM         EQUITY       422704106      10       910 SH    -- DEFINED        5          --         --      910
HEELYS INC               EQUITY       42279M107      24     5,482 SH    -- SOLE           1       5,482         --       --
HEELYS INC COM           EQUITY       42279M107       2       350 SH    -- DEFINED        5          --         --      350
HEICO CORP.              EQUITY       422806109   1,069    21,929 SH    -- SOLE           1      21,929         --       --
HEIDRICK & STRUGGLES
   INT'L                 EQUITY       422819102     502    15,437 SH    -- SOLE           1      15,437         --       --
HEINZ H J CO             EQUITY       423074103   5,664   120,577 SH    -- SOLE           2     120,577         --       --
HEINZ H J CO COM         EQUITY       423074103       2        50 SH    -- DEFINED        4          --         --       50





                                                                                  
HEINZ H J CO COM         EQUITY       423074103      80     1,704 SH    -- DEFINED        5          --         --    1,704
HELIX ENERGY SOLUTIONS
   GRO                   EQUITY       42330P107  23,112   733,700 SH    -- SOLE           2     733,700         --       --
HELIX ENERGY SOLUTIONS
   GROUP                 EQUITY       42330P107      37     1,171 SH    -- SOLE           1       1,171         --       --
HELIX ENERGY SOLUTIONS
   GRP I COM             EQUITY       42330P107       3       104 SH    -- DEFINED        5          --         --      104
HELMERICH & PAYNE INC
   COM                   EQUITY       423452101   5,971   127,400 SH    -- SOLE           3      56,900         --   70,500
HELMERICH & PAYNE INC
   COM                   EQUITY       423452101     238     5,069 SH    -- DEFINED        5          --         --    5,069
HELMERICH & PAYNE, INC.  EQUITY       423452101  11,665   248,873 SH    -- SOLE           1     248,873         --       --
HELMERICH AND PAYNE INC  EQUITY       423452101     558    11,900 SH    -- SOLE           2      11,900         --       --
HENRY JACK & ASSOC INC
   COM                   EQUITY       426281101      37     1,510 SH    -- DEFINED        5          --         --    1,510
HENRY JACK & ASSOCIATES  EQUITY       426281101   6,154   249,438 SH    -- SOLE           1     249,438         --       --
HENRY SCHEIN INC         EQUITY       806407102  12,573   219,038 SH    -- SOLE           1     219,038         --       --
HERBALIFE LTD            EQUITY       G4412G101     223     4,700 SH    -- SOLE           2       4,700         --       --
HERCULES INC             EQUITY       427056106       2       136 SH    -- SOLE           2         136         --       --
HERCULES OFFSHORE INC    EQUITY       427093109   1,790    71,241 SH    -- SOLE           1      71,241         --       --
HERCULES TECH GROWTH
   CAP INC COM           EQUITY       427096508     200    18,401 SH    -- DEFINED        4          --         --   18,401
HERCULES TECH GROWTH
   CAP INC COM           EQUITY       427096508       2       200 SH    -- DEFINED        5          --         --      200
HERCULES TECHNOLOGY
   GROWTH                EQUITY       427096508   3,955   364,151 SH    -- SOLE           2     364,151         --       --
HERCULES TECHNOLOGY
   GROWTH CAPITAL INC    EQUITY       427096508     302    27,774 SH    -- SOLE           1      27,774         --       --
HERCULES, INC.           EQUITY       427056106   2,303   125,899 SH    -- SOLE           1     125,899         --       --
HERITAGE COMMERCE CORP   EQUITY       426927109     210    11,478 SH    -- SOLE           1      11,478         --       --
HERITAGE CRYSTAL CLEAN
   INC                   EQUITY       42726M106   2,664   170,000 SH    -- SOLE           2     170,000         --       --
HERLEY INDS INC DEL COM  EQUITY       427398102       4       388 SH    -- DEFINED        4          --         --      388
HERMAN MILLER, INC.      EQUITY       600544100   4,491   182,766 SH    -- SOLE           1     182,766         --       --
HERSHEY CO / THE         EQUITY       427866108       8       201 SH    -- SOLE           2         201         --       --
HERSHEY CO COM           EQUITY       427866108      21       560 SH    -- DEFINED        5          --         --      560
HERTZ GLOBAL HOLDINGS
   INC                   EQUITY       42805T105     105     8,674 SH    -- SOLE           1       8,674         --       --
HESS CORP                EQUITY       42809H107  17,853   202,465 SH    -- SOLE           1     202,465         --       --
HESS CORP                EQUITY       42809H107     144     1,633 SH    -- SOLE           2       1,633         --       --
HESS CORP COM            EQUITY       42809H107      49       552 SH    -- DEFINED        4          --         --      552
HESS CORP COM            EQUITY       42809H107      37       424 SH    -- DEFINED        5          --         --      424
HEWITT ASSOCIATES
   INC-CL A              EQUITY       42822Q100     213     5,368 SH    -- SOLE           1       5,368         --       --
HEWITT ASSOCS INC        EQUITY       42822Q100     149     3,750 SH    -- SOLE           2       3,750         --       --
HEWLETT PACKARD CO       EQUITY       428236103  16,647   364,590 SH    -- SOLE           2     364,590         --       --
HEWLETT PACKARD CO COM   EQUITY       428236103      74     1,624 SH    -- DEFINED        4          --         --    1,624
HEWLETT PACKARD CO COM   EQUITY       428236103     263     5,769 SH    -- DEFINED        5          --         --    5,769
HEWLETT PACKARD CO.      EQUITY       428236103 140,208 3,070,689 SH    -- SOLE           1   3,070,689         --       --
HEXCEL CORP NEW          EQUITY       428291108   1,663    87,000 SH    -- SOLE           2      87,000         --       --
HEXCEL CORP NEW COM      EQUITY       428291108      13       700 SH    -- DEFINED        5          --         --      700
HEXCEL CORP.             EQUITY       428291108   1,546    80,912 SH    -- SOLE           1      80,912         --       --
HFF INC                  EQUITY       40418F108      71    14,097 SH    -- SOLE           1      14,097         --       --
HHGREGG INC              EQUITY       42833L108      90     8,024 SH    -- SOLE           1       8,024         --       --
HIBBETT SPORTS INC.      EQUITY       428567101     419    27,122 SH    -- SOLE           1      27,122         --       --
HIGHWOODS PPTYS INC COM  EQUITY       431284108       5       150 SH    -- DEFINED        5          --         --      150
HIGHWOODS PROPERTIES,
   INC.                  EQUITY       431284108   5,726   184,296 SH    -- SOLE           1     184,296         --       --
HILB, ROGAL & HAMILTON
   CO.                   EQUITY       431294107     993    31,545 SH    -- SOLE           1      31,545         --       --
HILLENBRAND INDUSTRIES,
   INC.                  EQUITY       431573104   7,154   149,656 SH    -- SOLE           1     149,656         --       --
HILLTOP HOLDINGS INC     EQUITY       432748101     423    40,693 SH    -- SOLE           1      40,693         --       --
HITTITE MICROWAVE CORP   EQUITY       43365Y104     526    14,045 SH    -- SOLE           1      14,045         --       --
HLTH CORP                EQUITY       40422Y101     384    40,265 SH    -- SOLE           1      40,265         --       --
HMS HLDGS CORP COM       EQUITY       40425J101   4,103   143,700 SH    -- SOLE           3     143,700         --       --
HMS HOLDINGS CORP        EQUITY       40425J101   2,339    81,922 SH    -- SOLE           1      81,922         --       --
HNI CORP                 EQUITY       404251100   2,857   106,241 SH    -- SOLE           1     106,241         --       --
HOLLY CORP               EQUITY       435758305     127     2,920 SH    -- SOLE           2       2,920         --       --
HOLLY CORP.              EQUITY       435758305      59     1,369 SH    -- SOLE           1       1,369         --       --
HOLLYWOOD PARK, INC.     EQUITY       723456109     655    51,205 SH    -- SOLE           1      51,205         --       --
HOLOGIC INC              EQUITY       436440101  23,065   414,835 SH    -- SOLE           1     414,835         --       --





                                                                                  
HOLOGIC INC              EQUITY       436440101   4,815    86,600 SH    -- SOLE           2      86,600         --       --
HOLOGIC INC COM          EQUITY       436440101   3,697    66,500 SH    -- SOLE           3      26,400         --   40,100
HOLOGIC INC COM          EQUITY       436440101      19       339 SH    -- DEFINED        4          --         --      339
HOLOGIC INC COM          EQUITY       436440101      52       933 SH    -- DEFINED        5          --         --      933
HOME BANCSHARES
   INC/CONWAY AR         EQUITY       436893200     219    10,493 SH    -- SOLE           1      10,493         --       --
HOME DEPOT INC           EQUITY       437076102   7,519   268,817 SH    -- SOLE           2     268,817         --       --
HOME DEPOT INC COM       EQUITY       437076102     173     6,191 SH    -- DEFINED        4          --         --    6,191
HOME DEPOT INC COM       EQUITY       437076102     417    14,897 SH    -- DEFINED        5          --         --   14,897
HOME DEPOT, INC.         EQUITY       437076102  40,195 1,437,063 SH    -- SOLE           1   1,437,063         --       --
HOME INNS & HOTELS MGMT
   INC SPON ADR          EQUITY       43713W107      20     1,000 SH    -- DEFINED        5          --         --    1,000
HOME PROPERTIES INC.     EQUITY       437306103   1,369    28,518 SH    -- SOLE           1      28,518         --       --
HONDA MOTOR LTD AMERN
   SHS                   EQUITY       438128308       3       110 SH    -- DEFINED        5          --         --      110
HONEYWELL INTERNATIONAL
   INC.                  EQUITY       438516106  25,057   444,123 SH    -- SOLE           1     444,123         --       --
HONEYWELL INTL INC       EQUITY       438516106   1,463    25,934 SH    -- SOLE           2      25,934         --       --
HONEYWELL INTL INC COM   EQUITY       438516106     142     2,512 SH    -- DEFINED        4          --         --    2,512
HONEYWELL INTL INC COM   EQUITY       438516106     164     2,899 SH    -- DEFINED        5          --         --    2,899
HOOKER FURNITURE CORP    EQUITY       439038100     212     9,511 SH    -- SOLE           1       9,511         --       --
HORACE MANN EDUCATORS
   CORP.                 EQUITY       440327104   2,296   131,360 SH    -- SOLE           1     131,360         --       --
HORIZON FINANCIAL CORP   EQUITY       44041F105     145    10,516 SH    -- SOLE           1      10,516         --       --
HORIZON FINL CORP WASH
   COM                   EQUITY       44041F105      21     1,500 SH    -- DEFINED        5          --         --    1,500
HORIZON LINES INC-CL A   EQUITY       44044K101     477    25,648 SH    -- SOLE           1      25,648         --       --
HORMEL FOODS CORP.       EQUITY       440452100   7,109   170,633 SH    -- SOLE           1     170,633         --       --
HORNBECK OFFSHORE
   SERVICES              EQUITY       440543106     900    19,715 SH    -- SOLE           1      19,715         --       --
HORSEHEAD HOLDING CORP   EQUITY       440694305      55     4,789 SH    -- SOLE           1       4,789         --       --
HOSPIRA INC              EQUITY       441060100   2,861    66,890 SH    -- SOLE           1      66,890         --       --
HOSPIRA INC              EQUITY       441060100       8       190 SH    -- SOLE           2         190         --       --
HOSPITALITY PPTYS TR     EQUITY       44106M102     163     4,800 SH    -- SOLE           2       4,800         --       --
HOSPITALITY PPTYS TR
   COM SH BEN INT        EQUITY       44106M102      57     1,680 SH    -- DEFINED        4          --         --    1,680
HOSPITALITY PPTYS TR
   COM SH BEN INT        EQUITY       44106M102      14       400 SH    -- DEFINED        5          --         --      400
HOST HOTELS & RESORTS
   INC                   EQUITY       44107P104  22,511 1,414,019 SH    -- SOLE           1   1,414,019         --       --
HOST HOTELS + RESORTS
   INC                   EQUITY       44107P104      10       626 SH    -- SOLE           2         626         --       --
HOT TOPIC INC            EQUITY       441339108     164    37,968 SH    -- SOLE           1      37,968         --       --
HOUSTON WIRE & CABLE CO  EQUITY       44244K109     215    13,446 SH    -- SOLE           1      13,446         --       --
HOVNANIAN ENTERPRISES
   INC                   EQUITY       442487203   1,585   149,523 SH    -- SOLE           1     149,523         --       --
HOVNANIAN ENTERPRISES
   INC CL A              EQUITY       442487203      26     2,432 SH    -- DEFINED        4          --         --    2,432
HQ SUSTAINABLE MARITIM
   COM NEW               EQUITY       40426A208   1,865   159,400 SH    -- SOLE           3     159,400         --       --
HRPT PPTYS TR COM SH
   BEN INT               EQUITY       40426W101       2       325 SH    -- DEFINED        4          --         --      325
HSBC HLDGS PLC ADR A
   1/40PF A              EQUITY       404280604      22     1,000 SH    -- DEFINED        5          --         --    1,000
HSBC HLDGS PLC SPON ADR
   NEW                   EQUITY       404280406     101     1,223 SH    -- DEFINED        4          --         --    1,223
HSBC HLDGS PLC SPON ADR
   NEW                   EQUITY       404280406      16       199 SH    -- DEFINED        5          --         --      199
HSBC HOLDINGS PLC        EQUITY       404280604   1,465    67,400 SH    -- SOLE           1      67,400         --       --
HSW INTERNATIONAL INC    EQUITY       40431N104      66    13,110 SH    -- SOLE           1      13,110         --       --
HUANENG PWR INTL INC
   SPON ADR H SHS        EQUITY       443304100       3        94 SH    -- DEFINED        4          --         --       94
HUB GROUP INC-CL A       EQUITY       443320106   1,094    33,265 SH    -- SOLE           1      33,265         --       --
HUBBELL INC. CLASS B     EQUITY       443510201   6,274   143,601 SH    -- SOLE           1     143,601         --       --
HUDSON CITY BANCORP      EQUITY       443683107   4,056   229,399 SH    -- SOLE           1     229,399         --       --
HUDSON CITY BANCORP INC  EQUITY       443683107      11       620 SH    -- SOLE           2         620         --       --
HUDSON HIGHLAND GROUP
   INC                   EQUITY       443792106     183    21,648 SH    -- SOLE           1      21,648         --       --
HUGHES COMMUNICATIONS
   INC                   EQUITY       444398101     280     5,517 SH    -- SOLE           1       5,517         --       --
HUGOTON RTY TR TEX UNIT
   BEN INT               EQUITY       444717102       4       148 SH    -- DEFINED        4          --         --      148
HUMAN GENOME SCIENCES,
   INC.                  EQUITY       444903108     678   115,193 SH    -- SOLE           1     115,193         --       --
HUMANA INC               EQUITY       444859102     107     2,393 SH    -- SOLE           2       2,393         --       --
HUMANA INC COM           EQUITY       444859102      10       220 SH    -- DEFINED        5          --         --      220
HUMANA, INC.             EQUITY       444859102   7,567   168,689 SH    -- SOLE           1     168,689         --       --
HUNGARIAN TELEPHONE &
   CABLE                 EQUITY       445542103      54     3,095 SH    -- SOLE           1       3,095         --       --
HUNT JB TRANS SVC INC
   COM                   EQUITY       445658107   3,690   117,400 SH    -- SOLE           3      47,700         --   69,700





                                                                                  
HUNTINGTON BANCSHARES
   INC                   EQUITY       446150104      74     6,858 SH    -- SOLE           2       6,858         --       --
HUNTINGTON BANCSHARES
   INC COM               EQUITY       446150104     134    12,442 SH    -- DEFINED        4          --         --   12,442
HUNTINGTON BANCSHARES,
   INC.                  EQUITY       446150104   2,529   235,298 SH    -- SOLE           1     235,298         --       --
HUNTSMAN CORP            EQUITY       447011107     499    21,177 SH    -- SOLE           1      21,177         --       --
HURCO COS INC            EQUITY       447324104     224     4,791 SH    -- SOLE           1       4,791         --       --
HURON CONSULTING GROUP
   INC                   EQUITY       447462102     665    15,997 SH    -- SOLE           1      15,997         --       --
HUTCHINSON TECHNOLOGY,
   INC.                  EQUITY       448407106     355    22,331 SH    -- SOLE           1      22,331         --       --
HYPERCOM CORP            EQUITY       44913M105     198    45,692 SH    -- SOLE           1      45,692         --       --
HYTHIAM INC              EQUITY       44919F104      39    31,861 SH    -- SOLE           1      31,861         --       --
I2 TECHNOLOGIES INC      EQUITY       465754208     150    13,281 SH    -- SOLE           1      13,281         --       --
I2 TECHNOLOGIES INC COM
   NEW                   EQUITY       465754208       5       488 SH    -- DEFINED        5          --         --      488
IAC INTERACTIVECORP      EQUITY       44919P300       4       216 SH    -- SOLE           2         216         --       --
IAC INTERACTIVECORP COM
   NEW                   EQUITY       44919P300       1        55 SH    -- DEFINED        4          --         --       55
IAC/INTERACTIVECORP      EQUITY       44919P300   4,314   207,781 SH    -- SOLE           1     207,781         --       --
IAMGOLD CORPORATION      EQUITY       450913108     301    40,895 SH    -- OTHER          1          --     40,895       --
IBASIS INC               EQUITY       450732201     117    28,464 SH    -- SOLE           1      28,464         --       --
IBERIABANK CORP          EQUITY       450828108     441     9,955 SH    -- SOLE           1       9,955         --       --
ICICI BK LTD ADR         EQUITY       45104G104      38     1,000 SH    -- DEFINED        5          --         --    1,000
ICO GLOBAL
   COMMUNICATIONS
   HOLDINGS LTD          EQUITY       44930K108     273    88,243 SH    -- SOLE           1      88,243         --       --
ICON PUB LTD CO          EQUITY       45103T107   1,038    16,000 SH    -- SOLE           2      16,000         --       --
ICONIX BRAND GROUP INC   EQUITY       451055107     755    43,500 SH    -- SOLE           1      43,500         --       --
ICT GROUP INC            EQUITY       44929Y101      70     6,957 SH    -- SOLE           1       6,957         --       --
ICU MEDICAL, INC.        EQUITY       44930G107     319    11,081 SH    -- SOLE           1      11,081         --       --
ICX TECHNOLOGIES INC     EQUITY       44934T105      19     4,283 SH    -- SOLE           1       4,283         --       --
IDACORP INC COM          EQUITY       451107106       2        70 SH    -- DEFINED        5          --         --       70
IDACORP, INC.            EQUITY       451107106   4,638   144,435 SH    -- SOLE           1     144,435         --       --
IDEARC INC               EQUITY       451663108      21     5,789 SH    -- SOLE           1       5,789         --       --
IDEARC INC               EQUITY       451663108     655   179,900 SH    -- SOLE           2     179,900         --       --
IDEARC INC COM           EQUITY       451663108       1       384 SH    -- DEFINED        5          --         --      384
IDENIX PHARMACEUTICALS
   INC                   EQUITY       45166R204     108    21,424 SH    -- SOLE           1      21,424         --       --
IDEX CORP.               EQUITY       45167R104   5,951   193,897 SH    -- SOLE           1     193,897         --       --
IDEXX LABORATORIES, INC. EQUITY       45168D104      41       837 SH    -- SOLE           1         837         --       --
IDEXX LABS INC           EQUITY       45168D104     517    10,500 SH    -- SOLE           2      10,500         --       --
IDEXX LABS INC COM       EQUITY       45168D104      24       490 SH    -- DEFINED        4          --         --      490
IDT CORP-CL B            EQUITY       448947309     152    39,167 SH    -- SOLE           1      39,167         --       --
I-FLOW CORP              EQUITY       449520303     247    17,599 SH    -- SOLE           1      17,599         --       --
IGATE CORP               EQUITY       45169U105     133    18,716 SH    -- SOLE           1      18,716         --       --
IHOP CORP.               EQUITY       449623107     716    14,956 SH    -- SOLE           1      14,956         --       --
IHS INC                  EQUITY       451734107     669    10,400 SH    -- SOLE           2      10,400         --       --
IHS INC-CLASS A          EQUITY       451734107   1,852    28,796 SH    -- SOLE           1      28,796         --       --
II VI INC COM            EQUITY       902104108      93     2,451 SH    -- DEFINED        5          --         --    2,451
II-VI INC                EQUITY       902104108     772    20,329 SH    -- SOLE           1      20,329         --       --
IKON OFFICE SOLUTIONS
   INC COM               EQUITY       451713101       4       590 SH    -- DEFINED        4          --         --      590
IKON OFFICE SOLUTIONS
   INC.                  EQUITY       451713101     524    68,890 SH    -- SOLE           1      68,890         --       --
ILLINOIS TOOL WKS INC    EQUITY       452308109      23       479 SH    -- SOLE           2         479         --       --
ILLINOIS TOOL WKS INC
   COM                   EQUITY       452308109       4        80 SH    -- DEFINED        5          --         --       80
ILLINOIS TOOL WORKS,
   INC.                  EQUITY       452308109  10,152   210,499 SH    -- SOLE           1     210,499         --       --
ILLUMINA INC             EQUITY       452327109   3,491    45,989 SH    -- SOLE           1      45,989         --       --
ILLUMINA INC             EQUITY       452327109     577     7,600 SH    -- SOLE           2       7,600         --       --
ILLUMINA INC COM         EQUITY       452327109       8       100 SH    -- DEFINED        4          --         --      100
IMATION CORP.            EQUITY       45245A107   2,324   102,192 SH    -- SOLE           1     102,192         --       --
IMCLONE SYS INC          EQUITY       45245W109     513    12,085 SH    -- SOLE           2      12,085         --       --
IMCLONE SYSTEMS          EQUITY       45245W109       6       146 SH    -- SOLE           1         146         --       --
IMERGENT INC             EQUITY       45247Q100     112     9,838 SH    -- SOLE           1       9,838         --       --
IMMERSION CORP           EQUITY       452521107     184    25,859 SH    -- SOLE           1      25,859         --       --
IMMERSION CORP COM       EQUITY       452521107       9     1,200 SH    -- DEFINED        4          --         --    1,200





                                                                                  
IMMERSION CORP COM       EQUITY       452521107       9     1,300 SH    -- DEFINED        5          --         --    1,300
IMMUCOR INC              EQUITY       452526106   1,261    59,093 SH    -- SOLE           1      59,093         --       --
IMMUNOMEDICS, INC.       EQUITY       452907108     140    49,785 SH    -- SOLE           1      49,785         --       --
IMPAC MORTGAGE HOLDINGS
   INC                   EQUITY       45254P102      83    65,269 SH    -- SOLE           1      65,269         --       --
IMPAC MTG HLDGS INC COM  EQUITY       45254P102       3     2,000 SH    -- DEFINED        5          --         --    2,000
IMPERIAL CAPITAL
   BANCORP INC           EQUITY       452680101     102     4,716 SH    -- SOLE           1       4,716         --       --
IMPERIAL OIL LTD         EQUITY       453038408   1,989    37,963 SH    -- OTHER          1          --     37,963       --
IMPERIAL SUGAR CO        EQUITY       453096208     190    10,082 SH    -- SOLE           1      10,082         --       --
IMPERIAL TOBACCO GROUP
   PLC SPONSORED ADR     EQUITY       453142101      14       153 SH    -- DEFINED        4          --         --      153
IMPERIAL TOBACCO GROUP
   PLC SPONSORED ADR     EQUITY       453142101       1        15 SH    -- DEFINED        5          --         --       15
IMS HEALTH INC           EQUITY       449934108   3,469   165,119 SH    -- SOLE           2     165,119         --       --
IMS HEALTH, INC.         EQUITY       449934108   1,655    78,781 SH    -- SOLE           1      78,781         --       --
INCYTE CORP              EQUITY       45337C102     757    72,062 SH    -- SOLE           1      72,062         --       --
INDEPENDENCE HLDG CO N   EQUITY       453440307      64     5,398 SH    -- SOLE           1       5,398         --       --
INDEPENDENT BANK CORP
   MASS COM              EQUITY       453836108      62     2,104 SH    -- DEFINED        5          --         --    2,104
INDEPENDENT BANK
   CORP.-MASSACHUSETTS   EQUITY       453836108     360    12,182 SH    -- SOLE           1      12,182         --       --
INDEPENDENT BANK
   CORP.-MICHIGAN        EQUITY       453838104     201    19,381 SH    -- SOLE           1      19,381         --       --
INDEVUS PHARMACEUTICALS
   INC                   EQUITY       454072109     249    52,302 SH    -- SOLE           1      52,302         --       --
INDIA FD INC COM         EQUITY       454089103       2        50 SH    -- DEFINED        4          --         --       50
INDIA FD INC COM         EQUITY       454089103     352     7,745 SH    -- DEFINED        5          --         --    7,745
INDYMAC BANCORP INC COM  EQUITY       456607100       5     1,078 SH    -- DEFINED        5          --         --    1,078
INDYMAC BANCORP INC
   WIRES 2031            EQUITY       456607209      28     1,453 SH    -- DEFINED        5          --         --    1,453
INDYMAC BANCORP, INC.    EQUITY       456607100     967   194,984 SH    -- SOLE           1     194,984         --       --
INFINERA CORP            EQUITY       45667G103     176    14,651 SH    -- SOLE           1      14,651         --       --
INFINITY PROPERTY &
   CASUALTY              EQUITY       45665Q103     584    14,034 SH    -- SOLE           1      14,034         --       --
INFORMATICA CORP         EQUITY       45666Q102   1,281    75,074 SH    -- SOLE           1      75,074         --       --
INFORMATICA CORP         EQUITY       45666Q102     678    39,750 SH    -- SOLE           2      39,750         --       --
INFORMATION SERVICES
   GROUP INC             EQUITY       45675Y104     110    21,396 SH    -- SOLE           1      21,396         --       --
INFOSPACE INC.           EQUITY       45678T201     327    28,304 SH    -- SOLE           1      28,304         --       --
INFOSYS TECHNOLOGIES LTD EQUITY       456788108      73     2,040 SH    -- SOLE           2       2,040         --       --
INFOSYS TECHNOLOGIES
   LTD SPONSORED ADR     EQUITY       456788108      54     1,500 SH    -- DEFINED        5          --         --    1,500
INFOSYS TECHNOLOGIES-SP
   ADR                   EQUITY       456788108     217     6,060 SH    -- SOLE           1       6,060         --       --
INFOUSA INC. CLASS B     EQUITY       456818301     170    27,893 SH    -- SOLE           1      27,893         --       --
ING CLARION GLB RE EST
   INCM COM              EQUITY       44982G104      46     3,262 SH    -- DEFINED        4          --         --    3,262
ING CLARION GLB RE EST
   INCM COM              EQUITY       44982G104      28     1,953 SH    -- DEFINED        5          --         --    1,953
ING GLBL ADV & PREM OPP
   FUND COM              EQUITY       44982N109      54     3,300 SH    -- DEFINED        5          --         --    3,300
ING GLOBAL EQTY DIV &
   PREM O COM            EQUITY       45684E107      91     5,475 SH    -- DEFINED        5          --         --    5,475
ING PRIME RATE TR SH
   BEN INT               EQUITY       44977W106       9     1,602 SH    -- DEFINED        5          --         --    1,602
INGERSOLL RAND COMPANY
   LIM                   EQUITY       G4776G101      15       326 SH    -- SOLE           2         326         --       --
INGERSOLL-RAND COMPANY
   LTD CL A              EQUITY       G4776G101      11       256 SH    -- DEFINED        4          --         --      256
INGERSOLL-RAND COMPANY
   LTD CL A              EQUITY       G4776G101      12       264 SH    -- DEFINED        5          --         --      264
INGLES MARKETS INC
   CLASS A               EQUITY       457030104     262    10,640 SH    -- SOLE           1      10,640         --       --
INGRAM MICRO INC. CLASS
   A                     EQUITY       457153104   5,657   357,362 SH    -- SOLE           1     357,362         --       --
INLAND REAL ESTATE CORP
   COM NEW               EQUITY       457461200       5       327 SH    -- DEFINED        4          --         --      327
INLAND REAL ESTATE CORP
   COM NEW               EQUITY       457461200      94     6,210 SH    -- DEFINED        5          --         --    6,210
INNERWORKINGS INC        EQUITY       45773Y105     281    19,995 SH    -- SOLE           1      19,995         --       --
INNOPHOS HOLDINGS INC    EQUITY       45774N108     287    17,834 SH    -- SOLE           1      17,834         --       --
INNOSPEC INC             EQUITY       45768S105     437    20,603 SH    -- SOLE           1      20,603         --       --
INNOVATIVE SOLUTIONS &
   SUPPORT               EQUITY       45769N105     114    10,802 SH    -- SOLE           1      10,802         --       --
INSIGHT ENTERPRISES,
   INC.                  EQUITY       45765U103     726    41,476 SH    -- SOLE           1      41,476         --       --
INSITUFORM
   TECHNOLOGIES, INC.
   CLASS A               EQUITY       457667103     324    23,403 SH    -- SOLE           1      23,403         --       --
INSPIRE PHARMACEUTICALS
   INC COM               EQUITY       457733103       3       800 SH    -- DEFINED        5          --         --      800
INSTEEL INDUSTRIES INC   EQUITY       45774W108     182    15,684 SH    -- SOLE           1      15,684         --       --
INSULET CORP             EQUITY       45784P101     104     7,223 SH    -- SOLE           1       7,223         --       --
INSURED MUN INCOME FD
   COM                   EQUITY       45809F104       2       200 SH    -- DEFINED        5          --         --      200
INSWEB CORP              EQUITY       45809K202      99     9,194 SH    -- SOLE           1       9,194         --       --





                                                                                  
INTEGRA BANK CORP.       EQUITY       45814P105     289    17,822 SH    -- SOLE           1      17,822         --       --
INTEGRA LIFESCIENCES
   HOLDINGS              EQUITY       457985208     671    15,444 SH    -- SOLE           1      15,444         --       --
INTEGRAL SYSTEMS INC/MD  EQUITY       45810H107     235     8,048 SH    -- SOLE           1       8,048         --       --
INTEGRATED DEVICE
   TECHNOLOGY,           EQUITY       458118106   4,077   456,511 SH    -- SOLE           1     456,511         --       --
INTEGRATED ELECTRICAL
   SERVICES INC          EQUITY       45811E301     180    11,480 SH    -- SOLE           1      11,480         --       --
INTEGRYS ENERGY GROUP
   INC                   EQUITY       45822P105   1,542    33,060 SH    -- SOLE           1      33,060         --       --
INTEGRYS ENERGY GROUP
   INC                   EQUITY       45822P105       4        91 SH    -- SOLE           2          91         --       --
INTEGRYS ENERGY GROUP
   INC COM               EQUITY       45822P105      15       330 SH    -- DEFINED        5          --         --      330
INTEL CORP               EQUITY       458140100  15,648   738,800 SH    -- SOLE           2     738,800         --       --
INTEL CORP COM           EQUITY       458140100   1,358    64,102 SH    -- DEFINED        4          --         --   64,102
INTEL CORP COM           EQUITY       458140100     771    36,393 SH    -- DEFINED        5          --         --   36,393
INTEL CORP.              EQUITY       458140100 106,250 5,016,504 SH    -- SOLE           1   5,016,504         --       --
INTER PARFUMS INC        EQUITY       458334109     163     7,372 SH    -- SOLE           1       7,372         --       --
INTERACTIVE BROKERS
   GROUP                 EQUITY       45841N107     881    34,314 SH    -- SOLE           1      34,314         --       --
INTERACTIVE BROKERS
   GROUP                 EQUITY       45841N107     429    16,700 SH    -- SOLE           2      16,700         --       --
INTERACTIVE DATA CORP    EQUITY       45840J107     881    30,956 SH    -- SOLE           1      30,956         --       --
INTERACTIVE
   INTELLIGENCE INC      EQUITY       45839M103     132    11,177 SH    -- SOLE           1      11,177         --       --
INTERCONTINENTAL HTLS
   GRP PL SPONS ADR NEW  EQUITY       45857P301       3       191 SH    -- DEFINED        5          --         --      191
INTERCONTINENTALEXCHAN
   COM                   EQUITY       45865V100   3,276    25,100 SH    -- SOLE           3       9,900         --   15,200
INTERCONTINENTALEXCHANGE
   I                     EQUITY       45865V100      11        84 SH    -- SOLE           2          84         --       --
INTERCONTINENTALEXCHANGE
   INC                   EQUITY       45865V100   3,888    29,792 SH    -- SOLE           1      29,792         --       --
INTERCONTINENTALEXCHANGE
   INC COM               EQUITY       45865V100      39       300 SH    -- DEFINED        5          --         --      300
INTERDIGITAL INC         EQUITY       45867G101     797    40,243 SH    -- SOLE           1      40,243         --       --
INTERDIGITAL INC COM     EQUITY       45867G101      20     1,000 SH    -- DEFINED        4          --         --    1,000
INTERDIGITAL INC COM     EQUITY       45867G101       4       200 SH    -- DEFINED        5          --         --      200
INTERFACE, INC. CLASS A  EQUITY       458665106     660    46,941 SH    -- SOLE           1      46,941         --       --
INTERLINE BRANDS INC     EQUITY       458743101     440    23,737 SH    -- SOLE           1      23,737         --       --
INTERMEC INC             EQUITY       458786100   1,154    51,985 SH    -- SOLE           1      51,985         --       --
INTERMEC INC             EQUITY       458786100     506    22,800 SH    -- SOLE           2      22,800         --       --
INTERMUNE INC.           EQUITY       45884X103     374    25,665 SH    -- SOLE           1      25,665         --       --
INTERNAP NETWORK
   SERVICES CORP         EQUITY       45885A300     208    41,974 SH    -- SOLE           1      41,974         --       --
INTERNATIONAL
   BANCSHARES COR COM    EQUITY       459044103      11       500 SH    -- DEFINED        4          --         --      500
INTERNATIONAL
   BANCSHARES COR COM    EQUITY       459044103     155     6,875 SH    -- DEFINED        5          --         --    6,875
INTERNATIONAL
   BANCSHARES CORP.      EQUITY       459044103     992    43,950 SH    -- SOLE           1      43,950         --       --
INTERNATIONAL BUSINESS
   MAC                   EQUITY       459200101  10,167    88,299 SH    -- SOLE           2      88,299         --       --
INTERNATIONAL BUSINESS
   MACHINES CORP         EQUITY       459200101 128,231 1,113,700 SH    -- SOLE           1   1,113,700         --       --
INTERNATIONAL BUSINESS
   MACHS COM             EQUITY       459200101     847     7,353 SH    -- DEFINED        4          --         --    7,353
INTERNATIONAL BUSINESS
   MACHS COM             EQUITY       459200101     948     8,237 SH    -- DEFINED        5          --         --    8,237
INTERNATIONAL COAL
   GROUP INC             EQUITY       45928H106     692   109,012 SH    -- SOLE           1     109,012         --       --
INTERNATIONAL GAME
   TECHNOL               EQUITY       459902102      75     1,874 SH    -- SOLE           2       1,874         --       --
INTERNATIONAL GAME
   TECHNOLOG COM         EQUITY       459902102     665    16,530 SH    -- DEFINED        4          --         --   16,530
INTERNATIONAL GAME
   TECHNOLOG COM         EQUITY       459902102      30       750 SH    -- DEFINED        5          --         --      750
INTERNATIONAL GAME
   TECHNOLOGY            EQUITY       459902102   5,392   134,099 SH    -- SOLE           1     134,099         --       --
INTERNATIONAL PAPER CO   EQUITY       460146103   4,233   155,611 SH    -- SOLE           2     155,611         --       --
INTERNATIONAL PAPER CO.  EQUITY       460146103  10,132   372,505 SH    -- SOLE           1     372,505         --       --
INTERNATIONAL RECTIFIER
   CORP COM              EQUITY       460254105       2       100 SH    -- DEFINED        4          --         --      100
INTERNATIONAL RECTIFIER
   CORP COM              EQUITY       460254105      50     2,348 SH    -- DEFINED        5          --         --    2,348
INTERNATIONAL RECTIFIER
   CORP.                 EQUITY       460254105   3,738   173,849 SH    -- SOLE           1     173,849         --       --
INTERNATIONAL
   SHIPHOLDING CO COM
   NEW                   EQUITY       460321201       8       411 SH    -- DEFINED        4          --         --      411
INTERNATIONAL SPEEDWAY
   COR                   EQUITY       460335201   7,799   189,300 SH    -- SOLE           2     189,300         --       --
INTERNATIONAL SPEEDWAY
   CORP CL A             EQUITY       460335201       8       200 SH    -- DEFINED        5          --         --      200
INTERNATIONAL SPEEDWAY
   CORP.                 EQUITY       460335201   3,038    73,739 SH    -- SOLE           1      73,739         --       --
INTERNET BRANDS INC      EQUITY       460608102      38     5,163 SH    -- SOLE           1       5,163         --       --
INTERNET CAPITAL GROUP,
   INC.                  EQUITY       46059C205     347    33,161 SH    -- SOLE           1      33,161         --       --
INTEROIL CORP COM        EQUITY       460951106      25     1,500 SH    -- DEFINED        5          --         --    1,500
INTERPUBLIC GROUP CORP   EQUITY       460690100   1,718   204,228 SH    -- SOLE           1     204,228         --       --





                                                                                  
INTERPUBLIC GROUP COS
   INC                   EQUITY       460690100       5       563 SH    -- SOLE           2         563         --       --
INTERSIL CORP            EQUITY       46069S109   1,258    49,000 SH    -- SOLE           2      49,000         --       --
INTERSIL CORP -CL A      EQUITY       46069S109   7,810   304,264 SH    -- SOLE           1     304,264         --       --
INTERVOICE-BRITE INC.    EQUITY       461142101     265    33,328 SH    -- SOLE           1      33,328         --       --
INTERWOVEN INC           EQUITY       46114T508     399    37,393 SH    -- SOLE           1      37,393         --       --
INTEVAC INC              EQUITY       461148108     238    18,356 SH    -- SOLE           1      18,356         --       --
INTL PAPER CO COM        EQUITY       460146103       6       225 SH    -- DEFINED        4          --         --      225
INTL PAPER CO COM        EQUITY       460146103       3       125 SH    -- DEFINED        5          --         --      125
INT'L. FLAVORS &
   FRAGRANCES,           EQUITY       459506101   3,565    80,938 SH    -- SOLE           1      80,938         --       --
INTRNTNL FLAVRS +
   FRAGRNCS              EQUITY       459506101       4        97 SH    -- SOLE           2          97         --       --
INTUIT                   EQUITY       461202103      11       392 SH    -- SOLE           2         392         --       --
INTUIT, INC.             EQUITY       461202103   4,332   160,367 SH    -- SOLE           1     160,367         --       --
INTUITIVE SURGICAL INC   EQUITY       46120E602  30,749    94,802 SH    -- SOLE           1      94,802         --       --
INTUITIVE SURGICAL INC
   COM NEW               EQUITY       46120E602   5,936    18,300 SH    -- SOLE           3       7,300         --   11,000
INTUITIVE SURGICAL INC
   COM NEW               EQUITY       46120E602      20        61 SH    -- DEFINED        4          --         --       61
INVACARE CORP.           EQUITY       461203101     550    24,690 SH    -- SOLE           1      24,690         --       --
INVENTIV HEALTH INC      EQUITY       46122E105     769    26,702 SH    -- SOLE           1      26,702         --       --
INVERNESS MED
   INNOVATIONS           EQUITY       46126P106   1,523    50,600 SH    -- SOLE           2      50,600         --       --
INVERNESS MEDICAL
   INNOVATION            EQUITY       46126P106   1,948    64,733 SH    -- SOLE           1      64,733         --       --
INVESCO LTD              EQUITY       G491BT108  12,476   512,150 SH    -- SOLE           2     512,150         --       --
INVESCO LTD SHS          EQUITY       G491BT108      14       580 SH    -- DEFINED        4          --         --      580
INVESTMENT GRADE MUN
   INCOME COM            EQUITY       461368102      10       808 SH    -- DEFINED        4          --         --      808
INVESTMENT TEC GRP NEW
   COM                   EQUITY       46145F105   5,990   129,700 SH    -- SOLE           3      66,600         --   63,100
INVESTMENT TECHNOLOGY
   GROU                  EQUITY       46145F105     688    14,900 SH    -- SOLE           2      14,900         --       --
INVESTMENT TECHNOLOGY
   GROUP                 EQUITY       46145F105   1,227    26,564 SH    -- SOLE           1      26,564         --       --
INVESTOOLS INC           EQUITY       46145P103     493    44,870 SH    -- SOLE           1      44,870         --       --
INVESTORS BANCORP INC    EQUITY       46146P102     672    43,797 SH    -- SOLE           1      43,797         --       --
INVITROGEN CORP          EQUITY       46185R100  12,333   144,300 SH    -- SOLE           1     144,300         --       --
ION GEOPHYSICAL CORP     EQUITY       462044108     982    71,163 SH    -- SOLE           1      71,163         --       --
ION MEDIA NETWORKS INC   EQUITY       46205AAB9       5    17,168 SH    -- SOLE           1      17,168         --       --
IOWA TELECOMM SERVICES
   INC COM               EQUITY       462594201      40     2,259 SH    -- DEFINED        5          --         --    2,259
IOWA TELECOMMUNICATIONS
   SERV                  EQUITY       462594201     482    27,205 SH    -- SOLE           1      27,205         --       --
IPASS INC                EQUITY       46261V108     131    43,332 SH    -- SOLE           1      43,332         --       --
IPC HLDGS LTD ORD        EQUITY       G4933P101      10       352 SH    -- DEFINED        5          --         --      352
IPC THE HOSPITALIST CO
   INC                   EQUITY       44984A105     100     5,071 SH    -- SOLE           1       5,071         --       --
IPCS INC                 EQUITY       44980Y305  52,636 2,364,549 SH    -- SOLE           1   2,364,549         --       --
IPCS INC DEL             EQUITY       44980Y305   5,843   250,233 SH    -- SOLE           2     250,233         --       --
IPG PHOTONICS CORP       EQUITY       44980X109     135     8,611 SH    -- SOLE           1       8,611         --       --
IPG PHOTONICS CORP COM   EQUITY       44980X109       4       286 SH    -- DEFINED        5          --         --      286
IROBOT CORP              EQUITY       462726100     226    13,183 SH    -- SOLE           1      13,183         --       --
IRON MOUNTAIN INC.       EQUITY       462846106      61     2,304 SH    -- SOLE           1       2,304         --       --
IRON MTN INC COM         EQUITY       462846106       8       300 SH    -- DEFINED        5          --         --      300
IRON MTN INC PA          EQUITY       462846106  27,334 1,033,800 SH    -- SOLE           2   1,033,800         --       --
IRWIN FINANCIAL CORP.    EQUITY       464119106      86    16,122 SH    -- SOLE           1      16,122         --       --
ISHARES COMEX GOLD TR
   ISHARES               EQUITY       464285105     181     1,991 SH    -- DEFINED        4          --         --    1,991
ISHARES COMEX GOLD TR
   ISHARES               EQUITY       464285105       9       100 SH    -- DEFINED        5          --         --      100
ISHARES INC MSCI
   AUSTRALIA             EQUITY       464286103      15       600 SH    -- DEFINED        4          --         --      600
ISHARES INC MSCI
   AUSTRALIA             EQUITY       464286103      29     1,110 SH    -- DEFINED        5          --         --    1,110
ISHARES INC MSCI BELGIUM EQUITY       464286301       7       305 SH    -- DEFINED        4          --         --      305
ISHARES INC MSCI BRAZIL  EQUITY       464286400   1,627    21,123 SH    -- DEFINED        4          --         --   21,123
ISHARES INC MSCI BRAZIL  EQUITY       464286400   1,088    14,127 SH    -- DEFINED        5          --         --   14,127
ISHARES INC MSCI CDA
   INDEX                 EQUITY       464286509   1,270    41,909 SH    -- DEFINED        5          --         --   41,909
ISHARES INC MSCI EMU
   INDEX                 EQUITY       464286608      68       625 SH    -- DEFINED        4          --         --      625
ISHARES INC MSCI FRANCE  EQUITY       464286707       7       200 SH    -- DEFINED        4          --         --      200
ISHARES INC MSCI GERMAN  EQUITY       464286806   1,529    48,515 SH    -- DEFINED        4          --         --   48,515
ISHARES INC MSCI GERMAN  EQUITY       464286806      85     2,688 SH    -- DEFINED        5          --         --    2,688





                                                                                  
ISHARES INC MSCI HONG
   KONG                  EQUITY       464286871      60     3,340 SH    -- DEFINED        4          --         --    3,340
ISHARES INC MSCI HONG
   KONG                  EQUITY       464286871      26     1,476 SH    -- DEFINED        5          --         --    1,476
ISHARES INC MSCI JAPAN   EQUITY       464286848      40     3,215 SH    -- DEFINED        4          --         --    3,215
ISHARES INC MSCI JAPAN   EQUITY       464286848     320    25,862 SH    -- DEFINED        5          --         --   25,862
ISHARES INC MSCI JAPAN
   INDEX FD              EQUITY       464286848  12,273   994,600 SH    -- SOLE           1     994,600         --       --
ISHARES INC MSCI
   MALAYSIA              EQUITY       464286830   1,605   135,453 SH    -- DEFINED        4          --         --  135,453
ISHARES INC MSCI
   MALAYSIA              EQUITY       464286830      63     5,298 SH    -- DEFINED        5          --         --    5,298
ISHARES INC MSCI MEXICO  EQUITY       464286822      10       165 SH    -- DEFINED        4          --         --      165
ISHARES INC MSCI
   NETHERLND             EQUITY       464286814       6       200 SH    -- DEFINED        4          --         --      200
ISHARES INC MSCI PAC J
   IDX                   EQUITY       464286665     520     3,835 SH    -- DEFINED        4          --         --    3,835
ISHARES INC MSCI PAC J
   IDX                   EQUITY       464286665      93       684 SH    -- DEFINED        5          --         --      684
ISHARES INC MSCI S KOREA EQUITY       464286772      10       188 SH    -- DEFINED        4          --         --      188
ISHARES INC MSCI S KOREA EQUITY       464286772      26       465 SH    -- DEFINED        5          --         --      465
ISHARES INC MSCI
   SINGAPORE             EQUITY       464286673     304    23,790 SH    -- DEFINED        4          --         --   23,790
ISHARES INC MSCI
   SINGAPORE             EQUITY       464286673      43     3,400 SH    -- DEFINED        5          --         --    3,400
ISHARES INC MSCI SPAIN   EQUITY       464286764      10       160 SH    -- DEFINED        4          --         --      160
ISHARES INC MSCI STH
   AFRCA                 EQUITY       464286780      14       120 SH    -- DEFINED        4          --         --      120
ISHARES INC MSCI STH
   AFRCA                 EQUITY       464286780       6        55 SH    -- DEFINED        5          --         --       55
ISHARES INC MSCI SWEDEN  EQUITY       464286756      18       582 SH    -- DEFINED        4          --         --      582
ISHARES INC MSCI
   SWITZERLD             EQUITY       464286749       5       200 SH    -- DEFINED        4          --         --      200
ISHARES INC MSCI TAIWAN  EQUITY       464286731      10       600 SH    -- DEFINED        4          --         --      600
ISHARES INC MSCI TAIWAN  EQUITY       464286731   2,111   133,164 SH    -- DEFINED        5          --         --  133,164
ISHARES INC MSCI UTD
   KINGD                 EQUITY       464286699       9       400 SH    -- DEFINED        4          --         --      400
ISHARES MSCI AUSTRALIA
   INDEX FUND            EQUITY       464286103   2,880   111,800 SH    -- SOLE           1     111,800         --       --
ISHARES MSCI CANADA
   INDEX FUND            EQUITY       464286509  25,259   833,350 SH    -- SOLE           1     833,350         --       --
ISHARES MSCI EAFE INDEX
   FUND                  EQUITY       464287465  15,415   214,400 SH    -- SOLE           1     214,400         --       --
ISHARES MSCI HONG KONG
   INDEX                 EQUITY       464286871   4,450   247,900 SH    -- SOLE           1     247,900         --       --
ISHARES MSCI SINGAPORE
   INDEX FUND            EQUITY       464286673     361    28,300 SH    -- SOLE           1      28,300         --       --
ISHARES RUSSELL 2000     EQUITY       464287655   5,173    75,500 SH    -- SOLE           1      75,500         --       --
ISHARES S&P GLOBAL 100
   INDEX FUND            EQUITY       464287572     255     3,500 SH    -- SOLE           1       3,500         --       --
ISHARES S&P GSCI
   COMMODITY I UNIT BEN
   INT                   EQUITY       46428R107      53       917 SH    -- DEFINED        4          --         --      917
ISHARES S&P GSCI
   COMMODITY I UNIT BEN
   INT                   EQUITY       46428R107     445     7,696 SH    -- DEFINED        5          --         --    7,696
ISHARES SILVER TRUST
   ISHARES               EQUITY       46428Q109     984     5,776 SH    -- DEFINED        4          --         --    5,776
ISHARES SILVER TRUST
   ISHARES               EQUITY       46428Q109     635     3,727 SH    -- DEFINED        5          --         --    3,727
ISHARES TR 1-3 YR TRS BD EQUITY       464287457   2,324    27,593 SH    -- DEFINED        4          --         --   27,593
ISHARES TR 1-3 YR TRS BD EQUITY       464287457     630     7,476 SH    -- DEFINED        5          --         --    7,476
ISHARES TR 20+ YR TRS BD EQUITY       464287432   2,901    30,251 SH    -- DEFINED        4          --         --   30,251
ISHARES TR 20+ YR TRS BD EQUITY       464287432     136     1,414 SH    -- DEFINED        5          --         --    1,414
ISHARES TR 7-10 YR TRS
   BD                    EQUITY       464287440      10       111 SH    -- DEFINED        4          --         --      111
ISHARES TR 7-10 YR TRS
   BD                    EQUITY       464287440     300     3,268 SH    -- DEFINED        5          --         --    3,268
ISHARES TR COHEN&ST RLTY EQUITY       464287564      61       754 SH    -- DEFINED        4          --         --      754
ISHARES TR COHEN&ST RLTY EQUITY       464287564     399     4,966 SH    -- DEFINED        5          --         --    4,966
ISHARES TR CONS GOODS
   IDX                   EQUITY       464287812     433     7,150 SH    -- DEFINED        4          --         --    7,150
ISHARES TR CONS GOODS
   IDX                   EQUITY       464287812      75     1,234 SH    -- DEFINED        5          --         --    1,234
ISHARES TR CONS SRVC IDX EQUITY       464287580     384     6,680 SH    -- DEFINED        4          --         --    6,680
ISHARES TR CONS SRVC IDX EQUITY       464287580      20       354 SH    -- DEFINED        5          --         --      354
ISHARES TR DJ AEROSPACE  EQUITY       464288760     260     4,405 SH    -- DEFINED        4          --         --    4,405
ISHARES TR DJ EPAC
   DIVIDE                EQUITY       464288448     113     2,700 SH    -- DEFINED        5          --         --    2,700
ISHARES TR DJ HEALTH
   CARE                  EQUITY       464288828      72     1,536 SH    -- DEFINED        4          --         --    1,536
ISHARES TR DJ HEALTH
   CARE                  EQUITY       464288828       6       130 SH    -- DEFINED        5          --         --      130
ISHARES TR DJ HOME
   CONSTN                EQUITY       464288752      10       500 SH    -- DEFINED        5          --         --      500
ISHARES TR DJ OIL EQUIP  EQUITY       464288844      43       702 SH    -- DEFINED        5          --         --      702
ISHARES TR DJ OIL&GAS
   EXP                   EQUITY       464288851   1,308    18,975 SH    -- DEFINED        4          --         --   18,975
ISHARES TR DJ PHARMA
   INDX                  EQUITY       464288836      14       300 SH    -- DEFINED        4          --         --      300
ISHARES TR DJ PHARMA
   INDX                  EQUITY       464288836      19       400 SH    -- DEFINED        5          --         --      400
ISHARES TR DJ SEL DIV
   INX                   EQUITY       464287168   6,175   106,711 SH    -- DEFINED        4          --         --  106,711





                                                                                  
ISHARES TR DJ SEL DIV
   INX                   EQUITY       464287168   1,076    18,588 SH    -- DEFINED        5          --         --   18,588
ISHARES TR DJ US BAS
   MATL                  EQUITY       464287838     332     4,468 SH    -- DEFINED        4          --         --    4,468
ISHARES TR DJ US BAS
   MATL                  EQUITY       464287838   1,042    14,040 SH    -- DEFINED        5          --         --   14,040
ISHARES TR DJ US ENERGY  EQUITY       464287796   1,698    13,193 SH    -- DEFINED        4          --         --   13,193
ISHARES TR DJ US ENERGY  EQUITY       464287796   1,725    13,400 SH    -- DEFINED        5          --         --   13,400
ISHARES TR DJ US FINL
   SEC                   EQUITY       464287788     815     9,978 SH    -- DEFINED        4          --         --    9,978
ISHARES TR DJ US FINL
   SEC                   EQUITY       464287788     164     2,006 SH    -- DEFINED        5          --         --    2,006
ISHARES TR DJ US FINL
   SVC                   EQUITY       464287770      42       483 SH    -- DEFINED        4          --         --      483
ISHARES TR DJ US FINL
   SVC                   EQUITY       464287770      28       325 SH    -- DEFINED        5          --         --      325
ISHARES TR DJ US
   HEALTHCR              EQUITY       464287762     134     2,145 SH    -- DEFINED        4          --         --    2,145
ISHARES TR DJ US
   HEALTHCR              EQUITY       464287762      13       200 SH    -- DEFINED        5          --         --      200
ISHARES TR DJ US INDEX
   FD                    EQUITY       464287846     760    11,798 SH    -- DEFINED        5          --         --   11,798
ISHARES TR DJ US
   INDUSTRL              EQUITY       464287754   1,030    15,045 SH    -- DEFINED        4          --         --   15,045
ISHARES TR DJ US
   INDUSTRL              EQUITY       464287754       7       105 SH    -- DEFINED        5          --         --      105
ISHARES TR DJ US REAL
   EST                   EQUITY       464287739       5        80 SH    -- DEFINED        4          --         --       80
ISHARES TR DJ US REAL
   EST                   EQUITY       464287739     197     3,026 SH    -- DEFINED        5          --         --    3,026
ISHARES TR DJ US TECH
   SEC                   EQUITY       464287721     463     8,815 SH    -- DEFINED        4          --         --    8,815
ISHARES TR DJ US TECH
   SEC                   EQUITY       464287721       6       110 SH    -- DEFINED        5          --         --      110
ISHARES TR DJ US
   TELECOMM              EQUITY       464287713       2       100 SH    -- DEFINED        5          --         --      100
ISHARES TR DJ US UTILS   EQUITY       464287697     260     2,828 SH    -- DEFINED        4          --         --    2,828
ISHARES TR DJ US UTILS   EQUITY       464287697     162     1,758 SH    -- DEFINED        5          --         --    1,758
ISHARES TR FTSE XNHUA
   IDX                   EQUITY       464287184     158     1,168 SH    -- DEFINED        4          --         --    1,168
ISHARES TR FTSE XNHUA
   IDX                   EQUITY       464287184     118       870 SH    -- DEFINED        5          --         --      870
ISHARES TR HIGH YLD CORP EQUITY       464288513     313     3,238 SH    -- DEFINED        4          --         --    3,238
ISHARES TR HIGH YLD CORP EQUITY       464288513      97     1,000 SH    -- DEFINED        5          --         --    1,000
ISHARES TR IBOXX INV
   CPBD                  EQUITY       464287242     363     3,451 SH    -- DEFINED        5          --         --    3,451
ISHARES TR LARGE VAL
   INDX                  EQUITY       464288109      34       470 SH    -- DEFINED        4          --         --      470
ISHARES TR LARGE VAL
   INDX                  EQUITY       464288109      23       320 SH    -- DEFINED        5          --         --      320
ISHARES TR LEHMAN 3-7 YR EQUITY       464288661     624     5,643 SH    -- DEFINED        4          --         --    5,643
ISHARES TR LEHMAN 3-7 YR EQUITY       464288661      87       785 SH    -- DEFINED        5          --         --      785
ISHARES TR LEHMAN AGG
   BND                   EQUITY       464287226   3,413    33,240 SH    -- DEFINED        4          --         --   33,240
ISHARES TR LEHMAN AGG
   BND                   EQUITY       464287226   1,317    12,826 SH    -- DEFINED        5          --         --   12,826
ISHARES TR LRGE CORE
   INDX                  EQUITY       464287127     290     3,899 SH    -- DEFINED        4          --         --    3,899
ISHARES TR LRGE CORE
   INDX                  EQUITY       464287127      17       230 SH    -- DEFINED        5          --         --      230
ISHARES TR LRGE GRW INDX EQUITY       464287119      60       954 SH    -- DEFINED        4          --         --      954
ISHARES TR LRGE GRW INDX EQUITY       464287119      42       657 SH    -- DEFINED        5          --         --      657
ISHARES TR MID CORE
   INDEX                 EQUITY       464288208      11       140 SH    -- DEFINED        4          --         --      140
ISHARES TR MID CORE
   INDEX                 EQUITY       464288208      10       135 SH    -- DEFINED        5          --         --      135
ISHARES TR MID GRWTH
   INDX                  EQUITY       464288307      39       443 SH    -- DEFINED        4          --         --      443
ISHARES TR MID GRWTH
   INDX                  EQUITY       464288307     120     1,377 SH    -- DEFINED        5          --         --    1,377
ISHARES TR MID VAL INDEX EQUITY       464288406      31       438 SH    -- DEFINED        4          --         --      438
ISHARES TR MID VAL INDEX EQUITY       464288406       5        70 SH    -- DEFINED        5          --         --       70
ISHARES TR MSCI EAFE IDX EQUITY       464287465   2,134    29,686 SH    -- DEFINED        4          --         --   29,686
ISHARES TR MSCI EAFE IDX EQUITY       464287465   2,908    40,442 SH    -- DEFINED        5          --         --   40,442
ISHARES TR MSCI EMERG
   MKT                   EQUITY       464287234   5,959    44,343 SH    -- DEFINED        4          --         --   44,343
ISHARES TR MSCI EMERG
   MKT                   EQUITY       464287234   1,735    12,908 SH    -- DEFINED        5          --         --   12,908
ISHARES TR MSCI GRW IDX  EQUITY       464288885     732    10,126 SH    -- DEFINED        4          --         --   10,126
ISHARES TR MSCI VAL IDX  EQUITY       464288877     115     1,750 SH    -- DEFINED        4          --         --    1,750
ISHARES TR MSCI VAL IDX  EQUITY       464288877     533     8,133 SH    -- DEFINED        5          --         --    8,133
ISHARES TR NASDQ BIO
   INDX                  EQUITY       464287556     291     3,845 SH    -- DEFINED        4          --         --    3,845
ISHARES TR NASDQ BIO
   INDX                  EQUITY       464287556      51       673 SH    -- DEFINED        5          --         --      673
ISHARES TR NYSE 100INX
   FD                    EQUITY       464287135       5        76 SH    -- DEFINED        4          --         --       76
ISHARES TR NYSE COMP
   INDX                  EQUITY       464287143     397     4,933 SH    -- DEFINED        5          --         --    4,933
ISHARES TR RSSL MCRCP
   IDX                   EQUITY       464288869      36       770 SH    -- DEFINED        4          --         --      770
ISHARES TR RSSL MCRCP
   IDX                   EQUITY       464288869      26       566 SH    -- DEFINED        5          --         --      566
ISHARES TR RUSL 2000
   GROW                  EQUITY       464287648     194     2,680 SH    -- DEFINED        4          --         --    2,680





                                                                                  
ISHARES TR RUSL 2000
   GROW                  EQUITY       464287648      32       435 SH    -- DEFINED        5          --         --      435
ISHARES TR RUSL 2000
   VALU                  EQUITY       464287630      61       930 SH    -- DEFINED        4          --         --      930
ISHARES TR RUSL 2000
   VALU                  EQUITY       464287630      66     1,011 SH    -- DEFINED        5          --         --    1,011
ISHARES TR RUSL 3000
   GROW                  EQUITY       464287671      31       703 SH    -- DEFINED        4          --         --      703
ISHARES TR RUSL 3000
   GROW                  EQUITY       464287671      26       595 SH    -- DEFINED        5          --         --      595
ISHARES TR RUSL 3000
   VALU                  EQUITY       464287663      60       639 SH    -- DEFINED        4          --         --      639
ISHARES TR RUSL 3000
   VALU                  EQUITY       464287663      29       310 SH    -- DEFINED        5          --         --      310
ISHARES TR RUSSELL 1000  EQUITY       464287622     239     3,321 SH    -- DEFINED        4          --         --    3,321
ISHARES TR RUSSELL 1000  EQUITY       464287622      14       200 SH    -- DEFINED        5          --         --      200
ISHARES TR RUSSELL 2000  EQUITY       464287655     753    11,026 SH    -- DEFINED        4          --         --   11,026
ISHARES TR RUSSELL 2000  EQUITY       464287655     222     3,257 SH    -- DEFINED        5          --         --    3,257
ISHARES TR RUSSELL 3000  EQUITY       464287689      79     1,035 SH    -- DEFINED        5          --         --    1,035
ISHARES TR RUSSELL MCP
   GR                    EQUITY       464287481     654     6,455 SH    -- DEFINED        4          --         --    6,455
ISHARES TR RUSSELL MCP
   GR                    EQUITY       464287481      72       710 SH    -- DEFINED        5          --         --      710
ISHARES TR RUSSELL MCP
   VL                    EQUITY       464287473     779     6,058 SH    -- DEFINED        4          --         --    6,058
ISHARES TR RUSSELL MCP
   VL                    EQUITY       464287473      79       616 SH    -- DEFINED        5          --         --      616
ISHARES TR RUSSELL
   MIDCAP                EQUITY       464287499     415     4,438 SH    -- DEFINED        4          --         --    4,438
ISHARES TR RUSSELL
   MIDCAP                EQUITY       464287499     282     3,012 SH    -- DEFINED        5          --         --    3,012
ISHARES TR
   RUSSELL1000GRW        EQUITY       464287614   2,321    42,642 SH    -- DEFINED        4          --         --   42,642
ISHARES TR
   RUSSELL1000GRW        EQUITY       464287614     202     3,719 SH    -- DEFINED        5          --         --    3,719
ISHARES TR
   RUSSELL1000VAL        EQUITY       464287598   3,729    50,768 SH    -- DEFINED        4          --         --   50,768
ISHARES TR
   RUSSELL1000VAL        EQUITY       464287598     204     2,774 SH    -- DEFINED        5          --         --    2,774
ISHARES TR S&G GL
   MATERIA               EQUITY       464288695      50       660 SH    -- DEFINED        4          --         --      660
ISHARES TR S&G GL
   MATERIA               EQUITY       464288695      21       277 SH    -- DEFINED        5          --         --      277
ISHARES TR S&P 100 IDX
   FD                    EQUITY       464287101     432     7,035 SH    -- DEFINED        4          --         --    7,035
ISHARES TR S&P 100 IDX
   FD                    EQUITY       464287101      55       890 SH    -- DEFINED        5          --         --      890
ISHARES TR S&P 1500
   INDEX                 EQUITY       464287150       9        76 SH    -- DEFINED        4          --         --       76
ISHARES TR S&P 1500
   INDEX                 EQUITY       464287150      81       687 SH    -- DEFINED        5          --         --      687
ISHARES TR S&P 500 INDEX EQUITY       464287200   1,771    13,395 SH    -- DEFINED        4          --         --   13,395
ISHARES TR S&P 500 INDEX EQUITY       464287200     803     6,074 SH    -- DEFINED        5          --         --    6,074
ISHARES TR S&P 500 VALUE EQUITY       464287408   1,331    19,225 SH    -- DEFINED        4          --         --   19,225
ISHARES TR S&P 500 VALUE EQUITY       464287408   1,078    15,564 SH    -- DEFINED        5          --         --   15,564
ISHARES TR S&P EURO PLUS EQUITY       464287861     141     1,346 SH    -- DEFINED        4          --         --    1,346
ISHARES TR S&P EURO PLUS EQUITY       464287861      13       124 SH    -- DEFINED        5          --         --      124
ISHARES TR S&P GBL ENER  EQUITY       464287341   1,021     7,884 SH    -- DEFINED        4          --         --    7,884
ISHARES TR S&P GBL ENER  EQUITY       464287341     370     2,856 SH    -- DEFINED        5          --         --    2,856
ISHARES TR S&P GBL FIN   EQUITY       464287333     864    12,325 SH    -- DEFINED        4          --         --   12,325
ISHARES TR S&P GBL FIN   EQUITY       464287333     148     2,115 SH    -- DEFINED        5          --         --    2,115
ISHARES TR S&P GBL
   HLTHCR                EQUITY       464287325     698    13,293 SH    -- DEFINED        4          --         --   13,293
ISHARES TR S&P GBL
   HLTHCR                EQUITY       464287325      73     1,394 SH    -- DEFINED        5          --         --    1,394
ISHARES TR S&P GBL INF   EQUITY       464287291     826    14,605 SH    -- DEFINED        4          --         --   14,605
ISHARES TR S&P GBL INF   EQUITY       464287291     256     4,528 SH    -- DEFINED        5          --         --    4,528
ISHARES TR S&P GBL TELCM EQUITY       464287275     852    12,710 SH    -- DEFINED        4          --         --   12,710
ISHARES TR S&P GBL TELCM EQUITY       464287275     188     2,801 SH    -- DEFINED        5          --         --    2,801
ISHARES TR S&P GL C
   STAPL                 EQUITY       464288737      14       224 SH    -- DEFINED        4          --         --      224
ISHARES TR S&P GL C
   STAPL                 EQUITY       464288737      54       895 SH    -- DEFINED        5          --         --      895
ISHARES TR S&P GL
   CONSUME               EQUITY       464288745      42       841 SH    -- DEFINED        5          --         --      841
ISHARES TR S&P GL
   INDUSTR               EQUITY       464288729      54       903 SH    -- DEFINED        5          --         --      903
ISHARES TR S&P GL
   UTILITI               EQUITY       464288711   1,575    24,747 SH    -- DEFINED        4          --         --   24,747
ISHARES TR S&P GL
   UTILITI               EQUITY       464288711      32       499 SH    -- DEFINED        5          --         --      499
ISHARES TR S&P
   GLB100INDX            EQUITY       464287572      60       820 SH    -- DEFINED        4          --         --      820
ISHARES TR S&P
   GLB100INDX            EQUITY       464287572       8       112 SH    -- DEFINED        5          --         --      112
ISHARES TR S&P GSSI NATL EQUITY       464287374   1,081     8,466 SH    -- DEFINED        4          --         --    8,466
ISHARES TR S&P GSSI NATL EQUITY       464287374     339     2,657 SH    -- DEFINED        5          --         --    2,657
ISHARES TR S&P GSTI
   NTWRK                 EQUITY       464287531       4       150 SH    -- DEFINED        5          --         --      150
ISHARES TR S&P GSTI
   SOFTW                 EQUITY       464287515   1,232    27,497 SH    -- DEFINED        4          --         --   27,497





                                                                                  
ISHARES TR S&P GSTI
   SOFTW                 EQUITY       464287515      98     2,197 SH    -- DEFINED        5          --         --    2,197
ISHARES TR S&P GSTI
   TECHN                 EQUITY       464287549     653    12,870 SH    -- DEFINED        4          --         --   12,870
ISHARES TR S&P LTN AM 40 EQUITY       464287390   1,710     6,774 SH    -- DEFINED        4          --         --    6,774
ISHARES TR S&P LTN AM 40 EQUITY       464287390     241       955 SH    -- DEFINED        5          --         --      955
ISHARES TR S&P MC 400
   GRW                   EQUITY       464287606      25       305 SH    -- DEFINED        4          --         --      305
ISHARES TR S&P MC 400
   GRW                   EQUITY       464287606     827    10,148 SH    -- DEFINED        5          --         --   10,148
ISHARES TR S&P MIDCAP
   400                   EQUITY       464287507     482     6,197 SH    -- DEFINED        4          --         --    6,197
ISHARES TR S&P MIDCAP
   400                   EQUITY       464287507     861    11,073 SH    -- DEFINED        5          --         --   11,073
ISHARES TR S&P MIDCP
   VALU                  EQUITY       464287705      25       339 SH    -- DEFINED        4          --         --      339
ISHARES TR S&P MIDCP
   VALU                  EQUITY       464287705     713     9,761 SH    -- DEFINED        5          --         --    9,761
ISHARES TR S&P NATL MUN
   B                     EQUITY       464288414     205     2,048 SH    -- DEFINED        4          --         --    2,048
ISHARES TR S&P SMLCAP
   600                   EQUITY       464287804     288     4,799 SH    -- DEFINED        4          --         --    4,799
ISHARES TR S&P SMLCAP
   600                   EQUITY       464287804   1,047    17,464 SH    -- DEFINED        5          --         --   17,464
ISHARES TR S&P SMLCP
   GROW                  EQUITY       464287887   1,788    14,463 SH    -- DEFINED        4          --         --   14,463
ISHARES TR S&P SMLCP
   GROW                  EQUITY       464287887     414     3,351 SH    -- DEFINED        5          --         --    3,351
ISHARES TR S&P SMLCP
   VALU                  EQUITY       464287879   1,224    18,702 SH    -- DEFINED        4          --         --   18,702
ISHARES TR S&P SMLCP
   VALU                  EQUITY       464287879      16       251 SH    -- DEFINED        5          --         --      251
ISHARES TR S&P/TOPIX 150 EQUITY       464287382       6        54 SH    -- DEFINED        4          --         --       54
ISHARES TR S&P500 GRW    EQUITY       464287309   1,395    22,255 SH    -- DEFINED        4          --         --   22,255
ISHARES TR S&P500 GRW    EQUITY       464287309     908    14,485 SH    -- DEFINED        5          --         --   14,485
ISHARES TR SMLL CORE
   INDX                  EQUITY       464288505     291     3,878 SH    -- DEFINED        4          --         --    3,878
ISHARES TR SMLL CORE
   INDX                  EQUITY       464288505      39       521 SH    -- DEFINED        5          --         --      521
ISHARES TR SMLL GRWTH
   IDX                   EQUITY       464288604      23       328 SH    -- DEFINED        4          --         --      328
ISHARES TR SMLL VAL INDX EQUITY       464288703   1,560    22,277 SH    -- DEFINED        4          --         --   22,277
ISHARES TR TRANSP AVE
   IDX                   EQUITY       464287192   1,054    12,330 SH    -- DEFINED        4          --         --   12,330
ISHARES TR US PFD STK
   IDX                   EQUITY       464288687     285     6,700 SH    -- DEFINED        5          --         --    6,700
ISHARES TR US TIPS BD FD EQUITY       464287176   2,385    21,700 SH    -- DEFINED        4          --         --   21,700
ISHARES TR US TIPS BD FD EQUITY       464287176     957     8,705 SH    -- DEFINED        5          --         --    8,705
ISILON SYSTEMS INC       EQUITY       46432L104      35     7,271 SH    -- SOLE           1       7,271         --       --
ISIS PHARMACEUTICALS
   INC COM               EQUITY       464330109       8       600 SH    -- DEFINED        4          --         --      600
ISIS PHARMACEUTICALS
   INC COM               EQUITY       464330109      18     1,280 SH    -- DEFINED        5          --         --    1,280
ISIS PHARMACEUTICALS,
   INC.                  EQUITY       464330109   1,125    79,738 SH    -- SOLE           1      79,738         --       --
ISLE OF CAPRI CASINOS    EQUITY       464592104      99    13,789 SH    -- SOLE           1      13,789         --       --
ISTAR FINANCIAL INC      EQUITY       45031U101      72     5,142 SH    -- SOLE           1       5,142         --       --
ISTAR FINL INC COM       EQUITY       45031U101       2       150 SH    -- DEFINED        4          --         --      150
ISTAR FINL INC COM       EQUITY       45031U101      62     4,400 SH    -- DEFINED        5          --         --    4,400
ITC HOLDINGS CORP        EQUITY       465685105   2,166    41,611 SH    -- SOLE           1      41,611         --       --
ITRON INC                EQUITY       465741106     677     7,500 SH    -- SOLE           2       7,500         --       --
ITRON INC COM            EQUITY       465741106       9       100 SH    -- DEFINED        5          --         --      100
ITRON, INC.              EQUITY       465741106   2,323    25,748 SH    -- SOLE           1      25,748         --       --
ITT CORP NEW             EQUITY       450911102      11       217 SH    -- SOLE           2         217         --       --
ITT CORP NEW COM         EQUITY       450911102      10       200 SH    -- DEFINED        5          --         --      200
ITT CORPORATION          EQUITY       450911102   6,378   123,100 SH    -- SOLE           1     123,100         --       --
ITT EDL SVCS INC         EQUITY       45068B109     325     7,080 SH    -- SOLE           2       7,080         --       --
ITT EDUCATIONAL
   SERVICES, INC.        EQUITY       45068B109   4,103    89,323 SH    -- SOLE           1      89,323         --       --
IVANHOE MINES LTD        EQUITY       46579N103      52     4,997 SH    -- OTHER          1          --      4,997       --
IXIA                     EQUITY       45071R109     292    37,592 SH    -- SOLE           1      37,592         --       --
IXYS CORP.               EQUITY       46600W106     143    20,993 SH    -- SOLE           1      20,993         --       --
J & J SNACK FOODS CORP   EQUITY       466032109     330    12,015 SH    -- SOLE           1      12,015         --       --
J CREW GROUP INC         EQUITY       46612H402   1,476    33,417 SH    -- SOLE           1      33,417         --       --
J.B. HUNT TRANSPORT
   SERVICES              EQUITY       445658107   6,419   204,223 SH    -- SOLE           1     204,223         --       --
J.C. PENNEY CO., INC.    EQUITY       708160106   3,634    96,373 SH    -- SOLE           1      96,373         --       --
J0-ANN STORES INC        EQUITY       47758P307     315    21,407 SH    -- SOLE           1      21,407         --       --
J2 GLOBAL COMMUNICATIO   EQUITY       46626E205     945    42,352 SH    -- SOLE           1      42,352         --       --
JA SOLAR HLDGS CO LTD    EQUITY       466090107     567    30,500 SH    -- SOLE           2      30,500         --       --
JA SOLAR HLDGS CO LTD
   SPON ADR              EQUITY       466090107     798    42,900 SH    -- SOLE           3      42,900         --       --





                                                                                  
JA SOLAR HOLDINGS CO LTD EQUITY       466090107   1,200    64,500 SH    -- SOLE           1      64,500         --       --
JABIL CIRCUIT INC        EQUITY       466313103       2       249 SH    -- SOLE           2         249         --       --
JABIL CIRCUIT INC COM    EQUITY       466313103       9     1,000 SH    -- DEFINED        5          --         --    1,000
JABIL CIRCUT, INC.       EQUITY       466313103     492    52,021 SH    -- SOLE           1      52,021         --       --
JACK IN THE BOX INC      EQUITY       466367109     529    19,700 SH    -- SOLE           2      19,700         --       --
JACK IN THE BOX INC.     EQUITY       466367109   1,369    50,959 SH    -- SOLE           1      50,959         --       --
JACKSON HEWITT TAX
   SERVICE               EQUITY       468202106     280    24,386 SH    -- SOLE           1      24,386         --       --
JACOBS ENGINEERING
   GROUP, INC.           EQUITY       469814107   3,819    51,901 SH    -- SOLE           1      51,901         --       --
JACOBS ENGR GROUP INC    EQUITY       469814107      11       145 SH    -- SOLE           2         145         --       --
JACOBS ENGR GROUP INC
   DEL COM               EQUITY       469814107     480     6,528 SH    -- DEFINED        4          --         --    6,528
JACOBS ENGR GROUP INC
   DEL COM               EQUITY       469814107      16       220 SH    -- DEFINED        5          --         --      220
JAGUAR MINING INC        EQUITY       47009M103     605    57,700 SH    -- SOLE           1      57,700         --       --
JAGUAR MNG INC COM (F)   EQUITY       47009M103   1,391   131,600 SH    -- SOLE           3     131,600         --       --
JAKKS PACIFIC, INC.      EQUITY       47012E106     666    24,145 SH    -- SOLE           1      24,145         --       --
JAMBA INC                EQUITY       47023A101     118    44,640 SH    -- SOLE           1      44,640         --       --
JANUS CAP GROUP INC      EQUITY       47102X105       4       177 SH    -- SOLE           2         177         --       --
JANUS CAPITAL GROUP      EQUITY       47102X105   3,777   162,314 SH    -- SOLE           1     162,314         --       --
JAPAN SMALLER CAPTLZTN
   FD IN COM             EQUITY       47109U104       3       300 SH    -- DEFINED        4          --         --      300
JARDEN CORP              EQUITY       471109108      60     2,781 SH    -- SOLE           1       2,781         --       --
JARDEN CORP COM          EQUITY       471109108       1        67 SH    -- DEFINED        5          --         --       67
JAVELIN PHARMACEUTICALS
   INC                   EQUITY       471894105     102    36,421 SH    -- SOLE           1      36,421         --       --
JAZZ PHARMACEUTICALS INC EQUITY       472147107      46     5,119 SH    -- SOLE           1       5,119         --       --
JDA SOFTWARE GROUP, INC. EQUITY       46612K108     402    22,028 SH    -- SOLE           1      22,028         --       --
JDS UNIPHASE CORP        EQUITY       46612J507   2,170   162,060 SH    -- SOLE           1     162,060         --       --
JDS UNIPHASE CORP        EQUITY       46612J507       4       269 SH    -- SOLE           2         269         --       --
JDS UNIPHASE CORP COM
   PAR $0.001            EQUITY       46612J507     582    43,501 SH    -- DEFINED        5          --         --   43,501
JEFFERIES GROUP, INC.    EQUITY       472319102   4,348   269,574 SH    -- SOLE           1     269,574         --       --
JETBLUE AIRWAYS CORP     EQUITY       477143101   3,386   583,786 SH    -- SOLE           1     583,786         --       --
JETBLUE AWYS CORP COM    EQUITY       477143101       1       200 SH    -- DEFINED        4          --         --      200
JETBLUE AWYS CORP COM    EQUITY       477143101     242    41,666 SH    -- DEFINED        5          --         --   41,666
JM SMUCKER CO/THE NEW
   COM WI                EQUITY       832696405   6,778   133,922 SH    -- SOLE           1     133,922         --       --
JO-ANN STORES INC COM    EQUITY       47758P307       6       400 SH    -- DEFINED        5          --         --      400
JOHN HANCOCK BK &THRIFT
   OPP SH BEN INT        EQUITY       409735107       5       600 SH    -- DEFINED        5          --         --      600
JOHN WILEY & SONS, INC.
   CLASS A               EQUITY       968223206   4,265   107,440 SH    -- SOLE           1     107,440         --       --
JOHNSON & JOHNSON        EQUITY       478160104  98,490 1,518,272 SH    -- SOLE           1   1,518,272         --       --
JOHNSON & JOHNSON COM    EQUITY       478160104     374     5,762 SH    -- DEFINED        4          --         --    5,762
JOHNSON & JOHNSON COM    EQUITY       478160104   1,536    23,671 SH    -- DEFINED        5          --         --   23,671
JOHNSON + JOHNSON        EQUITY       478160104  34,214   527,426 SH    -- SOLE           2     527,426         --       --
JOHNSON CONTROLS, INC.   EQUITY       478366107  13,017   385,117 SH    -- SOLE           1     385,117         --       --
JOHNSON CTLS INC         EQUITY       478366107   1,302    38,510 SH    -- SOLE           2      38,510         --       --
JOHNSON CTLS INC COM     EQUITY       478366107       4       126 SH    -- DEFINED        4          --         --      126
JOHNSON CTLS INC COM     EQUITY       478366107      20       600 SH    -- DEFINED        5          --         --      600
JONES APPAREL GROUP INC  EQUITY       480074103       1       103 SH    -- SOLE           2         103         --       --
JONES APPAREL GROUP,
   INC.                  EQUITY       480074103     303    22,570 SH    -- SOLE           1      22,570         --       --
JONES LANG LASALLE, INC. EQUITY       48020Q107   5,889    76,145 SH    -- SOLE           1      76,145         --       --
JONES SODA CO            EQUITY       48023P106      77    22,190 SH    -- SOLE           1      22,190         --       --
JONES SODA CO COM        EQUITY       48023P106      12     3,500 SH    -- DEFINED        5          --         --    3,500
JOS A BANK CLOTHIERS INC EQUITY       480838101     318    15,513 SH    -- SOLE           1      15,513         --       --
JOURNAL COMMUNICATIONS
   INC-A                 EQUITY       481130102     260    35,167 SH    -- SOLE           1      35,167         --       --
JOY GLOBAL INC COM       EQUITY       481165108      24       370 SH    -- DEFINED        5          --         --      370
JOY GLOBAL INC.          EQUITY       481165108  17,155   263,272 SH    -- SOLE           1     263,272         --       --
JP MORGAN CHASE & CO COM EQUITY       46625H100     238     5,530 SH    -- DEFINED        4          --         --    5,530
JP MORGAN CHASE & CO COM EQUITY       46625H100     754    17,565 SH    -- DEFINED        5          --         --   17,565
JPMORGAN CHASE + CO      EQUITY       46625H100  31,855   741,667 SH    -- SOLE           2     741,667         --       --
JPMORGAN CHASE AND CO.   EQUITY       46625H100 130,426 3,036,688 SH    -- SOLE           1   3,036,688         --       --
JUNIPER NETWORKS INC     EQUITY       48203R104   1,412    56,481 SH    -- SOLE           2      56,481         --       --





                                                                                  
JUNIPER NETWORKS INC COM EQUITY       48203R104     147     5,889 SH    -- DEFINED        5          --         --    5,889
JUNIPER NETWORKS, INC.   EQUITY       48203R104  10,382   415,266 SH    -- SOLE           1     415,266         --       --
K V PHARMACEUT [A]       EQUITY       482740206     757    30,339 SH    -- SOLE           1      30,339         --       --
K.FORCE INC.             EQUITY       493732101     246    27,791 SH    -- SOLE           1      27,791         --       --
K12 INC                  EQUITY       48273U102     104     5,311 SH    -- SOLE           1       5,311         --       --
KADANT INC               EQUITY       48282T104     351    11,955 SH    -- SOLE           1      11,955         --       --
KAISER ALUMINUM CORP     EQUITY       483007704     898    12,955 SH    -- SOLE           1      12,955         --       --
KAMAN CORP               EQUITY       483548103   2,122    75,000 SH    -- SOLE           2      75,000         --       --
KAMAN CORP., CLASS A     EQUITY       483548103     591    20,887 SH    -- SOLE           1      20,887         --       --
KANSAS CITY LIFE
   INSURANCE CO.         EQUITY       484836101     192     3,990 SH    -- SOLE           1       3,990         --       --
KANSAS CITY SOUTHERN     EQUITY       485170302   7,443   185,566 SH    -- SOLE           1     185,566         --       --
KANSAS CITY SOUTHERN
   COM NEW               EQUITY       485170302      32       800 SH    -- DEFINED        5          --         --      800
KAYDON CORP.             EQUITY       486587108   1,065    24,265 SH    -- SOLE           1      24,265         --       --
KAYNE ANDERSON ENERGY
   DEVELOPMENT CO        EQUITY       48660Q102     214     8,580 SH    -- SOLE           1       8,580         --       --
KB HOME                  EQUITY       48666K109   1,195    48,310 SH    -- SOLE           1      48,310         --       --
KB HOME                  EQUITY       48666K109   3,007   121,592 SH    -- SOLE           2     121,592         --       --
KBR INC                  EQUITY       48242W106  11,291   407,173 SH    -- SOLE           1     407,173         --       --
KBW INC                  EQUITY       482423100     554    25,108 SH    -- SOLE           1      25,108         --       --
KEARNY FINANCIAL CORP    EQUITY       487169104     201    18,368 SH    -- SOLE           1      18,368         --       --
KELLOGG CO               EQUITY       487836108     796    15,149 SH    -- SOLE           2      15,149         --       --
KELLOGG CO COM           EQUITY       487836108     148     2,810 SH    -- DEFINED        5          --         --    2,810
KELLOGG CO.              EQUITY       487836108  17,353   330,157 SH    -- SOLE           1     330,157         --       --
KELLY SERVICES, INC.,
   CLASS A               EQUITY       488152208   1,496    72,786 SH    -- SOLE           1      72,786         --       --
KEMET CORP.              EQUITY       488360108   1,099   271,932 SH    -- SOLE           1     271,932         --       --
KENDLE INTERNATIONAL INC EQUITY       48880L107     489    10,891 SH    -- SOLE           1      10,891         --       --
KENEXA CORP              EQUITY       488879107     373    20,177 SH    -- SOLE           1      20,177         --       --
KENNAMETAL, INC.         EQUITY       489170100   5,438   184,781 SH    -- SOLE           1     184,781         --       --
KENSEY NASH CORP         EQUITY       490057106     296    10,232 SH    -- SOLE           1      10,232         --       --
KENSEY NASH CORP COM     EQUITY       490057106       2        72 SH    -- DEFINED        5          --         --       72
KERYX BIOPHARMACEUTICALS EQUITY       492515101      22    37,378 SH    -- SOLE           1      37,378         --       --
KEYCORP                  EQUITY       493267108   7,360   335,300 SH    -- SOLE           1     335,300         --       --
KEYCORP NEW              EQUITY       493267108      10       477 SH    -- SOLE           2         477         --       --
KEYCORP NEW COM          EQUITY       493267108       6       270 SH    -- DEFINED        5          --         --      270
KEYNOTE SYSTEMS INC      EQUITY       493308100     159    13,465 SH    -- SOLE           1      13,465         --       --
K-FED BANCORP            EQUITY       48246S101      48     4,224 SH    -- SOLE           1       4,224         --       --
KILROY REALTY CORP.      EQUITY       49427F108      34       693 SH    -- SOLE           1         693         --       --
KIMBALL INTERNATIONAL,
   INC. CLASS B          EQUITY       494274103     242    22,569 SH    -- SOLE           1      22,569         --       --
KIMBERLY CLARK CORP      EQUITY       494368103   2,947    45,653 SH    -- SOLE           2      45,653         --       --
KIMBERLY CLARK CORP COM  EQUITY       494368103      21       325 SH    -- DEFINED        4          --         --      325
KIMBERLY CLARK CORP COM  EQUITY       494368103     163     2,520 SH    -- DEFINED        5          --         --    2,520
KIMBERLY-CLARK CORP.     EQUITY       494368103  45,418   703,612 SH    -- SOLE           1     703,612         --       --
KIMCO REALTY             EQUITY       49446R109  17,902   457,023 SH    -- SOLE           1     457,023         --       --
KIMCO REALTY CORP COM    EQUITY       49446R109      27       680 SH    -- DEFINED        5          --         --      680
KIMCO RLTY CORP          EQUITY       49446R109      12       302 SH    -- SOLE           2         302         --       --
KINDER MORGAN ENERGY
   PARTNER UT LTD
   PARTNER               EQUITY       494550106      69     1,260 SH    -- DEFINED        4          --         --    1,260
KINDER MORGAN ENERGY
   PARTNER UT LTD
   PARTNER               EQUITY       494550106     358     6,552 SH    -- DEFINED        5          --         --    6,552
KINDER MORGAN
   MANAGEMENT LLC SHS    EQUITY       49455U100      25       500 SH    -- DEFINED        4          --         --      500
KINDRED HEALTHCARE INC   EQUITY       494580103   2,087    95,439 SH    -- SOLE           1      95,439         --       --
KINETIC CONCEPTS INC
   COM NEW               EQUITY       49460W208      35       750 SH    -- DEFINED        4          --         --      750
KINETIC CONSEPTS INC     EQUITY       49460W208   6,288   136,026 SH    -- SOLE           1     136,026         --       --
KING PHARMACEUTICALS INC EQUITY       495582108       3       294 SH    -- SOLE           2         294         --       --
KING PHARMACEUTICALS,
   INC.                  EQUITY       495582108   1,421   163,283 SH    -- SOLE           1     163,283         --       --
KINROSS GOLD             EQUITY       496902404   5,848   262,999 SH    -- OTHER          1          --    262,999       --
KINROSS GOLD CORP COM
   NO PAR                EQUITY       496902404      24     1,100 SH    -- DEFINED        5          --         --    1,100
KIRBY CORP               EQUITY       497266106     718    12,600 SH    -- SOLE           2      12,600         --       --
KIRBY CORP COM           EQUITY       497266106     844    14,800 SH    -- SOLE           3      14,800         --       --





                                                                                  
KIRBY CORP.              EQUITY       497266106   1,735    30,444 SH    -- SOLE           1      30,444         --       --
KLA TENCOR CORP          EQUITY       482480100     226     6,085 SH    -- SOLE           2       6,085         --       --
KLA-TENCOR CORP.         EQUITY       482480100   3,783   101,962 SH    -- SOLE           1     101,962         --       --
KNIGHT CAPITAL GROUP INC EQUITY       499005106   1,353    83,301 SH    -- SOLE           1      83,301         --       --
KNIGHT TRANSPORTATION
   INC                   EQUITY       499064103     808    49,075 SH    -- SOLE           1      49,075         --       --
KNIGHTBRIDGE TANKERS LTD EQUITY       G5299G106     391    14,669 SH    -- SOLE           1      14,669         --       --
KNOLL INC                EQUITY       498904200     492    42,626 SH    -- SOLE           1      42,626         --       --
KNOLOGY INC              EQUITY       499183804     289    22,339 SH    -- SOLE           1      22,339         --       --
KNOT INC/THE             EQUITY       499184109     278    23,696 SH    -- SOLE           1      23,696         --       --
KOHLBERG CAPITAL CORP    EQUITY       500233101     127    12,264 SH    -- SOLE           1      12,264         --       --
KOHLS CORP               EQUITY       500255104   3,768    87,842 SH    -- SOLE           2      87,842         --       --
KOHLS CORP COM           EQUITY       500255104      47     1,090 SH    -- DEFINED        5          --         --    1,090
KOHLS CORP.              EQUITY       500255104   5,443   126,915 SH    -- SOLE           1     126,915         --       --
KOPPERS HOLDINGS INC     EQUITY       50060P106     667    15,045 SH    -- SOLE           1      15,045         --       --
KOREA FD COM             EQUITY       500634100      91     4,072 SH    -- DEFINED        5          --         --    4,072
KORN/FERRY INTERNATIONAL EQUITY       500643200   2,548   150,774 SH    -- SOLE           1     150,774         --       --
KOSAN BIOSCIENCES INC    EQUITY       50064W107      57    36,428 SH    -- SOLE           1      36,428         --       --
KRAFT FOODS INC          EQUITY       50075N104  46,648 1,504,302 SH    -- SOLE           1   1,504,302         --       --
KRAFT FOODS INC          EQUITY       50075N104  27,327   881,216 SH    -- SOLE           2     881,216         --       --
KRAFT FOODS INC CL A     EQUITY       50075N104      94     3,033 SH    -- DEFINED        4          --         --    3,033
KRAFT FOODS INC CL A     EQUITY       50075N104     143     4,607 SH    -- DEFINED        5          --         --    4,607
KRATOS DEFENSE &
   SECURITY SO COM       EQUITY       50077B108       1       600 SH    -- DEFINED        5          --         --      600
KRISPY KREME DOUGHNU     EQUITY       501014104     169    55,475 SH    -- SOLE           1      55,475         --       --
KRISPY KREME DOUGHNUTS
   INC COM               EQUITY       501014104       3       975 SH    -- DEFINED        4          --         --      975
KROGER CO                EQUITY       501044101   2,337    92,007 SH    -- SOLE           2      92,007         --       --
KROGER CO COM            EQUITY       501044101      14       570 SH    -- DEFINED        4          --         --      570
KROGER CO COM            EQUITY       501044101       9       374 SH    -- DEFINED        5          --         --      374
KROGER CO.               EQUITY       501044101  17,097   673,106 SH    -- SOLE           1     673,106         --       --
KRONOS WORLDWIDE INC     EQUITY       50105F105      49     2,038 SH    -- SOLE           1       2,038         --       --
K-SWISS, INC.            EQUITY       482686102     351    22,176 SH    -- SOLE           1      22,176         --       --
KULICKE & SOFFA
   INDUSTRIES            EQUITY       501242101     221    46,253 SH    -- SOLE           1      46,253         --       --
L 3 COMMUNICATIONS HLDG
   CO                    EQUITY       502424104   4,335    39,646 SH    -- SOLE           2      39,646         --       --
L-1 IDENTITY SOLUTIONS
   INC                   EQUITY       50212A106     722    54,289 SH    -- SOLE           1      54,289         --       --
L-1 IDENTITY SOLUTIONS
   INC COM               EQUITY       50212A106      28     2,100 SH    -- DEFINED        5          --         --    2,100
L-3 COMMUNICATIONS
   HLDGS INC COM         EQUITY       502424104      21       195 SH    -- DEFINED        4          --         --      195
L-3 COMMUNICATIONS
   HLDGS INC COM         EQUITY       502424104     111     1,012 SH    -- DEFINED        5          --         --    1,012
L-3 COMMUNICATIONS
   HOLDINGS,             EQUITY       502424104   5,920    54,144 SH    -- SOLE           1      54,144         --       --
LABORATORY CORP AMER
   HLDGS                 EQUITY       50540R409      10       132 SH    -- SOLE           2         132         --       --
LABORATORY CORP AMER
   HLDGS COM NEW         EQUITY       50540R409      17       225 SH    -- DEFINED        4          --         --      225
LABORATORY CORP AMER
   HLDGS COM NEW         EQUITY       50540R409      42       573 SH    -- DEFINED        5          --         --      573
LABORATORY CRP OF AMER
   HLDGS                 EQUITY       50540R409   3,505    47,568 SH    -- SOLE           1      47,568         --       --
LABRANCHE & CO. INC.     EQUITY       505447102     198    45,621 SH    -- SOLE           1      45,621         --       --
LACLEDE GAS CO.          EQUITY       505597104     660    18,531 SH    -- SOLE           1      18,531         --       --
LACLEDE GROUP INC COM    EQUITY       505597104       2        66 SH    -- DEFINED        5          --         --       66
LADENBURG THALMANN
   FINANCIAL             EQUITY       50575Q102     157    84,086 SH    -- SOLE           1      84,086         --       --
LADISH CO INC            EQUITY       505754200     448    12,445 SH    -- SOLE           1      12,445         --       --
LAKELAND BANCORP INC     EQUITY       511637100     222    17,207 SH    -- SOLE           1      17,207         --       --
LAKELAND FINL CORP       EQUITY       511656100     237    10,458 SH    -- SOLE           1      10,458         --       --
LAKES ENTERTAINMENT INC  EQUITY       51206P109      68    15,279 SH    -- SOLE           1      15,279         --       --
LAM RESEARCH CORP COM    EQUITY       512807108      16       411 SH    -- DEFINED        5          --         --      411
LAM RESEARCH CORP.       EQUITY       512807108  11,639   304,518 SH    -- SOLE           1     304,518         --       --
LAM RESH CORP            EQUITY       512807108     161     4,220 SH    -- SOLE           2       4,220         --       --
LAMAR ADVERTISING CO     EQUITY       512815101   6,888   191,697 SH    -- SOLE           1     191,697         --       --
LANCASTER COLONY CORP.   EQUITY       513847103   2,714    67,910 SH    -- SOLE           1      67,910         --       --
LANCE, INC.              EQUITY       514606102     521    26,590 SH    -- SOLE           1      26,590         --       --
LANDAMERICA FINANCIAL
   GROUP                 EQUITY       514936103     527    13,355 SH    -- SOLE           1      13,355         --       --





                                                                                  
LANDAUER, INC.           EQUITY       51476K103     397     7,885 SH    -- SOLE           1       7,885         --       --
LANDEC CORP              EQUITY       514766104     157    18,637 SH    -- SOLE           1      18,637         --       --
LANDRY'S RESTAURANTS
   INC.                  EQUITY       51508L103     175    10,722 SH    -- SOLE           1      10,722         --       --
LANDSTAR SYSTEM, INC.    EQUITY       515098101      59     1,131 SH    -- SOLE           1       1,131         --       --
LANOPTICS LTD ORD        EQUITY       M6706C103      20     1,800 SH    -- DEFINED        5          --         --    1,800
LAS VEGAS SANDS CORP COM EQUITY       517834107      89     1,210 SH    -- DEFINED        5          --         --    1,210
LASALLE HOTEL PROPERTIES EQUITY       517942108   5,722   199,154 SH    -- SOLE           1     199,154         --       --
LATTICE SEMICONDUCTOR
   CORP.                 EQUITY       518415104     280    98,471 SH    -- SOLE           1      98,471         --       --
LAUDER ESTEE COS INC     EQUITY       518439104       6       136 SH    -- SOLE           2         136         --       --
LAWSON PRODUCTS, INC.    EQUITY       520776105      99     3,591 SH    -- SOLE           1       3,591         --       --
LAWSON SOFTWARE INC      EQUITY       52078P102     797   105,863 SH    -- SOLE           1     105,863         --       --
LAWSON SOFTWARE INC NEW  EQUITY       52078P102   1,248   165,700 SH    -- SOLE           2     165,700         --       --
LAWSON SOFTWARE INC NEW
   COM                   EQUITY       52078P102       4       500 SH    -- DEFINED        5          --         --      500
LAYNE CHRISTENSEN
   COMPANY               EQUITY       521050104     502    14,344 SH    -- SOLE           1      14,344         --       --
LA-Z-BOY CHAIR CO.       EQUITY       505336107     368    44,078 SH    -- SOLE           1      44,078         --       --
LB FOSTER CO             EQUITY       350060109     390     9,068 SH    -- SOLE           1       9,068         --       --
LCA-VISION INC           EQUITY       501803308     204    16,354 SH    -- SOLE           1      16,354         --       --
LCA-VISION INC COM PAR
   $.001                 EQUITY       501803308       2       130 SH    -- DEFINED        4          --         --      130
LDK SOLAR CO LTD
   SPONSORED ADR         EQUITY       50183L107       5       200 SH    -- DEFINED        4          --         --      200
LEAP WIRELESS INTL INC   EQUITY       521863308     226     4,849 SH    -- SOLE           1       4,849         --       --
LEAPFROG ENTERPRISES     EQUITY       52186N106     208    29,548 SH    -- SOLE           1      29,548         --       --
LEAR CORP                EQUITY       521865105   6,444   248,690 SH    -- SOLE           1     248,690         --       --
LEAR CORP                EQUITY       521865105     127     4,900 SH    -- SOLE           2       4,900         --       --
LEAR CORP COM            EQUITY       521865105       5       205 SH    -- DEFINED        4          --         --      205
LECG CORP                EQUITY       523234102     203    21,666 SH    -- SOLE           1      21,666         --       --
LEE ENTERPRISES, INC.    EQUITY       523768109   1,348   134,708 SH    -- SOLE           1     134,708         --       --
LEGG MASON INC           EQUITY       524901105       9       161 SH    -- SOLE           2         161         --       --
LEGG MASON INC COM       EQUITY       524901105       1        26 SH    -- DEFINED        5          --         --       26
LEGG MASON, INC.         EQUITY       524901105   3,947    70,516 SH    -- SOLE           1      70,516         --       --
LEGGETT & PLATT, INC.    EQUITY       524660107   4,861   318,745 SH    -- SOLE           1     318,745         --       --
LEGGETT + PLATT INC      EQUITY       524660107       3       200 SH    -- SOLE           2         200         --       --
LEHMAN BROS HLDGS INC
   COM                   EQUITY       524908100       1        35 SH    -- DEFINED        4          --         --       35
LEHMAN BROS HLDGS INC
   COM                   EQUITY       524908100      10       253 SH    -- DEFINED        5          --         --      253
LEHMAN BROTHERS HLDGS
   INC                   EQUITY       524908100     438    11,634 SH    -- SOLE           2      11,634         --       --
LEHMAN BROTHERS
   HOLDINGS, INC.        EQUITY       524908100  10,046   266,898 SH    -- SOLE           1     266,898         --       --
LENNAR CORP              EQUITY       526057104       3       166 SH    -- SOLE           2         166         --       --
LENNAR CORP CL A         EQUITY       526057104     204    10,855 SH    -- DEFINED        5          --         --   10,855
LENNAR CORP. COM CLASS A EQUITY       526057104   2,824   150,131 SH    -- SOLE           1     150,131         --       --
LENNOX INTERNATIONAL INC EQUITY       526107107      56     1,548 SH    -- SOLE           1       1,548         --       --
LEUCADIA NATIONAL CORP.  EQUITY       527288104   3,378    74,700 SH    -- SOLE           1      74,700         --       --
LEUCADIA NATL CORP       EQUITY       527288104       9       202 SH    -- SOLE           2         202         --       --
LEUCADIA NATL CORP COM   EQUITY       527288104     136     3,000 SH    -- DEFINED        4          --         --    3,000
LEUCADIA NATL CORP COM   EQUITY       527288104       9       207 SH    -- DEFINED        5          --         --      207
LEVEL 3 COMMUNICATIONS
   INC COM               EQUITY       52729N100       2     1,000 SH    -- DEFINED        4          --         --    1,000
LEVEL 3 COMMUNICATIONS,
   INC.                  EQUITY       52729N100     233   110,024 SH    -- SOLE           1     110,024         --       --
LEXINGTON REALTY TRUST   EQUITY       529043101     758    52,611 SH    -- SOLE           1      52,611         --       --
LEXMARK INTERNATIONAL
   GROUP                 EQUITY       529771107   1,369    44,562 SH    -- SOLE           1      44,562         --       --
LEXMARK INTL INC         EQUITY       529771107       3       113 SH    -- SOLE           2         113         --       --
LG DISPLAY CO LTD        EQUITY       50186V102  21,653   969,680 SH    -- SOLE           1     969,680         --       --
LHC GROUP INC            EQUITY       50187A107     209    12,445 SH    -- SOLE           1      12,445         --       --
LIBBEY INC COM           EQUITY       529898108      10       585 SH    -- DEFINED        4          --         --      585
LIBBEY, INC.             EQUITY       529898108     208    12,353 SH    -- SOLE           1      12,353         --       --
LIBERTY ALL STAR EQUITY
   FD SH BEN INT         EQUITY       530158104      34     5,306 SH    -- DEFINED        5          --         --    5,306
LIBERTY ALL-STAR GROWTH
   FD I COM              EQUITY       529900102      29     6,200 SH    -- DEFINED        5          --         --    6,200
LIBERTY GLOBAL INC-A     EQUITY       530555101     966    28,333 SH    -- SOLE           1      28,333         --       --
LIBERTY MEDIA CORP -
   ENTERTAINMENT         EQUITY       53071M500     440    19,431 SH    -- SOLE           1      19,431         --       --





                                                                                  
LIBERTY MEDIA CORP NEW
   DEB 0.750% 3/3        FIXED INCOME 530718AF2       3         3 PRN   -- DEFINED        4          --         --        3
LIBERTY MEDIA CORP NEW
   ENT COM SER A ADDED   EQUITY       53071M500       2        84 SH    -- DEFINED        5          --         --       84
LIBERTY MEDIA CORP NEW
   INT COM SER A         EQUITY       53071M104       2       122 SH    -- DEFINED        4          --         --      122
LIBERTY MEDIA CORP NEW
   INT COM SER A         EQUITY       53071M104       2       102 SH    -- DEFINED        5          --         --      102
LIBERTY MEDIA HOLDING
   CORP                  EQUITY       53071M302     140     8,876 SH    -- SOLE           1       8,876         --       --
LIBERTY MEDIA HOLDING
   CORP                  EQUITY       53071M104     717    44,414 SH    -- SOLE           1      44,414         --       --
LIBERTY PROPERTY TRUST   EQUITY       531172104   6,890   221,462 SH    -- SOLE           1     221,462         --       --
LIFE TIME FITNESS INC    EQUITY       53217R207   3,384   108,414 SH    -- SOLE           1     108,414         --       --
LIFECELL CORP            EQUITY       531927101     693    16,500 SH    -- SOLE           2      16,500         --       --
LIFECELL CORP COM        EQUITY       531927101      42     1,000 SH    -- DEFINED        5          --         --    1,000
LIFECELL CORPORATION     EQUITY       531927101   1,222    29,078 SH    -- SOLE           1      29,078         --       --
LIFEPOINT HOSPITALS HLDG EQUITY       53219L109   3,762   136,938 SH    -- SOLE           1     136,938         --       --
LIFEPOINT HOSPITALS INC
   COM                   EQUITY       53219L109       1        40 SH    -- DEFINED        4          --         --       40
LIFEPOINT HOSPITALS INC
   COM                   EQUITY       53219L109       1        48 SH    -- DEFINED        5          --         --       48
LIFEPOINT HOSPS INC      EQUITY       53219L109   8,851   322,200 SH    -- SOLE           2     322,200         --       --
LIFETIME BRANDS INC      EQUITY       53222Q103      79     8,812 SH    -- SOLE           1       8,812         --       --
LIGAND PHARMACEUTICALS
   INC                   EQUITY       53220K207     292    73,036 SH    -- SOLE           1      73,036         --       --
LILLY ELI & CO COM       EQUITY       532457108      17       320 SH    -- DEFINED        4          --         --      320
LILLY ELI & CO COM       EQUITY       532457108     265     5,146 SH    -- DEFINED        5          --         --    5,146
LILLY ELI + CO           EQUITY       532457108   1,578    30,582 SH    -- SOLE           2      30,582         --       --
LIMELIGHT NETWORKS INC   EQUITY       53261M104      51    15,792 SH    -- SOLE           1      15,792         --       --
LIMITED BRANDS INC       EQUITY       532716107   4,227   247,171 SH    -- SOLE           2     247,171         --       --
LIMITED BRANDS INC COM   EQUITY       532716107      39     2,297 SH    -- DEFINED        5          --         --    2,297
LIMITED BRANDS, INC.     EQUITY       532716107   2,279   133,253 SH    -- SOLE           1     133,253         --       --
LIN TV CORP              EQUITY       532774106     225    23,393 SH    -- SOLE           1      23,393         --       --
LINCARE HOLDINGS, INC.   EQUITY       532791100   4,937   175,648 SH    -- SOLE           1     175,648         --       --
LINCOLN EDUCATIONAL
   SERVICES              EQUITY       533535100      48     4,022 SH    -- SOLE           1       4,022         --       --
LINCOLN ELEC HLDGS INC
   COM                   EQUITY       533900106       1        17 SH    -- DEFINED        4          --         --       17
LINCOLN ELECTRIC
   HOLDINGS, INC         EQUITY       533900106   6,638   102,936 SH    -- SOLE           1     102,936         --       --
LINCOLN NATIONAL CORP.   EQUITY       534187109   7,038   135,345 SH    -- SOLE           1     135,345         --       --
LINCOLN NATL CORP IN     EQUITY       534187109      84     1,616 SH    -- SOLE           2       1,616         --       --
LINCOLN NATL CORP IND
   COM                   EQUITY       534187109     246     4,731 SH    -- DEFINED        4          --         --    4,731
LINCOLN NATL CORP IND
   COM                   EQUITY       534187109      57     1,105 SH    -- DEFINED        5          --         --    1,105
LINDSAY CORP             EQUITY       535555106   2,867    27,983 SH    -- SOLE           1      27,983         --       --
LINDSAY CORP COM         EQUITY       535555106   1,354    13,216 SH    -- DEFINED        4          --         --   13,216
LINDSAY CORP COM         EQUITY       535555106      10       100 SH    -- DEFINED        5          --         --      100
LINDSAY CORPORATION COM  EQUITY       535555106   3,679    35,900 SH    -- SOLE           3      35,900         --       --
LINEAR TECHNOLOGY CORP   EQUITY       535678106      62     2,014 SH    -- SOLE           2       2,014         --       --
LINEAR TECHNOLOGY CORP.  EQUITY       535678106   3,411   111,156 SH    -- SOLE           1     111,156         --       --
LINN ENERGY LLC UNIT
   LTD LIAB              EQUITY       536020100       2       100 SH    -- DEFINED        4          --         --      100
LIONBRIDGE TECHNOLOGIES
   INC                   EQUITY       536252109     174    51,923 SH    -- SOLE           1      51,923         --       --
LIQUIDITY SERVICES INC   EQUITY       53635B107      73     9,102 SH    -- SOLE           1       9,102         --       --
LITHIA MOTORS, INC.      EQUITY       536797103     138    13,619 SH    -- SOLE           1      13,619         --       --
LITTELFUSE, INC.         EQUITY       537008104     667    19,071 SH    -- SOLE           1      19,071         --       --
LIVE NATION              EQUITY       538034109     763    62,927 SH    -- SOLE           1      62,927         --       --
LIVE NATION INC COM      EQUITY       538034109       3       259 SH    -- DEFINED        4          --         --      259
LIVEPERSON INC           EQUITY       538146101     108    34,690 SH    -- SOLE           1      34,690         --       --
LIZ CLAIBORNE INC        EQUITY       539320101       2       119 SH    -- SOLE           2         119         --       --
LIZ CLAIBORNE INC COM    EQUITY       539320101       2       100 SH    -- DEFINED        5          --         --      100
LIZ CLAIBORNE, INC.      EQUITY       539320101     488    26,880 SH    -- SOLE           1      26,880         --       --
LKQ CORP                 EQUITY       501889208   2,169    96,548 SH    -- SOLE           1      96,548         --       --
LKQ CORP COM             EQUITY       501889208      20       880 SH    -- DEFINED        4          --         --      880
LLOYDS TSB GROUP PLC
   SPONSORED ADR         EQUITY       539439109     323     9,006 SH    -- DEFINED        4          --         --    9,006
LLOYDS TSB GROUP PLC
   SPONSORED ADR         EQUITY       539439109     371    10,326 SH    -- DEFINED        5          --         --   10,326
LMP CAP & INCOME FD INC
   COM                   EQUITY       50208A102      16     1,023 SH    -- DEFINED        5          --         --    1,023
LOCKHEED MARTIN CORP     EQUITY       539830109   4,462    44,938 SH    -- SOLE           2      44,938         --       --





                                                                                  
LOCKHEED MARTIN CORP COM EQUITY       539830109      16       157 SH    -- DEFINED        4          --         --      157
LOCKHEED MARTIN CORP COM EQUITY       539830109     149     1,496 SH    -- DEFINED        5          --         --    1,496
LOCKHEED MARTIN CORP
   DBCV 8/1              FIXED INCOME 539830AP4       4         3 PRN   -- DEFINED        4          --         --        3
LOCKHEED MARTIN CORP.    EQUITY       539830109  13,763   138,596 SH    -- SOLE           1     138,596         --       --
LODGENET ENTERTAINMENT
   CORP.                 EQUITY       540211109     119    19,499 SH    -- SOLE           1      19,499         --       --
LODGIAN INC              EQUITY       54021P403     164    14,751 SH    -- SOLE           1      14,751         --       --
LOEWS CORP               EQUITY       540424108   5,395    78,495 SH    -- SOLE           2      78,495         --       --
LOEWS CORP - CAROLINA
   GROUP                 EQUITY       540424207     231     3,179 SH    -- SOLE           1       3,179         --       --
LOEWS CORP CAROLNA GP
   STK                   EQUITY       540424207       5        65 SH    -- DEFINED        4          --         --       65
LOEWS CORP CAROLNA GP
   STK                   EQUITY       540424207      80     1,100 SH    -- DEFINED        5          --         --    1,100
LOEWS CORP COM           EQUITY       540424108      34       837 SH    -- DEFINED        5          --         --      837
LOEWS CORP.              EQUITY       540424108   7,823   194,511 SH    -- SOLE           1     194,511         --       --
LOGITECH INTL S A SHS    EQUITY       H50430232       3       125 SH    -- DEFINED        4          --         --      125
LO-JACK CORPORATION      EQUITY       539451104   1,112    87,976 SH    -- SOLE           1      87,976         --       --
LONGS DRUG STORES CORP.  EQUITY       543162101   1,200    28,265 SH    -- SOLE           1      28,265         --       --
LOOPNET INC              EQUITY       543524300     295    23,258 SH    -- SOLE           1      23,258         --       --
LORAL SPACE &
   COMMUNICATIONS LTD    EQUITY       543881106   4,876   204,514 SH    -- SOLE           1     204,514         --       --
LOUISIANA PAC CORP COM   EQUITY       546347105      19     2,022 SH    -- DEFINED        4          --         --    2,022
LOUISIANA PACIFIC CORP.  EQUITY       546347105   2,280   248,328 SH    -- SOLE           1     248,328         --       --
LOWE'S COMPANIES, INC.   EQUITY       548661107  21,499   937,166 SH    -- SOLE           1     937,166         --       --
LOWES COS INC            EQUITY       548661107      40     1,748 SH    -- SOLE           2       1,748         --       --
LOWES COS INC COM        EQUITY       548661107       7       309 SH    -- DEFINED        4          --         --      309
LOWES COS INC COM        EQUITY       548661107     136     5,946 SH    -- DEFINED        5          --         --    5,946
LSB INDUSTRIES INC       EQUITY       502160104     196    13,325 SH    -- SOLE           1      13,325         --       --
LSI CORP                 EQUITY       502161102       4       790 SH    -- SOLE           2         790         --       --
LSI CORP.                EQUITY       502161102   1,443   291,514 SH    -- SOLE           1     291,514         --       --
LSI CORPORATION COM      EQUITY       502161102      40     8,123 SH    -- DEFINED        5          --         --    8,123
LSI INDUSTRIES, INC.     EQUITY       50216C108     208    15,747 SH    -- SOLE           1      15,747         --       --
LTC PROP INC             EQUITY       502175102   2,153    83,760 SH    -- SOLE           1      83,760         --       --
LTX CORP.                EQUITY       502392103     167    53,310 SH    -- SOLE           1      53,310         --       --
LUBRIZOL CORP.           EQUITY       549271104   9,150   164,829 SH    -- SOLE           1     164,829         --       --
LUFKIN INDS INC COM      EQUITY       549764108     824    12,907 SH    -- SOLE           1      12,907         --       --
LULULEMON ATHLETICA INC  EQUITY       550021109     307    10,792 SH    -- SOLE           1      10,792         --       --
LUMBER LIQUIDATORS INC
   COM                   EQUITY       55003Q103       1       100 SH    -- DEFINED        5          --         --      100
LUMINENT MORTGAGE
   CAPITAL IN            EQUITY       550278303      23    37,046 SH    -- SOLE           1      37,046         --       --
LUMINEX CORP             EQUITY       55027E102     604    30,738 SH    -- SOLE           1      30,738         --       --
LUNA INNOVATIONS COM     EQUITY       550351100      11     1,351 SH    -- DEFINED        4          --         --    1,351
LUNDIN MINING CORP       EQUITY       550372106     367    53,851 SH    -- OTHER          1          --     53,851       --
M & F WORLDWIDE CORP     EQUITY       552541104     389    10,404 SH    -- SOLE           1      10,404         --       --
M & T BK CORP COM        EQUITY       55261F104      24       304 SH    -- DEFINED        5          --         --      304
M + T BK CORP            EQUITY       55261F104       7        92 SH    -- SOLE           2          92         --       --
M&T BANK CORP.           EQUITY       55261F104   2,803    34,832 SH    -- SOLE           1      34,832         --       --
M.D.C. HOLDINGS, INC.    EQUITY       552676108   3,688    84,215 SH    -- SOLE           1      84,215         --       --
M/I HOMES INC            EQUITY       55305B101     176    10,337 SH    -- SOLE           1      10,337         --       --
MACATAWA BK CORP         EQUITY       554225102     138    13,261 SH    -- SOLE           1      13,261         --       --
MACATAWA BK CORP COM     EQUITY       554225102      11     1,081 SH    -- DEFINED        5          --         --    1,081
MACERICH CO/THE          EQUITY       554382101  12,145   172,837 SH    -- SOLE           1     172,837         --       --
MACK CALI RLTY CORP COM  EQUITY       554489104       2        50 SH    -- DEFINED        5          --         --       50
MACQUARIE GLBL INFRA
   TOTL RE COM           EQUITY       55608D101       5       200 SH    -- DEFINED        4          --         --      200
MACQUARIE INFRASTR CO
   LLC MEMBERSHIP INT    EQUITY       55608B105       9       295 SH    -- DEFINED        5          --         --      295
MACROSHARES OIL DOWN
   TRADEAB SHS           EQUITY       55610N105       3       300 SH    -- DEFINED        5          --         --      300
MACROVISION CORP         EQUITY       555904101   2,344   173,598 SH    -- SOLE           1     173,598         --       --
MACROVISION CORP         EQUITY       555904101   3,135   232,200 SH    -- SOLE           2     232,200         --       --
MACYS INC                EQUITY       55616P104     172     7,451 SH    -- SOLE           2       7,451         --       --
MACY'S INC               EQUITY       55616P104  10,178   441,378 SH    -- SOLE           1     441,378         --       --
MACYS INC COM            EQUITY       55616P104       5       230 SH    -- DEFINED        5          --         --      230





                                                                                  
MADISON STRTG SECTOR
   PREM FD COM           EQUITY       558268108      79     5,500 SH    -- DEFINED        4          --         --    5,500
MADISON STRTG SECTOR
   PREM FD COM           EQUITY       558268108     409    28,350 SH    -- DEFINED        5          --         --   28,350
MAGELLAN HEALTH
   SERVICES INC          EQUITY       559079207   1,331    33,547 SH    -- SOLE           1      33,547         --       --
MAGELLAN MIDSTREAM
   HOLDINGS              EQUITY       55907R108   1,595    69,600 SH    -- SOLE           1      69,600         --       --
MAGMA DESIGN AUTOMATIO   EQUITY       559181102     334    34,869 SH    -- SOLE           1      34,869         --       --
MAGNA ENTERTAINMENT CL A EQUITY       559211107      12    34,409 SH    -- SOLE           1      34,409         --       --
MAGNA INTL INC A         EQUITY       559222401   2,177    29,923 SH    -- OTHER          1          --     29,923       --
MAIDENFORM BRANDS INC    EQUITY       560305104     321    19,722 SH    -- SOLE           1      19,722         --       --
MAINSOURCE FINANCIAL G   EQUITY       56062Y102     249    16,069 SH    -- SOLE           1      16,069         --       --
MANHATTAN ASSOCIATES,
   INC.                  EQUITY       562750109     503    21,924 SH    -- SOLE           1      21,924         --       --
MANHATTAN ASSOCS INC COM EQUITY       562750109       2       103 SH    -- DEFINED        5          --         --      103
MANITOWOC CO., INC.      EQUITY       563571108   2,804    68,735 SH    -- SOLE           1      68,735         --       --
MANITOWOC INC            EQUITY       563571108     190     4,645 SH    -- SOLE           2       4,645         --       --
MANITOWOC INC COM        EQUITY       563571108      67     1,648 SH    -- DEFINED        4          --         --    1,648
MANITOWOC INC COM        EQUITY       563571108     197     4,824 SH    -- DEFINED        5          --         --    4,824
MANNATECH INC            EQUITY       563771104      96    13,411 SH    -- SOLE           1      13,411         --       --
MANNKIND CORP            EQUITY       56400P201     270    45,281 SH    -- SOLE           1      45,281         --       --
MANPOWER, INC.           EQUITY       56418H100  10,737   190,842 SH    -- SOLE           1     190,842         --       --
MANTECH INTL CORP        EQUITY       564563104     760    16,752 SH    -- SOLE           1      16,752         --       --
MANTECH INTL CORP        EQUITY       564563104     685    15,100 SH    -- SOLE           2      15,100         --       --
MANULIFE FINANCIAL CORP  EQUITY       56501R106  13,660   357,228 SH    -- OTHER          1          --    357,228       --
MANULIFE FINL CORP COM   EQUITY       56501R106      13       330 SH    -- DEFINED        4          --         --      330
MANULIFE FINL CORP COM   EQUITY       56501R106      75     1,985 SH    -- DEFINED        5          --         --    1,985
MAP PHARMACEUTICALS INC  EQUITY       56509R108      71     5,106 SH    -- SOLE           1       5,106         --       --
MARATHON ACQUISITION
   CORP                  EQUITY       565756103     251    32,472 SH    -- SOLE           1      32,472         --       --
MARATHON OIL CORP        EQUITY       565849106  16,965   372,044 SH    -- SOLE           1     372,044         --       --
MARATHON OIL CORP        EQUITY       565849106   9,524   208,867 SH    -- SOLE           2     208,867         --       --
MARATHON OIL CORP COM    EQUITY       565849106      12       256 SH    -- DEFINED        4          --         --      256
MARATHON OIL CORP COM    EQUITY       565849106     116     2,540 SH    -- DEFINED        5          --         --    2,540
MARCHEX INC-CLASS B      EQUITY       56624R108     240    24,005 SH    -- SOLE           1      24,005         --       --
MARCUS CORP              EQUITY       566330106     349    18,160 SH    -- SOLE           1      18,160         --       --
MARINE PRODUCTS CORP     EQUITY       568427108      82    10,125 SH    -- SOLE           1      10,125         --       --
MARINEMAX INC            EQUITY       567908108     175    14,023 SH    -- SOLE           1      14,023         --       --
MARINER ENERGY INC       EQUITY       56845T305   2,019    74,750 SH    -- SOLE           1      74,750         --       --
MARKEL CORP              EQUITY       570535104     181       411 SH    -- SOLE           1         411         --       --
MARKEL CORP COM          EQUITY       570535104      73       167 SH    -- DEFINED        5          --         --      167
MARKET VECTORS ETF TR
   AGRIBUS ETF           EQUITY       57060U605     538    10,039 SH    -- DEFINED        4          --         --   10,039
MARKET VECTORS ETF TR
   AGRIBUS ETF           EQUITY       57060U605     116     2,159 SH    -- DEFINED        5          --         --    2,159
MARKET VECTORS ETF TR
   COAL ETF ADDED        EQUITY       57060U837      12       325 SH    -- DEFINED        4          --         --      325
MARKET VECTORS ETF TR
   GBL ALTER ENRG        EQUITY       57060U407      97     2,014 SH    -- DEFINED        5          --         --    2,014
MARKET VECTORS ETF TR
   GOLD MINER ETF        EQUITY       57060U100      17       357 SH    -- DEFINED        4          --         --      357
MARKET VECTORS ETF TR
   GOLD MINER ETF        EQUITY       57060U100     670    14,048 SH    -- DEFINED        5          --         --   14,048
MARKET VECTORS ETF TR
   MV ENVIR SVCS         EQUITY       57060U209      13       275 SH    -- DEFINED        4          --         --      275
MARKET VECTORS ETF TR
   MV STEEL INDEX        EQUITY       57060U308      71       814 SH    -- DEFINED        4          --         --      814
MARKET VECTORS ETF TR
   MV STEEL INDEX        EQUITY       57060U308   1,530    17,630 SH    -- DEFINED        5          --         --   17,630
MARKET VECTORS ETF TR
   NUC ENERGY ETF        EQUITY       57060U704      71     2,373 SH    -- DEFINED        4          --         --    2,373
MARKET VECTORS ETF TR
   RUSSIA ETF            EQUITY       57060U506       3        70 SH    -- DEFINED        4          --         --       70
MARKET VECTORS ETF TR
   RUSSIA ETF            EQUITY       57060U506      23       500 SH    -- DEFINED        5          --         --      500
MARKETAXESS HOLDINGS INC EQUITY       57060D108     265    26,633 SH    -- SOLE           1      26,633         --       --
MARRIOTT INTERNATIONAL,
   INC.                  EQUITY       571903202   4,199   122,218 SH    -- SOLE           1     122,218         --       --
MARRIOTT INTL INC NEW    EQUITY       571903202      12       360 SH    -- SOLE           2         360         --       --
MARRIOTT INTL INC NEW
   CL A                  EQUITY       571903202      62     1,809 SH    -- DEFINED        5          --         --    1,809
MARSH & MCLENNAN
   COMPANIES INC         EQUITY       571748102   5,300   217,643 SH    -- SOLE           1     217,643         --       --
MARSH & MCLENNAN COS
   INC COM               EQUITY       571748102     278    11,417 SH    -- DEFINED        5          --         --   11,417
MARSH + MCLENNAN COS INC EQUITY       571748102      15       623 SH    -- SOLE           2         623         --       --
MARSHALL & ILSLEY CORP   EQUITY       571837103   5,054   217,835 SH    -- SOLE           1     217,835         --       --





                                                                                  
MARSHALL + ILSLEY CORP
   NEW                   EQUITY       571837103     167     7,198 SH    -- SOLE           2       7,198         --       --
MARTEK BIOSCIENCES CORP. EQUITY       572901106     846    27,668 SH    -- SOLE           1      27,668         --       --
MARTEN TRANSPORT LTD     EQUITY       573075108     204    13,116 SH    -- SOLE           1      13,116         --       --
MARTHA STEWART
   LIVING-CL A           EQUITY       573083102     169    22,794 SH    -- SOLE           1      22,794         --       --
MARTIN MARIETTA
   MATERIALS             EQUITY       573284106  10,470    98,613 SH    -- SOLE           1      98,613         --       --
MARVEL ENTERTAINMENT INC EQUITY       57383T103   1,139    42,532 SH    -- SOLE           1      42,532         --       --
MARVELL TECHNOLOGY
   GROUP L               EQUITY       G5876H105   1,184   108,800 SH    -- SOLE           2     108,800         --       --
MARVELL TECHNOLOGY
   GROUP LTD ORD         EQUITY       G5876H105      15     1,336 SH    -- DEFINED        5          --         --    1,336
MASCO CORP               EQUITY       574599106   4,698   236,936 SH    -- SOLE           2     236,936         --       --
MASCO CORP.              EQUITY       574599106   8,612   434,311 SH    -- SOLE           1     434,311         --       --
MASIMO CORP              EQUITY       574795100     306    11,758 SH    -- SOLE           1      11,758         --       --
MASSEY ENERGY COMPANY    EQUITY       576206106   1,215    33,291 SH    -- SOLE           1      33,291         --       --
MASSEY ENERGY CORP COM   EQUITY       576206106     569    15,600 SH    -- SOLE           3      15,600         --       --
MASSMUTUAL CORPORATE
   INVS IN COM           EQUITY       576292106      13       464 SH    -- DEFINED        4          --         --      464
MASTEC, INC.             EQUITY       576323109     299    36,417 SH    -- SOLE           1      36,417         --       --
MASTERCARD INC           EQUITY       57636Q104     893     4,003 SH    -- SOLE           1       4,003         --       --
MASTERCARD INC CL A      EQUITY       57636Q104  11,105    49,800 SH    -- SOLE           3      20,900         --   28,900
MASTERCARD INC CL A      EQUITY       57636Q104      53       238 SH    -- DEFINED        4          --         --      238
MASTERCARD INC CL A      EQUITY       57636Q104     441     1,976 SH    -- DEFINED        5          --         --    1,976
MATRIA HEALTHCARE INC    EQUITY       576817209     408    18,296 SH    -- SOLE           1      18,296         --       --
MATRIX SERVICE CO        EQUITY       576853105     392    22,806 SH    -- SOLE           1      22,806         --       --
MATTEL INC               EQUITY       577081102   4,663   234,332 SH    -- SOLE           2     234,332         --       --
MATTEL INC COM           EQUITY       577081102      31     1,548 SH    -- DEFINED        4          --         --    1,548
MATTEL, INC.             EQUITY       577081102   3,786   190,263 SH    -- SOLE           1     190,263         --       --
MATTHEWS INTERNATIONAL
   CORP. CLASS A         EQUITY       577128101   4,854   100,605 SH    -- SOLE           1     100,605         --       --
MATTSON TECHNOLOGY INC
   COM                   EQUITY       577223100       1       211 SH    -- DEFINED        5          --         --      211
MATTSON TECHNOLOGY, INC. EQUITY       577223100     258    42,337 SH    -- SOLE           1      42,337         --       --
MAUI LAND & PINEAPPLE CO EQUITY       577345101     121     3,804 SH    -- SOLE           1       3,804         --       --
MAXIMUS, INC.            EQUITY       577933104     582    15,849 SH    -- SOLE           1      15,849         --       --
MAXWELL TECHNOLOGIES
   INC COM               EQUITY       577767106       3       300 SH    -- DEFINED        5          --         --      300
MAXYGEN                  EQUITY       577776107     135    20,920 SH    -- SOLE           1      20,920         --       --
MB FINANCIAL INC         EQUITY       55264U108     914    29,710 SH    -- SOLE           1      29,710         --       --
MBIA INC                 EQUITY       55262C100      20     1,651 SH    -- SOLE           2       1,651         --       --
MBIA INC COM             EQUITY       55262C100      18     1,500 SH    -- DEFINED        5          --         --    1,500
MBIA, INC                EQUITY       55262C100   1,181    96,683 SH    -- SOLE           1      96,683         --       --
MCAFEE INC               EQUITY       579064106  12,833   387,818 SH    -- SOLE           1     387,818         --       --
MCAFEE INC               EQUITY       579064106   4,464   134,900 SH    -- SOLE           2     134,900         --       --
MCAFEE INC COM           EQUITY       579064106      14       430 SH    -- DEFINED        4          --         --      430
MCCLATCHY CO CL A        EQUITY       579489105      19     1,740 SH    -- DEFINED        5          --         --    1,740
MCCLATCHY COMPANY-CL     EQUITY       579489105      19     1,731 SH    -- SOLE           1       1,731         --       --
MCCORMICK & CO., INC.    EQUITY       579780206   2,052    55,491 SH    -- SOLE           1      55,491         --       --
MCCORMICK & SCHMICK'S
   SEAFOO                EQUITY       579793100     146    12,568 SH    -- SOLE           1      12,568         --       --
MCCORMICK + CO INC       EQUITY       579780206   2,545    68,853 SH    -- SOLE           2      68,853         --       --
MCDERMOTT INTERNATIONAL
   INC                   EQUITY       580037109     217     3,952 SH    -- SOLE           1       3,952         --       --
MCDERMOTT INTL INC COM   EQUITY       580037109      54       989 SH    -- DEFINED        4          --         --      989
MCDONALDS CORP           EQUITY       580135101   8,917   159,896 SH    -- SOLE           2     159,896         --       --
MCDONALD'S CORP          EQUITY       580135101  57,087 1,023,612 SH    -- SOLE           1   1,023,612         --       --
MCDONALDS CORP COM       EQUITY       580135101     395     7,078 SH    -- DEFINED        4          --         --    7,078
MCDONALDS CORP COM       EQUITY       580135101     867    15,538 SH    -- DEFINED        5          --         --   15,538
MCG CAPITAL CORP         EQUITY       58047P107   1,365   150,147 SH    -- SOLE           1     150,147         --       --
MCG CAPITAL CORP COM     EQUITY       58047P107     153    16,843 SH    -- DEFINED        4          --         --   16,843
MCGRATH RENTCORP         EQUITY       580589109     521    21,608 SH    -- SOLE           1      21,608         --       --
MCGRAW HILL COS INC      EQUITY       580645109      14       386 SH    -- SOLE           2         386         --       --
MCGRAW HILL COS INC COM  EQUITY       580645109      11       300 SH    -- DEFINED        4          --         --      300
MCGRAW HILL COS INC COM  EQUITY       580645109       6       170 SH    -- DEFINED        5          --         --      170
MCGRAW-HILL, INC.        EQUITY       580645109   7,380   199,728 SH    -- SOLE           1     199,728         --       --





                                                                                  
MCKESSON CORP            EQUITY       58155Q103      18       346 SH    -- SOLE           2         346         --       --
MCKESSON CORP COM        EQUITY       58155Q103      10       187 SH    -- DEFINED        5          --         --      187
MCKESSON CORP.           EQUITY       58155Q103   6,284   119,986 SH    -- SOLE           1     119,986         --       --
MCMORAN EXPLORATION CO   EQUITY       582411104     668    38,631 SH    -- SOLE           1      38,631         --       --
MDS INC                  EQUITY       55269P302     242    12,448 SH    -- OTHER          1          --     12,448       --
MDU RES GROUP INC COM    EQUITY       552690109      58     2,351 SH    -- DEFINED        4          --         --    2,351
MDU RESOURCES GROUP,
   INC.                  EQUITY       552690109  10,781   439,146 SH    -- SOLE           1     439,146         --       --
MEADOWBROOK INSURANCE
   GROUP INC             EQUITY       58319P108     215    27,501 SH    -- SOLE           1      27,501         --       --
MEADWESTVACO CORP        EQUITY       583334107   2,144    78,768 SH    -- SOLE           1      78,768         --       --
MEADWESTVACO CORP        EQUITY       583334107       6       208 SH    -- SOLE           2         208         --       --
MEASUREMENT SPECIALTIES
   IN                    EQUITY       583421102     702    40,200 SH    -- SOLE           2      40,200         --       --
MEASUREMENT SPECIALTIES
   INC                   EQUITY       583421102     214    12,239 SH    -- SOLE           1      12,239         --       --
MECHEL                   EQUITY       583840103  10,175    88,000 SH    -- SOLE           1      88,000         --       --
MEDAREX INC              EQUITY       583916101     956   108,053 SH    -- SOLE           1     108,053         --       --
MEDASSETS INC            EQUITY       584045108     185    12,502 SH    -- SOLE           1      12,502         --       --
MEDCATH CORP             EQUITY       58404W109   3,478   168,409 SH    -- SOLE           1     168,409         --       --
MEDCATH CORP             EQUITY       58404W109     631    34,692 SH    -- SOLE           2      34,692         --       --
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY       58405U102  16,840   384,553 SH    -- SOLE           1     384,553         --       --
MEDCO HEALTH SOLUTIONS
   INC                   EQUITY       58405U102     762    17,406 SH    -- SOLE           2      17,406         --       --
MEDCO HEALTH SOLUTIONS
   INC COM               EQUITY       58405U102      18       418 SH    -- DEFINED        4          --         --      418
MEDCO HEALTH SOLUTIONS
   INC COM               EQUITY       58405U102     139     3,168 SH    -- DEFINED        5          --         --    3,168
MEDIA GENERAL, INC.
   CLASS A               EQUITY       584404107   1,026    73,167 SH    -- SOLE           1      73,167         --       --
MEDIACOM COMMUNICATI     EQUITY       58446K105     179    41,312 SH    -- SOLE           1      41,312         --       --
MEDICAL ACTION IND INC   EQUITY       58449L100     196    11,939 SH    -- SOLE           1      11,939         --       --
MEDICINES COMPANY        EQUITY       584688105     896    44,377 SH    -- SOLE           1      44,377         --       --
MEDICIS PHARMACEUTIC     EQUITY       584690309   3,572   181,409 SH    -- SOLE           1     181,409         --       --
MEDIS TECHNOLOGIES LTD   EQUITY       58500P107     190    20,961 SH    -- SOLE           1      20,961         --       --
MEDIVATION INC           EQUITY       58501N101     261    18,307 SH    -- SOLE           1      18,307         --       --
MEDTOX SCIENTIFIC INC
   COM NEW               EQUITY       584977201       3       200 SH    -- DEFINED        4          --         --      200
MEDTRONIC INC            EQUITY       585055106   9,743   201,430 SH    -- SOLE           2     201,430         --       --
MEDTRONIC INC COM        EQUITY       585055106     109     2,260 SH    -- DEFINED        4          --         --    2,260
MEDTRONIC INC COM        EQUITY       585055106     191     3,944 SH    -- DEFINED        5          --         --    3,944
MEDTRONIC, INC.          EQUITY       585055106  48,454 1,001,732 SH    -- SOLE           1   1,001,732         --       --
MELCO PBL ENTMNT LTD ADR EQUITY       585464100       3       250 SH    -- DEFINED        4          --         --      250
MEMC ELECTR MATLS INC    EQUITY       552715104   1,634    23,043 SH    -- SOLE           2      23,043         --       --
MEMC ELECTR MATLS INC
   COM                   EQUITY       552715104   6,757    95,300 SH    -- SOLE           3      37,800         --   57,500
MEMC ELECTR MATLS INC
   COM                   EQUITY       552715104     946    13,339 SH    -- DEFINED        4          --         --   13,339
MEMC ELECTR MATLS INC
   COM                   EQUITY       552715104      15       205 SH    -- DEFINED        5          --         --      205
MEMC ELECTRONIC
   MATERIALS, INC        EQUITY       552715104   7,662   108,066 SH    -- SOLE           1     108,066         --       --
MENS WEARHOUSE INC COM   EQUITY       587118100       2        93 SH    -- DEFINED        4          --         --       93
MENS WEARHOUSE, INC.     EQUITY       587118100   1,082    46,506 SH    -- SOLE           1      46,506         --       --
MENTOR CORP.             EQUITY       587188103     746    29,001 SH    -- SOLE           1      29,001         --       --
MENTOR GRAPHICS CORP.    EQUITY       587200106   2,557   289,547 SH    -- SOLE           1     289,547         --       --
MERCADOLIBRE INC         EQUITY       58733R102     549    13,801 SH    -- SOLE           1      13,801         --       --
MERCANTILE BANK CORP COM EQUITY       587376104       5       480 SH    -- DEFINED        5          --         --      480
MERCER INTL INC-SBI      EQUITY       588056101     191    27,341 SH    -- SOLE           1      27,341         --       --
MERCK & CO INC COM       EQUITY       589331107      31       828 SH    -- DEFINED        4          --         --      828
MERCK & CO INC COM       EQUITY       589331107     191     5,023 SH    -- DEFINED        5          --         --    5,023
MERCK & CO., INC.        EQUITY       589331107  60,204 1,586,403 SH    -- SOLE           1   1,586,403         --       --
MERCK + CO INC           EQUITY       589331107  12,281   323,599 SH    -- SOLE           2     323,599         --       --
MERCURY COMPUTER
   SYSTEMS INC           EQUITY       589378108     107    19,063 SH    -- SOLE           1      19,063         --       --
MERCURY GENERAL CORP     EQUITY       589400100   3,728    84,131 SH    -- SOLE           1      84,131         --       --
MERCURY GENL CORP NEW
   COM                   EQUITY       589400100   1,431    32,291 SH    -- DEFINED        4          --         --   32,291
MEREDITH CORP            EQUITY       589433101   2,460    64,316 SH    -- SOLE           1      64,316         --       --
MEREDITH CORP            EQUITY       589433101       2        45 SH    -- SOLE           2          45         --       --
MERIDIAN BIOSCIENCE INC  EQUITY       589584101   1,139    34,076 SH    -- SOLE           1      34,076         --       --





                                                                                  
MERIDIAN BIOSCIENCE INC
   COM                   EQUITY       589584101     100     3,000 SH    -- DEFINED        5          --         --    3,000
MERIDIAN RESOURCE CORP   EQUITY       58977Q109     114    76,757 SH    -- SOLE           1      76,757         --       --
MERIT MED SYS INC        EQUITY       589889104     372    23,492 SH    -- SOLE           1      23,492         --       --
MERITAGE HOMES
   CORPORATION           EQUITY       59001A102     435    22,502 SH    -- SOLE           1      22,502         --       --
MERRILL LYNCH & CO INC   EQUITY       590188108  30,532   749,443 SH    -- SOLE           1     749,443         --       --
MERRILL LYNCH & CO INC
   COM                   EQUITY       590188108      44     1,084 SH    -- DEFINED        4          --         --    1,084
MERRILL LYNCH & CO INC
   COM                   EQUITY       590188108      17       424 SH    -- DEFINED        5          --         --      424
MERRILL LYNCH + CO INC   EQUITY       590188108     960    23,561 SH    -- SOLE           2      23,561         --       --
MERUELO MADDUX
   PROPERTIES INC        EQUITY       590473104     100    39,247 SH    -- SOLE           1      39,247         --       --
MESA RTY TR UNIT BEN INT EQUITY       590660106       9       139 SH    -- DEFINED        4          --         --      139
METABOLIX INC            EQUITY       591018809     136    12,392 SH    -- SOLE           1      12,392         --       --
METAVANTE TECHNOLOGIES
   INC                   EQUITY       591407101   4,289   214,552 SH    -- SOLE           1     214,552         --       --
METHANEX CORP            EQUITY       59151K108     483    18,440 SH    -- OTHER          1          --     18,440       --
METHANEX CORP            EQUITY       59151K108     311    11,900 SH    -- SOLE           2      11,900         --       --
METHANEX CORP COM        EQUITY       59151K108      16       601 SH    -- DEFINED        4          --         --      601
METHODE ELECTRONICS,
   INC.                  EQUITY       591520200     367    31,365 SH    -- SOLE           1      31,365         --       --
METLIFE INC              EQUITY       59156R108   4,451    73,855 SH    -- SOLE           2      73,855         --       --
METLIFE INC COM          EQUITY       59156R108       4        67 SH    -- DEFINED        4          --         --       67
METLIFE INC COM          EQUITY       59156R108     135     2,237 SH    -- DEFINED        5          --         --    2,237
METLIFE, INC.            EQUITY       59156R108  34,601   574,195 SH    -- SOLE           1     574,195         --       --
METROPCS COMMUNICATIONS
   INC                   EQUITY       591708102     883    51,952 SH    -- SOLE           1      51,952         --       --
METTLER TOLEDO
   INTERNATIONAL COM     EQUITY       592688105       3        33 SH    -- DEFINED        5          --         --       33
METTLER TOLEDO INTL INC  EQUITY       592688105     510     5,250 SH    -- SOLE           2       5,250         --       --
METTLER-TOLEDO
   INTERNATIONAL         EQUITY       592688105     101     1,040 SH    -- SOLE           1       1,040         --       --
MFA MTG INVTS INC        EQUITY       55272X102   1,356   215,300 SH    -- SOLE           2     215,300         --       --
MFA MTG INVTS INC COM    EQUITY       55272X102       4       700 SH    -- DEFINED        5          --         --      700
MFS INTER INCOME TR SH
   BEN INT               EQUITY       55273C107      11     1,700 SH    -- DEFINED        4          --         --    1,700
MFS INTER INCOME TR SH
   BEN INT               EQUITY       55273C107      27     4,300 SH    -- DEFINED        5          --         --    4,300
MFS MULTIMARKET INCOME
   TR SH BEN INT         EQUITY       552737108      27     4,800 SH    -- DEFINED        4          --         --    4,800
MFS MUN INCOME TR SH
   BEN INT               EQUITY       552738106       2       269 SH    -- DEFINED        4          --         --      269
MFS MUN INCOME TR SH
   BEN INT               EQUITY       552738106      97    13,500 SH    -- DEFINED        5          --         --   13,500
MGE ENERGY INC           EQUITY       55277P104     620    18,201 SH    -- SOLE           1      18,201         --       --
MGIC INVESTMENT CORP.    EQUITY       552848103     337    32,022 SH    -- SOLE           1      32,022         --       --
MGIC INVT CORP WIS       EQUITY       552848103       2       143 SH    -- SOLE           2         143         --       --
MGM MIRAGE COM           EQUITY       552953101      12       200 SH    -- DEFINED        4          --         --      200
MGM MIRAGE INC           EQUITY       552953101       8       135 SH    -- SOLE           1         135         --       --
MGM MIRAGEINC            EQUITY       552953101   1,303    22,179 SH    -- SOLE           2      22,179         --       --
MGP INGREDIENTS INC      EQUITY       55302G103      59     8,492 SH    -- SOLE           1       8,492         --       --
MICHAEL BAKER CORP       EQUITY       057149106     139     6,194 SH    -- SOLE           1       6,194         --       --
MICREL, INC.             EQUITY       594793101     409    44,075 SH    -- SOLE           1      44,075         --       --
MICROCHIP TECHNOLOGY INC EQUITY       595017104   4,171   127,426 SH    -- SOLE           2     127,426         --       --
MICROCHIP TECHNOLOGY
   INC COM               EQUITY       595017104      10       300 SH    -- DEFINED        4          --         --      300
MICROCHIP TECHNOLOGY,
   INC.                  EQUITY       595017104   2,971    90,775 SH    -- SOLE           1      90,775         --       --
MICRON TECHNOLOGY INC    EQUITY       595112103       5       909 SH    -- SOLE           2         909         --       --
MICRON TECHNOLOGY INC
   COM                   EQUITY       595112103      13     2,261 SH    -- DEFINED        5          --         --    2,261
MICRON TECHNOLOGY, INC.  EQUITY       595112103   2,033   340,569 SH    -- SOLE           1     340,569         --       --
MICROS SYS INC           EQUITY       594901100     734    21,800 SH    -- SOLE           2      21,800         --       --
MICROS SYS INC COM       EQUITY       594901100      19       575 SH    -- DEFINED        4          --         --      575
MICROS SYSTEMS, INC.     EQUITY       594901100   2,340    69,523 SH    -- SOLE           1      69,523         --       --
MICROSEMI CORP           EQUITY       595137100   2,979   130,679 SH    -- SOLE           2     130,679         --       --
MICROSEMI CORP.          EQUITY       595137100   1,492    65,429 SH    -- SOLE           1      65,429         --       --
MICROSOFT CORP           EQUITY       594918104  22,695   799,671 SH    -- SOLE           2     799,671         --       --
MICROSOFT CORP COM       EQUITY       594918104     904    31,843 SH    -- DEFINED        4          --         --   31,843
MICROSOFT CORP COM       EQUITY       594918104     974    34,318 SH    -- DEFINED        5          --         --   34,318
MICROSOFT CORP.          EQUITY       594918104 201,581 7,102,912 SH    -- SOLE           1   7,102,912         --       --
MICROSTRATEGY INC        EQUITY       594972408     607     8,203 SH    -- SOLE           1       8,203         --       --





                                                                                  
MICROTUNE INC            EQUITY       59514P109     168    45,981 SH    -- SOLE           1      45,981         --       --
MICROTUNE INC DEL        EQUITY       59514P109   1,281   350,000 SH    -- SOLE           2     350,000         --       --
MICRUS ENDOVASCULAR CORP EQUITY       59518V102     159    12,874 SH    -- SOLE           1      12,874         --       --
MID-AMERICA APT.
   COMMUNITIES           EQUITY       59522J103   7,710   154,688 SH    -- SOLE           1     154,688         --       --
MIDAS, INC.              EQUITY       595626102     788    45,814 SH    -- SOLE           1      45,814         --       --
MIDCAP SPDR TR UNIT SER
   1                     EQUITY       595635103     860     6,090 SH    -- DEFINED        4          --         --    6,090
MIDCAP SPDR TR UNIT SER
   1                     EQUITY       595635103      51       363 SH    -- DEFINED        5          --         --      363
MIDDLEBY CORP            EQUITY       596278101     774    12,405 SH    -- SOLE           1      12,405         --       --
MIDDLEBY CORP            EQUITY       596278101     518     8,300 SH    -- SOLE           2       8,300         --       --
MIDLAND CO COM           EQUITY       597486109     549     8,458 SH    -- SOLE           1       8,458         --       --
MIDWAY GAMES INC.        EQUITY       598148104      53    19,727 SH    -- SOLE           1      19,727         --       --
MIDWEST BANC HOLDINGS
   INC.                  EQUITY       598251106     242    18,939 SH    -- SOLE           1      18,939         --       --
MILLENNIUM PHARMACEUTC
   COM                   EQUITY       599902103   2,684   173,600 SH    -- SOLE           3      70,400         --  103,200
MILLENNIUM
   PHARMACEUTICALS       EQUITY       599902103     264    17,100 SH    -- SOLE           2      17,100         --       --
MILLENNIUM
   PHARMACEUTICALS I COM EQUITY       599902103       3       190 SH    -- DEFINED        4          --         --      190
MILLENNIUM
   PHARMACEUTICALS I COM EQUITY       599902103       5       300 SH    -- DEFINED        5          --         --      300
MILLENNIUM
   PHARMACEUTICALS, IN   EQUITY       599902103  12,454   805,541 SH    -- SOLE           1     805,541         --       --
MILLER HERMAN INC COM    EQUITY       600544100      11       431 SH    -- DEFINED        5          --         --      431
MILLER INDUSTRIES INC/TN EQUITY       600551204      83     8,579 SH    -- SOLE           1       8,579         --       --
MILLICOM INTL CELLULAR
   S A SHS NEW           EQUITY       L6388F110       2        23 SH    -- DEFINED        4          --         --       23
MILLIPORE CORP           EQUITY       601073109       4        66 SH    -- SOLE           2          66         --       --
MILLIPORE CORP.          EQUITY       601073109   5,352    79,401 SH    -- SOLE           1      79,401         --       --
MINAS BUENAVENTURA-SPON
   ADR                   EQUITY       204448104   8,254   120,500 SH    -- SOLE           1     120,500         --       --
MINDRAY MEDICAL INTL
   LTD SPON ADR          EQUITY       602675100       6       200 SH    -- DEFINED        4          --         --      200
MINDRAY MEDICAL INTL
   LTD SPON ADR          EQUITY       602675100     127     4,403 SH    -- DEFINED        5          --         --    4,403
MINE SAFETY APPLIANCES
   CO COM                EQUITY       602720104      10       250 SH    -- DEFINED        5          --         --      250
MINE SAFETY APPLIANCES
   CO.                   EQUITY       602720104   3,848    93,431 SH    -- SOLE           1      93,431         --       --
MINEFINDERS LTD COM      EQUITY       602900102       5       391 SH    -- DEFINED        5          --         --      391
MINERALS TECHNOLOGIES,
   INC.                  EQUITY       603158106   3,867    61,574 SH    -- SOLE           1      61,574         --       --
MINRAD INTERNATIONAL INC EQUITY       60443P103      95    40,323 SH    -- SOLE           1      40,323         --       --
MIPS TECHNOLOGIES INC    EQUITY       604567107     147    37,222 SH    -- SOLE           1      37,222         --       --
MIRANT CORP              EQUITY       60467R100  29,437   808,666 SH    -- SOLE           1     808,666         --       --
MIRANT CORP NEW          EQUITY       60467R100     224     6,161 SH    -- SOLE           2       6,161         --       --
MIRANT CORP NEW *W EXP
   01/03/201             EQUITY       60467R118       8       213 SH    -- DEFINED        4          --         --      213
MIRANT CORP NEW *W EXP
   01/03/201             EQUITY       60467R118       1        78 SH    -- DEFINED        5          --         --       78
MITCHAM INDS INC         EQUITY       606501104   2,051   115,076 SH    -- SOLE           2     115,076         --       --
MKS INSTRUMENTS, INC.    EQUITY       55306N104     836    39,087 SH    -- SOLE           1      39,087         --       --
MOBILE MINI INC.         EQUITY       60740F105     585    30,803 SH    -- SOLE           1      30,803         --       --
MOBILE TELESYSTEMS OJSC
   SPONSORED ADR         EQUITY       607409109      28       375 SH    -- DEFINED        5          --         --      375
MOBILE TELESYSTEMS-SP
   ADR                   EQUITY       607409109  15,291   202,580 SH    -- SOLE           1     202,580         --       --
MOD PAC CORP COM         EQUITY       607495108       2       418 SH    -- DEFINED        5          --         --      418
MODINE MANUFACTURING CO. EQUITY       607828100   1,526   105,312 SH    -- SOLE           1     105,312         --       --
MOHAWK INDUSTRIES, INC.  EQUITY       608190104  10,312   144,003 SH    -- SOLE           1     144,003         --       --
MOLECULAR INSIGHT
   PHARMACEUTICALS INC   EQUITY       60852M104      29     4,274 SH    -- SOLE           1       4,274         --       --
MOLEX INC                EQUITY       608554101       4       168 SH    -- SOLE           2         168         --       --
MOLEX, INC.              EQUITY       608554101   1,455    62,827 SH    -- SOLE           1      62,827         --       --
MOLINA HEALTHCARE INC    EQUITY       60855R100     286    11,719 SH    -- SOLE           1      11,719         --       --
MOLSON COORS BREWING CO  EQUITY       60871R209   3,182    60,536 SH    -- SOLE           1      60,536         --       --
MOLSON COORS BREWING CO  EQUITY       60871R209       9       164 SH    -- SOLE           2         164         --       --
MOLSON COORS BREWING CO
   CL B                  EQUITY       60871R209       9       179 SH    -- DEFINED        4          --         --      179
MOMENTA PHARMACEUTICALS
   INC                   EQUITY       60877T100     222    20,340 SH    -- SOLE           1      20,340         --       --
MONACO COACH CORP        EQUITY       60886R103     244    25,687 SH    -- SOLE           1      25,687         --       --
MONARCH CASINO & RESOR   EQUITY       609027107     182    10,303 SH    -- SOLE           1      10,303         --       --
MONEYGRAM INTERNATIONAL  EQUITY       60935Y109       3     1,831 SH    -- SOLE           1       1,831         --       --
MONOGRAM BIOSCIENCES
   INC COM               EQUITY       60975U108       5     4,350 SH    -- DEFINED        5          --         --    4,350
MONOLITHIC POWER
   SYSTEMS INC           EQUITY       609839105     383    21,697 SH    -- SOLE           1      21,697         --       --





                                                                                  
MONOTYPE IMAGING
   HOLDINGS INC          EQUITY       61022P100     143     9,440 SH    -- SOLE           1       9,440         --       --
MONRO MUFFLER BRAKE IN   EQUITY       610236101     235    13,889 SH    -- SOLE           1      13,889         --       --
MONSANTO CO              EQUITY       61166W101  37,273   334,285 SH    -- SOLE           1     334,285         --       --
MONSANTO CO NEW          EQUITY       61166W101  12,143   108,908 SH    -- SOLE           2     108,908         --       --
MONSANTO CO NEW COM      EQUITY       61166W101   1,121    10,052 SH    -- DEFINED        4          --         --   10,052
MONSANTO CO NEW COM      EQUITY       61166W101     130     1,162 SH    -- DEFINED        5          --         --    1,162
MONSTER WORLDWIDE INC    EQUITY       611742107   2,766   114,234 SH    -- SOLE           1     114,234         --       --
MONSTER WORLDWIDE INC    EQUITY       611742107       4       150 SH    -- SOLE           2         150         --       --
MOODYS CORP              EQUITY       615369105       9       246 SH    -- SOLE           2         246         --       --
MOODYS CORP COM          EQUITY       615369105      98     2,825 SH    -- DEFINED        5          --         --    2,825
MOODY'S CORP.            EQUITY       615369105   8,602   246,961 SH    -- SOLE           1     246,961         --       --
MOOG INC.                EQUITY       615394202   1,372    32,502 SH    -- SOLE           1      32,502         --       --
MORGAN STANLEY           EQUITY       617446448  29,401   643,343 SH    -- SOLE           1     643,343         --       --
MORGAN STANLEY           EQUITY       617446448   9,684   211,894 SH    -- SOLE           2     211,894         --       --
MORGAN STANLEY COM NEW   EQUITY       617446448     120     2,634 SH    -- DEFINED        5          --         --    2,634
MORGAN STANLEY EMER
   MKTS DEB COM          EQUITY       61744H105      35     3,680 SH    -- DEFINED        5          --         --    3,680
MORGAN STANLEY MUN INC
   OPP II                EQUITY       61745P445      54     6,500 SH    -- DEFINED        5          --         --    6,500
MORGAN STANLEY MUN
   INCOME III            EQUITY       61745P437       5       536 SH    -- DEFINED        5          --         --      536
MORGAN STANLEY MUN PREM
   INCOM                 EQUITY       61745P429      14     1,750 SH    -- DEFINED        5          --         --    1,750
MORGANS HOTEL GROUP CO   EQUITY       61748W108     259    17,501 SH    -- SOLE           1      17,501         --       --
MORNINGSTAR INC          EQUITY       617700109     688    11,211 SH    -- SOLE           1      11,211         --       --
MORNINGSTAR INC          EQUITY       617700109     675    11,000 SH    -- SOLE           2      11,000         --       --
MORTON'S RESTAURANT
   GROUP INC             EQUITY       619430101      72     9,127 SH    -- SOLE           1       9,127         --       --
MOSAIC CO COM            EQUITY       61945A107   5,007    48,800 SH    -- SOLE           3      22,100         --   26,700
MOSAIC CO COM            EQUITY       61945A107   1,012     9,864 SH    -- DEFINED        4          --         --    9,864
MOSAIC CO COM            EQUITY       61945A107      43       423 SH    -- DEFINED        5          --         --      423
MOSAIC CO/THE            EQUITY       61945A107   1,217    11,866 SH    -- SOLE           1      11,866         --       --
MOTOROLA INC             EQUITY       620076109      25     2,695 SH    -- SOLE           2       2,695         --       --
MOTOROLA INC COM         EQUITY       620076109      12     1,262 SH    -- DEFINED        4          --         --    1,262
MOTOROLA INC COM         EQUITY       620076109     387    41,574 SH    -- DEFINED        5          --         --   41,574
MOTOROLA, INC.           EQUITY       620076109  11,649 1,252,552 SH    -- SOLE           1   1,252,552         --       --
MOVADO GROUP, INC.       EQUITY       624580106     288    14,763 SH    -- SOLE           1      14,763         --       --
MOVE INC                 EQUITY       62458M108     276    89,493 SH    -- SOLE           1      89,493         --       --
MPS GROUP INC            EQUITY       553409103   3,640   307,961 SH    -- SOLE           1     307,961         --       --
MRV COMMUNICATIONS, INC. EQUITY       553477100     186   135,776 SH    -- SOLE           1     135,776         --       --
MSC INDL DIRECT INC CL A EQUITY       553530106       8       181 SH    -- DEFINED        4          --         --      181
MSC INDUSTRIAL DIRECT
   CO.                   EQUITY       553530106   5,001   118,378 SH    -- SOLE           1     118,378         --       --
MSC SOFTWARE CORPORATION EQUITY       553531104     489    37,647 SH    -- SOLE           1      37,647         --       --
MSCI INC                 EQUITY       55354G100      10       343 SH    -- SOLE           1         343         --       --
MSCI INC CL A            EQUITY       55354G100       4       135 SH    -- DEFINED        5          --         --      135
MTC TECHNOLOGIES INC     EQUITY       55377A106     192     8,090 SH    -- SOLE           1       8,090         --       --
MTR GAMING GROUP INC     EQUITY       553769100     123    17,570 SH    -- SOLE           1      17,570         --       --
MTS SYSTEMS CORP.        EQUITY       553777103     491    15,214 SH    -- SOLE           1      15,214         --       --
MUELLER INDUSTRIES, INC. EQUITY       624756102     917    31,780 SH    -- SOLE           1      31,780         --       --
MUELLER WATER PRODUCTS
   INC                   EQUITY       624758207      15     1,862 SH    -- SOLE           1       1,862         --       --
MUELLER WATER PRODUCTS
   INC                   EQUITY       624758108     805    98,461 SH    -- SOLE           1      98,461         --       --
MULTI-COLOR CORP         EQUITY       625383104     156     6,986 SH    -- SOLE           1       6,986         --       --
MULTI-FINELINE
   ELECTRONIX IN         EQUITY       62541B101     135     7,204 SH    -- SOLE           1       7,204         --       --
MULTIMEDIA GAMES INC     EQUITY       625453105     106    19,764 SH    -- SOLE           1      19,764         --       --
MURPHY OIL CORP          EQUITY       626717102      19       227 SH    -- SOLE           2         227         --       --
MURPHY OIL CORP.         EQUITY       626717102  12,581   153,162 SH    -- SOLE           1     153,162         --       --
MUTUALFIRST FINL INC COM EQUITY       62845B104       4       280 SH    -- DEFINED        5          --         --      280
MV OIL TR TR UNITS       EQUITY       553859109     217    10,003 SH    -- DEFINED        4          --         --   10,003
MVC CAPITAL INC          EQUITY       553829102     317    20,815 SH    -- SOLE           1      20,815         --       --
MWI VETERINARY SUPPLY
   INC                   EQUITY       55402X105     258     7,307 SH    -- SOLE           1       7,307         --       --
MWI VETERINARY SUPPLY
   INC                   EQUITY       55402X105   2,726    77,300 SH    -- SOLE           2      77,300         --       --





                                                                                  
MWI VETERINARY SUPPLY
   INC COM               EQUITY       55402X105      11       300 SH    -- DEFINED        5          --         --      300
MYERS INDUSTRIES, INC.   EQUITY       628464109     316    24,030 SH    -- SOLE           1      24,030         --       --
MYLAN INC                EQUITY       628530206  18,163    20,750 SH    -- SOLE           1      20,750         --       --
MYLAN INC                EQUITY       628530107   6,738   580,864 SH    -- SOLE           2     580,864         --       --
MYLAN INC COM            EQUITY       628530107     208    17,967 SH    -- DEFINED        4          --         --   17,967
MYLAN INC COM            EQUITY       628530107      53     4,550 SH    -- DEFINED        5          --         --    4,550
MYLAN INC FORMERLY
   MYLAN L               EQUITY       628530206     800       925 SH    -- SOLE           2         925         --       --
MYLAN INC.               EQUITY       628530107   1,495   128,915 SH    -- SOLE           1     128,915         --       --
MYRIAD GENETICS INC      EQUITY       62855J104   1,488    36,932 SH    -- SOLE           1      36,932         --       --
MYRIAD GENETICS INC      EQUITY       62855J104     334     8,300 SH    -- SOLE           2       8,300         --       --
MYRIAD GENETICS INC COM  EQUITY       62855J104       8       200 SH    -- DEFINED        5          --         --      200
NABI BIOPHARMACEUTICALS  EQUITY       629519109     182    45,184 SH    -- SOLE           1      45,184         --       --
NABORS INDS INC COM (F)  EQUITY       G6359F103   4,431   131,200 SH    -- SOLE           3      61,200         --   70,000
NABORS INDUSTRIES LTD    EQUITY       G6359F103     210     6,205 SH    -- SOLE           2       6,205         --       --
NABORS INDUSTRIES LTD
   SHS                   EQUITY       G6359F103      15       450 SH    -- DEFINED        4          --         --      450
NABORS INDUSTRIES LTD
   SHS                   EQUITY       G6359F103      11       337 SH    -- DEFINED        5          --         --      337
NACCO INDUSTRIES, INC.
   CLASS A               EQUITY       629579103     404     4,992 SH    -- SOLE           1       4,992         --       --
NALCO HLDG CO            EQUITY       62985Q101   5,736   271,200 SH    -- SOLE           2     271,200         --       --
NALCO HOLDING CO         EQUITY       62985Q101      41     1,949 SH    -- SOLE           1       1,949         --       --
NANOSPHERE INC           EQUITY       63009F105      54     6,259 SH    -- SOLE           1       6,259         --       --
NARA BANCORP INC         EQUITY       63080P105     249    19,193 SH    -- SOLE           1      19,193         --       --
NASB FINL INC            EQUITY       628968109      84     3,222 SH    -- SOLE           1       3,222         --       --
NASDAQ OMX GROUP INC     EQUITY       631103108     159     4,100 SH    -- SOLE           2       4,100         --       --
NASDAQ OMX GROUP INC COM EQUITY       631103108       2        60 SH    -- DEFINED        5          --         --       60
NASDAQ OMX GROUP/THE     EQUITY       631103108     994    25,709 SH    -- SOLE           1      25,709         --       --
NASHFINCH CO.            EQUITY       631158102     391    11,501 SH    -- SOLE           1      11,501         --       --
NASTECH PHARMACEUTICAL   EQUITY       631728409      54    22,917 SH    -- SOLE           1      22,917         --       --
NATCO GROUP INC          EQUITY       63227W203     739    15,816 SH    -- SOLE           1      15,816         --       --
NATIONAL BEVERAGE CORP.  EQUITY       635017106      67     8,782 SH    -- SOLE           1       8,782         --       --
NATIONAL BK GREECE S A
   SPONSORED ADR         EQUITY       633643408      21     2,014 SH    -- DEFINED        4          --         --    2,014
NATIONAL CINEMEDIA INC   EQUITY       635309107     810    36,034 SH    -- SOLE           1      36,034         --       --
NATIONAL CINEMEDIA INC   EQUITY       635309107   1,945    86,500 SH    -- SOLE           2      86,500         --       --
NATIONAL CITY CORP       EQUITY       635405103       8       758 SH    -- SOLE           2         758         --       --
NATIONAL CITY CORP COM   EQUITY       635405103      30     2,982 SH    -- DEFINED        5          --         --    2,982
NATIONAL CITY CORP.      EQUITY       635405103   7,007   704,182 SH    -- SOLE           1     704,182         --       --
NATIONAL FINANCIAL
   PARTNERS              EQUITY       63607P208     726    32,311 SH    -- SOLE           1      32,311         --       --
NATIONAL FINL PARTNERS
   CORP COM              EQUITY       63607P208       2       100 SH    -- DEFINED        4          --         --      100
NATIONAL FUEL GAS CO N
   J COM                 EQUITY       636180101      85     1,800 SH    -- DEFINED        5          --         --    1,800
NATIONAL FUEL GAS CO.    EQUITY       636180101   9,491   201,043 SH    -- SOLE           1     201,043         --       --
NATIONAL GRID PLC SPON
   ADR NEW               EQUITY       636274300      69       985 SH    -- DEFINED        4          --         --      985
NATIONAL HEALTHCARE CORP EQUITY       635906100     292     5,991 SH    -- SOLE           1       5,991         --       --
NATIONAL INSTRUMENTS
   CORP.                 EQUITY       636518102   3,609   138,077 SH    -- SOLE           1     138,077         --       --
NATIONAL INTERSTATE CORP EQUITY       63654U100     106     4,547 SH    -- SOLE           1       4,547         --       --
NATIONAL OILWELL VARCO
   INC                   EQUITY       637071101  19,533   334,592 SH    -- SOLE           1     334,592         --       --
NATIONAL OILWELL VARCO
   INC                   EQUITY       637071101   3,046    52,177 SH    -- SOLE           2      52,177         --       --
NATIONAL OILWELL VARCO
   INC COM               EQUITY       637071101      97     1,663 SH    -- DEFINED        4          --         --    1,663
NATIONAL OILWELL VARCO
   INC COM               EQUITY       637071101     264     4,522 SH    -- DEFINED        5          --         --    4,522
NATIONAL PENN
   BANCSHARES INC COM    EQUITY       637138108     123     6,765 SH    -- DEFINED        4          --         --    6,765
NATIONAL PENN
   BANCSHARES, INC.      EQUITY       637138108   1,209    66,466 SH    -- SOLE           1      66,466         --       --
NATIONAL PRESTO
   INDUSTRIES            EQUITY       637215104     200     3,825 SH    -- SOLE           1       3,825         --       --
NATIONAL RETAIL
   PROPERTIES I COM      EQUITY       637417106     597    27,075 SH    -- DEFINED        4          --         --   27,075
NATIONAL RETAIL
   PROPERTIES INC        EQUITY       637417106   1,353    61,359 SH    -- SOLE           1      61,359         --       --
NATIONAL SEMICONDUCTOR
   COR                   EQUITY       637640103       5       271 SH    -- SOLE           2         271         --       --
NATIONAL SEMICONDUCTOR
   CORP.                 EQUITY       637640103   3,693   201,560 SH    -- SOLE           1     201,560         --       --
NATIONAL WESTERN LIFE
   INS. CO. CLASS A      EQUITY       638522102     419     1,935 SH    -- SOLE           1       1,935         --       --
NATIONWIDE FINANCIAL
   SERVICES              EQUITY       638612101     178     3,774 SH    -- SOLE           1       3,774         --       --





                                                                                  
NATIONWIDE HEALTH PPTYS
   INC COM               EQUITY       638620104      57     1,700 SH    -- DEFINED        5          --         --    1,700
NATIONWIDE HEALTH
   PROPERTIES            EQUITY       638620104  24,774   734,033 SH    -- SOLE           1     734,033         --       --
NATURAL RESOURCE
   PARTNERS L COM UNIT
   L P                   EQUITY       63900P103       4       150 SH    -- DEFINED        5          --         --      150
NATUS MEDICAL INC        EQUITY       639050103   1,213    66,809 SH    -- SOLE           1      66,809         --       --
NATUS MEDICAL INC DEL
   COM                   EQUITY       639050103   2,546   140,300 SH    -- SOLE           3     140,300         --       --
NAUTILUS INC             EQUITY       63910B102      89    27,003 SH    -- SOLE           1      27,003         --       --
NAVIGANT CONSULTING CO.  EQUITY       63935N107   2,827   148,931 SH    -- SOLE           1     148,931         --       --
NAVIGATORS GROUP INC     EQUITY       638904102     612    11,258 SH    -- SOLE           1      11,258         --       --
NAVIGATORS GROUP INC     EQUITY       638904102     152     2,800 SH    -- SOLE           2       2,800         --       --
NAVIOS MARITIME
   HOLDINGS INC COM      EQUITY       Y62196103     165    17,750 SH    -- DEFINED        5          --         --   17,750
NAVTEQ CORP              EQUITY       63936L100  14,099   207,343 SH    -- SOLE           1     207,343         --       --
NBT BANCORP INC COM      EQUITY       628778102     100     4,500 SH    -- DEFINED        4          --         --    4,500
NBT BANCORP, INC.        EQUITY       628778102     614    27,654 SH    -- SOLE           1      27,654         --       --
NBTY, INC.               EQUITY       628782104   4,041   134,928 SH    -- SOLE           1     134,928         --       --
NCI BUILDING SYSTEMS,
   INC.                  EQUITY       628852105     419    17,300 SH    -- SOLE           1      17,300         --       --
NCR CORP NEW COM         EQUITY       62886E108       7       304 SH    -- DEFINED        5          --         --      304
NCR CORP.                EQUITY       62886E108   9,596   420,321 SH    -- SOLE           1     420,321         --       --
NDS GROUP PLC            EQUITY       628891103   2,004    41,000 SH    -- SOLE           2      41,000         --       --
NECTAR THERAPEUTICS      EQUITY       640268108     546    78,661 SH    -- SOLE           1      78,661         --       --
NEENAH PAPER INC         EQUITY       640079109     328    12,708 SH    -- SOLE           1      12,708         --       --
NEKTAR THERAPEUTICS      EQUITY       640268AH1   3,874 5,000,000 SH    -- SOLE           1   5,000,000         --       --
NELNET INC-CL A          EQUITY       64031N108     176    15,021 SH    -- SOLE           1      15,021         --       --
NESS TECHNOLOGIES INC    EQUITY       64104X108     481    50,660 SH    -- SOLE           1      50,660         --       --
NET 1 UEPS TECHNOLOGIES
   IN                    EQUITY       64107N206     665    29,500 SH    -- SOLE           2      29,500         --       --
NET 1 UEPS TECHNOLOGIES
   INC                   EQUITY       64107N206     809    35,878 SH    -- SOLE           1      35,878         --       --
NET 1 UEPS TECHNOLOGIES
   INC COM NEW           EQUITY       64107N206      72     3,215 SH    -- DEFINED        5          --         --    3,215
NETEZZA CORP             EQUITY       64111N101      80     8,662 SH    -- SOLE           1       8,662         --       --
NETFLIX COM INC          EQUITY       64110L106     631    18,200 SH    -- SOLE           2      18,200         --       --
NETFLIX.COM INC          EQUITY       64110L106   4,917   141,917 SH    -- SOLE           1     141,917         --       --
NETGEAR INC              EQUITY       64111Q104     592    29,695 SH    -- SOLE           1      29,695         --       --
NETLOGIC MICROSYSTEMS
   INC                   EQUITY       64118B100     341    14,123 SH    -- SOLE           1      14,123         --       --
NETLOGIC MICROSYSTEMS
   INC COM               EQUITY       64118B100      78     3,246 SH    -- DEFINED        5          --         --    3,246
NETSUITE INC             EQUITY       64118Q107     132     6,119 SH    -- SOLE           1       6,119         --       --
NETSUITE INC COM ADDED   EQUITY       64118Q107       7       315 SH    -- DEFINED        5          --         --      315
NETWORK EQUIPMENT TECH.  EQUITY       641208103     165    25,062 SH    -- SOLE           1      25,062         --       --
NEUBERGER BERMAN INTER
   MUNI COM              EQUITY       64124P101       2       150 SH    -- DEFINED        4          --         --      150
NEUBERGER BERMAN RE ES
   SEC F COM             EQUITY       64190A103       1       133 SH    -- DEFINED        5          --         --      133
NEURALSTEM INC COM       EQUITY       64127R302       9     3,500 SH    -- DEFINED        4          --         --    3,500
NEUROCRINE BIOSCIENCES,
   INC.                  EQUITY       64125C109     176    32,621 SH    -- SOLE           1      32,621         --       --
NEUROGEN CORP.           EQUITY       64124E106      50    27,122 SH    -- SOLE           1      27,122         --       --
NEUSTAR INC              EQUITY       64126X201     532    20,100 SH    -- SOLE           2      20,100         --       --
NEUSTAR INC-CLASS A      EQUITY       64126X201   6,137   231,766 SH    -- SOLE           1     231,766         --       --
NEUTRAL TANDEM INC       EQUITY       64128B108     103     5,708 SH    -- SOLE           1       5,708         --       --
NEW AMER HIGH INCOME FD
   INC COM               EQUITY       641876107     272   172,457 SH    -- DEFINED        5          --         --  172,457
NEW JERSEY RESOURCES
   CORP.                 EQUITY       646025106   1,118    36,023 SH    -- SOLE           1      36,023         --       --
NEW ORIENTAL ENERGY &
   CHEM C COM            EQUITY       64758A107       5     1,000 SH    -- DEFINED        5          --         --    1,000
NEW YORK & CO            EQUITY       649295102     107    18,643 SH    -- SOLE           1      18,643         --       --
NEW YORK CMNTY BANCORP
   INC COM               EQUITY       649445103     108     5,915 SH    -- DEFINED        5          --         --    5,915
NEW YORK COMMUNITY
   BANCORP INC           EQUITY       649445103  14,246   781,907 SH    -- SOLE           1     781,907         --       --
NEW YORK TIMES CO        EQUITY       650111107       3       172 SH    -- SOLE           2         172         --       --
NEW YORK TIMES CO.
   CLASS  A              EQUITY       650111107   1,218    64,532 SH    -- SOLE           1      64,532         --       --
NEWALLIANCE BANCSHARES
   INC                   EQUITY       650203102   1,193    97,330 SH    -- SOLE           1      97,330         --       --
NEWCASTLE INVESTMENT
   CORP                  EQUITY       65105M108   5,023   608,097 SH    -- SOLE           1     608,097         --       --
NEWCASTLE INVT CORP COM  EQUITY       65105M108      28     3,400 SH    -- DEFINED        4          --         --    3,400
NEWCASTLE INVT CORP COM  EQUITY       65105M108       5       600 SH    -- DEFINED        5          --         --      600
NEWELL RUBBERMAID INC    EQUITY       651229106       8       331 SH    -- SOLE           2         331         --       --





                                                                                  
NEWELL RUBBERMAID, INC.  EQUITY       651229106   2,823   123,455 SH    -- SOLE           1     123,455         --       --
NEWFIELD EXPL CO COM     EQUITY       651290108      26       500 SH    -- DEFINED        4          --         --      500
NEWFIELD EXPLORATION     EQUITY       651290108  16,711   316,204 SH    -- SOLE           1     316,204         --       --
NEWMARKET CORP           EQUITY       651587107     926    12,271 SH    -- SOLE           1      12,271         --       --
NEWMARKET CORP           EQUITY       651587107     543     7,200 SH    -- SOLE           2       7,200         --       --
NEWMONT MINING CORP COM  EQUITY       651639106     127     2,800 SH    -- DEFINED        5          --         --    2,800
NEWMONT MINING CORP
   HLDG CO               EQUITY       651639106   8,404   185,520 SH    -- SOLE           1     185,520         --       --
NEWMONT MNG CORP         EQUITY       651639106      25       542 SH    -- SOLE           2         542         --       --
NEWPARK RESOURCES, INC.  EQUITY       651718504     393    77,132 SH    -- SOLE           1      77,132         --       --
NEWPORT CORP             EQUITY       651824104     310    27,718 SH    -- SOLE           1      27,718         --       --
NEWS CORP                EQUITY       65248E104  39,972 2,131,856 SH    -- SOLE           1   2,131,856         --       --
NEWS CORP                EQUITY       65248E104  26,787 1,428,625 SH    -- SOLE           2   1,428,625         --       --
NEWS CORP CL A           EQUITY       65248E104      28     1,516 SH    -- DEFINED        5          --         --    1,516
NEWS CORP CL B           EQUITY       65248E203       2       125 SH    -- DEFINED        4          --         --      125
NEWS CORP CL B           EQUITY       65248E203       5       250 SH    -- DEFINED        5          --         --      250
NEWSTAR FINANCIAL INC    EQUITY       65251F105      82    15,907 SH    -- SOLE           1      15,907         --       --
NEWTEK BUSINESS
   SERVICES INC          EQUITY       652526104   1,268 1,280,683 SH    -- SOLE           1   1,280,683         --       --
NEXCEN BRANDS INC        EQUITY       653351106     135    39,222 SH    -- SOLE           1      39,222         --       --
NEXEN INC                EQUITY       65334H102   5,110   172,232 SH    -- OTHER          1          --    172,232       --
NEXSTAR BROADCASTING
   GROUP-A               EQUITY       65336K103      54     9,081 SH    -- SOLE           1       9,081         --       --
NEXTWAVE WIRELESS INC    EQUITY       65337Y102     129    25,485 SH    -- SOLE           1      25,485         --       --
NEXXUS LIGHTING INC COM  EQUITY       65338E105      40     7,000 SH    -- DEFINED        5          --         --    7,000
NFJ DIVID INT & PREM
   STRTGY COM SHS        EQUITY       65337H109     108     4,882 SH    -- DEFINED        4          --         --    4,882
NFJ DIVID INT & PREM
   STRTGY COM SHS        EQUITY       65337H109      24     1,098 SH    -- DEFINED        5          --         --    1,098
NGP CAPITAL RESOURCES CO EQUITY       62912R107     246    14,968 SH    -- SOLE           1      14,968         --       --
NIC INC                  EQUITY       62914B100     239    33,646 SH    -- SOLE           1      33,646         --       --
NIC INC COM              EQUITY       62914B100      14     2,000 SH    -- DEFINED        5          --         --    2,000
NICHOLAS APPLEGATE
   CV&INC FD COM         EQUITY       65370G109      26     2,407 SH    -- DEFINED        4          --         --    2,407
NICHOLAS-APPLEGATE CV &
   INC COM               EQUITY       65370F101     360    31,128 SH    -- DEFINED        4          --         --   31,128
NICHOLAS-APPLEGATE CV &
   INC COM               EQUITY       65370F101     253    21,855 SH    -- DEFINED        5          --         --   21,855
NICHOLAS-APPLGT INTL &
   PRM S COM             EQUITY       65370C108      10       500 SH    -- DEFINED        4          --         --      500
NICOR INC                EQUITY       654086107       2        54 SH    -- SOLE           2          54         --       --
NICOR INC COM            EQUITY       654086107       8       242 SH    -- DEFINED        5          --         --      242
NICOR, INC.              EQUITY       654086107   7,520   224,414 SH    -- SOLE           1     224,414         --       --
NIGHTHAWK RADIOLOGY
   HLDGS IN COM          EQUITY       65411N105     207    22,150 SH    -- DEFINED        5          --         --   22,150
NIGHTHAWK RADIOLOGY
   HOLDINGS INC          EQUITY       65411N105     169    18,083 SH    -- SOLE           1      18,083         --       --
NII HLDGS INC            EQUITY       62913F201   5,212   164,000 SH    -- SOLE           2     164,000         --       --
NII HLDGS INC CL B NEW   EQUITY       62913F201       1        39 SH    -- DEFINED        4          --         --       39
NII HLDGS INC CL B NEW   EQUITY       62913F201       6       200 SH    -- DEFINED        5          --         --      200
NII HOLDINGS INC-CL B    EQUITY       62913F201     389    12,253 SH    -- SOLE           1      12,253         --       --
NIKE INC                 EQUITY       654106103     840    12,358 SH    -- SOLE           2      12,358         --       --
NIKE INC CL B            EQUITY       654106103      26       383 SH    -- DEFINED        4          --         --      383
NIKE INC CL B            EQUITY       654106103      40       587 SH    -- DEFINED        5          --         --      587
NIKE, INC. CLASS  B      EQUITY       654106103  46,102   677,975 SH    -- SOLE           1     677,975         --       --
NISOURCE INC             EQUITY       65473P105       6       328 SH    -- SOLE           2         328         --       --
NISOURCE INC COM         EQUITY       65473P105       8       450 SH    -- DEFINED        4          --         --      450
NISOURCE INC COM         EQUITY       65473P105       9       500 SH    -- DEFINED        5          --         --      500
NISOURCE, INC.           EQUITY       65473P105   6,163   357,500 SH    -- SOLE           1     357,500         --       --
NITROMED INC             EQUITY       654798503     143   133,346 SH    -- SOLE           1     133,346         --       --
NITROMED INC COM         EQUITY       654798503       1     1,000 SH    -- DEFINED        5          --         --    1,000
NL INDS INC COM NEW      EQUITY       629156407      15     1,400 SH    -- DEFINED        4          --         --    1,400
NL INDUSTRIES, INC.      EQUITY       629156407      67     6,135 SH    -- SOLE           1       6,135         --       --
NOBLE CORPORATION        EQUITY       G65422100      16       321 SH    -- SOLE           2         321         --       --
NOBLE CORPORATION SHS    EQUITY       G65422100      62     1,243 SH    -- DEFINED        4          --         --    1,243
NOBLE CORPORATION SHS    EQUITY       G65422100      26       526 SH    -- DEFINED        5          --         --      526
NOBLE ENERGY INC         EQUITY       655044105      15       205 SH    -- SOLE           2         205         --       --





                                                                                  
NOBLE ENERGY INC COM     EQUITY       655044105      38       527 SH    -- DEFINED        5          --         --      527
NOBLE ENERGYINC          EQUITY       655044105  12,610   173,209 SH    -- SOLE           1     173,209         --       --
NOBLE INTERNATIONAL LTD  EQUITY       655053106      63    10,076 SH    -- SOLE           1      10,076         --       --
NOKIA CORP               EQUITY       654902204   2,623    82,400 SH    -- SOLE           2      82,400         --       --
NOKIA CORP SPON-ADR      EQUITY       654902204     567    17,825 SH    -- SOLE           1      17,825         --       --
NOKIA CORP SPONSORED ADR EQUITY       654902204     260     8,163 SH    -- DEFINED        4          --         --    8,163
NOKIA CORP SPONSORED ADR EQUITY       654902204      72     2,269 SH    -- DEFINED        5          --         --    2,269
NORDIC AMERICAN TANKER
   SHIPP COM             EQUITY       G65773106      62     2,200 SH    -- DEFINED        5          --         --    2,200
NORDSON CORP.            EQUITY       655663102   5,853   108,698 SH    -- SOLE           1     108,698         --       --
NORDSTROM INC            EQUITY       655664100       7       214 SH    -- SOLE           2         214         --       --
NORDSTROM INC COM        EQUITY       655664100      49     1,509 SH    -- DEFINED        5          --         --    1,509
NORDSTROM, INC.          EQUITY       655664100   2,528    77,539 SH    -- SOLE           1      77,539         --       --
NORFOLK SOUTHERN CORP    EQUITY       655844108  22,683   417,576 SH    -- SOLE           1     417,576         --       --
NORFOLK SOUTHERN CORP
   COM                   EQUITY       655844108      23       427 SH    -- DEFINED        4          --         --      427
NORFOLK SOUTHERN CORP
   COM                   EQUITY       655844108       5       100 SH    -- DEFINED        5          --         --      100
NORFOLK SOUTHN CORP      EQUITY       655844108   1,686    31,040 SH    -- SOLE           2      31,040         --       --
NORTEL NETWORKS CORP     EQUITY       656568508     635    96,972 SH    -- OTHER          1          --     96,972       --
NORTH AMERN PALLADIUM
   LTD CALL              OPTION       656912902       2        20--   CALL DEFINED        5          --         --       20
NORTHEAST UTILITIES      EQUITY       664397106   9,205   375,107 SH    -- SOLE           1     375,107         --       --
NORTHEAST UTILS          EQUITY       664397106     550    22,400 SH    -- SOLE           2      22,400         --       --
NORTHEAST UTILS COM      EQUITY       664397106       3       105 SH    -- DEFINED        5          --         --      105
NORTHERN TR CORP COM     EQUITY       665859104   2,446    36,800 SH    -- SOLE           3       8,300         --   28,500
NORTHERN TR CORP COM     EQUITY       665859104       2        34 SH    -- DEFINED        4          --         --       34
NORTHERN TRUST CORP      EQUITY       665859104      15       229 SH    -- SOLE           2         229         --       --
NORTHERN TRUST CORP.     EQUITY       665859104  14,176   213,270 SH    -- SOLE           1     213,270         --       --
NORTHFIELD BANCORP INC   EQUITY       66611L105     177    17,298 SH    -- SOLE           1      17,298         --       --
NORTHFIELD BANCORP INC
   NEW COM               EQUITY       66611L105      37     3,600 SH    -- DEFINED        5          --         --    3,600
NORTHGATE MINERALS CORP
   COM                   EQUITY       666416102       3       800 SH    -- DEFINED        5          --         --      800
NORTHROP GRUMMAN CORP    EQUITY       666807102     687     8,824 SH    -- SOLE           2       8,824         --       --
NORTHROP GRUMMAN CORP
   COM                   EQUITY       666807102     502     6,447 SH    -- DEFINED        5          --         --    6,447
NORTHROP GRUMMAN CORP.   EQUITY       666807102  59,499   764,666 SH    -- SOLE           1     764,666         --       --
NORTHSTAR NEUROSCIENCE
   INC                   EQUITY       66704V101      26    16,763 SH    -- SOLE           1      16,763         --       --
NORTHSTAR RLTY FIN CORP
   COM                   EQUITY       66704R100       2       220 SH    -- DEFINED        5          --         --      220
NORTHWEST AIRLINES CORP  EQUITY       667280408      64     7,079 SH    -- SOLE           1       7,079         --       --
NORTHWEST AIRLS CORP COM EQUITY       667280408       7       786 SH    -- DEFINED        4          --         --      786
NORTHWEST BANCORP INC.   EQUITY       667328108     430    15,729 SH    -- SOLE           1      15,729         --       --
NORTHWEST NAT GAS CO COM EQUITY       667655104      94     2,175 SH    -- DEFINED        4          --         --    2,175
NORTHWEST NATURAL GAS
   CO.                   EQUITY       667655104   1,006    23,152 SH    -- SOLE           1      23,152         --       --
NORTHWEST PIPE CO        EQUITY       667746101     326     7,665 SH    -- SOLE           1       7,665         --       --
NORTHWESTERN CORP        EQUITY       668074305     815    33,435 SH    -- SOLE           1      33,435         --       --
NOVA BIOSOURCE FUELS INC EQUITY       65488W103      41    26,929 SH    -- SOLE           1      26,929         --       --
NOVA CHEMICALS CORP      EQUITY       66977W109     590    24,688 SH    -- OTHER          1          --     24,688       --
NOVACEA INC              EQUITY       66987B103      16     6,070 SH    -- SOLE           1       6,070         --       --
NOVARTIS A G SPONSORED
   ADR                   EQUITY       66987V109      16       320 SH    -- DEFINED        4          --         --      320
NOVARTIS A G SPONSORED
   ADR                   EQUITY       66987V109     127     2,483 SH    -- DEFINED        5          --         --    2,483
NOVATEL WIRELESS INC     EQUITY       66987M604     268    27,679 SH    -- SOLE           1      27,679         --       --
NOVELL INC               EQUITY       670006105       3       421 SH    -- SOLE           2         421         --       --
NOVELL, INC .            EQUITY       670006105     595    94,645 SH    -- SOLE           1      94,645         --       --
NOVELLUS SYS INC         EQUITY       670008101       3       122 SH    -- SOLE           2         122         --       --
NOVELLUS SYSTEMS, INC.   EQUITY       670008101     560    26,595 SH    -- SOLE           1      26,595         --       --
NOVEN PHARMACEUTICALS,
   INC.                  EQUITY       670009109     191    21,312 SH    -- SOLE           1      21,312         --       --
NRG ENERGY INC           EQUITY       629377508  10,387   266,399 SH    -- SOLE           1     266,399         --       --
NRG ENERGY INC COM NEW   EQUITY       629377508       7       172 SH    -- DEFINED        5          --         --      172
NSTAR                    EQUITY       67019E107  20,172   662,899 SH    -- SOLE           1     662,899         --       --
NSTAR COM                EQUITY       67019E107     116     3,819 SH    -- DEFINED        5          --         --    3,819
NTELOS HOLDINGS CORP     EQUITY       67020Q107     576    23,806 SH    -- SOLE           1      23,806         --       --





                                                                                  
NTN BUZZTIME INC         EQUITY       629410309      27    45,639 SH    -- SOLE           1      45,639         --       --
NTR ACQUISITION CO       EQUITY       629415100     202    21,079 SH    -- SOLE           1      21,079         --       --
NU SKIN ENTERPRISES,
   INC. CLASS A          EQUITY       67018T105     778    43,154 SH    -- SOLE           1      43,154         --       --
NUANCE COMMUNICATIONS
   INC                   EQUITY       67020Y100   2,242   128,795 SH    -- SOLE           1     128,795         --       --
NUANCE COMMUNICATIONS
   INC                   EQUITY       67020Y100   1,079    62,000 SH    -- SOLE           2      62,000         --       --
NUCO2 INC                EQUITY       629428103     366    13,178 SH    -- SOLE           1      13,178         --       --
NUCOR CORP               EQUITY       670346105   1,270    18,744 SH    -- SOLE           2      18,744         --       --
NUCOR CORP COM           EQUITY       670346105     272     4,021 SH    -- DEFINED        5          --         --    4,021
NUCOR CORP.              EQUITY       670346105  14,726   217,390 SH    -- SOLE           1     217,390         --       --
NUSTAR ENERGY LP         EQUITY       67058H102   1,841    38,000 SH    -- SOLE           1      38,000         --       --
NUSTAR ENERGY LP UNIT
   COM                   EQUITY       67058H102      54     1,122 SH    -- DEFINED        4          --         --    1,122
NUSTAR ENERGY LP UNIT
   COM                   EQUITY       67058H102      34       700 SH    -- DEFINED        5          --         --      700
NUTRI/SYSTEM INC         EQUITY       67069D108      11       754 SH    -- SOLE           1         754         --       --
NUVASIVE INC             EQUITY       670704105   1,022    29,613 SH    -- SOLE           1      29,613         --       --
NUVEEN CA DIV ADV MUNI
   FD 3 COM SH BEN INT   EQUITY       67070Y109      17     1,340 SH    -- DEFINED        5          --         --    1,340
NUVEEN CALIF PERFORM
   PLUS MU COM           EQUITY       67062Q106       1       108 SH    -- DEFINED        4          --         --      108
NUVEEN CONN PREM INCOME
   MUN SH BEN INT        EQUITY       67060D107      12       900 SH    -- DEFINED        5          --         --      900
NUVEEN DIV ADVANTAGE
   MUN FD COM            EQUITY       67070F100      41     2,815 SH    -- DEFINED        4          --         --    2,815
NUVEEN DIVERSIFIED DIV
   INCM COM              EQUITY       6706EP105      33     2,539 SH    -- DEFINED        5          --         --    2,539
NUVEEN DIVID ADVANTAGE
   MUN F COM             EQUITY       67066V101       1        85 SH    -- DEFINED        4          --         --       85
NUVEEN EQUITY PREM
   INCOME FD COM         EQUITY       6706ER101      72     4,728 SH    -- DEFINED        5          --         --    4,728
NUVEEN FLTNG RTE INCM
   OPP FD COM SHS        EQUITY       6706EN100       5       500 SH    -- DEFINED        4          --         --      500
NUVEEN GA DIV ADV MUN
   FD 2 COM              EQUITY       67072B107      10       733 SH    -- DEFINED        5          --         --      733
NUVEEN GBL VL
   OPPORTUNITIES COM     EQUITY       6706EH103      21     1,143 SH    -- DEFINED        5          --         --    1,143
NUVEEN GLB GOVT
   ENHANCED IN COM       EQUITY       67073C104      24     1,371 SH    -- DEFINED        5          --         --    1,371
NUVEEN INSD MUN
   OPPORTUNITY COM       EQUITY       670984103      37     2,760 SH    -- DEFINED        5          --         --    2,760
NUVEEN INSD PREM INCOME
   MUN COM               EQUITY       6706D8104      20     1,674 SH    -- DEFINED        5          --         --    1,674
NUVEEN MULT CURR ST GV
   INCM COM              EQUITY       67090N109      13       763 SH    -- DEFINED        5          --         --      763
NUVEEN MULTI STRAT INC
   & GR COM              EQUITY       67073B106      74     7,300 SH    -- DEFINED        4          --         --    7,300
NUVEEN MULTI STRAT INC
   & GR COM              EQUITY       67073B106      10       971 SH    -- DEFINED        5          --         --      971
NUVEEN MULTI STRAT INC
   GR FD COM SHS         EQUITY       67073D102      27     2,666 SH    -- DEFINED        4          --         --    2,666
NUVEEN MULTI STRAT INC
   GR FD COM SHS         EQUITY       67073D102      21     2,107 SH    -- DEFINED        5          --         --    2,107
NUVEEN MUN ADVANTAGE FD
   INC COM               EQUITY       67062H106       1        99 SH    -- DEFINED        4          --         --       99
NUVEEN MUN VALUE FD INC
   COM                   EQUITY       670928100      15     1,512 SH    -- DEFINED        4          --         --    1,512
NUVEEN MUN VALUE FD INC
   COM                   EQUITY       670928100      24     2,466 SH    -- DEFINED        5          --         --    2,466
NUVEEN N C DIV ADV FD 2
   COM                   EQUITY       67071D104      90     6,746 SH    -- DEFINED        4          --         --    6,746
NUVEEN N C PREM INCOME
   MUN F SH BEN INT      EQUITY       67060P100      82     6,400 SH    -- DEFINED        4          --         --    6,400
NUVEEN NC DIV ADV MUN
   FD 3 COM              EQUITY       67072D103      83     6,153 SH    -- DEFINED        4          --         --    6,153
NUVEEN NC DIVID
   ADVANTAGE MU COM SH
   BEN INT               EQUITY       67069N106     113     7,900 SH    -- DEFINED        4          --         --    7,900
NUVEEN PERFORMANCE PLUS
   MUN COM               EQUITY       67062P108      43     3,200 SH    -- DEFINED        5          --         --    3,200
NUVEEN PREM INCOME MUN
   FD 2 COM              EQUITY       67063W102       5       415 SH    -- DEFINED        4          --         --      415
NUVEEN PREMIER INSD MUN
   INCO COM              EQUITY       670987106     413    31,650 SH    -- DEFINED        4          --         --   31,650
NUVEEN QUALITY PFD
   INCOME FD COM         EQUITY       67072C105      11     1,000 SH    -- DEFINED        4          --         --    1,000
NUVEEN QUALITY PFD
   INCOME FD COM         EQUITY       67071S101      18     1,760 SH    -- DEFINED        5          --         --    1,760
NUVEEN SELECT TAX FREE
   INCM SH BEN INT       EQUITY       67063X100       3       189 SH    -- DEFINED        4          --         --      189
NUVEEN SELECT TAX FREE
   INCM SH BEN INT       EQUITY       67062F100      14       994 SH    -- DEFINED        5          --         --      994
NUVEEN SR INCOME FD COM  EQUITY       67067Y104      36     5,747 SH    -- DEFINED        5          --         --    5,747
NUVEEN TAX ADV FLTG
   RATE FUN COM          EQUITY       6706EV102      33     3,600 SH    -- DEFINED        4          --         --    3,600
NVE CORP COM NEW         EQUITY       629445206       5       200 SH    -- DEFINED        5          --         --      200
NVIDIA CORP              EQUITY       67066G104  10,450   528,053 SH    -- SOLE           1     528,053         --       --
NVIDIA CORP              EQUITY       67066G104     423    21,365 SH    -- SOLE           2      21,365         --       --
NVIDIA CORP COM          EQUITY       67066G104      32     1,599 SH    -- DEFINED        4          --         --    1,599
NVIDIA CORP COM          EQUITY       67066G104      80     4,035 SH    -- DEFINED        5          --         --    4,035
NVR, INC.                EQUITY       62944T105   7,986    13,365 SH    -- SOLE           1      13,365         --       --
NXSTAGE MEDICAL INC      EQUITY       67072V103      75    17,330 SH    -- SOLE           1      17,330         --       --
NYMAGIC, INC.            EQUITY       629484106     114     5,001 SH    -- SOLE           1       5,001         --       --





                                                                                  
NYMEX HOLDINGS INC       EQUITY       62948N104     179     1,973 SH    -- SOLE           1       1,973         --       --
NYMEX HOLDINGS INC COM   EQUITY       62948N104       9       100 SH    -- DEFINED        5          --         --      100
NYSE EURONEXT            EQUITY       629491101   6,630   107,440 SH    -- SOLE           1     107,440         --       --
NYSE EURONEXT            EQUITY       629491101      20       317 SH    -- SOLE           2         317         --       --
NYSE EURONEXT COM        EQUITY       629491101     294     4,768 SH    -- DEFINED        4          --         --    4,768
NYSE EURONEXT COM        EQUITY       629491101     129     2,090 SH    -- DEFINED        5          --         --    2,090
O REILLY AUTOMOTIVE INC
   COM                   EQUITY       686091109      27       945 SH    -- DEFINED        5          --         --      945
OBAGI MEDICAL PRODUCTS
   INC                   EQUITY       67423R108      40     4,574 SH    -- SOLE           1       4,574         --       --
OCCIDENTAL PETE CORP     EQUITY       674599105   1,642    22,443 SH    -- SOLE           2      22,443         --       --
OCCIDENTAL PETE CORP
   DEL COM               EQUITY       674599105      72       988 SH    -- DEFINED        4          --         --      988
OCCIDENTAL PETE CORP
   DEL COM               EQUITY       674599105     309     4,218 SH    -- DEFINED        5          --         --    4,218
OCCIDENTAL PETROLEUM
   CORP.                 EQUITY       674599105  48,209   658,861 SH    -- SOLE           1     658,861         --       --
OCEANEERING
   INTERNATIONAL, INC    EQUITY       675232102      32       502 SH    -- SOLE           1         502         --       --
OCEANEERING INTL INC COM EQUITY       675232102      16       250 SH    -- DEFINED        5          --         --      250
OCEANFREIGHT INC SHS     EQUITY       Y64202107       2       100 SH    -- DEFINED        5          --         --      100
O'CHARLEY'S INC.         EQUITY       670823103     219    19,045 SH    -- SOLE           1      19,045         --       --
OCULUS INNOVATIVE
   SCIENCES I COM        EQUITY       67575P108       8     1,500 SH    -- DEFINED        4          --         --    1,500
OCWEN FINANCIAL CORP     EQUITY       675746309     135    30,471 SH    -- SOLE           1      30,471         --       --
ODYSSEY HEALTHCARE INC   EQUITY       67611V101     261    28,978 SH    -- SOLE           1      28,978         --       --
ODYSSEY MARINE
   EXPLORATION           EQUITY       676118102     190    35,262 SH    -- SOLE           1      35,262         --       --
ODYSSEY MARINE
   EXPLORATION I COM     EQUITY       676118102      15     2,748 SH    -- DEFINED        5          --         --    2,748
ODYSSEY RE HLDGS CORP    EQUITY       67612W108     845    22,986 SH    -- SOLE           1      22,986         --       --
OFFICE DEPOT INC         EQUITY       676220106       4       326 SH    -- SOLE           2         326         --       --
OFFICE DEPOT INC COM     EQUITY       676220106     231    20,911 SH    -- DEFINED        5          --         --   20,911
OFFICE DEPOT, INC.       EQUITY       676220106   1,297   117,353 SH    -- SOLE           1     117,353         --       --
OFFICEMAX INC            EQUITY       67622P101     386    20,175 SH    -- SOLE           1      20,175         --       --
OFFICEMAX INC DEL        EQUITY       67622P101       2        91 SH    -- SOLE           2          91         --       --
OGE ENERGY CORP.         EQUITY       670837103  11,882   381,205 SH    -- SOLE           1     381,205         --       --
OIL STATES
   INTERNATIONAL INC     EQUITY       678026105   1,893    42,241 SH    -- SOLE           1      42,241         --       --
OIL STATES INTL INC      EQUITY       678026105     560    12,500 SH    -- SOLE           2      12,500         --       --
OIL SVC HOLDRS TR
   DEPOSTRY RCPT         EQUITY       678002106      18       100 SH    -- DEFINED        4          --         --      100
OILSANDS QUEST INC       EQUITY       678046103     472   119,696 SH    -- SOLE           1     119,696         --       --
OLD DOMINION FGHT LINE
   COM                   EQUITY       679580100     516    16,200 SH    -- SOLE           3      16,200         --       --
OLD DOMINION FREIGHT
   LINE                  EQUITY       679580100   1,842    57,861 SH    -- SOLE           1      57,861         --       --
OLD MUTUAL CLAYMORE LNG
   SHT COM               EQUITY       68003N103      13     1,000 SH    -- DEFINED        5          --         --    1,000
OLD NATL BANCORP         EQUITY       680033107   1,026    56,984 SH    -- SOLE           1      56,984         --       --
OLD NATL BANCORP IND COM EQUITY       680033107      18     1,000 SH    -- DEFINED        4          --         --    1,000
OLD REPUBLIC INTL CORP.  EQUITY       680223104   7,142   553,187 SH    -- SOLE           1     553,187         --       --
OLD SECOND BANCORP INC   EQUITY       680277100     313    11,789 SH    -- SOLE           1      11,789         --       --
OLIN CORP.               EQUITY       680665205   4,742   239,960 SH    -- SOLE           1     239,960         --       --
OLYMPIC STEEL INC        EQUITY       68162K106   1,655    36,696 SH    -- SOLE           1      36,696         --       --
OLYMPIC STEEL INC COM    EQUITY       68162K106   2,661    59,000 SH    -- SOLE           3      59,000         --       --
OM GROUP INC             EQUITY       670872100   1,395    25,573 SH    -- SOLE           1      25,573         --       --
OMEGA FINANCIAL CORP.    EQUITY       682092101     339    10,850 SH    -- SOLE           1      10,850         --       --
OMEGA NAVIGATION
   ENTERPRISES CLASS A   EQUITY       Y6476R105       6       400 SH    -- DEFINED        5          --         --      400
OMEGA PROTEIN CORP COM   EQUITY       68210P107   5,153   377,500 SH    -- SOLE           3     377,500         --       --
OMNICARE, INC.           EQUITY       681904108   5,318   292,845 SH    -- SOLE           1     292,845         --       --
OMNICELL INC             EQUITY       68213N109     580    28,851 SH    -- SOLE           1      28,851         --       --
OMNICOM GROUP            EQUITY       681919106     183     4,143 SH    -- SOLE           2       4,143         --       --
OMNICOM GROUP INC COM    EQUITY       681919106       9       196 SH    -- DEFINED        4          --         --      196
OMNICOM GROUP INC COM    EQUITY       681919106       2        36 SH    -- DEFINED        5          --         --       36
OMNICOM GROUP, INC.      EQUITY       681919106   7,404   167,577 SH    -- SOLE           1     167,577         --       --
OMNITURE INC             EQUITY       68212S109     882    38,002 SH    -- SOLE           1      38,002         --       --
OMNITURE INC COM         EQUITY       68212S109       9       400 SH    -- DEFINED        5          --         --      400
OMNIVISION TECHNOLOGIE   EQUITY       682128103     793    47,120 SH    -- SOLE           1      47,120         --       --
OMRIX
   BIOPHARMACEUTICALS
   INC                   EQUITY       681989109     165    11,751 SH    -- SOLE           1      11,751         --       --





                                                                                  
ON ASSIGNMENT INC        EQUITY       682159108     191    30,147 SH    -- SOLE           1      30,147         --       --
ON SEMICONDUCTOR CORP    EQUITY       682189105   1,468   258,500 SH    -- SOLE           2     258,500         --       --
ON SEMICONDUCTOR
   CORPORATION           EQUITY       682189105   1,557   274,180 SH    -- SOLE           1     274,180         --       --
ON TRACK INNOVATION LTD
   SHS                   EQUITY       M8791A109       3     1,000 SH    -- DEFINED        5          --         --    1,000
ON2 TECHNOLOGIES INC     EQUITY       68338A107     140   137,069 SH    -- SOLE           1     137,069         --       --
ONCOLYTICS BIOTECH INC
   COM                   EQUITY       682310107       2     1,000 SH    -- DEFINED        4          --         --    1,000
ONEOK INC NEW COM        EQUITY       682680103      45     1,007 SH    -- DEFINED        5          --         --    1,007
ONEOK PARTNERS LP UNIT
   LTD PARTN             EQUITY       68268N103      35       600 SH    -- DEFINED        4          --         --      600
ONEOK PARTNERS LP UNIT
   LTD PARTN             EQUITY       68268N103      12       200 SH    -- DEFINED        5          --         --      200
ONEOK, INC.              EQUITY       682680103  11,213   251,244 SH    -- SOLE           1     251,244         --       --
ONLINE RESOURCES CORP    EQUITY       68273G101     238    24,729 SH    -- SOLE           1      24,729         --       --
ONYX PHARMACEUTICALS INC EQUITY       683399109   1,362    46,930 SH    -- SOLE           1      46,930         --       --
OPEN JT STK CO-VIMPEL
   COMMUN SPONSORED ADR  EQUITY       68370R109      49     1,642 SH    -- DEFINED        4          --         --    1,642
OPEN TEXT CORP           EQUITY       683715106     257     8,194 SH    -- OTHER          1          --      8,194       --
OPEN TEXT CORP COM       EQUITY       683715106     109     3,483 SH    -- DEFINED        4          --         --    3,483
OPENWAVE SYSTEMS INC.    EQUITY       683718308     174    71,006 SH    -- SOLE           1      71,006         --       --
OPLINK COMMUNICATIONS
   INC                   EQUITY       68375Q403     157    17,700 SH    -- SOLE           1      17,700         --       --
OPNEXT INC               EQUITY       68375V105      87    16,024 SH    -- SOLE           1      16,024         --       --
OPTIONSXPRESS HLDGS INC  EQUITY       684010101     485    23,400 SH    -- SOLE           2      23,400         --       --
OPTIONSXPRESS HLDGS INC
   COM                   EQUITY       684010101      17       804 SH    -- DEFINED        5          --         --      804
OPTIONSXPRESS HOLDINGS
   INC                   EQUITY       684010101     776    37,474 SH    -- SOLE           1      37,474         --       --
OPTIUM CORP              EQUITY       68402T107      74    10,473 SH    -- SOLE           1      10,473         --       --
ORACLE CORP              EQUITY       68389X105  17,454   892,350 SH    -- SOLE           2     892,350         --       --
ORACLE CORP COM          EQUITY       68389X105     368    18,828 SH    -- DEFINED        4          --         --   18,828
ORACLE CORP COM          EQUITY       68389X105     300    15,323 SH    -- DEFINED        5          --         --   15,323
ORACLE CORP.             EQUITY       68389X105  72,329 3,697,821 SH    -- SOLE           1   3,697,821         --       --
ORASURE TECHNOLOGIES INC EQUITY       68554V108     290    39,616 SH    -- SOLE           1      39,616         --       --
ORBCOMM INC              EQUITY       68555P100     112    22,529 SH    -- SOLE           1      22,529         --       --
ORBITAL SCIENCES CORP    EQUITY       685564106     518    21,500 SH    -- SOLE           2      21,500         --       --
ORBITAL SCIENCES CORP.   EQUITY       685564106   1,636    67,879 SH    -- SOLE           1      67,879         --       --
ORBITZ WORLDWIDE INC     EQUITY       68557K109     201    29,166 SH    -- SOLE           1      29,166         --       --
O'REILLY AUTOMOTIVE,
   INC.                  EQUITY       686091109   7,864   275,747 SH    -- SOLE           1     275,747         --       --
OREXIGEN THERAPEUTICS
   INC                   EQUITY       686164104      81     7,894 SH    -- SOLE           1       7,894         --       --
ORIENTAL FINANCIAL GROUP EQUITY       68618W100     350    17,776 SH    -- SOLE           1      17,776         --       --
ORIGIN AGRITECH LIMITED
   SHS                   EQUITY       G67828106      13     2,500 SH    -- DEFINED        5          --         --    2,500
ORION ENERGY SYSTEMS INC EQUITY       686275108      72     7,554 SH    -- SOLE           1       7,554         --       --
ORITANI FINANCIAL CORP   EQUITY       686323106     158    10,426 SH    -- SOLE           1      10,426         --       --
ORLEANS HOMEBUILDERS
   INC COM               EQUITY       686588104     315    53,950 SH    -- DEFINED        5          --         --   53,950
ORMAT TECHNOLOGIES INC   EQUITY       686688102     506    11,773 SH    -- SOLE           1      11,773         --       --
ORMAT TECHNOLOGIES INC
   COM                   EQUITY       686688102      19       435 SH    -- DEFINED        4          --         --      435
OSCIENT PHARMACEUTICALS  EQUITY       68812RAC9   2,441 7,628,000 SH    -- SOLE           1   7,628,000         --       --
OSCIENT PHARMACEUTICALS
   CORP                  EQUITY       68812R303     129    74,221 SH    -- SOLE           1      74,221         --       --
OSHKOSH CORP CL B        EQUITY       688239201   6,415   176,825 SH    -- SOLE           1     176,825         --       --
OSHKOSH CORP COM         EQUITY       688239201      12       344 SH    -- DEFINED        5          --         --      344
OSI PHARMACEUTICALS      EQUITY       671040103   1,850    49,468 SH    -- SOLE           1      49,468         --       --
OSI SYSTEMS INC          EQUITY       671044105     299    12,994 SH    -- SOLE           1      12,994         --       --
OSI SYSTEMS INC COM      EQUITY       671044105       4       187 SH    -- DEFINED        5          --         --      187
OSIRIS THERAPEUTICS INC  EQUITY       68827R108     159    12,629 SH    -- SOLE           1      12,629         --       --
OSIRIS THERAPEUTICS INC
   COM                   EQUITY       68827R108      13     1,000 SH    -- DEFINED        5          --         --    1,000
OTELCO INC INCME DEP
   SECS                  EQUITY       688823202       3       200 SH    -- DEFINED        5          --         --      200
OTTER TAIL CORP COM      EQUITY       689648103     106     3,000 SH    -- DEFINED        4          --         --    3,000
OTTER TAIL POWER CO.     EQUITY       689648103     903    25,503 SH    -- SOLE           1      25,503         --       --
OVERSEAS SHIPHOLDING
   GROUP                 EQUITY       690368105   4,540    64,815 SH    -- SOLE           1      64,815         --       --
OVERSTOCK.COM            EQUITY       690370101     168    14,123 SH    -- SOLE           1      14,123         --       --
OWENS & MINOR INC NEW
   COM                   EQUITY       690732102       1        35 SH    -- DEFINED        4          --         --       35
OWENS & MINOR, INC.      EQUITY       690732102   1,367    34,749 SH    -- SOLE           1      34,749         --       --





                                                                                  
OWENS CORNING INC        EQUITY       690742101   5,444   300,292 SH    -- SOLE           1     300,292         --       --
OWENS ILL INC COM NEW    EQUITY       690768403      53       943 SH    -- DEFINED        4          --         --      943
OWENS-ILLINOIS INC       EQUITY       690768403     626    11,093 SH    -- SOLE           1      11,093         --       --
OXFORD INDS INC.         EQUITY       691497309     268    11,884 SH    -- SOLE           1      11,884         --       --
OYO GEOSPACE CORP        EQUITY       671074102     155     3,408 SH    -- SOLE           1       3,408         --       --
P F CHANGS CHINA BISTRO
   IN                    EQUITY       69333Y108     483    17,000 SH    -- SOLE           2      17,000         --       --
P G & E CORP.            EQUITY       69331C108  17,579   477,421 SH    -- SOLE           1     477,421         --       --
P. F. CHANGS CHINA
   BISTRO INC.           EQUITY       69333Y108     590    20,740 SH    -- SOLE           1      20,740         --       --
PACCAR INC               EQUITY       693718108     128     2,838 SH    -- SOLE           2       2,838         --       --
PACCAR INC COM           EQUITY       693718108      20       450 SH    -- DEFINED        5          --         --      450
PACCAR, INC              EQUITY       693718108  28,502   633,380 SH    -- SOLE           1     633,380         --       --
PACER INTERNATIONAL INC  EQUITY       69373H106     487    29,653 SH    -- SOLE           1      29,653         --       --
PACHOLDER HIGH YIELD FD
   INC COM               EQUITY       693742108      12     1,477 SH    -- DEFINED        4          --         --    1,477
PACHOLDER HIGH YIELD FD
   INC COM               EQUITY       693742108      84    10,751 SH    -- DEFINED        5          --         --   10,751
PACIFIC CAPITAL BANCORP  EQUITY       69404P101     867    40,342 SH    -- SOLE           1      40,342         --       --
PACIFIC ETHANOL INC      EQUITY       69423U107     134    30,521 SH    -- SOLE           1      30,521         --       --
PACIFIC ETHANOL INC COM  EQUITY       69423U107       2       500 SH    -- DEFINED        4          --         --      500
PACIFIC SUNWEAR OF
   CALIFORNIA            EQUITY       694873100   2,873   227,841 SH    -- SOLE           1     227,841         --       --
PACKAGING CORP AMER COM  EQUITY       695156109       1        62 SH    -- DEFINED        5          --         --       62
PACKAGING CORP OF
   AMERICA               EQUITY       695156109  16,195   725,251 SH    -- SOLE           1     725,251         --       --
PACKETEER INC COM        EQUITY       695210104      10     2,000 SH    -- DEFINED        5          --         --    2,000
PACKETEER, INC           EQUITY       695210104     157    30,871 SH    -- SOLE           1      30,871         --       --
PACTIV CORP              EQUITY       695257105       4       156 SH    -- SOLE           2         156         --       --
PACTIV CORP COM          EQUITY       695257105       7       275 SH    -- DEFINED        4          --         --      275
PACTIV CORPORATION       EQUITY       695257105   2,212    84,387 SH    -- SOLE           1      84,387         --       --
PAETEC HOLDING CORP      EQUITY       695459107     426    64,010 SH    -- SOLE           1      64,010         --       --
PAIN THERAPEUTICS INC    EQUITY       69562K100     261    30,876 SH    -- SOLE           1      30,876         --       --
PALL CORP                EQUITY       696429307   1,867    53,225 SH    -- SOLE           1      53,225         --       --
PALL CORP                EQUITY       696429307       5       147 SH    -- SOLE           2         147         --       --
PALL CORP COM            EQUITY       696429307       1        35 SH    -- DEFINED        4          --         --       35
PALL CORP COM            EQUITY       696429307      18       500 SH    -- DEFINED        5          --         --      500
PALM HARBOR HOMES, INC   EQUITY       696639103      44     8,395 SH    -- SOLE           1       8,395         --       --
PALM INC                 EQUITY       696643105   1,712   342,349 SH    -- SOLE           1     342,349         --       --
PALM INC NEW COM         EQUITY       696643105       5     1,000 SH    -- DEFINED        5          --         --    1,000
PALOMAR MED
   TECHNOLOGIES INC COM
   NEW                   EQUITY       697529303       3       176 SH    -- DEFINED        4          --         --      176
PALOMAR MEDICAL
   TECHNOLOGIES          EQUITY       697529303     238    15,729 SH    -- SOLE           1      15,729         --       --
PAN AMERICAN SILVER CORP EQUITY       697900108      91     2,367 SH    -- OTHER          1          --      2,367       --
PAN AMERICAN SILVER
   CORP COM              EQUITY       697900108      17       441 SH    -- DEFINED        5          --         --      441
PAN AMERICAN SILVER CP
   COM (F)               EQUITY       697900108   3,756    97,900 SH    -- SOLE           3      46,400         --   51,500
PANERA BREAD CO CL A     EQUITY       69840W108     105     2,498 SH    -- DEFINED        4          --         --    2,498
PANERA BREAD CO CL A     EQUITY       69840W108     268     6,400 SH    -- DEFINED        5          --         --    6,400
PANERA BREAD COMPANY CL
   A                     EQUITY       69840W108      25       588 SH    -- SOLE           1         588         --       --
PANHANDLE OIL AND GAS
   INC CL A              EQUITY       698477106       6       207 SH    -- DEFINED        4          --         --      207
PANTRY INC               EQUITY       698657103     414    19,634 SH    -- SOLE           1      19,634         --       --
PAPA JOHNS
   INTERNATIONAL, INC    EQUITY       698813102     447    18,457 SH    -- SOLE           1      18,457         --       --
PAR PHARMACEUTICAL
   COMPANIES, INC        EQUITY       69888P106   1,927   110,819 SH    -- SOLE           1     110,819         --       --
PARAGON SHIPPING INC CL
   A                     EQUITY       69913R309       5       300 SH    -- DEFINED        5          --         --      300
PARAGON SHIPPING INC CL
   A (F)                 EQUITY       69913R309   1,502    99,100 SH    -- SOLE           3      99,100         --       --
PARALLEL PETROLEUM CORP  EQUITY       699157103     693    35,387 SH    -- SOLE           1      35,387         --       --
PARAMETRIC TECHNOLOGY
   CORP                  EQUITY       699173209   5,968   373,438 SH    -- SOLE           1     373,438         --       --
PARAMETRIC TECHNOLOGY
   CORP                  EQUITY       699173209     513    32,100 SH    -- SOLE           2      32,100         --       --
PAREXEL INTERNATIONAL
   CORP.                 EQUITY       699462107   1,246    47,746 SH    -- SOLE           1      47,746         --       --
PARK ELECTROCHEMICAL
   CORP COM              EQUITY       700416209       2        65 SH    -- DEFINED        5          --         --       65
PARK ELECTROCHEMICAL
   CORP.                 EQUITY       700416209     448    17,327 SH    -- SOLE           1      17,327         --       --
PARK NATIONAL CORP.      EQUITY       700658107     736    10,388 SH    -- SOLE           1      10,388         --       --
PARK NATL CORP COM       EQUITY       700658107       4        52 SH    -- DEFINED        4          --         --       52





                                                                                  
PARK NATL CORP COM       EQUITY       700658107     180     2,537 SH    -- DEFINED        5          --         --    2,537
PARKER DRILLING CO.      EQUITY       701081101     619    95,767 SH    -- SOLE           1      95,767         --       --
PARKER HANNIFIN CORP     EQUITY       701094104     201     2,901 SH    -- SOLE           2       2,901         --       --
PARKER HANNIFIN CORP.    EQUITY       701094104   6,934   100,097 SH    -- SOLE           1     100,097         --       --
PARK-OHIO HOLDINGS CORP  EQUITY       700666100     108     6,883 SH    -- SOLE           1       6,883         --       --
PATRIOT CAPITAL FUNDING
   INC                   EQUITY       70335Y104     186    17,720 SH    -- SOLE           1      17,720         --       --
PATRIOT CAPITAL FUNDING
   INC COM               EQUITY       70335Y104      31     3,000 SH    -- DEFINED        5          --         --    3,000
PATRIOT COAL CORP        EQUITY       70336T104      26       556 SH    -- SOLE           1         556         --       --
PATRIOT COAL CORP COM    EQUITY       70336T104       2        45 SH    -- DEFINED        4          --         --       45
PATRIOT TRANSPORTATION
   HOLDING INC           EQUITY       70337B102     108     1,383 SH    -- SOLE           1       1,383         --       --
PATTERSON COS INC        EQUITY       703395103   2,938    80,934 SH    -- SOLE           1      80,934         --       --
PATTERSON COS INC        EQUITY       703395103       6       155 SH    -- SOLE           2         155         --       --
PATTERSON UTI ENERGY INC EQUITY       703481101   6,404   244,600 SH    -- SOLE           2     244,600         --       --
PATTERSON UTI ENERGY
   INC COM               EQUITY       703481101      18       701 SH    -- DEFINED        5          --         --      701
PATTERSON-UTI ENERGY INC EQUITY       703481101   9,805   374,510 SH    -- SOLE           1     374,510         --       --
PAYCHEX INC              EQUITY       704326107   2,540    74,137 SH    -- SOLE           2      74,137         --       --
PAYCHEX INC COM          EQUITY       704326107     181     5,271 SH    -- DEFINED        4          --         --    5,271
PAYCHEX, INC.            EQUITY       704326107   7,647   223,206 SH    -- SOLE           1     223,206         --       --
PC CONNECTION INC        EQUITY       69318J100      63     7,980 SH    -- SOLE           1       7,980         --       --
PDF SOLUTIONS INC        EQUITY       693282105     107    19,495 SH    -- SOLE           1      19,495         --       --
PDL BIOPHARMA INC        EQUITY       69329Y104   2,958   279,278 SH    -- SOLE           1     279,278         --       --
PEABODY ENERGY CORP      EQUITY       704549104  42,354   830,464 SH    -- SOLE           1     830,464         --       --
PEABODY ENERGY CORP      EQUITY       704549104   3,681    72,174 SH    -- SOLE           2      72,174         --       --
PEABODY ENERGY CORP COM  EQUITY       704549104      18       358 SH    -- DEFINED        4          --         --      358
PEABODY ENERGY CORP COM  EQUITY       704549104      23       450 SH    -- DEFINED        5          --         --      450
PEARSON PLC SPONSORED
   ADR                   EQUITY       705015105       2       180 SH    -- DEFINED        4          --         --      180
PEDIATRIX MED GROUP      EQUITY       705324101     920    13,650 SH    -- SOLE           2      13,650         --       --
PEDIATRIX MEDICAL GROUP  EQUITY       705324101      70     1,039 SH    -- SOLE           1       1,039         --       --
PEERLESS MFG CO COM      EQUITY       705514107      20       600 SH    -- DEFINED        5          --         --      600
PEETS COFFEE & TEA INC   EQUITY       705560100     275    11,718 SH    -- SOLE           1      11,718         --       --
PEETS COFFEE & TEA INC
   COM                   EQUITY       705560100     397    16,900 SH    -- DEFINED        5          --         --   16,900
PEGASYSTEMS INC          EQUITY       705573103     111    11,504 SH    -- SOLE           1      11,504         --       --
PENGROWTH ENERGY TR TR
   UNIT NEW              EQUITY       706902509     369    19,342 SH    -- DEFINED        4          --         --   19,342
PENGROWTH ENERGY TR TR
   UNIT NEW              EQUITY       706902509     328    17,188 SH    -- DEFINED        5          --         --   17,188
PENN NATIONAL GAMING,
   INC.                  EQUITY       707569109      69     1,577 SH    -- SOLE           1       1,577         --       --
PENN TREATY AMERN CORP
   COM NEW               EQUITY       707874400       2       300 SH    -- DEFINED        4          --         --      300
PENN VIRGINIA
   CORPORATION           EQUITY       707882106   1,549    35,133 SH    -- SOLE           1      35,133         --       --
PENN WEST ENERGY TR TR
   UNIT                  EQUITY       707885109     470    16,782 SH    -- DEFINED        4          --         --   16,782
PENN WEST ENERGY TR TR
   UNIT                  EQUITY       707885109     219     7,810 SH    -- DEFINED        5          --         --    7,810
PENN WEST ENERGY TRUST   EQUITY       707885109     292    10,484 SH    -- OTHER          1          --     10,484       --
PENNANTPARK INVESTMENT
   CORP                  EQUITY       708062104     146    17,155 SH    -- SOLE           1      17,155         --       --
PENNEY J C INC           EQUITY       708160106      10       265 SH    -- SOLE           2         265         --       --
PENNEY J C INC COM       EQUITY       708160106      38     1,014 SH    -- DEFINED        5          --         --    1,014
PENNSYLVANIA RL ESTATE
   INVT SH BEN INT       EQUITY       709102107       4       150 SH    -- DEFINED        5          --         --      150
PENSON WORLDWIDE INC     EQUITY       709600100     105    11,365 SH    -- SOLE           1      11,365         --       --
PENSON WORLDWIDE INC COM EQUITY       709600100       5       500 SH    -- DEFINED        5          --         --      500
PENTAIR INC COM          EQUITY       709631105      11       347 SH    -- DEFINED        5          --         --      347
PENTAIR INC.             EQUITY       709631105   7,612   238,617 SH    -- SOLE           1     238,617         --       --
PENWEST PHARMACEUTICALS
   CO                    EQUITY       709754105      52    19,935 SH    -- SOLE           1      19,935         --       --
PEOPLES BANCORP INC      EQUITY       709789101     218     9,027 SH    -- SOLE           1       9,027         --       --
PEOPLE'S UNITED
   FINANCIAL INC         EQUITY       712704105     127     7,338 SH    -- SOLE           1       7,338         --       --
PEOPLES UNITED
   FINANCIAL INC COM     EQUITY       712704105      31     1,785 SH    -- DEFINED        4          --         --    1,785
PEOPLESUPPORT INC        EQUITY       712714302     170    18,662 SH    -- SOLE           1      18,662         --       --
PEOPLESUPPORT INC COM    EQUITY       712714302      15     1,606 SH    -- DEFINED        4          --         --    1,606
PEP BOYS-MANNY, MOE &
   JACK                  EQUITY       713278109     340    34,179 SH    -- SOLE           1      34,179         --       --
PEPCO HLDGS INC          EQUITY       713291102       6       240 SH    -- SOLE           2         240         --       --





                                                                                  
PEPCO HOLDINGS INC       EQUITY       713291102   5,914   239,235 SH    -- SOLE           1     239,235         --       --
PEPCO HOLDINGS INC COM   EQUITY       713291102       5       187 SH    -- DEFINED        5          --         --      187
PEPSI BOTTLING           EQUITY       713409100   7,687   226,691 SH    -- SOLE           1     226,691         --       --
PEPSI BOTTLING GROUP INC EQUITY       713409100     153     4,514 SH    -- SOLE           2       4,514         --       --
PEPSI BOTTLING GROUP
   INC COM               EQUITY       713409100       7       200 SH    -- DEFINED        5          --         --      200
PEPSIAMERICAS INC        EQUITY       71343P200   3,633   142,321 SH    -- SOLE           1     142,321         --       --
PEPSIAMERICAS INC        EQUITY       71343P200      88     3,450 SH    -- SOLE           2       3,450         --       --
PEPSIAMERICAS INC COM    EQUITY       71343P200      10       400 SH    -- DEFINED        4          --         --      400
PEPSIAMERICAS INC COM    EQUITY       71343P200       3       134 SH    -- DEFINED        5          --         --      134
PEPSICO INC              EQUITY       713448108  16,331   226,186 SH    -- SOLE           2     226,186         --       --
PEPSICO INC COM          EQUITY       713448108     314     4,346 SH    -- DEFINED        4          --         --    4,346
PEPSICO INC COM          EQUITY       713448108     408     5,645 SH    -- DEFINED        5          --         --    5,645
PEPSICO, INC.            EQUITY       713448108  54,849   759,679 SH    -- SOLE           1     759,679         --       --
PERDIGAO S A COMERCIO E
   INDS SP ADR COM NEW   EQUITY       71361V303      14       300 SH    -- DEFINED        5          --         --      300
PERFECT WORLD CO LTD     EQUITY       71372U104     804    35,400 SH    -- SOLE           1      35,400         --       --
PERFECT WORLD CO LTD
   SPON ADR              EQUITY       71372U104     402    17,700 SH    -- SOLE           3      17,700         --       --
PERFICIENT INC           EQUITY       71375U101     217    27,375 SH    -- SOLE           1      27,375         --       --
PERFORMANCE FOOD GROUP
   CO COM                EQUITY       713755106       3        80 SH    -- DEFINED        5          --         --       80
PERFORMANCE FOOD GROUP
   CO.                   EQUITY       713755106     990    30,309 SH    -- SOLE           1      30,309         --       --
PERICOM SEMICONDUCTOR
   COM                   EQUITY       713831105   1,102    75,100 SH    -- SOLE           3      75,100         --       --
PERICOM SEMICONDUCTOR
   CORP                  EQUITY       713831105     874    59,519 SH    -- SOLE           1      59,519         --       --
PERINI CORP              EQUITY       713839108     830    22,897 SH    -- SOLE           1      22,897         --       --
PERKINELMER INC          EQUITY       714046109       3       141 SH    -- SOLE           2         141         --       --
PERKINELMER INC.         EQUITY       714046109   1,277    52,658 SH    -- SOLE           1      52,658         --       --
PERMA-FIX ENVIRONMENTAL
   SVCS COM              EQUITY       714157104      16    10,000 SH    -- DEFINED        4          --         --   10,000
PERMIAN BASIN RTY TR
   UNIT BEN INT          EQUITY       714236106     361    16,315 SH    -- DEFINED        4          --         --   16,315
PERMIAN BASIN RTY TR
   UNIT BEN INT          EQUITY       714236106      33     1,500 SH    -- DEFINED        5          --         --    1,500
PEROT SYSTEM CORP.       EQUITY       714265105   1,126    74,896 SH    -- SOLE           1      74,896         --       --
PERRIGO CO               EQUITY       714290103     572    15,150 SH    -- SOLE           2      15,150         --       --
PERRIGO CO COM           EQUITY       714290103   1,165    30,866 SH    -- DEFINED        4          --         --   30,866
PERRIGO CO.              EQUITY       714290103   9,426   249,831 SH    -- SOLE           1     249,831         --       --
PERRY ELLIS
   INTERNATIONAL         EQUITY       288853104     213     9,749 SH    -- SOLE           1       9,749         --       --
PETMED EXPRESS INC       EQUITY       716382106     203    18,332 SH    -- SOLE           1      18,332         --       --
PETMED EXPRESS INC COM   EQUITY       716382106       2       200 SH    -- DEFINED        5          --         --      200
PETROBRAS ENERGIA
   PARTCPTNS SP ADR B
   SHS                   EQUITY       71646M102      31     2,760 SH    -- DEFINED        5          --         --    2,760
PETRO-CANADA             EQUITY       71644E102   5,864   134,671 SH    -- OTHER          1          --    134,671       --
PETRO-CDA COM            EQUITY       71644E102       7       160 SH    -- DEFINED        5          --         --      160
PETROCHINA CO LTD
   SPONSORED ADR         EQUITY       71646E100       1        10 SH    -- DEFINED        5          --         --       10
PETROHAWK ENERGY CORP    EQUITY       716495106   4,765   236,236 SH    -- SOLE           1     236,236         --       --
PETROHAWK ENERGY CORP
   COM                   EQUITY       716495106     720    35,700 SH    -- SOLE           3      35,700         --       --
PETROHAWK ENERGY CORP
   COM                   EQUITY       716495106      14       700 SH    -- DEFINED        5          --         --      700
PETROLEO BRASILEIRO
   S.A. ADR              EQUITY       71654V408 180,781 1,770,455 SH    -- SOLE           1   1,770,455         --       --
PETROLEO BRASILEIRO SA   EQUITY       71654V101  21,641   255,529 SH    -- SOLE           1     255,529         --       --
PETROLEO BRASILEIRO SA
   PETRO SPONSORED ADR   EQUITY       71654V408       7        67 SH    -- DEFINED        4          --         --       67
PETROLEUM DEV CORP       EQUITY       716578109     762    11,000 SH    -- SOLE           2      11,000         --       --
PETROLEUM DEVELOPMENT
   CORP                  EQUITY       716578109     885    12,773 SH    -- SOLE           1      12,773         --       --
PETROQUEST ENERGY INC    EQUITY       716748108     618    35,627 SH    -- SOLE           1      35,627         --       --
PETROQUEST ENERGY INC    EQUITY       716748108   3,777   217,800 SH    -- SOLE           2     217,800         --       --
PETROQUEST ENERGY INC
   COM                   EQUITY       716748108       9       500 SH    -- DEFINED        5          --         --      500
PETSMART, INC            EQUITY       716768106   6,427   314,453 SH    -- SOLE           1     314,453         --       --
PFF BANCORP INC COM      EQUITY       69331W104       2       300 SH    -- DEFINED        5          --         --      300
PFF BANCORP, INC.        EQUITY       69331W104     162    19,412 SH    -- SOLE           1      19,412         --       --
PFIZER INC               EQUITY       717081103  16,389   783,054 SH    -- SOLE           2     783,054         --       --
PFIZER INC COM           EQUITY       717081103     365    17,429 SH    -- DEFINED        4          --         --   17,429
PFIZER INC COM           EQUITY       717081103   1,069    51,051 SH    -- DEFINED        5          --         --   51,051
PFIZER, INC.             EQUITY       717081103 106,834 5,104,338 SH    -- SOLE           1   5,104,338         --       --





                                                                                  
PG&E CORP COM            EQUITY       69331C108       7       200 SH    -- DEFINED        4          --         --      200
PG+E CORP                EQUITY       69331C108     877    23,817 SH    -- SOLE           2      23,817         --       --
PGT INC                  EQUITY       69336V101      24     8,902 SH    -- SOLE           1       8,902         --       --
PHARMACEUTICAL PROD DEV
   INC COM               EQUITY       717124101       7       158 SH    -- DEFINED        5          --         --      158
PHARMACEUTICAL PRODUCT
   DEVELOPMENT           EQUITY       717124101  10,463   249,715 SH    -- SOLE           1     249,715         --       --
PHARMANET DEVELOPMENT
   GROUP INC             EQUITY       717148100     404    16,010 SH    -- SOLE           1      16,010         --       --
PHARMERICA CORP          EQUITY       71714F104     384    23,203 SH    -- SOLE           1      23,203         --       --
PHASE FORWARD INC        EQUITY       71721R406   1,320    77,279 SH    -- SOLE           1      77,279         --       --
PHASE FORWARD INC        EQUITY       71721R406     354    20,700 SH    -- SOLE           2      20,700         --       --
PHASE FORWARD INC COM    EQUITY       71721R406   1,426    83,500 SH    -- SOLE           3      83,500         --       --
PHH CORP                 EQUITY       693320202     800    45,904 SH    -- SOLE           1      45,904         --       --
PHI INC                  EQUITY       69336T205     368    11,678 SH    -- SOLE           1      11,678         --       --
PHILADELPHIA CONS HLDG
   CORP COM              EQUITY       717528103       8       252 SH    -- DEFINED        4          --         --      252
PHILADELPHIA CONS HLDG
   CORP COM              EQUITY       717528103       3        84 SH    -- DEFINED        5          --         --       84
PHILADELPHIA CONS.
   HLDG. CO.             EQUITY       717528103      46     1,437 SH    -- SOLE           1       1,437         --       --
PHILLIPS-VAN HEUSEN
   CORP.                 EQUITY       718592108   5,128   135,241 SH    -- SOLE           1     135,241         --       --
PHOENIX COMPANIES INC    EQUITY       71902E109   1,195    97,889 SH    -- SOLE           1      97,889         --       --
PHOTRONICS INC.          EQUITY       719405102     342    35,855 SH    -- SOLE           1      35,855         --       --
PICO HOLDINGS INC        EQUITY       693366205     395    13,076 SH    -- SOLE           1      13,076         --       --
PIEDMONT NATURAL GAS
   CO., INC.             EQUITY       720186105   7,118   271,058 SH    -- SOLE           1     271,058         --       --
PIER 1 IMPORTS INC COM   EQUITY       720279108      41     6,550 SH    -- DEFINED        5          --         --    6,550
PIER 1 IMPORTS, INC.     EQUITY       720279108     476    75,761 SH    -- SOLE           1      75,761         --       --
PIKE ELECTRIC CORP       EQUITY       721283109     212    15,243 SH    -- SOLE           1      15,243         --       --
PILGRIMS PRIDE CORP COM  EQUITY       721467108      30     1,500 SH    -- DEFINED        4          --         --    1,500
PILGRIMS PRIDE CORP.     EQUITY       721467108     701    34,657 SH    -- SOLE           1      34,657         --       --
PIMCO CORPORATE INCOME
   FD COM                EQUITY       72200U100       8       565 SH    -- DEFINED        4          --         --      565
PIMCO CORPORATE INCOME
   FD COM                EQUITY       72200U100     206    14,400 SH    -- DEFINED        5          --         --   14,400
PIMCO CORPORATE OPP FD
   COM                   EQUITY       72201B101     346    24,186 SH    -- DEFINED        4          --         --   24,186
PIMCO CORPORATE OPP FD
   COM                   EQUITY       72201B101     106     7,400 SH    -- DEFINED        5          --         --    7,400
PIMCO FLOATING RATE
   INCOME F COM          EQUITY       72201H108      49     3,410 SH    -- DEFINED        4          --         --    3,410
PIMCO FLOATING RATE
   INCOME F COM          EQUITY       72201H108      31     2,155 SH    -- DEFINED        5          --         --    2,155
PIMCO FLOATING RATE
   STRTGY F COM          EQUITY       72201J104      58     4,655 SH    -- DEFINED        4          --         --    4,655
PIMCO FLOATING RATE
   STRTGY F COM          EQUITY       72201J104       6       500 SH    -- DEFINED        5          --         --      500
PIMCO GLOBAL STOCKSPLS
   INCM COM              EQUITY       722011103      38     1,710 SH    -- DEFINED        5          --         --    1,710
PIMCO HIGH INCOME FD
   COM SHS               EQUITY       722014107     149    12,744 SH    -- DEFINED        4          --         --   12,744
PIMCO HIGH INCOME FD
   COM SHS               EQUITY       722014107     102     8,674 SH    -- DEFINED        5          --         --    8,674
PIMCO STRATEGIC GBL GOV
   FD I COM              EQUITY       72200X104      26     2,500 SH    -- DEFINED        4          --         --    2,500
PIMCO STRATEGIC GBL GOV
   FD I COM              EQUITY       72200X104       9       900 SH    -- DEFINED        5          --         --      900
PINNACLE AIRLINES CORP   EQUITY       723443107     138    15,825 SH    -- SOLE           1      15,825         --       --
PINNACLE FINANCIAL
   PARTNERS              EQUITY       72346Q104     489    19,102 SH    -- SOLE           1      19,102         --       --
PINNACLE WEST CAP CORP   EQUITY       723484101       4       120 SH    -- SOLE           2         120         --       --
PINNACLE WEST CAP CORP
   COM                   EQUITY       723484101       6       165 SH    -- DEFINED        5          --         --      165
PINNACLE WEST CAPITAL
   CORP.                 EQUITY       723484101   2,321    66,153 SH    -- SOLE           1      66,153         --       --
PIONEER DRILLING CO      EQUITY       723655106     382    24,000 SH    -- SOLE           2      24,000         --       --
PIONEER DRILLING CO COM  EQUITY       723655106   1,593   100,000 SH    -- SOLE           3     100,000         --       --
PIONEER DRILLING CO COM  EQUITY       723655106       3       200 SH    -- DEFINED        4          --         --      200
PIONEER DRILLING COMPANY EQUITY       723655106     710    44,577 SH    -- SOLE           1      44,577         --       --
PIONEER FLOATING RATE
   TR COM                EQUITY       72369J102      10       720 SH    -- DEFINED        4          --         --      720
PIONEER HIGH INCOME TR
   COM                   EQUITY       72369H106       6       487 SH    -- DEFINED        4          --         --      487
PIONEER HIGH INCOME TR
   COM                   EQUITY       72369H106     133    10,122 SH    -- DEFINED        5          --         --   10,122
PIONEER MUN HIGH INC
   ADV TR COM            EQUITY       723762100      14     1,000 SH    -- DEFINED        4          --         --    1,000
PIONEER MUN HIGH INCOME
   TR COM SHS            EQUITY       723763108      73     5,300 SH    -- DEFINED        5          --         --    5,300
PIONEER NAT RES CO COM   EQUITY       723787107       3        54 SH    -- DEFINED        4          --         --       54
PIONEER NATURAL
   RESOURCES CORP        EQUITY       723787107  14,017   285,365 SH    -- SOLE           1     285,365         --       --
PIPER JAFFRAY COS        EQUITY       724078100     510    15,010 SH    -- SOLE           1      15,010         --       --
PITNEY BOWES INC         EQUITY       724479100       9       252 SH    -- SOLE           2         252         --       --





                                                                                  
PITNEY BOWES INC COM     EQUITY       724479100       4       123 SH    -- DEFINED        5          --         --      123
PITNEY BOWES, INC.       EQUITY       724479100  28,709   819,798 SH    -- SOLE           1     819,798         --       --
PLAINS ALL AMERN
   PIPELINE L UNIT LTD
   PARTN                 EQUITY       726503105     119     2,500 SH    -- DEFINED        4          --         --    2,500
PLAINS EXPLORATION &
   PRODUCT               EQUITY       726505100  14,417   271,302 SH    -- SOLE           1     271,302         --       --
PLANTRONICS, INC.        EQUITY       727493108   3,030   156,938 SH    -- SOLE           1     156,938         --       --
PLAYBOY ENTERPRISES,
   INC.                  EQUITY       728117300     158    18,914 SH    -- SOLE           1      18,914         --       --
PLEXUS CORP.             EQUITY       729132100   1,115    39,749 SH    -- SOLE           1      39,749         --       --
PLUM CREEK TIMBER CO INC EQUITY       729251108  11,001   270,307 SH    -- SOLE           1     270,307         --       --
PLUM CREEK TIMBER CO INC EQUITY       729251108       8       205 SH    -- SOLE           2         205         --       --
PLUM CREEK TIMBER CO
   INC COM               EQUITY       729251108      57     1,389 SH    -- DEFINED        4          --         --    1,389
PLUM CREEK TIMBER CO
   INC COM               EQUITY       729251108     241     5,919 SH    -- DEFINED        5          --         --    5,919
PLX TECHNOLOGY, INC.     EQUITY       693417107     164    24,598 SH    -- SOLE           1      24,598         --       --
PMA CAPITAL CORP.        EQUITY       693419202     239    28,000 SH    -- SOLE           1      28,000         --       --
PMC-SIERRA, INC.         EQUITY       69344F106   1,045   183,304 SH    -- SOLE           1     183,304         --       --
PMI GROUP, INC.          EQUITY       69344M101   1,257   215,970 SH    -- SOLE           1     215,970         --       --
PNC FINANCIAL SERVICES   EQUITY       693475105   9,231   140,777 SH    -- SOLE           1     140,777         --       --
PNC FINL SVCS GROUP INC  EQUITY       693475105   1,806    27,547 SH    -- SOLE           2      27,547         --       --
PNC FINL SVCS GROUP INC
   COM                   EQUITY       693475105      66     1,000 SH    -- DEFINED        4          --         --    1,000
PNC FINL SVCS GROUP INC
   COM                   EQUITY       693475105       9       139 SH    -- DEFINED        5          --         --      139
PNM RESOURCES INC        EQUITY       69349H107   3,091   247,891 SH    -- SOLE           1     247,891         --       --
POKERTEK INC COM         EQUITY       730864105       3       700 SH    -- DEFINED        5          --         --      700
POLARIS INDS INC COM     EQUITY       731068102      42     1,020 SH    -- DEFINED        5          --         --    1,020
POLARIS INDUSTRIES, INC. EQUITY       731068102   1,179    28,749 SH    -- SOLE           1      28,749         --       --
POLO RALPH LAUREN CO     EQUITY       731572103   3,551    60,912 SH    -- SOLE           1      60,912         --       --
POLO RALPH LAUREN CORP   EQUITY       731572103      97     1,670 SH    -- SOLE           2       1,670         --       --
POLO RALPH LAUREN CORP
   CL A                  EQUITY       731572103      14       242 SH    -- DEFINED        5          --         --      242
POLYCOM, INC.            EQUITY       73172K104   6,477   287,360 SH    -- SOLE           1     287,360         --       --
POLYONE CORPORATION      EQUITY       73179P106     508    79,778 SH    -- SOLE           1      79,778         --       --
POLYPORE INTERNATIONAL
   INC                   EQUITY       73179V103     266    12,865 SH    -- SOLE           1      12,865         --       --
PONIARD PHARMACEUTICALS
   INC                   EQUITY       732449301      67    19,959 SH    -- SOLE           1      19,959         --       --
POOL CORP                EQUITY       73278L105      20     1,082 SH    -- SOLE           1       1,082         --       --
POPULAR INC              EQUITY       733174106     123    10,518 SH    -- SOLE           1      10,518         --       --
PORTFOLIO RECOVERY
   ASSOCIATE             EQUITY       73640Q105     556    12,961 SH    -- SOLE           1      12,961         --       --
PORTLAND GENERAL
   ELECTRIC CO           EQUITY       736508847     590    26,168 SH    -- SOLE           1      26,168         --       --
POTASH CORP OF
   SASKATCHEWAN          EQUITY       73755L107  11,492    74,021 SH    -- OTHER          1          --     74,021       --
POTASH CORP SASK INC     EQUITY       73755L107   1,552    10,000 SH    -- SOLE           2      10,000         --       --
POTASH CORP SASK INC COM EQUITY       73755L107   1,174     7,566 SH    -- DEFINED        4          --         --    7,566
POTASH CORP SASK INC COM EQUITY       73755L107     212     1,363 SH    -- DEFINED        5          --         --    1,363
POTLATCH CORP NEW COM    EQUITY       737630103      17       400 SH    -- DEFINED        5          --         --      400
POWELL INDUSTRIES INC    EQUITY       739128106     272     6,912 SH    -- SOLE           1       6,912         --       --
POWER-ONE , INC.         EQUITY       739308104     193    60,238 SH    -- SOLE           1      60,238         --       --
POWERSECURE INTL INC     EQUITY       73936N105   4,127   350,600 SH    -- SOLE           2     350,600         --       --
POWERSHARES DB CMDTY
   IDX TRA UNIT BEN INT  EQUITY       73935S105     190     5,300 SH    -- DEFINED        4          --         --    5,300
POWERSHARES DB CMDTY
   IDX TRA UNIT BEN INT  EQUITY       73935S105     978    27,355 SH    -- DEFINED        5          --         --   27,355
POWERSHARES DB G10
   CURCY HAR COM UT BEN
   INT                   EQUITY       73935Y102     321    12,485 SH    -- DEFINED        4          --         --   12,485
POWERSHARES DB G10
   CURCY HAR COM UT BEN
   INT                   EQUITY       73935Y102       4       147 SH    -- DEFINED        5          --         --      147
POWERSHARES ETF TRUST
   AERSPC DEF PTF        EQUITY       73935X690      39     2,001 SH    -- DEFINED        4          --         --    2,001
POWERSHARES ETF TRUST
   AERSPC DEF PTF        EQUITY       73935X690      27     1,368 SH    -- DEFINED        5          --         --    1,368
POWERSHARES ETF TRUST
   BNKING SEC POR        EQUITY       73935X336      91     4,800 SH    -- DEFINED        5          --         --    4,800
POWERSHARES ETF TRUST
   CLEANTECH PORT        EQUITY       73935X278       3       100 SH    -- DEFINED        4          --         --      100
POWERSHARES ETF TRUST
   CLEANTECH PORT        EQUITY       73935X278     145     4,700 SH    -- DEFINED        5          --         --    4,700
POWERSHARES ETF TRUST
   CON STAPLE SEC        EQUITY       73935X393      20       741 SH    -- DEFINED        4          --         --      741
POWERSHARES ETF TRUST
   DIV ACHV PRTF         EQUITY       73935X732      22     1,370 SH    -- DEFINED        4          --         --    1,370
POWERSHARES ETF TRUST
   DIV ACHV PRTF         EQUITY       73935X732      16     1,000 SH    -- DEFINED        5          --         --    1,000
POWERSHARES ETF TRUST
   DWA TECH LDRS         EQUITY       73935X153     482    19,635 SH    -- DEFINED        5          --         --   19,635
POWERSHARES ETF TRUST
   DYMN MC VAL           EQUITY       73935X880      26     1,599 SH    -- DEFINED        4          --         --    1,599





                                                                                  
POWERSHARES ETF TRUST
   DYMN MC VAL           EQUITY       73935X880      47     2,863 SH    -- DEFINED        5          --         --    2,863
POWERSHARES ETF TRUST
   DYN BIOT & GEN        EQUITY       73935X856      99     5,874 SH    -- DEFINED        4          --         --    5,874
POWERSHARES ETF TRUST
   DYN BIOT & GEN        EQUITY       73935X856       5       300 SH    -- DEFINED        5          --         --      300
POWERSHARES ETF TRUST
   DYN BLDG CNSTR        EQUITY       73935X666       4       255 SH    -- DEFINED        4          --         --      255
POWERSHARES ETF TRUST
   DYN BLDG CNSTR        EQUITY       73935X666      12       733 SH    -- DEFINED        5          --         --      733
POWERSHARES ETF TRUST
   DYN EN EX PROD        EQUITY       73935X658     242    10,017 SH    -- DEFINED        4          --         --   10,017
POWERSHARES ETF TRUST
   DYN EN EX PROD        EQUITY       73935X658       2       100 SH    -- DEFINED        5          --         --      100
POWERSHARES ETF TRUST
   DYN OIL SVCS          EQUITY       73935X625   1,403    53,620 SH    -- DEFINED        4          --         --   53,620
POWERSHARES ETF TRUST
   DYN OIL SVCS          EQUITY       73935X625     137     5,236 SH    -- DEFINED        5          --         --    5,236
POWERSHARES ETF TRUST
   DYN RETAIL PTF        EQUITY       73935X617     714    48,565 SH    -- DEFINED        4          --         --   48,565
POWERSHARES ETF TRUST
   DYN SEMCT PORT        EQUITY       73935X781     244    15,905 SH    -- DEFINED        4          --         --   15,905
POWERSHARES ETF TRUST
   DYN SEMCT PORT        EQUITY       73935X781       3       200 SH    -- DEFINED        5          --         --      200
POWERSHARES ETF TRUST
   DYN UTIL PORTF        EQUITY       73935X591       5       277 SH    -- DEFINED        5          --         --      277
POWERSHARES ETF TRUST
   DYNAM LRGCP PT        EQUITY       73935X450       9       378 SH    -- DEFINED        5          --         --      378
POWERSHARES ETF TRUST
   DYNAMIC MKT PT        EQUITY       73935X104      28       610 SH    -- DEFINED        4          --         --      610
POWERSHARES ETF TRUST
   DYNAMIC MKT PT        EQUITY       73935X104      52     1,130 SH    -- DEFINED        5          --         --    1,130
POWERSHARES ETF TRUST
   DYNM LRG CP GR        EQUITY       73935X609      21     1,270 SH    -- DEFINED        4          --         --    1,270
POWERSHARES ETF TRUST
   DYNM LRG CP GR        EQUITY       73935X609      33     2,031 SH    -- DEFINED        5          --         --    2,031
POWERSHARES ETF TRUST
   DYNM LRG CP VL        EQUITY       73935X708      22     1,174 SH    -- DEFINED        5          --         --    1,174
POWERSHARES ETF TRUST
   DYNM MC GRWTH         EQUITY       73935X807     339    16,533 SH    -- DEFINED        4          --         --   16,533
POWERSHARES ETF TRUST
   DYNM MC GRWTH         EQUITY       73935X807      71     3,487 SH    -- DEFINED        5          --         --    3,487
POWERSHARES ETF TRUST
   DYNM SM CP VAL        EQUITY       73935X864       5       333 SH    -- DEFINED        5          --         --      333
POWERSHARES ETF TRUST
   FTSE RAFI 1000        EQUITY       73935X583      68     1,293 SH    -- DEFINED        4          --         --    1,293
POWERSHARES ETF TRUST
   FTSE TELE TECH        EQUITY       73935X484      20       410 SH    -- DEFINED        4          --         --      410
POWERSHARES ETF TRUST
   FTSE US1500 SM        EQUITY       73935X567     364     7,486 SH    -- DEFINED        4          --         --    7,486
POWERSHARES ETF TRUST
   FTSERAFI FINAN        EQUITY       73935X237      19       500 SH    -- DEFINED        5          --         --      500
POWERSHARES ETF TRUST
   GOLDEN DRG USX        EQUITY       73935X401      37     1,484 SH    -- DEFINED        5          --         --    1,484
POWERSHARES ETF TRUST
   HI YLD EQ DVDN        EQUITY       73935X302       3       254 SH    -- DEFINED        5          --         --      254
POWERSHARES ETF TRUST
   HLTHCR SEC POR        EQUITY       73935X351     243     9,585 SH    -- DEFINED        4          --         --    9,585
POWERSHARES ETF TRUST
   II DWA EMRG MKTS
   ADDED                 EQUITY       73936Q207      47     2,150 SH    -- DEFINED        5          --         --    2,150
POWERSHARES ETF TRUST
   INTL DIV ACHV         EQUITY       73935X716      43     2,324 SH    -- DEFINED        4          --         --    2,324
POWERSHARES ETF TRUST
   INTL DIV ACHV         EQUITY       73935X716      11       600 SH    -- DEFINED        5          --         --      600
POWERSHARES ETF TRUST
   LX NANOTCH PTF        EQUITY       73935X633      31     2,200 SH    -- DEFINED        5          --         --    2,200
POWERSHARES ETF TRUST
   MAGNIQUANT POR        EQUITY       73935X468   1,239    51,920 SH    -- DEFINED        4          --         --   51,920
POWERSHARES ETF TRUST
   VAL LINE TIME         EQUITY       73935X682     386    24,710 SH    -- DEFINED        4          --         --   24,710
POWERSHARES ETF TRUST
   VAL LINE TIME         EQUITY       73935X682      13       842 SH    -- DEFINED        5          --         --      842
POWERSHARES ETF TRUST
   VAL LN IND ROT        EQUITY       73935X179      11       435 SH    -- DEFINED        5          --         --      435
POWERSHARES ETF TRUST
   WATER RESOURCE        EQUITY       73935X575     355    18,446 SH    -- DEFINED        4          --         --   18,446
POWERSHARES ETF TRUST
   WATER RESOURCE        EQUITY       73935X575     225    11,675 SH    -- DEFINED        5          --         --   11,675
POWERSHARES ETF TRUST
   WILDERHILL PRO        EQUITY       73935X161   1,072    41,130 SH    -- DEFINED        4          --         --   41,130
POWERSHARES ETF TRUST
   WNDRHLL CLN EN        EQUITY       73935X500   1,963   100,160 SH    -- DEFINED        4          --         --  100,160
POWERSHARES ETF TRUST
   WNDRHLL CLN EN        EQUITY       73935X500     168     8,581 SH    -- DEFINED        5          --         --    8,581
POWERSHARES ETF TRUST
   ZACKS SML PORT        EQUITY       73935X674      43     1,897 SH    -- DEFINED        4          --         --    1,897
POWERSHARES ETF TRUST
   ZACKS SML PORT        EQUITY       73935X674       5       215 SH    -- DEFINED        5          --         --      215
POWERSHARES GLOBAL ETF
   TRUST GBL CLEAN ENER  EQUITY       73936T615       9       340 SH    -- DEFINED        4          --         --      340
POWERSHARES GLOBAL ETF
   TRUST GBL CLEAN ENER  EQUITY       73936T615     110     4,300 SH    -- DEFINED        5          --         --    4,300
POWERSHARES GLOBAL ETF
   TRUST GBL WTR PORT    EQUITY       73936T623     551    24,760 SH    -- DEFINED        4          --         --   24,760
POWERSHARES GLOBAL ETF
   TRUST JAPAN PORTFOLI  EQUITY       73936T698      15       330 SH    -- DEFINED        4          --         --      330
POWERSHARES GLOBAL ETF
   TRUST SOVEREIGN DEBT  EQUITY       73936T573      10       400 SH    -- DEFINED        5          --         --      400
POWERSHARES QQQ          EQUITY       73935A104  10,960   250,400 SH    -- SOLE           1     250,400         --       --
POWERSHARES QQQ TRUST
   UNIT SER 1            EQUITY       73935A104   4,357    99,650 SH    -- DEFINED        4          --         --   99,650
POWERSHARES QQQ TRUST
   UNIT SER 1            EQUITY       73935A104     572    13,075 SH    -- DEFINED        5          --         --   13,075
POWERSHS DB MULTI SECT
   COMM DB AGRICULT FD   EQUITY       73936B408   1,564    42,915 SH    -- DEFINED        4          --         --   42,915
POWERSHS DB MULTI SECT
   COMM DB AGRICULT FD   EQUITY       73936B408     177     4,859 SH    -- DEFINED        5          --         --    4,859
POWERSHS DB MULTI SECT
   COMM DB ENERGY FUND   EQUITY       73936B101     154     3,965 SH    -- DEFINED        4          --         --    3,965
POWERSHS DB MULTI SECT
   COMM DB ENERGY FUND   EQUITY       73936B101      21       540 SH    -- DEFINED        5          --         --      540





                                                                                  
POWERSHS DB MULTI SECT
   COMM DB PREC MTLS     EQUITY       73936B200      38     1,113 SH    -- DEFINED        5          --         --    1,113
POWERWAVE TECHNOLOGIES
   INC                   EQUITY       739363109     285   111,780 SH    -- SOLE           1     111,780         --       --
POWERWAVE TECHNOLOGIES
   INC COM               EQUITY       739363109       8     3,000 SH    -- DEFINED        4          --         --    3,000
POWERWAVE TECHNOLOGIES
   INC COM               EQUITY       739363109       2       777 SH    -- DEFINED        5          --         --      777
POZEN INC.               EQUITY       73941U102     226    21,857 SH    -- SOLE           1      21,857         --       --
PPG INDS INC             EQUITY       693506107      12       196 SH    -- SOLE           2         196         --       --
PPG INDS INC COM         EQUITY       693506107      36       600 SH    -- DEFINED        4          --         --      600
PPG INDUSTRIES, INC.     EQUITY       693506107  19,419   320,927 SH    -- SOLE           1     320,927         --       --
PPL CORP                 EQUITY       69351T106      20       446 SH    -- SOLE           2         446         --       --
PPL CORP COM             EQUITY       69351T106     432     9,407 SH    -- DEFINED        4          --         --    9,407
PPL CORP COM             EQUITY       69351T106      75     1,642 SH    -- DEFINED        5          --         --    1,642
PPL CORPORATION          EQUITY       69351T106   7,557   164,564 SH    -- SOLE           1     164,564         --       --
PRAXAIR INC              EQUITY       74005P104   1,532    18,194 SH    -- SOLE           2      18,194         --       --
PRAXAIR INC COM          EQUITY       74005P104      82       972 SH    -- DEFINED        4          --         --      972
PRAXAIR INC COM          EQUITY       74005P104     108     1,279 SH    -- DEFINED        5          --         --    1,279
PRAXAIR, INC.            EQUITY       74005P104  25,624   304,212 SH    -- SOLE           1     304,212         --       --
PRECISION CASTPARTS CORP EQUITY       740189105     660     6,466 SH    -- SOLE           2       6,466         --       --
PRECISION CASTPARTS
   CORP COM              EQUITY       740189105      51       496 SH    -- DEFINED        4          --         --      496
PRECISION CASTPARTS
   CORP COM              EQUITY       740189105       3        33 SH    -- DEFINED        5          --         --       33
PRECISION CASTPARTS
   CORP.                 EQUITY       740189105  26,991   264,415 SH    -- SOLE           1     264,415         --       --
PRECISION CASTPARTS CP
   COM                   EQUITY       740189105   2,766    27,100 SH    -- SOLE           3      10,800         --   16,300
PRECISION DRILLING TRUST EQUITY       740215108     867    37,453 SH    -- OTHER          1          --     37,453       --
PREFERRED BANK/LOS
   ANGELES               EQUITY       740367107     132     7,913 SH    -- SOLE           1       7,913         --       --
PREFORMED LINE PRODUCTS
   CO                    EQUITY       740444104     103     2,121 SH    -- SOLE           1       2,121         --       --
PREMIER EXHIBITIONS INC  EQUITY       74051E102     152    25,083 SH    -- SOLE           1      25,083         --       --
PREMIER EXIBITIONS INC
   COM                   EQUITY       74051E102       1       174 SH    -- DEFINED        4          --         --      174
PREMIERE GLOBAL
   SERVICES INC          EQUITY       740585104     760    52,981 SH    -- SOLE           1      52,981         --       --
PREPAID LEGAL SERVICES,
   INC.                  EQUITY       740065107     305     7,202 SH    -- SOLE           1       7,202         --       --
PRESIDENTIAL LIFE CORP.  EQUITY       740884101     323    18,531 SH    -- SOLE           1      18,531         --       --
PRESSTEK INC COM         EQUITY       741113104      74    17,000 SH    -- DEFINED        5          --         --   17,000
PRESTIGE BRANDS
   HOLDINGS INC          EQUITY       74112D101     238    29,079 SH    -- SOLE           1      29,079         --       --
PRICE T ROWE GROUP INC   EQUITY       74144T108      16       315 SH    -- SOLE           2         315         --       --
PRICE T ROWE GROUP INC
   COM                   EQUITY       74144T108      59     1,173 SH    -- DEFINED        4          --         --    1,173
PRICELINE COM INC        EQUITY       741503403     181     1,500 SH    -- SOLE           2       1,500         --       --
PRICELINE.COM INC        EQUITY       741503403   3,929    32,506 SH    -- SOLE           1      32,506         --       --
PRICESMART INC           EQUITY       741511109     318    11,485 SH    -- SOLE           1      11,485         --       --
PRIDE INTERNATIONAL      EQUITY       74153Q102  14,030   401,419 SH    -- SOLE           1     401,419         --       --
PRIDE INTL INC DEL COM   EQUITY       74153Q102     244     6,970 SH    -- DEFINED        4          --         --    6,970
PRIMEDIA INC             EQUITY       74157K846     278    37,827 SH    -- SOLE           1      37,827         --       --
PRINCIPAL FINANCIAL
   GROUP                 EQUITY       74251V102  11,365   203,961 SH    -- SOLE           1     203,961         --       --
PRINCIPAL FINANCIAL
   GROUP                 EQUITY       74251V102     163     2,929 SH    -- SOLE           2       2,929         --       --
PRINCIPAL FINANCIAL
   GROUP IN COM          EQUITY       74251V102      56     1,000 SH    -- DEFINED        4          --         --    1,000
PRINCIPAL FINANCIAL
   GROUP IN COM          EQUITY       74251V102      13       231 SH    -- DEFINED        5          --         --      231
PRIVATEBANCORP INC       EQUITY       742962103     509    16,188 SH    -- SOLE           1      16,188         --       --
PROASSURANCE CORPORATION EQUITY       74267C106   1,539    28,599 SH    -- SOLE           1      28,599         --       --
PROCTER & GAMBLE CO COM  EQUITY       742718109   1,295    18,476 SH    -- DEFINED        4          --         --   18,476
PROCTER & GAMBLE CO COM  EQUITY       742718109   1,452    20,716 SH    -- DEFINED        5          --         --   20,716
PROCTER & GAMBLE CO.     EQUITY       742718109 117,737 1,680,282 SH    -- SOLE           1   1,680,282         --       --
PROCTER AND GAMBLE CO    EQUITY       742718109  29,024   414,221 SH    -- SOLE           2     414,221         --       --
PROGENICS
   PHARMACEUTICALS       EQUITY       743187106     143    21,914 SH    -- SOLE           1      21,914         --       --
PROGRESS ENERGY INC      EQUITY       743263105     702    16,845 SH    -- SOLE           2      16,845         --       --
PROGRESS ENERGY INC COM  EQUITY       743263105       5       124 SH    -- DEFINED        4          --         --      124
PROGRESS ENERGY INC COM  EQUITY       743263105     236     5,648 SH    -- DEFINED        5          --         --    5,648
PROGRESS ENERGY INC.     EQUITY       743263105   4,906   117,650 SH    -- SOLE           1     117,650         --       --
PROGRESS SOFTWARE CORP   EQUITY       743312100     518    17,300 SH    -- SOLE           2      17,300         --       --
PROGRESS SOFTWARE CORP.  EQUITY       743312100   1,053    35,191 SH    -- SOLE           1      35,191         --       --





                                                                                  
PROGRESSIVE CORP OHIO    EQUITY       743315103      13       811 SH    -- SOLE           2         811         --       --
PROGRESSIVE CORP OHIO
   COM                   EQUITY       743315103      37     2,276 SH    -- DEFINED        4          --         --    2,276
PROGRESSIVE CORP OHIO
   COM                   EQUITY       743315103      25     1,545 SH    -- DEFINED        5          --         --    1,545
PROGRESSIVE CORP.        EQUITY       743315103   4,399   273,731 SH    -- SOLE           1     273,731         --       --
PROLOGIS                 EQUITY       743410102  17,762   301,764 SH    -- SOLE           1     301,764         --       --
PROLOGIS                 EQUITY       743410102     425     7,219 SH    -- SOLE           2       7,219         --       --
PROLOGIS SH BEN INT      EQUITY       743410102      61     1,035 SH    -- DEFINED        5          --         --    1,035
PROS HOLDINGS INC        EQUITY       74346Y103     683    54,425 SH    -- SOLE           1      54,425         --       --
PROS HOLDINGS INC COM    EQUITY       74346Y103   1,832   146,000 SH    -- SOLE           3     146,000         --       --
PROSHARES TR REAL EST
   PRO                   EQUITY       74347R552     233     2,345 SH    -- DEFINED        4          --         --    2,345
PROSHARES TR REAL EST
   PRO                   EQUITY       74347R552       5        50 SH    -- DEFINED        5          --         --       50
PROSHARES TR SHORT DOW
   30                    EQUITY       74347R701      48       750 SH    -- DEFINED        5          --         --      750
PROSHARES TR SHORT
   MDCAP400              EQUITY       74347R800       8       125 SH    -- DEFINED        5          --         --      125
PROSHARES TR SHORT S&P
   500                   EQUITY       74347R503      44       650 SH    -- DEFINED        5          --         --      650
PROSHARES TR TECHNOLOGY
   PRO                   EQUITY       74347R578      14       200 SH    -- DEFINED        5          --         --      200
PROSHARES TR ULSHRT1000
   GRW                   EQUITY       74347R461      11       150 SH    -- DEFINED        5          --         --      150
PROSHARES TR ULTRA DOW
   30                    EQUITY       74347R305      32       450 SH    -- DEFINED        5          --         --      450
PROSHARES TR ULTRA FINL
   PRO                   EQUITY       74347R743       9       300 SH    -- DEFINED        5          --         --      300
PROSHARES TR ULTRA QQQ
   PSHS                  EQUITY       74347R206      21       300 SH    -- DEFINED        4          --         --      300
PROSHARES TR ULTRA
   RUSS2000              EQUITY       74347R842      12       250 SH    -- DEFINED        4          --         --      250
PROSHARES TR ULTRA
   RUSS2000              EQUITY       74347R842      14       300 SH    -- DEFINED        5          --         --      300
PROSHARES TR ULTRA S&P
   500                   EQUITY       74347R107      26       400 SH    -- DEFINED        4          --         --      400
PROSHARES TR ULTRA
   SMCAP600              EQUITY       74347R818      13       250 SH    -- DEFINED        4          --         --      250
PROSHARES TR ULTRA XIN
   CH25                  EQUITY       74347R321      16       175 SH    -- DEFINED        5          --         --      175
PROSHARES TR ULTRASHORT
   QQQ                   EQUITY       74347R875     114     2,298 SH    -- DEFINED        4          --         --    2,298
PROSHARES TR ULTRASHORT
   QQQ                   EQUITY       74347R875      97     1,950 SH    -- DEFINED        5          --         --    1,950
PROSHARES TR ULTRASHRT
   FINL                  EQUITY       74347R628     559     4,752 SH    -- DEFINED        4          --         --    4,752
PROSHARES TR ULTRASHRT
   O&G                   EQUITY       74347R586       8       210 SH    -- DEFINED        4          --         --      210
PROSHARES TR ULTRASHRT
   O&G                   EQUITY       74347R586      40     1,050 SH    -- DEFINED        5          --         --    1,050
PROSHARES TR ULTRASHT
   SP500                 EQUITY       74347R883     286     4,440 SH    -- DEFINED        4          --         --    4,440
PROSHARES TR ULTRASHT
   SP500                 EQUITY       74347R883      29       450 SH    -- DEFINED        5          --         --      450
PROSHARES TR ULTSHT
   RUS2000               EQUITY       74347R834     128     1,540 SH    -- DEFINED        4          --         --    1,540
PROSHARES TR ULTSHT
   RUS2000               EQUITY       74347R834      80       970 SH    -- DEFINED        5          --         --      970
PROSPECT CAPITAL CORP    EQUITY       74348T102     307    20,181 SH    -- SOLE           1      20,181         --       --
PROSPECT CAPITAL
   CORPORATION COM       EQUITY       74348T102     237    15,559 SH    -- DEFINED        4          --         --   15,559
PROSPECT CAPITAL
   CORPORATION COM       EQUITY       74348T102      25     1,674 SH    -- DEFINED        5          --         --    1,674
PROSPERITY BANCSHARES
   INC                   EQUITY       743606105     873    30,475 SH    -- SOLE           1      30,475         --       --
PROTALIX
   BIOTHERAPEUTICS INC   EQUITY       74365A101       5     1,941 SH    -- SOLE           1       1,941         --       --
PROTECTION ONE INC       EQUITY       743663403      54     5,606 SH    -- SOLE           1       5,606         --       --
PROTECTIVE LIFE CORP COM EQUITY       743674103   6,856   169,038 SH    -- SOLE           1     169,038         --       --
PROVIDENCE SERVICE CORP  EQUITY       743815102     313    10,433 SH    -- SOLE           1      10,433         --       --
PROVIDENCE SVC CORP      EQUITY       743815102   3,108   103,600 SH    -- SOLE           2     103,600         --       --
PROVIDENT BANKSHARES
   CORP.                 EQUITY       743859100     297    27,661 SH    -- SOLE           1      27,661         --       --
PROVIDENT ENERGY TR TR
   UNIT                  EQUITY       74386K104     455    42,914 SH    -- DEFINED        4          --         --   42,914
PROVIDENT ENERGY TR TR
   UNIT                  EQUITY       74386K104     247    23,261 SH    -- DEFINED        5          --         --   23,261
PROVIDENT ENERGY TRUST   EQUITY       74386K104      45     4,194 SH    -- OTHER          1          --      4,194       --
PROVIDENT FINANCIAL
   SERVICES              EQUITY       74386T105     750    53,025 SH    -- SOLE           1      53,025         --       --
PROVIDENT NEW YORK
   BANCORP               EQUITY       744028101     465    34,425 SH    -- SOLE           1      34,425         --       --
PRUDENTIAL FINANCIAL INC EQUITY       744320102  36,442   465,716 SH    -- SOLE           1     465,716         --       --
PRUDENTIAL FINL INC      EQUITY       744320102     167     2,133 SH    -- SOLE           2       2,133         --       --
PRUDENTIAL FINL INC COM  EQUITY       744320102      82     1,053 SH    -- DEFINED        4          --         --    1,053
PRUDENTIAL PLC 6.75%SUB
   REG S ADDED           EQUITY       G7293H114      10       400 SH    -- DEFINED        4          --         --      400
PRUDENTIAL PLC ADR       EQUITY       74435K204       6       224 SH    -- DEFINED        4 180,897,421         --      224
PRUDENTIAL PLC ADR       EQUITY       74435K204       1        39 SH    -- DEFINED        5          --         --       39
PS BUSINESS PARKS INC    EQUITY       69360J107   2,239    43,138 SH    -- SOLE           1      43,138         --       --
PSEG ENERGY HOLDINGS     EQUITY       744573106   8,447   210,186 SH    -- SOLE           1     210,186         --       --





                                                                                  
PSS WORLD MEDICAL, INC   EQUITY       69366A100     910    54,601 SH    -- SOLE           1      54,601         --       --
PSYCHIATRIC SOLUTIONS
   INC                   EQUITY       74439H108   6,006   177,077 SH    -- SOLE           1     177,077         --       --
PSYCHIATRIC SOLUTIONS
   INC                   EQUITY       74439H108  32,177   948,600 SH    -- SOLE           2     948,600         --       --
PUBLIC STORAGE           EQUITY       74460D109      13       149 SH    -- SOLE           2         149         --       --
PUBLIC STORAGE           EQUITY       74460D109   7,730    87,224 SH    -- SOLE           1      87,224         --       --
PUBLIC STORAGE COM       EQUITY       74460D109     120     1,357 SH    -- DEFINED        4          --         --    1,357
PUBLIC STORAGE COM       EQUITY       74460D109      97     1,090 SH    -- DEFINED        5          --         --    1,090
PUBLIC STORAGE COM A
   DP1/1000              EQUITY       74460D729       3       104 SH    -- DEFINED        4          --         --      104
PUBLIC SVC ENTERPRISE
   GROU                  EQUITY       744573106   6,182   153,808 SH    -- SOLE           2     153,808         --       --
PUBLIC SVC ENTERPRISE
   GROUP COM             EQUITY       744573106      16       400 SH    -- DEFINED        4          --         --      400
PUBLIC SVC ENTERPRISE
   GROUP COM             EQUITY       744573106     302     7,502 SH    -- DEFINED        5          --         --    7,502
PUGET ENEGY INC.         EQUITY       745310102   8,654   334,521 SH    -- SOLE           1     334,521         --       --
PUGET ENERGY INC NEW COM EQUITY       745310102      64     2,460 SH    -- DEFINED        5          --         --    2,460
PULTE HOMES INC          EQUITY       745867101       4       255 SH    -- SOLE           2         255         --       --
PULTE HOMES INC COM      EQUITY       745867101       2       110 SH    -- DEFINED        5          --         --      110
PULTE HOMES INC.         EQUITY       745867101   2,919   200,613 SH    -- SOLE           1     200,613         --       --
PUTMAN HIGH INCOME SEC
   FUND SHS BEN INT      EQUITY       746779107      30     4,000 SH    -- DEFINED        4          --         --    4,000
PUTNAM MANAGED MUN
   INCOM TR COM          EQUITY       746823103      13     1,874 SH    -- DEFINED        5          --         --    1,874
PUTNAM MUN
   OPPORTUNITIES TR SH
   BEN INT               EQUITY       746922103       9       836 SH    -- DEFINED        5          --         --      836
PUTNAM PREMIER INCOME
   TR SH BEN INT         EQUITY       746853100      19     3,100 SH    -- DEFINED        4          --         --    3,100
PZENA INVESTMENT
   MANAGEMENT INC        EQUITY       74731Q103      59     5,221 SH    -- SOLE           1       5,221         --       --
QAD INC                  EQUITY       74727D108     104    12,399 SH    -- SOLE           1      12,399         --       --
QC HOLDINGS INC          EQUITY       74729T101      61     6,769 SH    -- SOLE           1       6,769         --       --
QIAO XING UNIVERSAL
   TELEPHON ORD          EQUITY       G7303A109       3       500 SH    -- DEFINED        4          --         --      500
QLOGIC CORP              EQUITY       747277101       2       161 SH    -- SOLE           2         161         --       --
QLOGIC CORP.             EQUITY       747277101   1,798   117,117 SH    -- SOLE           1     117,117         --       --
QUADRAMED CORP           EQUITY       74730W101     644   337,300 SH    -- SOLE           1     337,300         --       --
QUALCOMM INC             EQUITY       747525103  14,666   357,718 SH    -- SOLE           2     357,718         --       --
QUALCOMM INC COM         EQUITY       747525103      56     1,357 SH    -- DEFINED        4          --         --    1,357
QUALCOMM INC COM         EQUITY       747525103     384     9,362 SH    -- DEFINED        5          --         --    9,362
QUALCOMM, INC.           EQUITY       747525103  57,684 1,406,919 SH    -- SOLE           1   1,406,919         --       --
QUALITY SYSTEMS INC      EQUITY       747582104     436    14,603 SH    -- SOLE           1      14,603         --       --
QUANEX CORP.             EQUITY       747620102   1,647    31,826 SH    -- SOLE           1      31,826         --       --
QUANTA SERVICES INC      EQUITY       74762E102  48,795 2,105,958 SH    -- SOLE           1   2,105,958         --       --
QUANTA SVCS INC COM      EQUITY       74762E102       4       158 SH    -- DEFINED        4          --         --      158
QUANTA SVCS INC COM      EQUITY       74762E102       5       200 SH    -- DEFINED        5          --         --      200
QUANTUM CORP COM DSSG    EQUITY       747906204       2       751 SH    -- DEFINED        5          --         --      751
QUANTUM CORP DLT &
   STORAGE               EQUITY       747906204     360   168,158 SH    -- SOLE           1     168,158         --       --
QUEST CAP CORP NEW COM   EQUITY       74835U109       2     1,000 SH    -- DEFINED        5          --         --    1,000
QUEST DIAGNOSTICS INC    EQUITY       74834L100     537    11,862 SH    -- SOLE           2      11,862         --       --
QUEST DIAGNOSTICS INC
   COM                   EQUITY       74834L100      18       400 SH    -- DEFINED        5          --         --      400
QUEST DIAGNOSTICS, INC.  EQUITY       74834L100   3,006    66,408 SH    -- SOLE           1      66,408         --       --
QUEST SOFTWARE INC       EQUITY       74834T103     765    58,533 SH    -- SOLE           1      58,533         --       --
QUESTAR CORP             EQUITY       748356102      12       207 SH    -- SOLE           2         207         --       --
QUESTAR CORP COM         EQUITY       748356102      37       650 SH    -- DEFINED        4          --         --      650
QUESTAR CORP.            EQUITY       748356102   4,214    74,498 SH    -- SOLE           1      74,498         --       --
QUICKLOGIC CORP COM      EQUITY       74837P108      12     4,000 SH    -- DEFINED        5          --         --    4,000
QUICKSILVER RESOURCES
   COM                   EQUITY       74837R104   6,809   186,400 SH    -- SOLE           3      42,100         --  144,300
QUICKSILVER RESOURCES
   INC                   EQUITY       74837R104   8,959   245,240 SH    -- SOLE           1     245,240         --       --
QUICKSILVER, INC.        EQUITY       74838C106   1,046   106,670 SH    -- SOLE           1     106,670         --       --
QUIDEL CORP              EQUITY       74838J101     371    23,100 SH    -- SOLE           2      23,100         --       --
QUIDEL CORPORATION       EQUITY       74838J101     395    24,626 SH    -- SOLE           1      24,626         --       --
QUIKSILVER INC           EQUITY       74838C106     491    50,000 SH    -- SOLE           2      50,000         --       --
QUIKSILVER INC COM       EQUITY       74838C106       1       151 SH    -- DEFINED        5          --         --      151
QWEST COMMUNICATIONS
   INTERNATIONAL INC     EQUITY       749121109   3,754   828,797 SH    -- SOLE           1     828,797         --       --
QWEST COMMUNICATIONS
   INTL                  EQUITY       749121109       8     1,838 SH    -- SOLE           2       1,838         --       --





                                                                                  
QWEST COMMUNICATIONS
   INTL IN COM           EQUITY       749121109       9     1,990 SH    -- DEFINED        5          --         --    1,990
R. R. DONNELLEY AND
   SONS CO.              EQUITY       257867101   6,181   203,928 SH    -- SOLE           1     203,928         --       --
R.H. DONNELLEY CORP.     EQUITY       74955W307      14     2,720 SH    -- SOLE           1       2,720         --       --
RACKABLE SYSTEMS INC     EQUITY       750077109     224    24,559 SH    -- SOLE           1      24,559         --       --
RADIAN GROUP INC COM     EQUITY       750236101       4       555 SH    -- DEFINED        5          --         --      555
RADIAN GROUP, INC.       EQUITY       750236101   1,409   214,444 SH    -- SOLE           1     214,444         --       --
RADIANT SYSTEMS INC COM  EQUITY       75025N102       7       480 SH    -- DEFINED        4          --         --      480
RADIANT SYSTEMS, INC.    EQUITY       75025N102     315    22,522 SH    -- SOLE           1      22,522         --       --
RADIO ONE INC -CL D      EQUITY       75040P405     100    65,650 SH    -- SOLE           1      65,650         --       --
RADIOSHACK CORP          EQUITY       750438103       3       157 SH    -- SOLE           2         157         --       --
RADIOSHACK CORP COM      EQUITY       750438103       5       332 SH    -- DEFINED        4          --         --      332
RADIOSHACK CORP COM      EQUITY       750438103       3       182 SH    -- DEFINED        5          --         --      182
RADIOSHACK CORP.         EQUITY       750438103   2,902   178,593 SH    -- SOLE           1     178,593         --       --
RADISYS CORP.            EQUITY       750459109     190    18,837 SH    -- SOLE           1      18,837         --       --
RAIT FINANCIAL TRUST     EQUITY       749227104     377    54,314 SH    -- SOLE           1      54,314         --       --
RAIT FINANCIAL TRUST COM EQUITY       749227104      28     4,000 SH    -- DEFINED        5          --         --    4,000
RALCORP HOLDINGS, INC.   EQUITY       751028101   1,281    22,025 SH    -- SOLE           1      22,025         --       --
RAMBUS INC DEL COM       EQUITY       750917106      20       850 SH    -- DEFINED        5          --         --      850
RAMBUS INC.              EQUITY       750917106      29     1,241 SH    -- SOLE           1       1,241         --       --
RAMTRON INTL CORP COM
   NEW                   EQUITY       751907304     827   201,600 SH    -- SOLE           3     201,600         --       --
RANDGOLD RES LTD ADR     EQUITY       752344309     100     2,150 SH    -- DEFINED        5          --         --    2,150
RANGE RES CORP           EQUITY       75281A109      11       179 SH    -- SOLE           2         179         --       --
RANGE RES CORP COM       EQUITY       75281A109   5,438    85,700 SH    -- SOLE           3      31,300         --   54,400
RANGE RES CORP COM       EQUITY       75281A109   1,101    17,355 SH    -- DEFINED        4          --         --   17,355
RANGE RESOURCES CORP     EQUITY       75281A109   4,082    64,332 SH    -- SOLE           1      64,332         --       --
RASER TECHNOLOGIES INC   EQUITY       754055101     226    26,666 SH    -- SOLE           1      26,666         --       --
RAVEN INDUSTRIES INC     EQUITY       754212108     416    13,730 SH    -- SOLE           1      13,730         --       --
RAYMOND JAMES FINANCIAL
   IN                    EQUITY       754730109     134     5,850 SH    -- SOLE           2       5,850         --       --
RAYMOND JAMES
   FINANCIAL, INC.       EQUITY       754730109   5,317   231,366 SH    -- SOLE           1     231,366         --       --
RAYONIER INC COM         EQUITY       754907103       6       143 SH    -- DEFINED        4          --         --      143
RAYONIER INC COM         EQUITY       754907103     281     6,474 SH    -- DEFINED        5          --         --    6,474
RAYONIER, INC.           EQUITY       754907103  14,687   338,107 SH    -- SOLE           1     338,107         --       --
RAYTHEON CO              EQUITY       755111119      17       603 SH    -- SOLE           1         603         --       --
RAYTHEON CO              EQUITY       755111507  14,181   219,488 SH    -- SOLE           2     219,488         --       --
RAYTHEON CO COM NEW      EQUITY       755111507      67     1,035 SH    -- DEFINED        4          --         --    1,035
RAYTHEON CO COM NEW      EQUITY       755111507     137     2,118 SH    -- DEFINED        5          --         --    2,118
RAYTHEON CO.             EQUITY       755111507  20,622   319,175 SH    -- SOLE           1     319,175         --       --
RBC BEARINGS INC         EQUITY       75524B104     676    18,219 SH    -- SOLE           1      18,219         --       --
RC2 CORP                 EQUITY       749388104     323    15,399 SH    -- SOLE           1      15,399         --       --
RCN CORP                 EQUITY       749361200     306    27,401 SH    -- SOLE           1      27,401         --       --
REALNETWORKS INC COM     EQUITY       75605L104      52     9,076 SH    -- DEFINED        5          --         --    9,076
REALNETWORKS, INC.       EQUITY       75605L104     473    82,519 SH    -- SOLE           1      82,519         --       --
REALTY INCOME CORP COM   EQUITY       756109104     100     3,910 SH    -- DEFINED        4          --         --    3,910
REALTY INCOME CORP COM   EQUITY       756109104   2,003    78,179 SH    -- DEFINED        5          --         --   78,179
REALTY INCOME CORP.      EQUITY       756109104  10,260   400,486 SH    -- SOLE           1     400,486         --       --
RED HAT INC COM          EQUITY       756577102       5       266 SH    -- DEFINED        5          --         --      266
RED HAT, INC.            EQUITY       756577102      31     1,712 SH    -- SOLE           1       1,712         --       --
RED ROBIN GOURMET
   BURGERS               EQUITY       75689M101     537    14,293 SH    -- SOLE           1      14,293         --       --
RED ROBIN GOURMET
   BURGERS IN COM        EQUITY       75689M101       1        38 SH    -- DEFINED        5          --         --       38
REDDY ICE HLDGS INC COM  EQUITY       75734R105       6       473 SH    -- DEFINED        4          --         --      473
REDDY ICE HOLDINGS INC   EQUITY       75734R105     244    18,709 SH    -- SOLE           1      18,709         --       --
REDWOOD TR INC COM       EQUITY       758075402       4       100 SH    -- DEFINED        5          --         --      100
REDWOOD TRUST, INC.      EQUITY       758075402     775    21,317 SH    -- SOLE           1      21,317         --       --
REGAL ENTMT GROUP        EQUITY       758766109     332    17,234 SH    -- SOLE           1      17,234         --       --
REGAL ENTMT GROUP        EQUITY       758766109   4,917   254,900 SH    -- SOLE           2     254,900         --       --
REGAL-BELOIT CORP.       EQUITY       758750103   1,004    27,416 SH    -- SOLE           1      27,416         --       --





                                                                                  
REGENCY CENTERS CORP     EQUITY       758849103  10,842   167,416 SH    -- SOLE           1     167,416         --       --
REGENERON
   PHARMACEUTICALS INC.  EQUITY       75886F107   1,048    54,606 SH    -- SOLE           1      54,606         --       --
REGIONS FINANCIAL CORP   EQUITY       7591EP100   8,469   428,790 SH    -- SOLE           1     428,790         --       --
REGIONS FINANCIAL CORP
   NEW CALL              OPTION       7591EP900       1        12--   CALL DEFINED        4          --         --       12
REGIONS FINANCIAL CORP
   NEW COM               EQUITY       7591EP100       7       373 SH    -- DEFINED        4          --         --      373
REGIONS FINANCIAL CORP
   NEW COM               EQUITY       7591EP100       2        78 SH    -- DEFINED        5          --         --       78
REGIONS FINL CORP NEW    EQUITY       7591EP100      16       829 SH    -- SOLE           2         829         --       --
REGIS CORP.              EQUITY       758932107   3,915   142,408 SH    -- SOLE           1     142,408         --       --
REHAB CARE GROUP         EQUITY       759148109     225    14,987 SH    -- SOLE           1      14,987         --       --
REINSURANCE GROUP AMER
   INC                   EQUITY       759351109     838    15,400 SH    -- SOLE           2      15,400         --       --
REINSURANCE GROUP AMER
   INC COM               EQUITY       759351109      52       950 SH    -- DEFINED        5          --         --      950
REINSURANCE GROUP OF     EQUITY       759351109      60     1,107 SH    -- SOLE           1       1,107         --       --
RELIANCE STEEL &
   ALUMINIUM CO.         EQUITY       759509102   9,207   153,813 SH    -- SOLE           1     153,813         --       --
RELIANCE STEEL &
   ALUMINUM CO COM       EQUITY       759509102       6       100 SH    -- DEFINED        5          --         --      100
RELIANT ENERGY INC       EQUITY       75952B105     304    12,862 SH    -- SOLE           1      12,862         --       --
RELIANT ENERGY INC COM   EQUITY       75952B105      10       441 SH    -- DEFINED        4          --         --      441
RELIANT ENERGY INC COM   EQUITY       75952B105      19       809 SH    -- DEFINED        5          --         --      809
RENAISSANCE LEARNING,
   INC.                  EQUITY       75968L105     102     7,276 SH    -- SOLE           1       7,276         --       --
RENAISSANCERE HOLDINGS
   LTD                   EQUITY       G7496G103     371     7,149 SH    -- SOLE           2       7,149         --       --
RENAISSANCERE HOLDINGS
   LTD COM               EQUITY       G7496G103     208     4,000 SH    -- DEFINED        5          --         --    4,000
RENASANT CORP            EQUITY       75970E107     409    18,172 SH    -- SOLE           1      18,172         --       --
RENT-A-CENTER INC        EQUITY       76009N100   3,950   215,233 SH    -- SOLE           1     215,233         --       --
RENTECH INC              EQUITY       760112102     124   139,647 SH    -- SOLE           1     139,647         --       --
RENTECH INC COM          EQUITY       760112102       4     5,000 SH    -- DEFINED        5          --         --    5,000
REPUBLIC AIRWAYS
   HOLDINGS IN           EQUITY       760276105     594    27,423 SH    -- SOLE           1      27,423         --       --
REPUBLIC BANCORP, INC.   EQUITY       760281204     154     8,131 SH    -- SOLE           1       8,131         --       --
REPUBLIC SERVICES IN     EQUITY       760759100  11,031   377,252 SH    -- SOLE           1     377,252         --       --
REPUBLIC SVCS INC COM    EQUITY       760759100       5       187 SH    -- DEFINED        4          --         --      187
RES-CARE INC             EQUITY       760943100     358    20,899 SH    -- SOLE           1      20,899         --       --
RESEARCH IN MOTION LTD   EQUITY       760975102  13,768   122,395 SH    -- OTHER          1          --    122,395       --
RESEARCH IN MOTION LTD   EQUITY       760975102   7,104    63,300 SH    -- SOLE           2      63,300         --       --
RESEARCH IN MOTION LTD
   COM                   EQUITY       760975102     309     2,753 SH    -- DEFINED        4          --         --    2,753
RESEARCH IN MOTION LTD
   COM                   EQUITY       760975102      75       665 SH    -- DEFINED        5          --         --      665
RESMED INC               EQUITY       761152107   7,811   185,172 SH    -- SOLE           1     185,172         --       --
RESMED INC COM           EQUITY       761152107   5,585   132,400 SH    -- SOLE           3      53,000         --   79,400
RESOURCE AMERICA, INC.   EQUITY       761195205     107    11,339 SH    -- SOLE           1      11,339         --       --
RESOURCE CAPITAL CORP    EQUITY       76120W302     143    18,893 SH    -- SOLE           1      18,893         --       --
RESOURCES GLOBAL
   PROFESSIONALS         EQUITY       76122Q105     695    38,879 SH    -- SOLE           1      38,879         --       --
RESPIRONICS INC COM      EQUITY       761230101       4        59 SH    -- DEFINED        4          --         --       59
RETAIL VENTURES INC      EQUITY       76128Y102     115    23,661 SH    -- SOLE           1      23,661         --       --
REVLON, INC.-CL A        EQUITY       761525500     165   168,764 SH    -- SOLE           1     168,764         --       --
REX ENERGY CORP          EQUITY       761565100     137     8,246 SH    -- SOLE           1       8,246         --       --
REX ENERGY CORPORATION
   COM                   EQUITY       761565100   1,827   109,800 SH    -- SOLE           3     109,800         --       --
REYNOLDS AMERICAN INC    EQUITY       761713106   5,670    96,050 SH    -- SOLE           1      96,050         --       --
REYNOLDS AMERICAN INC
   COM                   EQUITY       761713106     130     2,200 SH    -- DEFINED        5          --         --    2,200
REYNOLDS AMERN INC       EQUITY       761713106   5,752    97,444 SH    -- SOLE           2      97,444         --       --
RF MICRO DEVICES INC     EQUITY       749941100   2,443   918,235 SH    -- SOLE           1     918,235         --       --
RF MICRODEVICES INC COM  EQUITY       749941100       1       500 SH    -- DEFINED        5          --         --      500
RF MONOLITHICS INC
   COM(OXFORD PTNRS LP)  EQUITY       74955F106      12     4,973 SH    -- SOLE           1       4,973         --       --
RIGEL PHARMACEUTICALS
   INC                   EQUITY       766559603     577    30,919 SH    -- SOLE           1      30,919         --       --
RIGHTNOW TECHNOLOGIES
   INC                   EQUITY       76657R106     184    15,499 SH    -- SOLE           1      15,499         --       --
RIMAGE CORP              EQUITY       766721104     190     8,666 SH    -- SOLE           1       8,666         --       --
RISKMETRICS GROUP INC    EQUITY       767735103     353    18,242 SH    -- SOLE           1      18,242         --       --
RITCHIE BROS
   AUCTIONEERS INC       EQUITY       767744105      46       552 SH    -- OTHER          1          --        552       --
RITE AID CORP            EQUITY       767754104      62    20,949 SH    -- SOLE           1      20,949         --       --
RITE AID CORP COM        EQUITY       767754104      22     7,400 SH    -- DEFINED        5          --         --    7,400





                                                                                  
RIVERVIEW BANCORP INC
   COM                   EQUITY       769397100       5       500 SH    -- DEFINED        5          --         --      500
RIVIERA HOLDINGS CORP    EQUITY       769627100     180     8,725 SH    -- SOLE           1       8,725         --       --
RLI CORP COM             EQUITY       749607107      74     1,485 SH    -- DEFINED        5          --         --    1,485
RLI CORP.                EQUITY       749607107     828    16,706 SH    -- SOLE           1      16,706         --       --
RMK HIGH INCOME FD INC
   COM SHS               EQUITY       74963B105      47    13,527 SH    -- DEFINED        5          --         --   13,527
ROBBINS & MYERS, INC.    EQUITY       770196103     789    24,159 SH    -- SOLE           1      24,159         --       --
ROBERT HALF
   INTERNATIONAL INC.    EQUITY       770323103   1,764    68,527 SH    -- SOLE           1      68,527         --       --
ROBERT HALF INTL INC     EQUITY       770323103       5       190 SH    -- SOLE           2         190         --       --
ROCHESTER MED CORP COM   EQUITY       771497104       3       300 SH    -- DEFINED        4          --         --      300
ROCHESTER MED CORP COM   EQUITY       771497104       1       100 SH    -- DEFINED        5          --         --      100
ROCK-TENN CO., CLASS A   EQUITY       772739207     856    28,562 SH    -- SOLE           1      28,562         --       --
ROCKVILLE FINANCIAL INC  EQUITY       774186100     105     7,628 SH    -- SOLE           1       7,628         --       --
ROCKWELL AUTOMATION INC  EQUITY       773903109  11,801   205,529 SH    -- SOLE           1     205,529         --       --
ROCKWELL AUTOMATION INC  EQUITY       773903109      10       177 SH    -- SOLE           2         177         --       --
ROCKWELL AUTOMATION INC
   COM                   EQUITY       773903109       6       100 SH    -- DEFINED        5          --         --      100
ROCKWELL COLLINS INC     EQUITY       774341101   6,619   115,817 SH    -- SOLE           1     115,817         --       --
ROCKWELL COLLINS INC     EQUITY       774341101      11       194 SH    -- SOLE           2         194         --       --
ROCKWOOD HOLDINGS INC    EQUITY       774415103     985    30,070 SH    -- SOLE           1      30,070         --       --
ROFIN SINAR
   TECHNOLOGIES INC COM  EQUITY       775043102       6       124 SH    -- DEFINED        4          --         --      124
ROFIN-SINAR
   TECHNOLOGIES INC      EQUITY       775043102   1,198    26,672 SH    -- SOLE           1      26,672         --       --
ROGERS COMMUNICATIONS
   INC                   EQUITY       775109200   7,563   210,467 SH    -- OTHER          1          --    210,467       --
ROGERS COMMUNICATIONS
   INC CL B              EQUITY       775109200      46     1,285 SH    -- DEFINED        4          --         --    1,285
ROGERS CORP.             EQUITY       775133101     507    15,161 SH    -- SOLE           1      15,161         --       --
ROHM + HAAS CO           EQUITY       775371107   3,210    59,362 SH    -- SOLE           2      59,362         --       --
ROHM AND HAAS CO.        EQUITY       775371107   3,015    55,750 SH    -- SOLE           1      55,750         --       --
ROLLINS, INC.            EQUITY       775711104   2,423   136,945 SH    -- SOLE           1     136,945         --       --
ROMA FINANCIAL CORP      EQUITY       77581P109     130     8,699 SH    -- SOLE           1       8,699         --       --
ROPER INDS INC NEW COM   EQUITY       776696106       4        70 SH    -- DEFINED        5          --         --       70
ROPER INDUSTRIES, INC.   EQUITY       776696106  12,668   213,126 SH    -- SOLE           1     213,126         --       --
ROSETTA RESOURCES INC    EQUITY       777779307     857    43,557 SH    -- SOLE           1      43,557         --       --
ROSS STORES INC COM      EQUITY       778296103       9       300 SH    -- DEFINED        5          --         --      300
ROSS STORES, INC.        EQUITY       778296103   9,674   322,903 SH    -- SOLE           1     322,903         --       --
ROWAN COMPANIES, INC.    EQUITY       779382100   2,020    49,057 SH    -- SOLE           1      49,057         --       --
ROWAN COS INC            EQUITY       779382100       5       133 SH    -- SOLE           2         133         --       --
ROYAL BANCSHARES OF
   PENN-A                EQUITY       780081105      67     4,648 SH    -- SOLE           1       4,648         --       --
ROYAL BANK OF CANADA     EQUITY       780087102  17,329   371,317 SH    -- OTHER          1          --    371,317       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY       780097754     584    25,000 SH    -- SOLE           1      25,000         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY       780097804   2,263    90,000 SH    -- SOLE           1      90,000         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY       780097747   3,653   171,900 SH    -- SOLE           1     171,900         --       --
ROYAL BANK OF SCOTLAND
   GROUP PLC             EQUITY       780097713   8,883   363,000 SH    -- SOLE           1     363,000         --       --
ROYAL BK OF SCOT PERP    EQUITY       780097770   1,214    55,000 SH    -- SOLE           1      55,000         --       --
ROYAL BK SCOTLAND GROUP
   PLC SP ADR L RP PF    EQUITY       780097788       8       425 SH    -- DEFINED        4          --         --      425
ROYAL BK SCOTLAND GROUP
   PLC SP ADR L RP PF    EQUITY       780097788     201    10,225 SH    -- DEFINED        5          --         --   10,225
ROYAL BK SCOTLAND GROUP
   PLC SP ADR PREF M     EQUITY       780097796      12       556 SH    -- DEFINED        5          --         --      556
ROYAL BK SCOTLAND GROUP
   PLC SP ADR PREF T     EQUITY       780097713       5       200 SH    -- DEFINED        4          --         --      200
ROYAL CARIBBEAN CRUISES
   LT                    EQUITY       V7780T103      20       600 SH    -- SOLE           2         600         --       --
ROYAL DUTCH SHELL PLC
   SPON ADR B            EQUITY       780259107      35       517 SH    -- DEFINED        4          --         --      517
ROYAL DUTCH SHELL PLC
   SPON ADR B            EQUITY       780259107      35       516 SH    -- DEFINED        5          --         --      516
ROYAL DUTCH SHELL PLC
   SPONS ADR A           EQUITY       780259206       7       105 SH    -- DEFINED        4          --         --      105
ROYAL DUTCH SHELL PLC
   SPONS ADR A           EQUITY       780259206      53       775 SH    -- DEFINED        5          --         --      775
ROYAL GOLD INC           EQUITY       780287108     658    21,826 SH    -- SOLE           1      21,826         --       --
ROYAL GOLD INC COM       EQUITY       780287108       5       150 SH    -- DEFINED        5          --         --      150
ROYCE MICRO-CAP TR INC
   COM                   EQUITY       780915104       8       763 SH    -- DEFINED        4          --         --      763
ROYCE VALUE TR INC COM   EQUITY       780910105      52     3,341 SH    -- DEFINED        4          --         --    3,341
ROYCE VALUE TR INC COM   EQUITY       780910105       2       105 SH    -- DEFINED        5          --         --      105
RPC                      EQUITY       749660106     420    27,636 SH    -- SOLE           1      27,636         --       --





                                                                                  
RPM INTERNATIONAL INC.   EQUITY       749685103   6,064   289,573 SH    -- SOLE           1     289,573         --       --
RSC HOLDINGS INC         EQUITY       74972L102     195    17,875 SH    -- SOLE           1      17,875         --       --
RTI BIOLOGICS INC        EQUITY       74975N105     367    38,852 SH    -- SOLE           1      38,852         --       --
RTI INTERNATIONAL
   METALS, INC.          EQUITY       74973W107     895    19,787 SH    -- SOLE           1      19,787         --       --
RTI INTL METALS INC COM  EQUITY       74973W107      18       400 SH    -- DEFINED        4          --         --      400
RUBICON TECHNOLOGY INC   EQUITY       78112T107     162     5,583 SH    -- SOLE           1       5,583         --       --
RUBY TUESDAY, INC.       EQUITY       781182100   1,270   169,392 SH    -- SOLE           1     169,392         --       --
RUDDICK CORP.            EQUITY       781258108   4,543   123,257 SH    -- SOLE           1     123,257         --       --
RUDOLPH TECHNOLOGIES
   INC.                  EQUITY       781270103     244    24,958 SH    -- SOLE           1      24,958         --       --
RURAL CELLULAR CORP      EQUITY       781904107     463    10,462 SH    -- SOLE           1      10,462         --       --
RUSH ENTERPRISES INC-CL
   A                     EQUITY       781846209     451    28,476 SH    -- SOLE           1      28,476         --       --
RUSS BERRIE AND CO.,
   INC.                  EQUITY       782233100     201    14,267 SH    -- SOLE           1      14,267         --       --
RUTH'S CHRIS STEAK HOUSE EQUITY       783332109     113    16,316 SH    -- SOLE           1      16,316         --       --
RXI PHARMACEUTICALS
   CORP COM ADDED        EQUITY       74978T109       7       748 SH    -- DEFINED        4          --         --      748
RXI PHARMACEUTICALS
   CORP COM ADDED        EQUITY       74978T109       3       299 SH    -- DEFINED        5          --         --      299
RYANAIR HLDGS PLC
   SPONSORED ADR         EQUITY       783513104      37     1,301 SH    -- DEFINED        5          --         --    1,301
RYANAIR HOLDINGS PLC-SP
   ADR                   EQUITY       783513104     272     9,625 SH    -- SOLE           1       9,625         --       --
RYDER SYS INC            EQUITY       783549108       4        69 SH    -- SOLE           2          69         --       --
RYDER SYSTEM, INC.       EQUITY       783549108   1,600    26,264 SH    -- SOLE           1      26,264         --       --
RYDEX ETF TRUST HEALTH
   CARE                  EQUITY       78355W841      51       992 SH    -- DEFINED        4          --         --      992
RYDEX ETF TRUST INV
   S&P500 2X             EQUITY       78355W767      12       125 SH    -- DEFINED        5          --         --      125
RYDEX ETF TRUST S&P 500
   EQ TRD                EQUITY       78355W106     625    14,591 SH    -- DEFINED        4          --         --   14,591
RYDEX ETF TRUST S&P 500
   EQ TRD                EQUITY       78355W106     126     2,943 SH    -- DEFINED        5          --         --    2,943
RYDEX ETF TRUST TOP 50
   ETF                   EQUITY       78355W205     175     1,774 SH    -- DEFINED        4          --         --    1,774
RYDEX ETF TRUST TOP 50
   ETF                   EQUITY       78355W205      87       887 SH    -- DEFINED        5          --         --      887
RYLAND GROUP             EQUITY       783764103   3,358   102,087 SH    -- SOLE           1     102,087         --       --
S J W CORP COM           EQUITY       784305104     372    13,008 SH    -- SOLE           1      13,008         --       --
S&P 500 COVERED CALL FD
   INC COM               EQUITY       78381P109       8       500 SH    -- DEFINED        5          --         --      500
S&P 500 DEPOSITORY
   RECEIPT               EQUITY       78462F103 110,888   841,014 SH    -- SOLE           1     841,014         --       --
S&T BANCORP, INC.        EQUITY       783859101     684    21,277 SH    -- SOLE           1      21,277         --       --
S.Y. BANCORP INC         EQUITY       785060104     232    10,000 SH    -- SOLE           1      10,000         --       --
S1 CORPORATION           EQUITY       78463B101     315    44,287 SH    -- SOLE           1      44,287         --       --
SABINE ROYALTY TR UNIT
   BEN INT               EQUITY       785688102     272     5,392 SH    -- DEFINED        4          --         --    5,392
SABINE ROYALTY TR UNIT
   BEN INT               EQUITY       785688102       8       154 SH    -- DEFINED        5          --         --      154
SAFECO CORP              EQUITY       786429100       5       107 SH    -- SOLE           2         107         --       --
SAFECO CORP COM          EQUITY       786429100       2        43 SH    -- DEFINED        5          --         --       43
SAFECO CORP.             EQUITY       786429100  12,734   290,211 SH    -- SOLE           1     290,211         --       --
SAFEGUARD SCIENTIFICS,
   INC.                  EQUITY       786449108     155   103,771 SH    -- SOLE           1     103,771         --       --
SAFETY INSURANCE GROUP
   INC                   EQUITY       78648T100     475    13,920 SH    -- SOLE           1      13,920         --       --
SAFEWAY INC              EQUITY       786514208  19,146   652,323 SH    -- SOLE           1     652,323         --       --
SAFEWAY INC              EQUITY       786514208   1,405    47,866 SH    -- SOLE           2      47,866         --       --
SAFEWAY INC COM NEW      EQUITY       786514208       7       240 SH    -- DEFINED        4          --         --      240
SAIA INC                 EQUITY       78709Y105     182    11,470 SH    -- SOLE           1      11,470         --       --
SAIC INC                 EQUITY       78390X101   2,661   143,121 SH    -- SOLE           1     143,121         --       --
SAIC INC COM             EQUITY       78390X101       6       300 SH    -- DEFINED        4          --         --      300
SAIC INC COM             EQUITY       78390X101      16       850 SH    -- DEFINED        5          --         --      850
SAKS INC                 EQUITY       79377W108   4,253   341,044 SH    -- SOLE           1     341,044         --       --
SAKS INC COM             EQUITY       79377W108       4       350 SH    -- DEFINED        4          --         --      350
SALARY.COM INC           EQUITY       794006106   1,152   174,841 SH    -- SOLE           1     174,841         --       --
SALEM COMMUNICATION-
   CLASS A               EQUITY       794093104      32     7,897 SH    -- SOLE           1       7,897         --       --
SALESFORCE COM INC       EQUITY       79466L302   1,874    32,390 SH    -- SOLE           2      32,390         --       --
SALESFORCE COM INC COM   EQUITY       79466L302       5        81 SH    -- DEFINED        5          --         --       81
SALESFORCE.COM INC       EQUITY       79466L302     118     2,034 SH    -- SOLE           1       2,034         --       --
SALESFORCE.COM INC.      EQUITY       79466L302   7,014   121,200 SH    -- SOLE           3      54,000         --   67,200
SALIX PHARMACEUTICALS    EQUITY       795435106     254    40,465 SH    -- SOLE           1      40,465         --       --
SALLY BEAUTY CO INC      EQUITY       79546E104     554    80,290 SH    -- SOLE           1      80,290         --       --





                                                                                  
SAN JUAN BASIN RTY TR
   UNIT BEN INT          EQUITY       798241105     181     4,856 SH    -- DEFINED        4          --         --    4,856
SAN JUAN BASIN RTY TR
   UNIT BEN INT          EQUITY       798241105      13       360 SH    -- DEFINED        5          --         --      360
SANDERS MORRIS HARRIS
   GRP IN                EQUITY       80000Q104     130    15,938 SH    -- SOLE           1      15,938         --       --
SANDERSON FARMS, INC.    EQUITY       800013104     551    14,507 SH    -- SOLE           1      14,507         --       --
SANDISK CORP             EQUITY       80004C101      25     1,124 SH    -- SOLE           2       1,124         --       --
SANDISK CORP COM         EQUITY       80004C101       3       150 SH    -- DEFINED        5          --         --      150
SANDISK CORP.            EQUITY       80004C101   2,495   110,533 SH    -- SOLE           1     110,533         --       --
SANDRIDGE ENERGY INC     EQUITY       80007P307      24       613 SH    -- SOLE           1         613         --       --
SANDRIDGE ENERGY INC COM EQUITY       80007P307   4,201   107,300 SH    -- SOLE           3      50,300         --   57,000
SANDRIDGE ENERGY INC COM EQUITY       80007P307      12       300 SH    -- DEFINED        4          --         --      300
SANDY SPRING BANCORP,
   INC.                  EQUITY       800363103     372    13,501 SH    -- SOLE           1      13,501         --       --
SANGAMO BIOSCIENCES INC  EQUITY       800677106     203    20,000 SH    -- SOLE           2      20,000         --       --
SANGAMO BIOSCIENCES INC
   COM                   EQUITY       800677106       9       900 SH    -- DEFINED        4          --         --      900
SANMINA - SCI CORP       EQUITY       800907107     220   135,784 SH    -- SOLE           1     135,784         --       --
SANMINA SCI CORP COM     EQUITY       800907107       2     1,000 SH    -- DEFINED        5          --         --    1,000
SANOFI AVENTIS
   SPONSORED ADR         EQUITY       80105N105       4       105 SH    -- DEFINED        5          --         --      105
SANTANDER BANCORP        EQUITY       802809103      38     3,725 SH    -- SOLE           1       3,725         --       --
SANTARUS INC             EQUITY       802817304     112    43,503 SH    -- SOLE           1      43,503         --       --
SAPIENT CORP.            EQUITY       803062108     487    69,934 SH    -- SOLE           1      69,934         --       --
SAPPI LTD SPON ADR NEW   EQUITY       803069202       2       162 SH    -- DEFINED        5          --         --      162
SARA LEE CORP            EQUITY       803111103      12       851 SH    -- SOLE           2         851         --       --
SARA LEE CORP COM        EQUITY       803111103     188    13,427 SH    -- DEFINED        4          --         --   13,427
SARA LEE CORP COM        EQUITY       803111103       2       109 SH    -- DEFINED        5          --         --      109
SARA LEE CORP.           EQUITY       803111103   4,544   325,069 SH    -- SOLE           1     325,069         --       --
SASOL LTD SPONSORED ADR  EQUITY       803866300      38       782 SH    -- DEFINED        5          --         --      782
SATYAM COMPUTER
   SERVICES LTD ADR      EQUITY       804098101      15       670 SH    -- DEFINED        4          --         --      670
SAUER-DANFOSS INC.       EQUITY       804137107     208     9,414 SH    -- SOLE           1       9,414         --       --
SAUL CENTERS, INC.       EQUITY       804395101     172     3,431 SH    -- SOLE           1       3,431         --       --
SAVIENT PHARMACEUTICALS
   IN                    EQUITY       80517Q100     380    19,000 SH    -- SOLE           2      19,000         --       --
SAVIENT PHARMACEUTICALS
   INC                   EQUITY       80517Q100     911    45,558 SH    -- SOLE           1      45,558         --       --
SAVIENT PHARMACEUTICALS
   INC COM               EQUITY       80517Q100       3       150 SH    -- DEFINED        4          --         --      150
SAVVIS INC               EQUITY       805423308     383    23,567 SH    -- SOLE           1      23,567         --       --
SBA COMMUNICATIONS
   CORPORATION           EQUITY       78388J106      32     1,070 SH    -- SOLE           1       1,070         --       --
SCANA CORP               EQUITY       80589M102  10,318   282,060 SH    -- SOLE           1     282,060         --       --
SCANA CORP NEW COM       EQUITY       80589M102       4       117 SH    -- DEFINED        5          --         --      117
SCANSOURCE INC           EQUITY       806037107     799    22,086 SH    -- SOLE           1      22,086         --       --
SCBT FINANCIAL CORP      EQUITY       78401V102     295     8,717 SH    -- SOLE           1       8,717         --       --
SCHAWK, INC.             EQUITY       806373106     202    12,631 SH    -- SOLE           1      12,631         --       --
SCHEIN HENRY INC COM     EQUITY       806407102       9       150 SH    -- DEFINED        5          --         --      150
SCHERING PLOUGH CORP     EQUITY       806605101   1,895   131,537 SH    -- SOLE           2     131,537         --       --
SCHERING PLOUGH CORP COM EQUITY       806605101       5       326 SH    -- DEFINED        4          --         --      326
SCHERING PLOUGH CORP COM EQUITY       806605101      59     4,102 SH    -- DEFINED        5          --         --    4,102
SCHERING-PLOUGH CORP.    EQUITY       806605101  21,513 1,492,912 SH    -- SOLE           1   1,492,912         --       --
SCHLUMBERGER LTD         EQUITY       806857108  10,793   124,062 SH    -- SOLE           2     124,062         --       --
SCHLUMBERGER LTD COM     EQUITY       806857108     109     1,255 SH    -- DEFINED        4          --         --    1,255
SCHLUMBERGER LTD COM     EQUITY       806857108      82       947 SH    -- DEFINED        5          --         --      947
SCHLUMBERGER LTD DBCV
   1.500% 6/0            FIXED INCOME 806857AC2       7         3 PRN   -- DEFINED        4          --         --        3
SCHLUMBERGER, LTD.       EQUITY       806857108  67,727   778,467 SH    -- SOLE           1     778,467         --       --
SCHNITZER STL INDS       EQUITY       806882106   1,333    18,768 SH    -- SOLE           1      18,768         --       --
SCHOLASTIC CORP.         EQUITY       807066105   2,672    88,261 SH    -- SOLE           1      88,261         --       --
SCHOOL SPECIALTY, INC.   EQUITY       807863105     536    16,999 SH    -- SOLE           1      16,999         --       --
SCHULMAN, A. INC.        EQUITY       808194104     475    23,134 SH    -- SOLE           1      23,134         --       --
SCHWAB CHARLES CORP      EQUITY       808513105      21     1,122 SH    -- SOLE           2       1,122         --       --
SCHWEITZER-MAUDUIT INC.  EQUITY       808541106     312    13,475 SH    -- SOLE           1      13,475         --       --
SCIELE PHARMA INC        EQUITY       808627103     590    30,252 SH    -- SOLE           1      30,252         --       --
SCIENTIFIC GAMES CORP    EQUITY       80874P109  15,837   750,200 SH    -- SOLE           2     750,200         --       --





                                                                                  
SCIENTIFIC GAMES CORP A  EQUITY       80874P109   3,282   155,480 SH    -- SOLE           1     155,480         --       --
SCOTTS MIRACLE GRO CO
   CL A                  EQUITY       810186106       2        75 SH    -- DEFINED        5          --         --       75
SCOTTS MIRACLE-GRO CO.   EQUITY       810186106   3,456   106,614 SH    -- SOLE           1     106,614         --       --
SCRIPPS CO               EQUITY       811054204   1,669    39,738 SH    -- SOLE           1      39,738         --       --
SCRIPPS E W CO OH        EQUITY       811054204       4       107 SH    -- SOLE           2         107         --       --
SEABOARD CORP.           EQUITY       811543107     476       304 SH    -- SOLE           1         304         --       --
SEABRIDGE GOLD INC COM   EQUITY       811916105       7       300 SH    -- DEFINED        5          --         --      300
SEABRIGHT INSURANCE
   HLDGS IN COM          EQUITY       811656107       1       100 SH    -- DEFINED        4          --         --      100
SEABRIGHT INSURANCE
   HOLDINGS              EQUITY       811656107     263    17,845 SH    -- SOLE           1      17,845         --       --
SEACHANGE
   INTERNATIONAL, INC.   EQUITY       811699107     178    25,293 SH    -- SOLE           1      25,293         --       --
SEACOAST BANKING CORP FL EQUITY       811707306     139    12,697 SH    -- SOLE           1      12,697         --       --
SEACOR HOLDINGS INC      EQUITY       811904101     551     6,460 SH    -- SOLE           1       6,460         --       --
SEAGATE TECHNOLOGY       EQUITY       G7945J104     154     7,350 SH    -- SOLE           2       7,350         --       --
SEAGATE TECHNOLOGY SHS   EQUITY       G7945J104       6       291 SH    -- DEFINED        4          --         --      291
SEAGATE TECHNOLOGY SHS   EQUITY       G7945J104       6       293 SH    -- DEFINED        5          --         --      293
SEALED AIR CORP          EQUITY       81211K100   1,801    71,335 SH    -- SOLE           1      71,335         --       --
SEALED AIR CORP NEW      EQUITY       81211K100       5       193 SH    -- SOLE           2         193         --       --
SEALED AIR CORP NEW COM  EQUITY       81211K100      11       420 SH    -- DEFINED        5          --         --      420
SEALY CORP               EQUITY       812139301     292    38,364 SH    -- SOLE           1      38,364         --       --
SEARS HLDGS CORP         EQUITY       812350106       9        87 SH    -- SOLE           2          87         --       --
SEARS HLDGS CORP COM     EQUITY       812350106       8        75 SH    -- DEFINED        5          --         --       75
SEARS HOLDINGS CORP      EQUITY       812350106   3,797    37,189 SH    -- SOLE           1      37,189         --       --
SEASPAN CORP SHS         EQUITY       Y75638109       4       127 SH    -- DEFINED        4          --         --      127
SEASPAN CORP SHS         EQUITY       Y75638109       9       300 SH    -- DEFINED        5          --         --      300
SEATTLE GENETICS INC WA  EQUITY       812578102     456    50,157 SH    -- SOLE           1      50,157         --       --
SECURE COMPUTING CORP    EQUITY       813705100     258    39,974 SH    -- SOLE           1      39,974         --       --
SECURITY BANK CORP       EQUITY       814047106     143    17,959 SH    -- SOLE           1      17,959         --       --
SECURITY BANK CORP COM   EQUITY       814047106      10     1,300 SH    -- DEFINED        4          --         --    1,300
SEI INVESTMENTS CO.      EQUITY       784117103   7,495   303,550 SH    -- SOLE           1     303,550         --       --
SELECT COMFORT CORP      EQUITY       81616X103     145    40,175 SH    -- SOLE           1      40,175         --       --
SELECT SECTOR SPDR TR
   SBI CONS DISCR        EQUITY       81369Y407       7       221 SH    -- DEFINED        5          --         --      221
SELECT SECTOR SPDR TR
   SBI CONS STPLS        EQUITY       81369Y308   1,218    43,715 SH    -- DEFINED        4          --         --   43,715
SELECT SECTOR SPDR TR
   SBI CONS STPLS        EQUITY       81369Y308      47     1,698 SH    -- DEFINED        5          --         --    1,698
SELECT SECTOR SPDR TR
   SBI HEALTHCARE        EQUITY       81369Y209     114     3,651 SH    -- DEFINED        4          --         --    3,651
SELECT SECTOR SPDR TR
   SBI HEALTHCARE        EQUITY       81369Y209      58     1,860 SH    -- DEFINED        5          --         --    1,860
SELECT SECTOR SPDR TR
   SBI INT-ENERGY        EQUITY       81369Y506   1,211    16,349 SH    -- DEFINED        4          --         --   16,349
SELECT SECTOR SPDR TR
   SBI INT-ENERGY        EQUITY       81369Y506     195     2,636 SH    -- DEFINED        5          --         --    2,636
SELECT SECTOR SPDR TR
   SBI INT-FINL          EQUITY       81369Y605     271    10,878 SH    -- DEFINED        4          --         --   10,878
SELECT SECTOR SPDR TR
   SBI INT-FINL          EQUITY       81369Y605      62     2,475 SH    -- DEFINED        5          --         --    2,475
SELECT SECTOR SPDR TR
   SBI INT-INDS          EQUITY       81369Y704     140     3,750 SH    -- DEFINED        4          --         --    3,750
SELECT SECTOR SPDR TR
   SBI INT-INDS          EQUITY       81369Y704      36       968 SH    -- DEFINED        5          --         --      968
SELECT SECTOR SPDR TR
   SBI INT-TECH          EQUITY       81369Y803     272    12,164 SH    -- DEFINED        4          --         --   12,164
SELECT SECTOR SPDR TR
   SBI INT-TECH          EQUITY       81369Y803      22       971 SH    -- DEFINED        5          --         --      971
SELECT SECTOR SPDR TR
   SBI INT-UTILS         EQUITY       81369Y886      46     1,205 SH    -- DEFINED        4          --         --    1,205
SELECT SECTOR SPDR TR
   SBI INT-UTILS         EQUITY       81369Y886     101     2,650 SH    -- DEFINED        5          --         --    2,650
SELECT SECTOR SPDR TR
   SBI MATERIALS         EQUITY       81369Y100      57     1,431 SH    -- DEFINED        4          --         --    1,431
SELECT SECTOR SPDR TR
   SBI MATERIALS         EQUITY       81369Y100     116     2,878 SH    -- DEFINED        5          --         --    2,878
SELECTIVE INSURANCE
   GROUP, INC            EQUITY       816300107   1,124    47,063 SH    -- SOLE           1      47,063         --       --
SEMITOOL, INC.           EQUITY       816909105     158    19,035 SH    -- SOLE           1      19,035         --       --
SEMPRA ENERGY            EQUITY       816851109   7,915   148,548 SH    -- SOLE           1     148,548         --       --
SEMPRA ENERGY            EQUITY       816851109      17       312 SH    -- SOLE           2         312         --       --
SEMPRA ENERGY COM        EQUITY       816851109      18       330 SH    -- DEFINED        4          --         --      330
SEMPRA ENERGY COM        EQUITY       816851109      57     1,062 SH    -- DEFINED        5          --         --    1,062
SEMTECH CORP COM         EQUITY       816850101      12       848 SH    -- DEFINED        4          --         --      848
SEMTECH CORP COM         EQUITY       816850101       9       646 SH    -- DEFINED        5          --         --      646
SEMTECH CORP.            EQUITY       816850101   2,955   206,245 SH    -- SOLE           1     206,245         --       --





                                                                                  
SENIOR HOUSING PROP
   TRUST                 EQUITY       81721M109   1,929    81,405 SH    -- SOLE           1      81,405         --       --
SENOMYX INC              EQUITY       81724Q107     154    26,022 SH    -- SOLE           1      26,022         --       --
SENORX INC               EQUITY       81724W104   4,031   625,000 SH    -- SOLE           1     625,000         --       --
SENSIENT TECHNOLOGIES
   CORP.                 EQUITY       81725T100   4,528   153,527 SH    -- SOLE           1     153,527         --       --
SEPRACOR INC COM         EQUITY       817315104      15       775 SH    -- DEFINED        5          --         --      775
SEPRACOR, INC.           EQUITY       817315104   5,223   267,581 SH    -- SOLE           1     267,581         --       --
SERVICE CORP
   INTERNATIONAL         EQUITY       817565104   6,378   628,994 SH    -- SOLE           1     628,994         --       --
SHANDA INTERACTIVE
   ENTMT L               EQUITY       81941Q203     713    24,500 SH    -- SOLE           2      24,500         --       --
SHAW COMMUNICATIONS INC
  - B                    EQUITY       82028K200   2,174   119,514 SH    -- OTHER          1          --    119,514       --
SHAW GROUP INC           EQUITY       820280105      87     1,846 SH    -- SOLE           1       1,846         --       --
SHAW GROUP INC COM       EQUITY       820280105      17       362 SH    -- DEFINED        5          --         --      362
SHENANDOAH TELECOMMUNI   EQUITY       82312B106     297    20,021 SH    -- SOLE           1      20,021         --       --
SHENGDATECH INC          EQUITY       823213103     209    24,551 SH    -- SOLE           1      24,551         --       --
SHERWIN WILLIAMS CO      EQUITY       824348106     163     3,202 SH    -- SOLE           2       3,202         --       --
SHERWIN WILLIAMS CO COM  EQUITY       824348106      10       200 SH    -- DEFINED        5          --         --      200
SHERWIN-WILLIAMS CO.     EQUITY       824348106   6,635   129,992 SH    -- SOLE           1     129,992         --       --
SHIP FINANCE
   INTERNATIONAL L SHS   EQUITY       G81075106       4       162 SH    -- DEFINED        4          --         --      162
SHIP FINANCE
   INTERNATIONAL L SHS   EQUITY       G81075106     214     8,156 SH    -- DEFINED        5          --         --    8,156
SHOE CARNIVAL INC        EQUITY       824889109     102     7,516 SH    -- SOLE           1       7,516         --       --
SHORETEL INC             EQUITY       825211105      40     7,768 SH    -- SOLE           1       7,768         --       --
SHUFFLE MASTER, INC.     EQUITY       825549108     162    30,223 SH    -- SOLE           1      30,223         --       --
SHUTTERFLY INC           EQUITY       82568P304     197    13,222 SH    -- SOLE           1      13,222         --       --
SI INTERNATIONAL INC     EQUITY       78427V102     216    11,246 SH    -- SOLE           1      11,246         --       --
SIEMENS A G SPONSORED
   ADR                   EQUITY       826197501      10        95 SH    -- DEFINED        4          --         --       95
SIEMENS A G SPONSORED
   ADR                   EQUITY       826197501      17       156 SH    -- DEFINED        5          --         --      156
SIERRA BANCORP           EQUITY       82620P102     141     6,511 SH    -- SOLE           1       6,511         --       --
SIERRA PAC RES NEW       EQUITY       826428104     114     9,040 SH    -- SOLE           2       9,040         --       --
SIERRA PACIFIC RESOURCES EQUITY       826428104   7,178   568,354 SH    -- SOLE           1     568,354         --       --
SIGMA ALDRICH            EQUITY       826552101       9       155 SH    -- SOLE           2         155         --       --
SIGMA ALDRICH CORP COM   EQUITY       826552101      13       212 SH    -- DEFINED        5          --         --      212
SIGMA ALDRICH CORP.      EQUITY       826552101   3,757    62,992 SH    -- SOLE           1      62,992         --       --
SIGMA DESIGNS INC        EQUITY       826565103     575    25,362 SH    -- SOLE           1      25,362         --       --
SIGMA DESIGNS INC COM    EQUITY       826565103      18       800 SH    -- DEFINED        5          --         --      800
SIGNATURE BANK           EQUITY       82669G104     649    25,456 SH    -- SOLE           1      25,456         --       --
SILGAN HOLDINGS, INC.    EQUITY       827048109   1,056    21,274 SH    -- SOLE           1      21,274         --       --
SILICON GRAPHICS INC     EQUITY       827056300      66     5,595 SH    -- SOLE           1       5,595         --       --
SILICON IMAGE  INC       EQUITY       82705T102     377    75,294 SH    -- SOLE           1      75,294         --       --
SILICON IMAGE INC COM    EQUITY       82705T102       8     1,500 SH    -- DEFINED        4          --         --    1,500
SILICON IMAGE INC COM    EQUITY       82705T102      10     1,900 SH    -- DEFINED        5          --         --    1,900
SILICON LABORATORIES INC EQUITY       826919102   3,971   125,890 SH    -- SOLE           1     125,890         --       --
SILICON LABORATORIES
   INC COM               EQUITY       826919102      12       381 SH    -- DEFINED        5          --         --      381
SILICON MOTION
   TECHNOLOGY CO
   SPONSORED ADR         EQUITY       82706C108       7       500 SH    -- DEFINED        4          --         --      500
SILICON STORAGE
   TECHNOLOGY            EQUITY       827057100     204    77,928 SH    -- SOLE           1      77,928         --       --
SILICONWARE PRECISION
   INDS L SPONSD ADR SPL EQUITY       827084864      18     2,164 SH    -- DEFINED        4          --         --    2,164
SILVER STATE BANCORP COM EQUITY       828251108      26     3,000 SH    -- DEFINED        5          --         --    3,000
SILVER STD RES INC COM   EQUITY       82823L106       3       115 SH    -- DEFINED        5          --         --      115
SILVER WHEATON CORP      EQUITY       828336107     736    47,467 SH    -- OTHER          1          --     47,467       --
SILVER WHEATON CORP COM  EQUITY       828336107     103     6,607 SH    -- DEFINED        5          --         --    6,607
SILVER WHEATON CORP COM
   (F)                   EQUITY       828336107     489    31,500 SH    -- SOLE           3      31,500         --       --
SIMMONS FIRST NATIONAL
   CORP.                 EQUITY       828730200     360    12,122 SH    -- SOLE           1      12,122         --       --
SIMON PPTY GROUP INC NEW EQUITY       828806109      25       267 SH    -- SOLE           2         267         --       --
SIMON PROPERTY GROUP INC EQUITY       828806109  27,387   294,764 SH    -- SOLE           1     294,764         --       --
SIMPSON MANUFACTURING
   CO INC COM            EQUITY       829073105       2        60 SH    -- DEFINED        5          --         --       60
SIMPSON MANUFACTURING
   CO.                   EQUITY       829073105     860    31,645 SH    -- SOLE           1      31,645         --       --
SINCLAIR BROADCAST
   GROUP, INC.           EQUITY       829226109     376    42,195 SH    -- SOLE           1      42,195         --       --
SINOPEC SHANGHAI
   PETROCHEMIC SPON ADR
   H                     EQUITY       82935M109      15       420 SH    -- DEFINED        4          --         --      420





                                                                                  
SIRF TECHNOLOGY HLDGS
   INC COM               EQUITY       82967H101     117    23,050 SH    -- DEFINED        5          --         --   23,050
SIRF TECHNOLOGY
   HOLDINGS INC          EQUITY       82967H101     262    51,486 SH    -- SOLE           1      51,486         --       --
SIRIUS SATELLITE RADIO
   INC COM               EQUITY       82966U103      56    19,660 SH    -- DEFINED        4          --         --   19,660
SIRIUS SATELLITE RADIO
   INC COM               EQUITY       82966U103     203    70,882 SH    -- DEFINED        5          --         --   70,882
SIRIUS SATELLITE RADIO
   INC.                  EQUITY       82966U103   1,547   540,842 SH    -- SOLE           1     540,842         --       --
SIRONA DENTAL SYS INC    EQUITY       82966C103   6,559   243,200 SH    -- SOLE           2     243,200         --       --
SIRONA DENTAL SYSTEMS
   INC                   EQUITY       82966C103     388    14,369 SH    -- SOLE           1      14,369         --       --
SIRONA DENTAL SYSTEMS
   INC COM               EQUITY       82966C103       4       150 SH    -- DEFINED        5          --         --      150
SIRTRIS PHARMACEUTICALS
   INC                   EQUITY       82968A105      71     5,470 SH    -- SOLE           1       5,470         --       --
SIX FLAGS, INC           EQUITY       83001P109      99    60,408 SH    -- SOLE           1      60,408         --       --
SK TELECOM LTD
   SPONSORED ADR         EQUITY       78440P108       4       200 SH    -- DEFINED        5          --         --      200
SKECHERS U S A INC       EQUITY       830566105     525    26,000 SH    -- SOLE           2      26,000         --       --
SKECHERS USA INC. CL-A   EQUITY       830566105     354    17,495 SH    -- SOLE           1      17,495         --       --
SKILLED HEALTHCARE
   GROUP INC             EQUITY       83066R107     211    19,215 SH    -- SOLE           1      19,215         --       --
SKYLINE CORP.            EQUITY       830830105     163     5,857 SH    -- SOLE           1       5,857         --       --
SKYWEST INC              EQUITY       830879102   1,103    52,235 SH    -- SOLE           1      52,235         --       --
SKYWEST INC COM          EQUITY       830879102       6       283 SH    -- DEFINED        5          --         --      283
SKYWORKS SOLUTIONS INC   EQUITY       83088M102     999   137,168 SH    -- SOLE           1     137,168         --       --
SKYWORKS SOLUTIONS INC
   COM                   EQUITY       83088M102     402    55,193 SH    -- DEFINED        5          --         --   55,193
SL GREEN REALTY CORP     EQUITY       78440X101  12,147   149,094 SH    -- SOLE           1     149,094         --       --
SL GREEN RLTY CORP COM   EQUITY       78440X101   2,436    29,900 SH    -- SOLE           3      11,900         --   18,000
SLM CORP                 EQUITY       78442P106   2,922   190,358 SH    -- SOLE           1     190,358         --       --
SLM CORP                 EQUITY       78442P106       9       558 SH    -- SOLE           2         558         --       --
SLM CORP COM             EQUITY       78442P106       2       100 SH    -- DEFINED        4          --         --      100
SLM CORP COM             EQUITY       78442P106      24     1,575 SH    -- DEFINED        5          --         --    1,575
SMALL CAP PREM & DIV
   INCM FD COM           EQUITY       83165P101      25     1,700 SH    -- DEFINED        5          --         --    1,700
SMITH & NEPHEW PLC SPDN
   ADR NEW               EQUITY       83175M205       7       100 SH    -- DEFINED        4          --         --      100
SMITH & WESSON HLDG
   CORP COM              EQUITY       831756101       3       500 SH    -- DEFINED        5          --         --      500
SMITH & WESSON HOLDING
   CORP                  EQUITY       831756101     128    25,444 SH    -- SOLE           1      25,444         --       --
SMITH INTERNATIONAL,
   INC.                  EQUITY       832110100   5,518    85,906 SH    -- SOLE           1      85,906         --       --
SMITH INTL INC           EQUITY       832110100     127     1,970 SH    -- SOLE           2       1,970         --       --
SMITH INTL INC COM       EQUITY       832110100       1        16 SH    -- DEFINED        4          --         --       16
SMITH INTL INC COM       EQUITY       832110100      20       315 SH    -- DEFINED        5          --         --      315
SMITH MICRO SOFTWARE INC EQUITY       832154108     156    25,424 SH    -- SOLE           1      25,424         --       --
SMITH, A.O. CORP.        EQUITY       831865209     580    17,650 SH    -- SOLE           1      17,650         --       --
SMITHFIELD FOODS INC     EQUITY       832248108   7,207   279,789 SH    -- SOLE           1     279,789         --       --
SMITHFIELD FOODS INC COM EQUITY       832248108       2        65 SH    -- DEFINED        5          --         --       65
SMUCKER J M CO COM NEW   EQUITY       832696405      11       219 SH    -- DEFINED        4          --         --      219
SMUCKER J M CO COM NEW   EQUITY       832696405      66     1,311 SH    -- DEFINED        5          --         --    1,311
SMURFIT-STONE CONTAINER
   CORP.                 EQUITY       832727101      74     9,602 SH    -- SOLE           1       9,602         --       --
SNAP ON INC              EQUITY       833034101     563    11,069 SH    -- SOLE           2      11,069         --       --
SNAP ON INC COM          EQUITY       833034101      11       210 SH    -- DEFINED        5          --         --      210
SNAP-ON, INC.            EQUITY       833034101   1,355    26,651 SH    -- SOLE           1      26,651         --       --
SOHU COM                 EQUITY       83408W103   7,911   175,300 SH    -- SOLE           3      86,400         --   88,900
SOHU COM INC             EQUITY       83408W103     514    11,400 SH    -- SOLE           2      11,400         --       --
SOHU COM INC COM         EQUITY       83408W103     139     3,081 SH    -- DEFINED        4          --         --    3,081
SOHU.COM INC             EQUITY       83408W103   2,183    48,371 SH    -- SOLE           1      48,371         --       --
SOLARFUN POWER HOLDINGS
   CO L SPONSORED ADR    EQUITY       83415U108       1       100 SH    -- DEFINED        4          --         --      100
SOLARFUN POWER HOLDINGS
   CO L SPONSORED ADR    EQUITY       83415U108      88     7,300 SH    -- DEFINED        5          --         --    7,300
SOLERA HOLDINGS INC      EQUITY       83421A104     549    22,522 SH    -- SOLE           1      22,522         --       --
SOMAXON PHARMACEUTICALS
   INC                   EQUITY       834453102      41     8,665 SH    -- SOLE           1       8,665         --       --
SONIC AUTOMOTIVE INC     EQUITY       83545G102     516    25,114 SH    -- SOLE           1      25,114         --       --
SONIC CORP COM           EQUITY       835451105      25     1,135 SH    -- DEFINED        4          --         --    1,135
SONIC CORP COM           EQUITY       835451105      38     1,720 SH    -- DEFINED        5          --         --    1,720
SONIC CORP.              EQUITY       835451105   1,149    52,143 SH    -- SOLE           1      52,143         --       --
SONIC INNOVATIONS INC    EQUITY       83545M109     109    22,637 SH    -- SOLE           1      22,637         --       --





                                                                                  
SONIC SOLUTIONS          EQUITY       835460106     185    19,169 SH    -- SOLE           1      19,169         --       --
SONICWALL INC            EQUITY       835470105     424    51,884 SH    -- SOLE           1      51,884         --       --
SONICWALL INC COM        EQUITY       835470105       8     1,000 SH    -- DEFINED        5          --         --    1,000
SONOCO PRODS CO COM      EQUITY       835495102      33     1,162 SH    -- DEFINED        5          --         --    1,162
SONOCO PRODUCTS CO.      EQUITY       835495102   6,840   238,925 SH    -- SOLE           1     238,925         --       --
SONOSIGHT, INC.          EQUITY       83568G104     405    14,239 SH    -- SOLE           1      14,239         --       --
SONOSITE INC             EQUITY       83568G104     557    19,600 SH    -- SOLE           2      19,600         --       --
SONOSITE INC COM         EQUITY       83568G104       9       300 SH    -- DEFINED        5          --         --      300
SONUS NETWORKS INC       EQUITY       835916107     789   229,318 SH    -- SOLE           1     229,318         --       --
SONUS NETWORKS INC COM   EQUITY       835916107       5     1,500 SH    -- DEFINED        5          --         --    1,500
SONY CORP ADR NEW        EQUITY       835699307       4       100 SH    -- DEFINED        4          --         --      100
SONY CORP ADR NEW        EQUITY       835699307      16       400 SH    -- DEFINED        5          --         --      400
SOTHEBY'S                EQUITY       835898107   6,259   216,493 SH    -- SOLE           1     216,493         --       --
SOTHEBYS COM             EQUITY       835898107       9       308 SH    -- DEFINED        5          --         --      308
SOURCE CAP INC COM       EQUITY       836144105      27       500 SH    -- DEFINED        5          --         --      500
SOURCE INTERLINK COS INC EQUITY       836151209      56    29,517 SH    -- SOLE           1      29,517         --       --
SOURCEFIRE INC           EQUITY       83616T108      34     5,689 SH    -- SOLE           1       5,689         --       --
SOURCEFORGE INC          EQUITY       83616W101     115    57,972 SH    -- SOLE           1      57,972         --       --
SOUTH FINANCIAL GROUP
   INC.                  EQUITY       837841105     945    63,615 SH    -- SOLE           1      63,615         --       --
SOUTH JERSEY
   INDUSTRIES, INC.      EQUITY       838518108     888    25,278 SH    -- SOLE           1      25,278         --       --
SOUTHERN CO              EQUITY       842587107  11,993   336,776 SH    -- SOLE           1     336,776         --       --
SOUTHERN CO              EQUITY       842587107   2,657    74,614 SH    -- SOLE           2      74,614         --       --
SOUTHERN CO COM          EQUITY       842587107     793    22,261 SH    -- DEFINED        4          --         --   22,261
SOUTHERN CO COM          EQUITY       842587107     192     5,405 SH    -- DEFINED        5          --         --    5,405
SOUTHERN COPPER CORP     EQUITY       84265V105   8,994    86,625 SH    -- SOLE           1      86,625         --       --
SOUTHERN COPPER CORP COM EQUITY       84265V105      60       577 SH    -- DEFINED        4          --         --      577
SOUTHERN COPPER CORP COM EQUITY       84265V105     114     1,100 SH    -- DEFINED        5          --         --    1,100
SOUTHERN COPPER CORP DEL EQUITY       84265V105   4,569    44,000 SH    -- SOLE           2      44,000         --       --
SOUTHERN UNION CO.       EQUITY       844030106      94     4,047 SH    -- SOLE           1       4,047         --       --
SOUTHSIDE BANCSHARES INC EQUITY       84470P109     237     9,834 SH    -- SOLE           1       9,834         --       --
SOUTHWEST AIRLINES CO.   EQUITY       844741108  10,208   823,237 SH    -- SOLE           1     823,237         --       --
SOUTHWEST AIRLS CO       EQUITY       844741108      11       879 SH    -- SOLE           2         879         --       --
SOUTHWEST AIRLS CO COM   EQUITY       844741108     210    16,921 SH    -- DEFINED        4          --         --   16,921
SOUTHWEST AIRLS CO COM   EQUITY       844741108      14     1,132 SH    -- DEFINED        5          --         --    1,132
SOUTHWEST BANCORP INC    EQUITY       844767103     215    12,262 SH    -- SOLE           1      12,262         --       --
SOUTHWEST GAS CORP       EQUITY       844895102   1,011    36,169 SH    -- SOLE           1      36,169         --       --
SOUTHWEST GAS CORP COM   EQUITY       844895102       4       147 SH    -- DEFINED        5          --         --      147
SOUTHWEST WTR CO         EQUITY       845331107     229    20,650 SH    -- SOLE           1      20,650         --       --
SOUTHWEST WTR CO COM     EQUITY       845331107       8       700 SH    -- DEFINED        5          --         --      700
SOUTHWESTERN ENERGY CO
   COM                   EQUITY       845467109   1,056    31,338 SH    -- DEFINED        4          --         --   31,338
SOUTHWESTERN ENERGY CO
   COM                   EQUITY       845467109      54     1,600 SH    -- DEFINED        5          --         --    1,600
SOUTHWESTERN ENERGY CO.  EQUITY       845467109  27,479   815,638 SH    -- SOLE           1     815,638         --       --
SOVEREIGN BANCORP INC    EQUITY       845905108       4       432 SH    -- SOLE           2         432         --       --
SOVEREIGN BANCORP INC
   COM                   EQUITY       845905108      68     7,339 SH    -- DEFINED        4          --         --    7,339
SOVEREIGN BANCORP INC
   COM                   EQUITY       845905108       7       714 SH    -- DEFINED        5          --         --      714
SOVEREIGN BANCORP, INC.  EQUITY       845905108   1,550   166,317 SH    -- SOLE           1     166,317         --       --
SOVRAN SELF STORAGE,
   INC.                  EQUITY       84610H108     586    13,718 SH    -- SOLE           1      13,718         --       --
SPAIN FD COM             EQUITY       846330108       4       300 SH    -- DEFINED        4          --         --      300
SPAIN FD COM             EQUITY       846330108      16     1,300 SH    -- DEFINED        5          --         --    1,300
SPANISH BROADCASTING
   SYS, INC. CLASS A     EQUITY       846425882      61    34,376 SH    -- SOLE           1      34,376         --       --
SPANSION INC             EQUITY       84649R101     239    86,959 SH    -- SOLE           1      86,959         --       --
SPARTAN MOTORS INC       EQUITY       846819100     234    27,628 SH    -- SOLE           1      27,628         --       --
SPARTAN STORES INC       EQUITY       846822104     388    18,593 SH    -- SOLE           1      18,593         --       --
SPARTAN STORES INC       EQUITY       846822104   3,021   144,900 SH    -- SOLE           2     144,900         --       --
SPARTECH CORP.           EQUITY       847220209     218    25,795 SH    -- SOLE           1      25,795         --       --
SPDR INDEX SHS FDS DJ
   EURSTX50ETF           EQUITY       78463X202       8       140 SH    -- DEFINED        4          --         --      140





                                                                                  
SPDR INDEX SHS FDS DJ
   STOXX 50ETF           EQUITY       78463X103       3        63 SH    -- DEFINED        4          --         --       63
SPDR INDEX SHS FDS DJ
   STOXX 50ETF           EQUITY       78463X103      28       600 SH    -- DEFINED        5          --         --      600
SPDR INDEX SHS FDS DJWS
   INTL REAL             EQUITY       78463X863     255     4,816 SH    -- DEFINED        4          --         --    4,816
SPDR INDEX SHS FDS DJWS
   INTL REAL             EQUITY       78463X863       2        37 SH    -- DEFINED        5          --         --       37
SPDR INDEX SHS FDS
   LATIN AMER ETF        EQUITY       78463X707      19       227 SH    -- DEFINED        5          --         --      227
SPDR INDEX SHS FDS MSCI
   ACWI EXUS             EQUITY       78463X848     489    12,993 SH    -- DEFINED        4          --         --   12,993
SPDR INDEX SHS FDS MSCI
   ACWI EXUS             EQUITY       78463X848      26       700 SH    -- DEFINED        5          --         --      700
SPDR INDEX SHS FDS RUSS
   NOM SC JP             EQUITY       78463X822       5       117 SH    -- DEFINED        4          --         --      117
SPDR INDEX SHS FDS RUSS
   NOM SC JP             EQUITY       78463X822       4       100 SH    -- DEFINED        5          --         --      100
SPDR INDEX SHS FDS S&P
   BRIC 40ETF            EQUITY       78463X798      22       800 SH    -- DEFINED        5          --         --      800
SPDR SERIES TRUST BARCL
   CAP TIPS              EQUITY       78464A656     652    12,217 SH    -- DEFINED        4          --         --   12,217
SPDR SERIES TRUST DJWS
   LGCAP GRW             EQUITY       78464A409       9       175 SH    -- DEFINED        4          --         --      175
SPDR SERIES TRUST DJWS
   LGCAP GRW             EQUITY       78464A409      13       240 SH    -- DEFINED        5          --         --      240
SPDR SERIES TRUST DJWS
   LGCAP VAL             EQUITY       78464A508       9       127 SH    -- DEFINED        5          --         --      127
SPDR SERIES TRUST DJWS
   MIDCAP                EQUITY       78464A847       5        92 SH    -- DEFINED        5          --         --       92
SPDR SERIES TRUST DJWS
   MIDCAP GR             EQUITY       78464A821       6       100 SH    -- DEFINED        4          --         --      100
SPDR SERIES TRUST DJWS
   REIT ETF              EQUITY       78464A607      44       623 SH    -- DEFINED        4          --         --      623
SPDR SERIES TRUST DJWS
   REIT ETF              EQUITY       78464A607      13       190 SH    -- DEFINED        5          --         --      190
SPDR SERIES TRUST DJWS
   SCAP GR               EQUITY       78464A201       5        54 SH    -- DEFINED        5          --         --       54
SPDR SERIES TRUST DJWS
   SMCAP VL              EQUITY       78464A300       3        52 SH    -- DEFINED        5          --         --       52
SPDR SERIES TRUST DJWS
   TOTAL MKT             EQUITY       78464A805      24       250 SH    -- DEFINED        4          --         --      250
SPDR SERIES TRUST KBW
   BK ETF                EQUITY       78464A797       3        72 SH    -- DEFINED        4          --         --       72
SPDR SERIES TRUST KBW
   CAP MKTS              EQUITY       78464A771      64     1,259 SH    -- DEFINED        4          --         --    1,259
SPDR SERIES TRUST LEH
   INTER TREA            EQUITY       78464A672      19       327 SH    -- DEFINED        5          --         --      327
SPDR SERIES TRUST S&P
   HOMEBUIL              EQUITY       78464A888   3,791   174,800 SH    -- SOLE           3      69,600         --  105,200
SPDR SERIES TRUST S&P
   METALS MNG            EQUITY       78464A755      20       285 SH    -- DEFINED        4          --         --      285
SPDR SERIES TRUST S&P
   METALS MNG            EQUITY       78464A755   1,572    22,531 SH    -- DEFINED        5          --         --   22,531
SPDR TR UNIT SER 1       EQUITY       78462F103     522     3,957 SH    -- DEFINED        4          --         --    3,957
SPDR TR UNIT SER 1       EQUITY       78462F103     372     2,818 SH    -- DEFINED        5          --         --    2,818
SPDR TRUST               EQUITY       78462F103     238     1,800 SH    -- SOLE           2       1,800         --       --
SPECTRA ENERGY CORP      EQUITY       847560109  17,639   775,358 SH    -- SOLE           1     775,358         --       --
SPECTRA ENERGY CORP      EQUITY       847560109      17       756 SH    -- SOLE           2         756         --       --
SPECTRA ENERGY CORP COM  EQUITY       847560109      16       698 SH    -- DEFINED        4          --         --      698
SPECTRA ENERGY CORP COM  EQUITY       847560109     138     6,079 SH    -- DEFINED        5          --         --    6,079
SPECTRANETICS CORP       EQUITY       84760C107     223    26,718 SH    -- SOLE           1      26,718         --       --
SPECTRUM BRANDS INC      EQUITY       84762L105     154    33,601 SH    -- SOLE           1      33,601         --       --
SPEEDWAY MOTORSPORTS     EQUITY       847788106     300    11,947 SH    -- SOLE           1      11,947         --       --
SPEEDWAY MOTORSPORTSINC  EQUITY       847788106   2,216    88,400 SH    -- SOLE           2      88,400         --       --
SPHERION CORPORATION     EQUITY       848420105     296    48,381 SH    -- SOLE           1      48,381         --       --
SPIRIT AEROSYSTEMS
   HLDGS I               EQUITY       848574109   8,408   379,100 SH    -- SOLE           2     379,100         --       --
SPIRIT AEROSYSTEMS
   HLDGS INC COM CL A    EQUITY       848574109      13       600 SH    -- DEFINED        5          --         --      600
SPIRIT AEROSYSTEMS
   HOLDINGS INC          EQUITY       848574109      38     1,710 SH    -- SOLE           1       1,710         --       --
SPRINT NEXTEL CORP       EQUITY       852061100  19,675 2,941,019 SH    -- SOLE           1   2,941,019         --       --
SPRINT NEXTEL CORP       EQUITY       852061100      87    12,959 SH    -- SOLE           2      12,959         --       --
SPRINT NEXTEL CORP COM
   SER 1                 EQUITY       852061100      18     2,668 SH    -- DEFINED        5          --         --    2,668
SPSS INC                 EQUITY       78462K102     543    14,000 SH    -- SOLE           2      14,000         --       --
SPSS, INC.               EQUITY       78462K102     612    15,779 SH    -- SOLE           1      15,779         --       --
SPX CORP.                EQUITY       784635104  36,783   350,648 SH    -- SOLE           1     350,648         --       --
SRA INTERNATIONAL CL A   EQUITY       78464R105   3,334   137,129 SH    -- SOLE           1     137,129         --       --
ST JOE CO COM            EQUITY       790148100     188     4,375 SH    -- DEFINED        5          --         --    4,375
ST JUDE MED INC          EQUITY       790849103     896    20,742 SH    -- SOLE           2      20,742         --       --
ST JUDE MED INC COM      EQUITY       790849103      31       720 SH    -- DEFINED        4          --         --      720
ST JUDE MED INC COM      EQUITY       790849103      37       850 SH    -- DEFINED        5          --         --      850
ST JUDE MEDICAL, INC.    EQUITY       790849103   6,339   146,775 SH    -- SOLE           1     146,775         --       --
ST. MARY LAND &
   EXPLORATION           EQUITY       792228108      91     2,364 SH    -- SOLE           1       2,364         --       --
STAGE STORES INC         EQUITY       85254C305     603    37,242 SH    -- SOLE           1      37,242         --       --





                                                                                  
STAMPS.COM INC           EQUITY       852857200     145    14,142 SH    -- SOLE           1      14,142         --       --
STANCORP FINANCIAL
   GROUP, INC.           EQUITY       852891100   5,905   123,764 SH    -- SOLE           1     123,764         --       --
STANCORP FINL GROUP INC
   COM                   EQUITY       852891100      16       334 SH    -- DEFINED        4          --         --      334
STANDARD MICROSYSTEMS
   CORP.                 EQUITY       853626109     572    19,619 SH    -- SOLE           1      19,619         --       --
STANDARD MOTOR
   PRODUCTS, INC.        EQUITY       853666105      82    13,461 SH    -- SOLE           1      13,461         --       --
STANDARD PARKING CORP    EQUITY       853790103     177     8,432 SH    -- SOLE           1       8,432         --       --
STANDARD PKG CORP        EQUITY       853790103     335    16,000 SH    -- SOLE           2      16,000         --       --
STANDARD REGISTER CO.    EQUITY       853887107     119    15,263 SH    -- SOLE           1      15,263         --       --
STANDARD-PACIFIC CORP    EQUITY       85375C101     270    55,557 SH    -- SOLE           1      55,557         --       --
STANDEX INTERNATIONAL
   CORP.                 EQUITY       854231107     238    10,667 SH    -- SOLE           1      10,667         --       --
STANLEY INC              EQUITY       854532108     202     6,860 SH    -- SOLE           1       6,860         --       --
STANLEY WORKS            EQUITY       854616109   2,841    59,658 SH    -- SOLE           1      59,658         --       --
STANLEY WORKS            EQUITY       854616109       4        94 SH    -- SOLE           2          94         --       --
STANTEC INC              EQUITY       85472N109     470    16,096 SH    -- OTHER          1          --     16,096       --
STAPLES INC              EQUITY       855030102   3,627   164,035 SH    -- SOLE           2     164,035         --       --
STAPLES INC COM          EQUITY       855030102       2        75 SH    -- DEFINED        4          --         --       75
STAPLES INC COM          EQUITY       855030102       3       118 SH    -- DEFINED        5          --         --      118
STAPLES, INC.            EQUITY       855030102   6,953   314,475 SH    -- SOLE           1     314,475         --       --
STAR BULK CARR CORP COM
   (F)                   EQUITY       Y8162K105   1,370   120,000 SH    -- SOLE           3     120,000         --       --
STAR BULK CARRIERS CORP  EQUITY       Y8162K105   8,544   748,143 SH    -- SOLE           2     748,143         --       --
STARBUCKS CORP           EQUITY       855244109      15       873 SH    -- SOLE           2         873         --       --
STARBUCKS CORP COM       EQUITY       855244109      44     2,522 SH    -- DEFINED        4          --         --    2,522
STARBUCKS CORP COM       EQUITY       855244109     232    13,262 SH    -- DEFINED        5          --         --   13,262
STARBUCKS CORP.          EQUITY       855244109   6,146   351,178 SH    -- SOLE           1     351,178         --       --
STARENT NETWORKS CORP    EQUITY       85528P108     150    11,135 SH    -- SOLE           1      11,135         --       --
STARWOOD HOTELS &
   RESORTS WORLDWIDE INC EQUITY       85590A401   4,218    81,512 SH    -- SOLE           1      81,512         --       --
STARWOOD HOTELS +
   RESORTS               EQUITY       85590A401     264     5,105 SH    -- SOLE           2       5,105         --       --
STATE AUTO FINANCIAL
   CORP.                 EQUITY       855707105     361    12,382 SH    -- SOLE           1      12,382         --       --
STATE STR CORP COM       EQUITY       857477103      26       335 SH    -- DEFINED        4          --         --      335
STATE STR CORP COM       EQUITY       857477103      28       359 SH    -- DEFINED        5          --         --      359
STATE STREET CORP.       EQUITY       857477103  23,706   300,077 SH    -- SOLE           1     300,077         --       --
STATE STREET CORPORATION EQUITY       857477103   1,142    14,453 SH    -- SOLE           2      14,453         --       --
STATOILHYDRO ASA
   SPONSORED ADR         EQUITY       85771P102      27       900 SH    -- DEFINED        5          --         --      900
STEALTHGAS INC           EQUITY       Y81669106   2,033   130,752 SH    -- SOLE           2     130,752         --       --
STEC INC                 EQUITY       784774101     172    27,762 SH    -- SOLE           1      27,762         --       --
STEEL DYNAMICS INC COM   EQUITY       858119100      15       450 SH    -- DEFINED        4          --         --      450
STEEL DYNAMICS INC COM   EQUITY       858119100      17       500 SH    -- DEFINED        5          --         --      500
STEEL DYNAMICS, INC.     EQUITY       858119100  15,250   461,552 SH    -- SOLE           1     461,552         --       --
STEELCASE INC            EQUITY       858155203   1,563   141,300 SH    -- SOLE           2     141,300         --       --
STEELCASE INC CL A       EQUITY       858155203       9       845 SH    -- DEFINED        4          --         --      845
STEELCASE INC-CL A       EQUITY       858155203     353    31,876 SH    -- SOLE           1      31,876         --       --
STEIN MART INC COM       EQUITY       858375108      45     8,008 SH    -- DEFINED        4          --         --    8,008
STEIN MART, INC.         EQUITY       858375108     131    23,242 SH    -- SOLE           1      23,242         --       --
STEINWAY MUSICAL
   INSTRUMENTS           EQUITY       858495104  10,364   363,406 SH    -- SOLE           1     363,406         --       --
STEPAN CO.               EQUITY       858586100     203     5,322 SH    -- SOLE           1       5,322         --       --
STEREOTAXIS INC          EQUITY       85916J102     133    22,440 SH    -- SOLE           1      22,440         --       --
STERICYCLE INC COM       EQUITY       858912108      10       200 SH    -- DEFINED        5          --         --      200
STERICYCLE, INC.         EQUITY       858912108  11,024   214,054 SH    -- SOLE           1     214,054         --       --
STERIS CORP COM          EQUITY       859152100   5,444   202,908 SH    -- SOLE           1     202,908         --       --
STERLING BANCORP         EQUITY       859158107     249    16,017 SH    -- SOLE           1      16,017         --       --
STERLING BANCSHARES,
   INC.                  EQUITY       858907108     635    63,836 SH    -- SOLE           1      63,836         --       --
STERLING FINANCIAL CORP  EQUITY       859317109     418    23,961 SH    -- SOLE           1      23,961         --       --
STERLING FINL CORP WAS   EQUITY       859319105     687    43,982 SH    -- SOLE           1      43,982         --       --
STERLITE INDS INDIA LTD
   ADS                   EQUITY       859737207      14       795 SH    -- DEFINED        5          --         --      795
STEVEN MADDEN, LTD.      EQUITY       556269108     301    17,583 SH    -- SOLE           1      17,583         --       --
STEWART ENTERPRISES,
   INC.                  EQUITY       860370105     523    81,496 SH    -- SOLE           1      81,496         --       --





                                                                                  
STEWART INFORMATION
   SERVICES COM          EQUITY       860372101     413    14,757 SH    -- SOLE           1      14,757         --       --
STIFEL FINANCIAL CORP    EQUITY       860630102     576    12,827 SH    -- SOLE           1      12,827         --       --
STILLWATER MINING CO.    EQUITY       86074Q102   1,537    99,371 SH    -- SOLE           1      99,371         --       --
STILLWATER MNG CO COM    EQUITY       86074Q102     970    62,700 SH    -- SOLE           3      62,700         --       --
STONE ENERGY CORP        EQUITY       861642106   1,258    24,047 SH    -- SOLE           1      24,047         --       --
STONERIDGE, INC.         EQUITY       86183P102     164    12,165 SH    -- SOLE           1      12,165         --       --
STORM CAT ENERGY CORP
   COM                   EQUITY       862168101       1     2,000 SH    -- DEFINED        5          --         --    2,000
STRATASYS INC            EQUITY       862685104     315    17,695 SH    -- SOLE           1      17,695         --       --
STRATEGIC GLOBAL INCOME
   FD COM                EQUITY       862719101      32     3,028 SH    -- DEFINED        4          --         --    3,028
STRATUS PROPERTIES INC   EQUITY       863167201     125     4,245 SH    -- SOLE           1       4,245         --       --
STRAYER ED INC COM       EQUITY       863236105   1,006     6,600 SH    -- SOLE           3       6,600         --       --
STRAYER EDUCATION, INC   EQUITY       863236105   8,123    53,265 SH    -- SOLE           1      53,265         --       --
STREETTRACKS GOLD TR
   GOLD SHS              EQUITY       863307104   2,960    32,744 SH    -- DEFINED        4          --         --   32,744
STREETTRACKS GOLD TR
   GOLD SHS              EQUITY       863307104   1,200    13,278 SH    -- DEFINED        5          --         --   13,278
STRYKER CORP             EQUITY       863667101      19       285 SH    -- SOLE           2         285         --       --
STRYKER CORP COM         EQUITY       863667101      47       719 SH    -- DEFINED        4          --         --      719
STRYKER CORP COM         EQUITY       863667101     259     3,975 SH    -- DEFINED        5          --         --    3,975
STRYKER CORP.            EQUITY       863667101  15,345   235,898 SH    -- SOLE           1     235,898         --       --
STUDENT LOAN CORP.       EQUITY       863902102      15       153 SH    -- SOLE           1         153         --       --
STURM, RUGER & CO., INC. EQUITY       864159108     146    17,659 SH    -- SOLE           1      17,659         --       --
SUBURBAN PROPANE
   PARTNERS L UNIT LTD
   PARTN                 EQUITY       864482104      21       550 SH    -- DEFINED        4          --         --      550
SUBURBAN PROPANE
   PARTNERS L UNIT LTD
   PARTN                 EQUITY       864482104       8       200 SH    -- DEFINED        5          --         --      200
SUCAMPO PHARMACEUTICALS
   INC                   EQUITY       864909106      29     3,685 SH    -- SOLE           1       3,685         --       --
SUCCESSFACTORS INC       EQUITY       864596101      95     9,752 SH    -- SOLE           1       9,752         --       --
SUFFOLK BANCORP          EQUITY       864739107     273     8,619 SH    -- SOLE           1       8,619         --       --
SULPHCO INC              EQUITY       865378103     168    40,301 SH    -- SOLE           1      40,301         --       --
SUN BANCORP INC          EQUITY       86663B102     178    13,492 SH    -- SOLE           1      13,492         --       --
SUN HEALTHCARE GROUP
   COM NEW               EQUITY       866933401   4,357   331,600 SH    -- SOLE           3     199,200         --  132,400
SUN HEALTHCARE GROUP
   INC - W/I             EQUITY       866933401   1,209    92,040 SH    -- SOLE           1      92,040         --       --
SUN HYDRAULICS CORP      EQUITY       866942105     280     9,567 SH    -- SOLE           1       9,567         --       --
SUN LIFE FINANCIAL INC   EQUITY       866796105   7,028   150,272 SH    -- OTHER          1          --    150,272       --
SUN LIFE FINL INC COM    EQUITY       866796105      20       435 SH    -- DEFINED        4          --         --      435
SUN MICROSYSTEMS INC     EQUITY       866810203   5,388   346,948 SH    -- SOLE           1     346,948         --       --
SUN MICROSYSTEMS INC     EQUITY       866810203      15       948 SH    -- SOLE           2         948         --       --
SUN MICROSYSTEMS INC
   COM NEW               EQUITY       866810203       4       256 SH    -- DEFINED        4          --         --      256
SUN MICROSYSTEMS INC
   COM NEW               EQUITY       866810203      67     4,290 SH    -- DEFINED        5          --         --    4,290
SUNAIR SERVICES CORP COM EQUITY       867017105       2       872 SH    -- DEFINED        5          --         --      872
SUNAMERICA FCSED ALPHA
   GRW F COM             EQUITY       867037103     100     6,500 SH    -- DEFINED        4          --         --    6,500
SUNCOR ENERGY INC COM    EQUITY       867229106      16       167 SH    -- DEFINED        4          --         --      167
SUNCOR ENERGY INC COM    EQUITY       867229106     874     9,072 SH    -- DEFINED        5          --         --    9,072
SUNCOR ENERGY INC.       EQUITY       867229106  23,495   243,808 SH    -- OTHER          1          --    243,808       --
SUNOCO INC               EQUITY       86764P109   3,322    63,304 SH    -- SOLE           1      63,304         --       --
SUNOCO INC               EQUITY       86764P109      74     1,411 SH    -- SOLE           2       1,411         --       --
SUNOCO LOGISTICS PRTNRS
   L P COM UNITS         EQUITY       86764L108       8       168 SH    -- DEFINED        5          --         --      168
SUNOPTA INC COM          EQUITY       8676EP108       5     1,000 SH    -- DEFINED        4          --         --    1,000
SUNPOWER CORP            EQUITY       867652109     723     9,700 SH    -- SOLE           2       9,700         --       --
SUNPOWER CORP COM CL A   EQUITY       867652109      24       327 SH    -- DEFINED        4          --         --      327
SUNPOWER CORP COM CL A   EQUITY       867652109      70       940 SH    -- DEFINED        5          --         --      940
SUNPOWER CORP-CLASS A    EQUITY       867652109      39       527 SH    -- SOLE           1         527         --       --
SUNRISE SENIOR LIVING
   INC                   EQUITY       86768K106     855    38,356 SH    -- SOLE           1      38,356         --       --
SUNRISE SENIOR LIVING
   INC COM               EQUITY       86768K106      38     1,725 SH    -- DEFINED        5          --         --    1,725
SUNSTONE HOTEL
   INVESTORS INC         EQUITY       867892101     858    53,578 SH    -- SOLE           1      53,578         --       --
SUNSTONE HOTEL INVS INC
   NEW COM               EQUITY       867892101     374    23,389 SH    -- DEFINED        4          --         --   23,389
SUNTECH PWR HLDGS CO LTD EQUITY       86800C104     649    16,000 SH    -- SOLE           2      16,000         --       --
SUNTECH PWR HLDGS CO
   LTD ADR               EQUITY       86800C104     116     2,870 SH    -- DEFINED        4          --         --    2,870
SUNTECH PWR HLDGS CO
   LTD ADR               EQUITY       86800C104       6       150 SH    -- DEFINED        5          --         --      150





                                                                                  
SUNTECH PWR HLDGS CO
   LTD CALL              OPTION       86800C904       3         5 --  CALL DEFINED        4          --         --        5
SUN-TIMES MEDIA GROUP
   INC                   EQUITY       86688Q100      40    55,980 SH    -- SOLE           1      55,980         --       --
SUNTRUST BANKS, INC.     EQUITY       867914103  25,556   463,476 SH    -- SOLE           1     463,476         --       --
SUNTRUST BKS INC         EQUITY       867914103     486     8,819 SH    -- SOLE           2       8,819         --       --
SUPER MICRO COMP INC COM EQUITY       86800U104   1,078   129,100 SH    -- SOLE           3     129,100         --       --
SUPER MICRO COMPUTER INC EQUITY       86800U104      66     7,880 SH    -- SOLE           1       7,880         --       --
SUPERGEN, INC.           EQUITY       868059106     115    45,801 SH    -- SOLE           1      45,801         --       --
SUPERIOR BANCORP         EQUITY       86806M106     172    34,568 SH    -- SOLE           1      34,568         --       --
SUPERIOR ENERGY
   SERVICES, INC.        EQUITY       868157108   7,648   193,030 SH    -- SOLE           1     193,030         --       --
SUPERIOR ENERGY SVCS INC EQUITY       868157108   1,945    49,100 SH    -- SOLE           2      49,100         --       --
SUPERIOR ENERGY SVCS
   INC COM               EQUITY       868157108       9       217 SH    -- DEFINED        4          --         --      217
SUPERIOR ESSEX INC       EQUITY       86815V105     493    17,520 SH    -- SOLE           1      17,520         --       --
SUPERIOR INDUSTRIES
   INTL, INC.            EQUITY       868168105     406    19,587 SH    -- SOLE           1      19,587         --       --
SUPERIOR OFFSHORE
   INTERNATIONAL INC     EQUITY       86825Q104      29     8,725 SH    -- SOLE           1       8,725         --       --
SUPERIOR WELL SERVICES
   INC                   EQUITY       86837X105     294    13,449 SH    -- SOLE           1      13,449         --       --
SUPERIOR WELL SVCS INC
   COM                   EQUITY       86837X105      22     1,000 SH    -- DEFINED        4          --         --    1,000
SUPERTEX INC             EQUITY       868532102     186     9,133 SH    -- SOLE           1       9,133         --       --
SUPERVALU INC            EQUITY       868536103     138     4,603 SH    -- SOLE           2       4,603         --       --
SUPERVALU INC COM        EQUITY       868536103       1        48 SH    -- DEFINED        5          --         --       48
SUPERVALU, INC.          EQUITY       868536103  14,063   469,093 SH    -- SOLE           1     469,093         --       --
SUREWEST COMMUNICATION   EQUITY       868733106     192    12,415 SH    -- SOLE           1      12,415         --       --
SURMODICS INC            EQUITY       868873100     545    13,019 SH    -- SOLE           1      13,019         --       --
SURMODICS INC COM        EQUITY       868873100      70     1,668 SH    -- DEFINED        5          --         --    1,668
SUSQUEHANNA BANCSHARES,
   INC.                  EQUITY       869099101   1,487    73,018 SH    -- SOLE           1      73,018         --       --
SVB FINANCIAL GROUP      EQUITY       78486Q101   4,551   104,274 SH    -- SOLE           1     104,274         --       --
SWIFT ENERGY CO          EQUITY       870738101     535    11,900 SH    -- SOLE           2      11,900         --       --
SWIFT ENERGY CO.         EQUITY       870738101   1,154    25,648 SH    -- SOLE           1      25,648         --       --
SWITCH & DATA
   FACILITIES CO INC     EQUITY       871043105   4,461   436,948 SH    -- SOLE           1     436,948         --       --
SWS GROUP INC            EQUITY       78503N107     234    19,150 SH    -- SOLE           1      19,150         --       --
SYBASE INC               EQUITY       871130100     688    26,150 SH    -- SOLE           2      26,150         --       --
SYBASE, INC.             EQUITY       871130100   7,618   289,645 SH    -- SOLE           1     289,645         --       --
SYCAMORE NETWORKS INC
   COM                   EQUITY       871206108       1       300 SH    -- DEFINED        5          --         --      300
SYCAMORE NETWORKS, INC   EQUITY       871206108     579   158,116 SH    -- SOLE           1     158,116         --       --
SYKES ENTERPRISES, INC.  EQUITY       871237103     496    28,218 SH    -- SOLE           1      28,218         --       --
SYMANTEC CORP            EQUITY       871503108      17     1,012 SH    -- SOLE           2       1,012         --       --
SYMANTEC CORP COM        EQUITY       871503108       3       192 SH    -- DEFINED        5          --         --      192
SYMANTEC CORP.           EQUITY       871503108   8,356   502,790 SH    -- SOLE           1     502,790         --       --
SYMMETRICOM, INC.        EQUITY       871543104     139    39,832 SH    -- SOLE           1      39,832         --       --
SYMMETRY MED INC COM     EQUITY       871546206   3,247   195,600 SH    -- SOLE           3     195,600         --       --
SYMMETRY MEDICAL INC     EQUITY       871546206   1,902   114,579 SH    -- SOLE           1     114,579         --       --
SYMX TECHNOLOGIES INC.   EQUITY       87155S108     214    28,515 SH    -- SOLE           1      28,515         --       --
SYMYX TECHNOLOGIES COM   EQUITY       87155S108       4       500 SH    -- DEFINED        4          --         --      500
SYNAPTICS INC            EQUITY       87157D109     493    20,626 SH    -- SOLE           1      20,626         --       --
SYNCHRONOSS
   TECHNOLOGIES I        EQUITY       87157B103     421    21,000 SH    -- SOLE           2      21,000         --       --
SYNCHRONOSS
   TECHNOLOGIES INC      EQUITY       87157B103     317    15,804 SH    -- SOLE           1      15,804         --       --
SYNCHRONOSS
   TECHNOLOGIES INC COM  EQUITY       87157B103      12       600 SH    -- DEFINED        4          --         --      600
SYNCHRONOSS
   TECHNOLOGIES INC COM  EQUITY       87157B103      10       500 SH    -- DEFINED        5          --         --      500
SYNERON MEDICAL LTD ORD
   SHS                   EQUITY       M87245102       2       125 SH    -- DEFINED        5          --         --      125
SYNGENTA AG SPONSORED
   ADR                   EQUITY       87160A100       6       100 SH    -- DEFINED        4          --         --      100
SYNIVERSE HLDGS INC      EQUITY       87163F106     691    41,500 SH    -- SOLE           2      41,500         --       --
SYNIVERSE HOLDINGS INC   EQUITY       87163F106     390    23,421 SH    -- SOLE           1      23,421         --       --
SYNNEX CORP              EQUITY       87162W100     297    13,975 SH    -- SOLE           1      13,975         --       --
SYNOPSYS INC.            EQUITY       871607107   7,731   340,408 SH    -- SOLE           1     340,408         --       --
SYNOVUS FINANCIAL CORP.  EQUITY       87161C105   8,773   793,198 SH    -- SOLE           1     793,198         --       --
SYNOVUS FINL CORP COM    EQUITY       87161C105       7       626 SH    -- DEFINED        4          --         --      626
SYNOVUS FINL CORP COM    EQUITY       87161C105     119    10,734 SH    -- DEFINED        5          --         --   10,734





                                                                                  
SYNTA PHARMACEUTICALS    EQUITY       87162T206   9,800 1,211,337 SH    -- SOLE           1   1,211,337         --       --
SYNTAX BRILLIAN CORP COM EQUITY       87163L103       1     1,100 SH    -- DEFINED        5          --         --    1,100
SYNTAX-BRILLIAN CORP     EQUITY       87163L103      48    49,238 SH    -- SOLE           1      49,238         --       --
SYNTEL, INC.             EQUITY       87162H103     288    10,801 SH    -- SOLE           1      10,801         --       --
SYNUTRA INTERNATIONAL
   INC                   EQUITY       87164C102     116     3,706 SH    -- SOLE           1       3,706         --       --
SYSCO CORP               EQUITY       871829107   2,836    97,713 SH    -- SOLE           2      97,713         --       --
SYSCO CORP COM           EQUITY       871829107      12       420 SH    -- DEFINED        4          --         --      420
SYSCO CORP COM           EQUITY       871829107      93     3,196 SH    -- DEFINED        5          --         --    3,196
SYSCO CORP.              EQUITY       871829107  14,819   510,648 SH    -- SOLE           1     510,648         --       --
SYSTEMAX INC             EQUITY       871851101     110     9,107 SH    -- SOLE           1       9,107         --       --
T ROWE PRICE GROUP INC.  EQUITY       74144T108   5,676   113,528 SH    -- SOLE           1     113,528         --       --
T-3 ENERGY SERVICES INC  EQUITY       87306E107   1,564    36,750 SH    -- SOLE           1      36,750         --       --
T-3 ENERGY SRVCS INC COM EQUITY       87306E107   2,541    59,700 SH    -- SOLE           3      59,700         --       --
TAIWAN SEMICONDUCTOR
   MFG LTD SPONSORED ADR EQUITY       874039100      48     4,665 SH    -- DEFINED        4          --         --    4,665
TAIWAN SEMICONDUCTOR
   MFG LTD SPONSORED ADR EQUITY       874039100      61     5,928 SH    -- DEFINED        5          --         --    5,928
TAKE-TWO INTERACTIVE
   SOFTWAR COM           EQUITY       874054109      26     1,000 SH    -- DEFINED        5          --         --    1,000
TAKE-TWO INTERACTIVE
   SOFTWARE              EQUITY       874054109   1,683    65,943 SH    -- SOLE           1      65,943         --       --
TAL INTERNATIONAL GROUP
   INC                   EQUITY       874083108     332    14,095 SH    -- SOLE           1      14,095         --       --
TALBOTS INC              EQUITY       874161102     214    19,883 SH    -- SOLE           1      19,883         --       --
TALEO CORP-CLASS A       EQUITY       87424N104     275    14,176 SH    -- SOLE           1      14,176         --       --
TALISMAN ENERGY INC.     EQUITY       87425E103   4,253   240,141 SH    -- OTHER          1          --    240,141       --
TANGER FACTORY OUTLET
   CTRS                  EQUITY       875465106   1,697    44,107 SH    -- SOLE           1      44,107         --       --
TANZANIAN ROYALTY
   EXPLORATION CORP      EQUITY       87600U104     129    22,708 SH    -- OTHER          1          --     22,708       --
TARGET CORP              EQUITY       87612E106   3,462    68,316 SH    -- SOLE           2      68,316         --       --
TARGET CORP COM          EQUITY       87612E106      30       595 SH    -- DEFINED        4          --         --      595
TARGET CORP COM          EQUITY       87612E106      50       978 SH    -- DEFINED        5          --         --      978
TARGET CORPORATION       EQUITY       87612E106  28,486   562,071 SH    -- SOLE           1     562,071         --       --
TARRAGON CORP            EQUITY       876287103      25    11,797 SH    -- SOLE           1      11,797         --       --
TASER INTERNATIONAL INC  EQUITY       87651B104   1,338   142,355 SH    -- SOLE           1     142,355         --       --
TASER INTL INC COM       EQUITY       87651B104   1,701   181,000 SH    -- SOLE           3     181,000         --       --
TASER INTL INC COM       EQUITY       87651B104       2       200 SH    -- DEFINED        4          --         --      200
TASER INTL INC COM       EQUITY       87651B104     216    23,000 SH    -- DEFINED        5          --         --   23,000
TATA MTRS LTD SPONSORED
   ADR                   EQUITY       876568502      73     4,650 SH    -- DEFINED        5          --         --    4,650
TAUBMAN CENTERS, INC.    EQUITY       876664103  13,245   254,225 SH    -- SOLE           1     254,225         --       --
TAYLOR CAPITAL GROUP INC EQUITY       876851106      77     4,705 SH    -- SOLE           1       4,705         --       --
TAYLOR DEVICES INC COM   EQUITY       877163105       5     1,000 SH    -- DEFINED        5          --         --    1,000
TC PIPELINES LP UT COM
   LTD PRT               EQUITY       87233Q108       7       200 SH    -- DEFINED        5          --         --      200
TCF FINANCIAL CORP       EQUITY       872275102      55     3,080 SH    -- SOLE           2       3,080         --       --
TCF FINANCIAL CORP.      EQUITY       872275102   4,692   261,852 SH    -- SOLE           1     261,852         --       --
TD AMERITRADE HLDG CORP  EQUITY       87236Y108     327    19,780 SH    -- SOLE           2      19,780         --       --
TD AMERITRADE HLDG CORP
   COM                   EQUITY       87236Y108     282    17,100 SH    -- DEFINED        5          --         --   17,100
TD AMERITRADE HOLDING
   CORP                  EQUITY       87236Y108   2,915   176,550 SH    -- SOLE           1     176,550         --       --
TEAM INC                 EQUITY       878155100     371    13,586 SH    -- SOLE           1      13,586         --       --
TEAM INC COM             EQUITY       878155100       6       223 SH    -- DEFINED        5          --         --      223
TECH DATA CORP.          EQUITY       878237106   4,270   130,177 SH    -- SOLE           1     130,177         --       --
TECHE CORP.              EQUITY       878377100   6,249    92,763 SH    -- SOLE           1      92,763         --       --
TECHNE CORP COM          EQUITY       878377100      27       400 SH    -- DEFINED        4          --         --      400
TECHNITROL, INC.         EQUITY       878555101     809    34,994 SH    -- SOLE           1      34,994         --       --
TECHTARGET INC           EQUITY       87874R100      93     6,582 SH    -- SOLE           1       6,582         --       --
TECHWELL INC             EQUITY       87874D101     139    12,836 SH    -- SOLE           1      12,836         --       --
TECK COMINCO LTD         EQUITY       878742204   2,578    62,884 SH    -- OTHER          1          --     62,884       --
TECK COMINICO LTD        EQUITY       878742204     328     8,000 SH    -- SOLE           2       8,000         --       --
TECO ENERGY INC          EQUITY       872375100       4       252 SH    -- SOLE           2         252         --       --
TECO ENERGY INC COM      EQUITY       872375100       4       250 SH    -- DEFINED        4          --         --      250
TECO ENERGY INC COM      EQUITY       872375100       2       100 SH    -- DEFINED        5          --         --      100
TECO ENERGY, INC.        EQUITY       872375100   1,532    96,074 SH    -- SOLE           1      96,074         --       --





                                                                                  
TECUMSEH PRODUCTS CO.
   CLASS A               EQUITY       878895200     407    13,270 SH    -- SOLE           1      13,270         --       --
TEEKAY LNG PARTNERS L P
   PRTNRSP UNITS         EQUITY       Y8564M105       3        89 SH    -- DEFINED        4          --         --       89
TEJON RANCH CO.          EQUITY       879080109     354     9,484 SH    -- SOLE           1       9,484         --       --
TEKELEC                  EQUITY       879101103     651    52,267 SH    -- SOLE           1      52,267         --       --
TELE NORTE LESTE PART S
   A SPON ADR PFD        EQUITY       879246106       6       214 SH    -- DEFINED        4          --         --      214
TELE NORTE LESTE
   PARTICIPACOES S.A.
   ADR                   EQUITY       879246106  24,759   932,910 SH    -- SOLE           1     932,910         --       --
TELECOM CORP NEW
   ZEALAND LTD
   SPONSORED ADR         EQUITY       879278208      21     1,422 SH    -- DEFINED        5          --         --    1,422
TELECOM HLDRS TR
   DEPOSITRY RCPT        EQUITY       87927P200      36     1,100 SH    -- DEFINED        5          --         --    1,100
TELECOMUNICACOES
   BRASILEIRAS
   SPONSORED ADR         EQUITY       879287308       4       164 SH    -- DEFINED        4          --         --      164
TELEDYNE TECHNOLOGIES
   INC                   EQUITY       879360105     517    11,000 SH    -- SOLE           2      11,000         --       --
TELEDYNE TECHOLOGIES INC EQUITY       879360105   1,410    29,992 SH    -- SOLE           1      29,992         --       --
TELEFLEX INC.            EQUITY       879369106   4,783   100,244 SH    -- SOLE           1     100,244         --       --
TELEFONOS DE MEXICO S A
   B SPON ADR A SHS      EQUITY       879403707     113     3,000 SH    -- DEFINED        5          --         --    3,000
TELEFONOS DE MEXICO S A
   B SPON ADR ORD L      EQUITY       879403780     154     4,088 SH    -- DEFINED        5          --         --    4,088
TELEPHONE AND DATA
   SYSTEMS               EQUITY       879433100  10,022   255,214 SH    -- SOLE           1     255,214         --       --
TELETECH HOLDINGS        EQUITY       879939106     805    35,857 SH    -- SOLE           1      35,857         --       --
TELIK INC                EQUITY       87959M109     110    45,054 SH    -- SOLE           1      45,054         --       --
TELLABS INC              EQUITY       879664100       3       495 SH    -- SOLE           2         495         --       --
TELLABS INC COM          EQUITY       879664100       5     1,006 SH    -- DEFINED        5          --         --    1,006
TELLABS, INC.            EQUITY       879664100     797   146,180 SH    -- SOLE           1     146,180         --       --
TELUS CORPORATION-NON
   VOTE                  EQUITY       87971M202     263     6,251 SH    -- OTHER          1          --      6,251       --
TEMPLE-INLAND INC.       EQUITY       879868107   3,254   255,784 SH    -- SOLE           1     255,784         --       --
TEMPLETON DRAGON FD INC
   COM                   EQUITY       88018T101       5       200 SH    -- DEFINED        4          --         --      200
TEMPLETON DRAGON FD INC
   COM                   EQUITY       88018T101      42     1,700 SH    -- DEFINED        5          --         --    1,700
TEMPLETON EMERG MKTS
   INCOME COM            EQUITY       880192109       8       550 SH    -- DEFINED        4          --         --      550
TEMPLETON EMERG MKTS
   INCOME COM            EQUITY       880192109      56     4,038 SH    -- DEFINED        5          --         --    4,038
TEMPLETON GLOBAL INCOME
   FD COM                EQUITY       880198106   3,148   328,925 SH    -- DEFINED        4          --         --  328,925
TEMPLETON GLOBAL INCOME
   FD COM                EQUITY       880198106      33     3,500 SH    -- DEFINED        5          --         --    3,500
TEMPUR PEDIC INTL INC
   COM                   EQUITY       88023U101       1       100 SH    -- DEFINED        5          --         --      100
TEMPUR-PEDIC
   INTERNATIONAL         EQUITY       88023U101     709    64,463 SH    -- SOLE           1      64,463         --       --
TENARIS SA               EQUITY       88031M109  12,823   257,237 SH    -- SOLE           1     257,237         --       --
TENET HEALTHCARE CORP    EQUITY       88033G100       3       567 SH    -- SOLE           2         567         --       --
TENET HEALTHCARE CORP
   COM                   EQUITY       88033G100       2       269 SH    -- DEFINED        5          --         --      269
TENET HEALTHCARE CORP.   EQUITY       88033G100   1,907   336,853 SH    -- SOLE           1     336,853         --       --
TENNANT CO.              EQUITY       880345103     575    14,444 SH    -- SOLE           1      14,444         --       --
TENNECO INC              EQUITY       880349105   1,110    39,712 SH    -- SOLE           1      39,712         --       --
TEPPCO PARTNERS L P UT
   LTD PARTNER           EQUITY       872384102       3       100 SH    -- DEFINED        4          --         --      100
TEPPCO PARTNERS L P UT
   LTD PARTNER           EQUITY       872384102      17       500 SH    -- DEFINED        5          --         --      500
TERADATA CORP            EQUITY       88076W103   1,758    79,712 SH    -- SOLE           1      79,712         --       --
TERADATA CORP            EQUITY       88076W103       5       215 SH    -- SOLE           2         215         --       --
TERADATA CORP DEL COM    EQUITY       88076W103       9       404 SH    -- DEFINED        5          --         --      404
TERADYNE INC             EQUITY       880770102       3       208 SH    -- SOLE           2         208         --       --
TERADYNE, INC.           EQUITY       880770102   1,044    84,091 SH    -- SOLE           1      84,091         --       --
TERCICA INC              EQUITY       88078L105     162    28,287 SH    -- SOLE           1      28,287         --       --
TEREX CORP NEW           EQUITY       880779103       8       121 SH    -- SOLE           2         121         --       --
TEREX CORP NEW COM       EQUITY       880779103     446     7,136 SH    -- DEFINED        4          --         --    7,136
TEREX CORP NEW COM       EQUITY       880779103      31       500 SH    -- DEFINED        5          --         --      500
TEREX CORP.              EQUITY       880779103   2,718    43,494 SH    -- SOLE           1      43,494         --       --
TERRA INDS INC           EQUITY       880915103     622    17,500 SH    -- SOLE           2      17,500         --       --
TERRA INDUSTRIES, INC.   EQUITY       880915103  10,469   294,653 SH    -- SOLE           1     294,653         --       --
TERREMARK WORLDWIDE INC  EQUITY       881448203     238    43,455 SH    -- SOLE           1      43,455         --       --
TESORO CORP              EQUITY       881609101   1,771    59,021 SH    -- SOLE           1      59,021         --       --
TESORO CORP              EQUITY       881609101       5       164 SH    -- SOLE           2         164         --       --
TESORO CORP COM          EQUITY       881609101     151     5,036 SH    -- DEFINED        4          --         --    5,036
TESORO CORP COM          EQUITY       881609101      51     1,700 SH    -- DEFINED        5          --         --    1,700
TESSERA TECHNOLOGIES INC EQUITY       88164L100     855    41,112 SH    -- SOLE           1      41,112         --       --





                                                                                  
TESSERA TECHNOLOGIES INC EQUITY       88164L100     468    22,500 SH    -- SOLE           2      22,500         --       --
TETRA TECH INC NEW COM   EQUITY       88162G103      24     1,250 SH    -- DEFINED        5          --         --    1,250
TETRA TECH, INC.         EQUITY       88162G103     972    49,840 SH    -- SOLE           1      49,840         --       --
TEVA PHARMACEUTICAL ADR  EQUITY       881624209  55,830 1,208,710 SH    -- SOLE           1   1,208,710         --       --
TEVA PHARMACEUTICAL
   INDS L                EQUITY       881624209   1,284    27,800 SH    -- SOLE           2      27,800         --       --
TEVA PHARMACEUTICAL
   INDS LTD ADR          EQUITY       881624209      25       532 SH    -- DEFINED        4          --         --      532
TEVA PHARMACEUTICAL
   INDS LTD ADR          EQUITY       881624209     113     2,442 SH    -- DEFINED        5          --         --    2,442
TEXAS CAPITAL
   BANCSHARES INC        EQUITY       88224Q107     339    20,098 SH    -- SOLE           1      20,098         --       --
TEXAS INDUSTRIES, INC.   EQUITY       882491103   1,408    23,427 SH    -- SOLE           1      23,427         --       --
TEXAS INSTRS INC         EQUITY       882508104   7,016   248,170 SH    -- SOLE           2     248,170         --       --
TEXAS INSTRS INC COM     EQUITY       882508104      46     1,627 SH    -- DEFINED        4          --         --    1,627
TEXAS INSTRS INC COM     EQUITY       882508104     175     6,189 SH    -- DEFINED        5          --         --    6,189
TEXAS INSTRUMENTS, INC.  EQUITY       882508104  33,818 1,196,241 SH    -- SOLE           1   1,196,241         --       --
TEXAS ROADHOUSE INC CL A EQUITY       882681109       2       190 SH    -- DEFINED        5          --         --      190
TEXAS ROADHOUSE
   INC-CLASS A           EQUITY       882681109     443    45,189 SH    -- SOLE           1      45,189         --       --
TEXTRON FINANCIAL CORP   EQUITY       883203101   5,927   106,938 SH    -- SOLE           1     106,938         --       --
TEXTRON INC              EQUITY       883203101      16       297 SH    -- SOLE           2         297         --       --
TEXTRON INC COM          EQUITY       883203101     141     2,543 SH    -- DEFINED        5          --         --    2,543
TFS FINANCIAL CORP       EQUITY       87240R107      35     2,948 SH    -- SOLE           1       2,948         --       --
THE HERSHEY COMPANY      EQUITY       427866108  10,824   287,350 SH    -- SOLE           1     287,350         --       --
THE ST JOE COMPANY       EQUITY       790148100      84     1,965 SH    -- SOLE           1       1,965         --       --
THE STEAK N SHAKE
   COMPANY               EQUITY       857873103     192    24,412 SH    -- SOLE           1      24,412         --       --
THERAVANCE INC           EQUITY       88338T104     755    71,684 SH    -- SOLE           1      71,684         --       --
THERMO FISHER CORP       EQUITY       883556102  22,509   396,011 SH    -- SOLE           1     396,011         --       --
THERMO FISHER
   SCIENTIFIC I          EQUITY       883556102   7,742   136,200 SH    -- SOLE           2     136,200         --       --
THERMO FISHER
   SCIENTIFIC INC COM    EQUITY       883556102      13       225 SH    -- DEFINED        4          --         --      225
THERMO FISHER
   SCIENTIFIC INC COM    EQUITY       883556102      62     1,095 SH    -- DEFINED        5          --         --    1,095
THESTREET COM COM        EQUITY       88368Q103       2       200 SH    -- DEFINED        5          --         --      200
THESTREET.COM INC.       EQUITY       88368Q103     151    18,746 SH    -- SOLE           1      18,746         --       --
THOMAS & BETTS CORP.     EQUITY       884315102   4,473   122,991 SH    -- SOLE           1     122,991         --       --
THOMAS PROPERTIES GROUP
   INC                   EQUITY       884453101     179    20,374 SH    -- SOLE           1      20,374         --       --
THOMAS WEISEL PARTNERS
   GROUP INC             EQUITY       884481102     372    56,165 SH    -- SOLE           1      56,165         --       --
THOMPSON CREEK METALS
   CO INC                EQUITY       884768102     503    27,557 SH    -- OTHER          1          --     27,557       --
THOMSON REUTERS CORP     EQUITY       884903105   1,515    45,038 SH    -- OTHER          1          --     45,038       --
THOR INDS INC COM        EQUITY       885160101     153     5,124 SH    -- DEFINED        4          --         --    5,124
THOR INDS INC COM        EQUITY       885160101       2        74 SH    -- DEFINED        5          --         --       74
THOR INDUSTRIES, INC.    EQUITY       885160101   2,625    88,172 SH    -- SOLE           1      88,172         --       --
THORATEC LABORATORIES
   CORP.                 EQUITY       885175307     652    45,643 SH    -- SOLE           1      45,643         --       --
THORNBURG MORTGAGE INC.  EQUITY       885218107       7     6,139 SH    -- SOLE           1       6,139         --       --
THORNBURG MTG INC COM    EQUITY       885218107      58    47,613 SH    -- DEFINED        5          --         --   47,613
THQ INC                  EQUITY       872443403   1,251    57,405 SH    -- SOLE           1      57,405         --       --
TIBCO SOFTWARE INC       EQUITY       88632Q103   1,167   163,485 SH    -- SOLE           1     163,485         --       --
TICC CAPITAL CORP        EQUITY       87244T109     138    18,316 SH    -- SOLE           1      18,316         --       --
TICC CAPITAL CORP COM    EQUITY       87244T109     141    18,803 SH    -- DEFINED        4          --         --   18,803
TICC CAPITAL CORP COM    EQUITY       87244T109       2       200 SH    -- DEFINED        5          --         --      200
TIDEWATER INC            EQUITY       886423102     524     9,500 SH    -- SOLE           2       9,500         --       --
TIDEWATER INC COM        EQUITY       886423102       1        25 SH    -- DEFINED        4          --         --       25
TIDEWATER INC COM        EQUITY       886423102      12       226 SH    -- DEFINED        5          --         --      226
TIDEWATER, INC.          EQUITY       886423102   7,237   131,316 SH    -- SOLE           1     131,316         --       --
TIENS BIOTECH GROUP USA
   INC                   EQUITY       88650T104       6     2,970 SH    -- SOLE           1       2,970         --       --
TIERONE CORP             EQUITY       88650R108     174    15,457 SH    -- SOLE           1      15,457         --       --
TIFFANY & CO NEW COM     EQUITY       886547108      46     1,107 SH    -- DEFINED        5          --         --    1,107
TIFFANY & CO.            EQUITY       886547108   8,659   206,952 SH    -- SOLE           1     206,952         --       --
TIFFANY + CO NEW         EQUITY       886547108      98     2,352 SH    -- SOLE           2       2,352         --       --
TIM HORTONS INC - CAD    EQUITY       88706M103   1,244    37,555 SH    -- OTHER          1          --     37,555       --
TIM HORTONS INC COM      EQUITY       88706M103      27       790 SH    -- DEFINED        5          --         --      790





                                                                                     
TIMBERLAND CO CL A       EQUITY       887100105        43      3,126 SH    -- DEFINED        4          --         --    3,126
TIMBERLAND COMPANY       EQUITY       887100105     2,141    155,908 SH    -- SOLE           1     155,908         --       --
TIME WARNER CABLE INC    EQUITY       88732J108     8,028    321,376 SH    -- SOLE           1     321,376         --       --
TIME WARNER INC          EQUITY       887317105    30,018  2,141,088 SH    -- SOLE           1   2,141,088         --       --
TIME WARNER INC COM      EQUITY       887317105         9        655 SH    -- DEFINED        4          --         --      655
TIME WARNER INC COM      EQUITY       887317105       179     12,761 SH    -- DEFINED        5          --         --   12,761
TIME WARNER INC NEW      EQUITY       887317105       690     49,215 SH    -- SOLE           2      49,215         --       --
TIME WARNER TELECOM      EQUITY       887319101     1,923    124,143 SH    -- SOLE           1     124,143         --       --
TIMKEN CO COM            EQUITY       887389104         2         59 SH    -- DEFINED        5          --         --       59
TIMKEN CO.               EQUITY       887389104     6,873    231,263 SH    -- SOLE           1     231,263         --       --
TITAN INTERNATIONAL INC  EQUITY       88830M102       632     20,662 SH    -- SOLE           1      20,662         --       --
TITAN MACHINERY INC      EQUITY       88830R101     1,347     72,058 SH    -- SOLE           1      72,058         --       --
TITAN MACHY INC COM      EQUITY       88830R101     3,196    170,900 SH    -- SOLE           3     170,900         --       --
TITAN MACHY INC COM      EQUITY       88830R101       140      7,500 SH    -- DEFINED        5          --         --    7,500
TITANIUM METALS CORP     EQUITY       888339207         2        118 SH    -- SOLE           2         118         --       --
TITANIUM METALS
   CORPORATION           EQUITY       888339207       364     24,210 SH    -- SOLE           1      24,210         --       --
TIVO INC                 EQUITY       888706108       733     83,628 SH    -- SOLE           1      83,628         --       --
TIVO INC                 EQUITY       888706108       346     39,500 SH    -- SOLE           2      39,500         --       --
TJX COMPANIES, INC.      EQUITY       872540109     6,816    206,099 SH    -- SOLE           1     206,099         --       --
TJX COS INC NEW          EQUITY       872540109       219      6,622 SH    -- SOLE           2       6,622         --       --
TJX COS INC NEW COM      EQUITY       872540109        50      1,514 SH    -- DEFINED        5          --         --    1,514
TNS INC                  EQUITY       872960109       429     20,768 SH    -- SOLE           1      20,768         --       --
TOLL BROS INC            EQUITY       889478103        40      1,700 SH    -- SOLE           2       1,700         --       --
TOLL BROTHERS, INC.      EQUITY       889478103     7,614    324,292 SH    -- SOLE           1     324,292         --       --
TOMOTHERAPY INC          EQUITY       890088107       144     10,053 SH    -- SOLE           1      10,053         --       --
TOMPKINS FINANCIAL CORP  EQUITY       890110109       277      5,640 SH    -- SOLE           1       5,640         --       --
TOOTSIE ROLL
   INDUSTRIES, INC.      EQUITY       890516107     2,424     96,199 SH    -- SOLE           1      96,199         --       --
TORCHMARK CORP.          EQUITY       891027104     7,006    116,555 SH    -- SOLE           1     116,555         --       --
TORCHMARK INC            EQUITY       891027104         7        109 SH    -- SOLE           2         109         --       --
TOREADOR RESOURCES CORP  EQUITY       891050106       101     12,971 SH    -- SOLE           1      12,971         --       --
TORO CO.                 EQUITY       891092108        81      1,945 SH    -- SOLE           1       1,945         --       --
TORONTO DOMINION BK      EQUITY       891160509    12,301    200,028 SH    -- OTHER          1          --    200,028       --
TORONTO DOMINION BK ONT
   COM NEW               EQUITY       891160509        28        455 SH    -- DEFINED        5          --         --      455
TOTAL S A SPONSORED ADR  EQUITY       89151E109        12        165 SH    -- DEFINED        5          --         --      165
TOTAL SYS SVCS INC       EQUITY       891906109         6        238 SH    -- SOLE           2         238         --       --
TOTAL SYS SVCS INC COM   EQUITY       891906109       196      8,279 SH    -- DEFINED        4          --         --    8,279
TOTAL SYSTEM SERVICE     EQUITY       891906109     2,036     86,032 SH    -- SOLE           1      86,032         --       --
TOWER GROUP INC          EQUITY       891777104       431     17,105 SH    -- SOLE           1      17,105         --       --
TOWN SPORTS
   INTERNATIONAL
   HOLDINGS INC          EQUITY       89214A102        89     13,907 SH    -- SOLE           1      13,907         --       --
TOYOTA MOTOR CORP SP
   ADR REP2COM           EQUITY       892331307        10        100 SH    -- DEFINED        4          --         --      100
TOYOTA MOTOR CORP SP
   ADR REP2COM           EQUITY       892331307        20        202 SH    -- DEFINED        5          --         --      202
TRACTOR SUPPLY CO        EQUITY       892356106        27        689 SH    -- SOLE           1         689         --       --
TRADESTATION GROUP INC   EQUITY       89267P105       212     24,857 SH    -- SOLE           1      24,857         --       --
TRANE INC                EQUITY       892893108    19,086    415,827 SH    -- SOLE           1     415,827         --       --
TRANE INC                EQUITY       892893108        10        208 SH    -- SOLE           2         208         --       --
TRANE INC COM            EQUITY       892893108        64      1,400 SH    -- DEFINED        5          --         --    1,400
TRANS1 INC               EQUITY       89385X105        65      5,586 SH    -- SOLE           1       5,586         --       --
TRANSALTA CORP           EQUITY       89346D107       349     11,203 SH    -- OTHER          1          --     11,203       --
TRANSATLANTIC HLDGS INC  EQUITY       893521104 2,593,798 39,092,662 SH    -- SOLE           1  22,144,533         --       --
TRANSATLANTIC HLDGS INC
   COM                   EQUITY       893521104         6         96 SH    -- DEFINED        5          --         --       96
TRANSCANADA CORP         EQUITY       89353D107     2,310     59,973 SH    -- OTHER          1          --     59,973       --
TRANSCANADA CORP COM     EQUITY       89353D107         4         95 SH    -- DEFINED        4          --         --       95
TRANSCANADA CORP COM     EQUITY       89353D107       100      2,606 SH    -- DEFINED        5          --         --    2,606
TRANSCEND SERVICES INC
   COM NEW               EQUITY       893929208       989    108,400 SH    -- SOLE           3     108,400         --       --
TRANSCEND SERVICES INC
   COM NEW               EQUITY       893929208         5        500 SH    -- DEFINED        5          --         --      500
TRANSCONTINENTAL RLTY
   INVS COM NEW          EQUITY       893617209         4        222 SH    -- DEFINED        4          --         --      222





                                                                                  
TRANSDIGM GROUP INC      EQUITY       893641100     314     8,476 SH    -- SOLE           1       8,476         --       --
TRANSMERIDIAN
   EXPLORATION           EQUITY       89376N108       5    45,004 SH    -- SOLE           2      45,004         --       --
TRANSMERIDIAN
   EXPLORATION INC       EQUITY       89376N108     103   110,848 SH    -- SOLE           1     110,848         --       --
TRANSOCEAN INC           EQUITY       G90073100   5,069    37,493 SH    -- SOLE           2      37,493         --       --
TRANSOCEAN INC NEW SHS   EQUITY       G90073100     154     1,138 SH    -- DEFINED        4          --         --    1,138
TRANSOCEAN INC NEW SHS   EQUITY       G90073100     242     1,792 SH    -- DEFINED        5          --         --    1,792
TRANSOCEAN INC ORD (F)   EQUITY       G90073100   5,082    37,589 SH    -- SOLE           3      13,737         --   23,852
TRAVELERS COMPANIES INC
   COM                   EQUITY       89417E109      24       500 SH    -- DEFINED        4          --         --      500
TRAVELERS COMPANIES INC
   COM                   EQUITY       89417E109      16       328 SH    -- DEFINED        5          --         --      328
TRAVELERS COS INC        EQUITY       89417E109     677    14,141 SH    -- SOLE           2      14,141         --       --
TRAVELERS COS INC/THE    EQUITY       89417E109  61,029 1,275,432 SH    -- SOLE           1   1,275,432         --       --
TRAVELZOO INC            EQUITY       89421Q106      66     6,012 SH    -- SOLE           1       6,012         --       --
TREDEGAR CORP.           EQUITY       894650100     432    23,697 SH    -- SOLE           1      23,697         --       --
TREEHOUSE FOODS INC      EQUITY       89469A104     612    26,769 SH    -- SOLE           1      26,769         --       --
TREX COMPANY, INC.       EQUITY       89531P105      81    10,259 SH    -- SOLE           1      10,259         --       --
TRI CONTL CORP COM       EQUITY       895436103      80     4,620 SH    -- DEFINED        5          --         --    4,620
TRIAD GUARANTY, INC.     EQUITY       895925105      49     9,808 SH    -- SOLE           1       9,808         --       --
TRIARC COS-B             EQUITY       895927309     373    54,029 SH    -- SOLE           1      54,029         --       --
TRICO BANCSHARES         EQUITY       896095106     208    12,031 SH    -- SOLE           1      12,031         --       --
TRICO MARINE SERVICES
   INC                   EQUITY       896106200   9,018   229,901 SH    -- SOLE           1     229,901         --       --
TRICO MARINE SVCS INC    EQUITY       896106200   1,032    26,478 SH    -- SOLE           2      26,478         --       --
TRIDENT MICROSYSTEMS INC EQUITY       895919108     267    51,894 SH    -- SOLE           1      51,894         --       --
TRIMAS CORP              EQUITY       896215209      64    12,098 SH    -- SOLE           1      12,098         --       --
TRIMBLE NAVIGATION LTD.  EQUITY       896239100      63     2,221 SH    -- SOLE           1       2,221         --       --
TRINITY INDS INC COM     EQUITY       896522109      16       600 SH    -- DEFINED        5          --         --      600
TRINITY INDUSTRIES, INC. EQUITY       896522109   5,149   193,218 SH    -- SOLE           1     193,218         --       --
TRIPLE-S MANAGEMENT CORP EQUITY       896749108     212    11,997 SH    -- SOLE           1      11,997         --       --
TRIPLE-S MGMT CORP CL B  EQUITY       896749108       4       200 SH    -- DEFINED        5          --         --      200
TRIQUINT SEMICONDUCTOR
   INC COM               EQUITY       89674K103      21     4,245 SH    -- DEFINED        4          --         --    4,245
TRIQUINT SEMICONDUCTOR,
   INC.                  EQUITY       89674K103   2,320   458,555 SH    -- SOLE           1     458,555         --       --
TRIUMPH GROUP, INC.      EQUITY       896818101     804    14,130 SH    -- SOLE           1      14,130         --       --
TRIZETTO GROUP INC       EQUITY       896882107     611    36,587 SH    -- SOLE           1      36,587         --       --
TRONOX INC               EQUITY       897051207     139    35,565 SH    -- SOLE           1      35,565         --       --
TRUBION PHARMACEUTICALS
   INC                   EQUITY       89778N102      70     7,453 SH    -- SOLE           1       7,453         --       --
TRUE RELIGION APPAREL
   COM                   EQUITY       89784N104   2,211   119,200 SH    -- SOLE           3     119,200         --       --
TRUE RELIGION APPAREL
   INC                   EQUITY       89784N104   1,315    70,867 SH    -- SOLE           1      70,867         --       --
TRUEBLUE INC             EQUITY       89785X101     507    37,708 SH    -- SOLE           1      37,708         --       --
TRUMP ENTERTAINMENT
   RESORTS INC           EQUITY       89816T103      96    26,647 SH    -- SOLE           1      26,647         --       --
TRUSTCO BANK CORP. NY    EQUITY       898349105     573    64,442 SH    -- SOLE           1      64,442         --       --
TRUSTMARK CORP.          EQUITY       898402102     935    41,986 SH    -- SOLE           1      41,986         --       --
TRW AUTOMOTIVE HOLDINGS
   CORP                  EQUITY       87264S106      47     2,029 SH    -- SOLE           1       2,029         --       --
TTM TECHONOLOGIES        EQUITY       87305R109     410    36,193 SH    -- SOLE           1      36,193         --       --
TUESDAY MORNING CORP
   COM NEW               EQUITY       899035505      96    18,500 SH    -- DEFINED        5          --         --   18,500
TUESDAY MORNING
   CORPORATION           EQUITY       899035505     133    25,673 SH    -- SOLE           1      25,673         --       --
TUPPERWARE BRANDS CORP   EQUITY       899896104     830    21,450 SH    -- SOLE           2      21,450         --       --
TUPPERWARE BRANDS CORP
   COM                   EQUITY       899896104       8       200 SH    -- DEFINED        5          --         --      200
TUPPERWARE BRANDS CORP.  EQUITY       899896104   7,683   198,630 SH    -- SOLE           1     198,630         --       --
TURBOCHEF TECHNOLOGIES
   INC                   EQUITY       900006206     110    16,869 SH    -- SOLE           1      16,869         --       --
TURKCELL ILETISIM
   HIZMETLERI SPON ADR
   NEW                   EQUITY       900111204       7       350 SH    -- DEFINED        5          --         --      350
TURKISH INVT FD INC COM  EQUITY       900145103       4       300 SH    -- DEFINED        5          --         --      300
TWEEN BRANDS INC         EQUITY       901166108     524    21,191 SH    -- SOLE           1      21,191         --       --
TWIN DISC INC            EQUITY       901476101     124     7,828 SH    -- SOLE           1       7,828         --       --
TXCO RESOURCES INC       EQUITY       87311M102     358    28,919 SH    -- SOLE           1      28,919         --       --
TYCO ELECTRONICS LTD     EQUITY       G9144P105   3,064    89,283 SH    -- SOLE           2      89,283         --       --
TYCO ELECTRONICS LTD
   COM NEW               EQUITY       G9144P105      40     1,158 SH    -- DEFINED        4          --         --    1,158
TYCO ELECTRONICS LTD
   COM NEW               EQUITY       G9144P105     377    10,971 SH    -- DEFINED        5          --         --   10,971





                                                                                  
TYCO INTERNATIONAL LTD
   BER                   EQUITY       G9143X208      26       580 SH    -- SOLE           2         580         --       --
TYCO INTL LTD BERMUDA
   SHS                   EQUITY       G9143X208      48     1,080 SH    -- DEFINED        4          --         --    1,080
TYCO INTL LTD BERMUDA
   SHS                   EQUITY       G9143X208      49     1,121 SH    -- DEFINED        5          --         --    1,121
TYLER TECHNOLOGIES INC   EQUITY       902252105     467    33,410 SH    -- SOLE           1      33,410         --       --
TYSON FOODS INC (DEL)    EQUITY       902494103       5       327 SH    -- SOLE           2         327         --       --
TYSON FOODS INC CL A     EQUITY       902494103      18     1,143 SH    -- DEFINED        5          --         --    1,143
TYSON FOODS, INC. CLASS
   A                     EQUITY       902494103   1,973   123,674 SH    -- SOLE           1     123,674         --       --
U S G CORP COM NEW       EQUITY       903293405       9       254 SH    -- DEFINED        4          --         --      254
U S G CORP COM NEW       EQUITY       903293405     405    11,000 SH    -- DEFINED        5          --         --   11,000
U.S. BANCORP, INC.       EQUITY       902973304  42,526 1,314,148 SH    -- SOLE           1   1,314,148         --       --
UAL CORP                 EQUITY       902549807   1,232    57,202 SH    -- SOLE           1      57,202         --       --
UAP HOLDING CORP         EQUITY       903441103  13,978   364,569 SH    -- SOLE           1     364,569         --       --
UCBH HOLDINGS INC        EQUITY       90262T308     665    85,706 SH    -- SOLE           1      85,706         --       --
UGI CORP NEW             EQUITY       902681105     536    21,500 SH    -- SOLE           2      21,500         --       --
UGI CORP NEW COM         EQUITY       902681105       3       120 SH    -- DEFINED        4          --         --      120
UGI CORP.                EQUITY       902681105     100     4,000 SH    -- SOLE           1       4,000         --       --
UIL HLDG CORP COM        EQUITY       902748102       5       166 SH    -- DEFINED        5          --         --      166
UIL HOLDINGS CORP.       EQUITY       902748102     650    21,581 SH    -- SOLE           1      21,581         --       --
ULTA SALON COSMETICS &
   FRAGRANCE INC         EQUITY       90384S303     103     7,358 SH    -- SOLE           1       7,358         --       --
ULTA SALON, COSMETICS &
   FRAGRA                EQUITY       90384s303   1,216    86,600 SH    -- SOLE           3      86,600         --       --
ULTIMATE SOFTWARE GROUP
   INC                   EQUITY       90385D107     636    21,168 SH    -- SOLE           1      21,168         --       --
ULTRA CLEAN HLDGS INC
   COM                   EQUITY       90385V107     386    39,423 SH    -- DEFINED        4          --         --   39,423
ULTRA CLEAN HOLDINGS     EQUITY       90385V107     160    16,278 SH    -- SOLE           1      16,278         --       --
ULTRA PETROLEUM CORP COM EQUITY       903914109      16       200 SH    -- DEFINED        5          --         --      200
ULTRALIFE BATTERIES COM  EQUITY       903899102   1,327   112,400 SH    -- SOLE           3     112,400         --       --
ULTRATECH , INC.         EQUITY       904034105     192    19,933 SH    -- SOLE           1      19,933         --       --
UMB FINANCIAL CORP.      EQUITY       902788108   1,094    26,564 SH    -- SOLE           1      26,564         --       --
UMPQUA HLDGS CORP COM    EQUITY       904214103       9       600 SH    -- DEFINED        5          --         --      600
UMPQUA HOLDINGS CORP     EQUITY       904214103     815    52,553 SH    -- SOLE           1      52,553         --       --
UNDER ARMOUR INC CL A    EQUITY       904311107      11       300 SH    -- DEFINED        5          --         --      300
UNDER ARMOUR INC-CLASS A EQUITY       904311107     777    21,240 SH    -- SOLE           1      21,240         --       --
UNIBANCO - SPONSORED GDR EQUITY       90458E107  19,744   169,270 SH    -- SOLE           1     169,270         --       --
UNICA CORP               EQUITY       904583101      57     8,418 SH    -- SOLE           1       8,418         --       --
UNIFIRST CORP.           EQUITY       904708104     456    12,281 SH    -- SOLE           1      12,281         --       --
UNILEVER N V N Y SHS NEW EQUITY       904784709      25       750 SH    -- DEFINED        5          --         --      750
UNILEVER PLC SPON ADR
   NEW                   EQUITY       904767704       3        85 SH    -- DEFINED        4          --         --       85
UNILEVER PLC SPON ADR
   NEW                   EQUITY       904767704     136     4,036 SH    -- DEFINED        5          --         --    4,036
UNION BANKSHARES CORP    EQUITY       905399101     222    11,455 SH    -- SOLE           1      11,455         --       --
UNION DRILLING INC       EQUITY       90653P105     207    11,818 SH    -- SOLE           1      11,818         --       --
UNION PAC CORP           EQUITY       907818108      39       312 SH    -- SOLE           2         312         --       --
UNION PAC CORP COM       EQUITY       907818108      56       446 SH    -- DEFINED        4          --         --      446
UNION PAC CORP COM       EQUITY       907818108      32       252 SH    -- DEFINED        5          --         --      252
UNION PACIFIC CORP       EQUITY       907818108  17,513   139,676 SH    -- SOLE           1     139,676         --       --
UNIONBANCAL CORP         EQUITY       908906100     105     2,136 SH    -- SOLE           1       2,136         --       --
UNISOURCE ENERGY CORP.   EQUITY       909205106     674    30,260 SH    -- SOLE           1      30,260         --       --
UNISYS CORP              EQUITY       909214108       2       422 SH    -- SOLE           2         422         --       --
UNISYS CORP COM          EQUITY       909214108      49    11,003 SH    -- DEFINED        5          --         --   11,003
UNISYS CORP.             EQUITY       909214108     418    94,282 SH    -- SOLE           1      94,282         --       --
UNIT CORP COM            EQUITY       909218109     793    14,000 SH    -- SOLE           3      14,000         --       --
UNIT CORP.               EQUITY       909218109   1,159    20,454 SH    -- SOLE           1      20,454         --       --
UNITED AMERICA
   INDEMNITY LTD         EQUITY       90933T109     409    21,234 SH    -- SOLE           1      21,234         --       --
UNITED BANKSHARES INC.
   WV                    EQUITY       909907107     876    32,880 SH    -- SOLE           1      32,880         --       --
UNITED CMNTY BKS BLAIR   EQUITY       90984P105     605    35,657 SH    -- SOLE           1      35,657         --       --
UNITED CMNTY BKS
   BLAIRSVLE G CAP STK   EQUITY       90984P105      14       800 SH    -- DEFINED        4          --         --      800
UNITED COMMUNITY
   FINANCIAL CO          EQUITY       909839102     143    22,997 SH    -- SOLE           1      22,997         --       --
UNITED FIRE & CASUALTY
   CO.                   EQUITY       910331107     703    18,789 SH    -- SOLE           1      18,789         --       --





                                                                                  
UNITED NAT FOODS INC COM EQUITY       911163103       3       164 SH    -- DEFINED        5          --         --      164
UNITED NATURAL FOODS,
   INC.                  EQUITY       911163103     687    36,720 SH    -- SOLE           1      36,720         --       --
UNITED ONLINE INC        EQUITY       911268100     605    57,252 SH    -- SOLE           1      57,252         --       --
UNITED PARCEL SERVICE
   CLASS -B              EQUITY       911312106  42,390   580,521 SH    -- SOLE           1     580,521         --       --
UNITED PARCEL SERVICE
   INC CL B              EQUITY       911312106   1,745    23,892 SH    -- DEFINED        4          --         --   23,892
UNITED PARCEL SERVICE
   INC CL B              EQUITY       911312106     141     1,929 SH    -- DEFINED        5          --         --    1,929
UNITED PARCEL SVC INC    EQUITY       911312106   4,424    60,587 SH    -- SOLE           2      60,587         --       --
UNITED RENTALS, INC.     EQUITY       911363109   3,450   183,131 SH    -- SOLE           1     183,131         --       --
UNITED SECURITY
   BANCSHARES            EQUITY       911460103     118     7,016 SH    -- SOLE           1       7,016         --       --
UNITED STATES CELLULAR
   CORP COM              EQUITY       911684108       3        50 SH    -- DEFINED        5          --         --       50
UNITED STATES NATL GAS
   FUND UNIT             EQUITY       912318102      36       751 SH    -- DEFINED        4          --         --      751
UNITED STATES NATL GAS
   FUND UNIT             EQUITY       912318102      17       360 SH    -- DEFINED        5          --         --      360
UNITED STATES OIL FUND
   LP UNITS              EQUITY       91232N108       7        90 SH    -- DEFINED        4          --         --       90
UNITED STATES STEEL CORP EQUITY       912909108   7,247    57,123 SH    -- SOLE           1      57,123         --       --
UNITED STATES STL CORP
   COM                   EQUITY       912909108   4,187    33,000 SH    -- SOLE           3      15,400         --   17,600
UNITED STATES STL CORP
   NEW COM               EQUITY       912909108     861     6,790 SH    -- DEFINED        4          --         --    6,790
UNITED STATES STL CORP
   NEW COM               EQUITY       912909108       2        15 SH    -- DEFINED        5          --         --       15
UNITED STATIONERS, INC.  EQUITY       913004107     957    20,054 SH    -- SOLE           1      20,054         --       --
UNITED STS STL CORP NEW  EQUITY       912909108     846     6,671 SH    -- SOLE           2       6,671         --       --
UNITED TECHNOLOGIES CORP EQUITY       913017109   6,476    94,107 SH    -- SOLE           2      94,107         --       --
UNITED TECHNOLOGIES
   CORP COM              EQUITY       913017109      58       846 SH    -- DEFINED        4          --         --      846
UNITED TECHNOLOGIES
   CORP COM              EQUITY       913017109     101     1,467 SH    -- DEFINED        5          --         --    1,467
UNITED TECHNOLOGIES
   CORP.                 EQUITY       913017109  71,588 1,040,219 SH    -- SOLE           1   1,040,219         --       --
UNITED THERAPEUTICS
   CORP D                EQUITY       91307C102     542     6,250 SH    -- SOLE           2       6,250         --       --
UNITED THERAPEUTICS
   CORP.                 EQUITY       91307C102   1,654    19,080 SH    -- SOLE           1      19,080         --       --
UNITEDHEALTH GROUP INC   EQUITY       91324P102  33,665   979,773 SH    -- SOLE           1     979,773         --       --
UNITEDHEALTH GROUP INC   EQUITY       91324P102   4,829   140,546 SH    -- SOLE           2     140,546         --       --
UNITEDHEALTH GROUP INC
   COM                   EQUITY       91324P102      12       349 SH    -- DEFINED        4          --         --      349
UNITEDHEALTH GROUP INC
   COM                   EQUITY       91324P102      49     1,435 SH    -- DEFINED        5          --         --    1,435
UNITRIN INC COM          EQUITY       913275103      10       280 SH    -- DEFINED        5          --         --      280
UNITRIN, INC.            EQUITY       913275103  10,479   296,510 SH    -- SOLE           1     296,510         --       --
UNIVERSAL AMER
   FINANCIAL CORP        EQUITY       913377107     444    41,853 SH    -- SOLE           1      41,853         --       --
UNIVERSAL CORP VA COM    EQUITY       913456109       1        17 SH    -- DEFINED        4          --         --       17
UNIVERSAL CORP.          EQUITY       913456109   5,740    87,586 SH    -- SOLE           1      87,586         --       --
UNIVERSAL DISPLAY CORP.  EQUITY       91347P105     332    23,182 SH    -- SOLE           1      23,182         --       --
UNIVERSAL ELECTRONICS
   INC.                  EQUITY       913483103     299    12,368 SH    -- SOLE           1      12,368         --       --
UNIVERSAL FOREST
   PRODUCTS, INC         EQUITY       913543104     461    14,320 SH    -- SOLE           1      14,320         --       --
UNIVERSAL FST PRODS INC
   COM                   EQUITY       913543104       8       233 SH    -- DEFINED        5          --         --      233
UNIVERSAL HEALTH
   SERVICES - B          EQUITY       913903100   6,611   123,141 SH    -- SOLE           1     123,141         --       --
UNIVERSAL HEALTH SVCS
   INC                   EQUITY       913903100   7,522   140,100 SH    -- SOLE           2     140,100         --       --
UNIVERSAL STAINLESS &
   ALLOY                 EQUITY       913837100     169     5,695 SH    -- SOLE           1       5,695         --       --
UNIVERSAL TECHNICAL
   INSTITUT              EQUITY       913915104     212    18,069 SH    -- SOLE           1      18,069         --       --
UNIVERSAL TRUCKLOAD
   SERVICES              EQUITY       91388P105     106     5,090 SH    -- SOLE           1       5,090         --       --
UNIVEST CORP OF
   PENNSYLVANIA          EQUITY       915271100     292    11,137 SH    -- SOLE           1      11,137         --       --
UNUM GROUP               EQUITY       91529Y106   3,480   158,088 SH    -- SOLE           1     158,088         --       --
UNUM GROUP               EQUITY       91529Y106       9       415 SH    -- SOLE           2         415         --       --
URANIUM RESOURCES INC    EQUITY       916901507     268    44,765 SH    -- SOLE           1      44,765         --       --
URBAN OUTFITTERS INC COM EQUITY       917047102   6,668   212,700 SH    -- SOLE           3      84,200         --  128,500
URBAN OUTFITTERS INC COM EQUITY       917047102      20       645 SH    -- DEFINED        4          --         --      645
URBAN OUTFITTERS INC COM EQUITY       917047102       3        85 SH    -- DEFINED        5          --         --       85
URBAN OUTFITTERS, INC.   EQUITY       917047102   8,427   268,819 SH    -- SOLE           1     268,819         --       --
URS CORP.                EQUITY       903236107   6,556   200,561 SH    -- SOLE           1     200,561         --       --
US AIRWAYS GROUP INC     EQUITY       90341W108      27     3,063 SH    -- SOLE           1       3,063         --       --
US BANCORP DEL           EQUITY       902973304   1,438    44,442 SH    -- SOLE           2      44,442         --       --
US BANCORP DEL COM NEW   EQUITY       902973304      37     1,150 SH    -- DEFINED        4          --         --    1,150
US BANCORP DEL COM NEW   EQUITY       902973304     240     7,419 SH    -- DEFINED        5          --         --    7,419





                                                                                  
US BIOENERGY CORP        EQUITY       90342V109      69    11,613 SH    -- SOLE           1      11,613         --       --
US CELLULAR              EQUITY       911684108      45       819 SH    -- SOLE           1         819         --       --
US CONCRETE INC          EQUITY       90333L102     111    29,115 SH    -- SOLE           1      29,115         --       --
US GLOBAL INVESTORS INC  EQUITY       902952100     137    10,138 SH    -- SOLE           1      10,138         --       --
US GOLD CORP             EQUITY       912023207     121    47,789 SH    -- SOLE           1      47,789         --       --
USA MOBILITY INC         EQUITY       90341G103     141    19,802 SH    -- SOLE           1      19,802         --       --
USANA HEALTH SCIENCES
   INC                   EQUITY       90328M107     159     7,237 SH    -- SOLE           1       7,237         --       --
USEC INC COM             EQUITY       90333E108      55    14,800 SH    -- DEFINED        5          --         --   14,800
USEC, INC                EQUITY       90333E108     341    92,178 SH    -- SOLE           1      92,178         --       --
USG CORP.                EQUITY       903293405     111     3,017 SH    -- SOLE           1       3,017         --       --
UST INC                  EQUITY       902911106   6,192   113,579 SH    -- SOLE           2     113,579         --       --
UST INC COM              EQUITY       902911106      11       205 SH    -- DEFINED        5          --         --      205
UST INC.                 EQUITY       902911106  20,473   375,521 SH    -- SOLE           1     375,521         --       --
UTI WORLDWIDE INC        EQUITY       G87210103   2,321   115,600 SH    -- SOLE           2     115,600         --       --
UTSTARCOM INC            EQUITY       918076100     259    91,139 SH    -- SOLE           1      91,139         --       --
V F CORP                 EQUITY       918204108     202     2,605 SH    -- SOLE           2       2,605         --       --
V F CORP COM             EQUITY       918204108       6        75 SH    -- DEFINED        4          --         --       75
V F CORP COM             EQUITY       918204108       8       108 SH    -- DEFINED        5          --         --      108
V. F. CORP.              EQUITY       918204108   3,069    39,597 SH    -- SOLE           1      39,597         --       --
VAALCO ENERGY INC        EQUITY       91851C201     252    50,716 SH    -- SOLE           1      50,716         --       --
VAIL RESORTS, INC.       EQUITY       91879Q109   1,301    26,951 SH    -- SOLE           1      26,951         --       --
VALASSIS COMMUNICATIONS
   IN                    EQUITY       918866104   2,496   230,000 SH    -- SOLE           2     230,000         --       --
VALASSIS
   COMMUNICATIONS, INC.  EQUITY       918866104   1,682   154,978 SH    -- SOLE           1     154,978         --       --
VALEANT PHARMACEUTICALS
   INTE                  EQUITY       91911X104   3,749   292,201 SH    -- SOLE           1     292,201         --       --
VALEANT PHARMACEUTICALS
   INTL COM              EQUITY       91911X104       3       244 SH    -- DEFINED        4          --         --      244
VALERO ENERGY CORP       EQUITY       91913Y100   1,053    21,436 SH    -- SOLE           2      21,436         --       --
VALERO ENERGY CORP NEW
   COM                   EQUITY       91913Y100      32       650 SH    -- DEFINED        4          --         --      650
VALERO ENERGY CORP NEW
   COM                   EQUITY       91913Y100     317     6,455 SH    -- DEFINED        5          --         --    6,455
VALERO ENERGY CORP.      EQUITY       91913Y100  13,502   274,925 SH    -- SOLE           1     274,925         --       --
VALHI INC                EQUITY       918905100     135     5,777 SH    -- SOLE           1       5,777         --       --
VALLEY NATIONAL BANC     EQUITY       919794107      48     2,520 SH    -- SOLE           1       2,520         --       --
VALMONT INDS INC         EQUITY       920253101     536     6,100 SH    -- SOLE           2       6,100         --       --
VALMONT INDUSTRIES, INC. EQUITY       920253101   1,403    15,960 SH    -- SOLE           1      15,960         --       --
VALSPAR CORP.            EQUITY       920355104   4,785   241,171 SH    -- SOLE           1     241,171         --       --
VALUE LINE, INC.         EQUITY       920437100      53     1,156 SH    -- SOLE           1       1,156         --       --
VALUECLICK INC           EQUITY       92046N102     304    17,600 SH    -- SOLE           2      17,600         --       --
VALUECLICK INC COM       EQUITY       92046N102       2       100 SH    -- DEFINED        4          --         --      100
VALUECLICK INC.          EQUITY       92046N102   5,808   336,683 SH    -- SOLE           1     336,683         --       --
VALUEVISION MEDIA INC    EQUITY       92047K107     146    26,330 SH    -- SOLE           1      26,330         --       --
VAN KAMPEN DYNAMIC CR
   OPPORT COM ADDED      EQUITY       921166104       9       600 SH    -- DEFINED        5          --         --      600
VAN KAMPEN PA VALUE MUN
   INCO COM              EQUITY       92112T108      78     5,886 SH    -- DEFINED        5          --         --    5,886
VAN KAMPEN SENIOR
   INCOME TR COM         EQUITY       920961109       6     1,075 SH    -- DEFINED        5          --         --    1,075
VAN KAMPEN TR INVT
   GRADE N Y COM         EQUITY       920931102      11       743 SH    -- DEFINED        5          --         --      743
VANDA PHARMACEUTICALS
   INC                   EQUITY       921659108      88    22,822 SH    -- SOLE           1      22,822         --       --
VANGUARD BD INDEX FD
   INC INTERMED TERM     EQUITY       921937819      43       544 SH    -- DEFINED        5          --         --      544
VANGUARD BD INDEX FD
   INC SHORT TRM BOND    EQUITY       921937827     118     1,498 SH    -- DEFINED        5          --         --    1,498
VANGUARD BD INDEX FD
   INC TOTAL BND MRKT    EQUITY       921937835     787    10,072 SH    -- DEFINED        5          --         --   10,072
VANGUARD EMERGING
   MARKETS ETF           EQUITY       922042858  13,273   141,160 SH    -- SOLE           1     141,160         --       --
VANGUARD EUROPEAN ETF    EQUITY       922042874  24,531   356,600 SH    -- SOLE           1     356,600         --       --
VANGUARD INDEX FDS
   EXTEND MKT ETF        EQUITY       922908652      14       150 SH    -- DEFINED        5          --         --      150
VANGUARD INDEX FDS
   GROWTH ETF            EQUITY       922908736      92     1,592 SH    -- DEFINED        4          --         --    1,592
VANGUARD INDEX FDS
   GROWTH ETF            EQUITY       922908736      98     1,695 SH    -- DEFINED        5          --         --    1,695
VANGUARD INDEX FDS
   LARGE CAP ETF         EQUITY       922908637      70     1,179 SH    -- DEFINED        5          --         --    1,179
VANGUARD INDEX FDS MCAP
   GR IDXVIP             EQUITY       922908538       3        56 SH    -- DEFINED        5          --         --       56
VANGUARD INDEX FDS MCAP
   VL IDXVIP             EQUITY       922908512       3        57 SH    -- DEFINED        5          --         --       57
VANGUARD INDEX FDS MID
   CAP ETF               EQUITY       922908629      36       526 SH    -- DEFINED        5          --         --      526





                                                                                  
VANGUARD INDEX FDS REIT
   ETF                   EQUITY       922908553      35       558 SH    -- DEFINED        5          --         --      558
VANGUARD INDEX FDS
   SMALL CP ETF          EQUITY       922908751     191     3,101 SH    -- DEFINED        4          --         --    3,101
VANGUARD INDEX FDS
   SMALL CP ETF          EQUITY       922908751      30       484 SH    -- DEFINED        5          --         --      484
VANGUARD INDEX FDS SML
   CP GRW ETF            EQUITY       922908595       6       100 SH    -- DEFINED        5          --         --      100
VANGUARD INDEX FDS STK
   MRK ETF               EQUITY       922908769      10        75 SH    -- DEFINED        4          --         --       75
VANGUARD INDEX FDS STK
   MRK ETF               EQUITY       922908769     196     1,494 SH    -- DEFINED        5          --         --    1,494
VANGUARD INDEX FDS
   VALUE ETF             EQUITY       922908744      61     1,013 SH    -- DEFINED        4          --         --    1,013
VANGUARD INDEX FDS
   VALUE ETF             EQUITY       922908744      88     1,468 SH    -- DEFINED        5          --         --    1,468
VANGUARD INTL EQUITY
   INDEX F ALLWRLD EX US EQUITY       922042775      29       546 SH    -- DEFINED        4          --         --      546
VANGUARD INTL EQUITY
   INDEX F ALLWRLD EX US EQUITY       922042775     233     4,315 SH    -- DEFINED        5          --         --    4,315
VANGUARD INTL EQUITY
   INDEX F EMR MKT ETF   EQUITY       922042858      32       342 SH    -- DEFINED        4          --         --      342
VANGUARD INTL EQUITY
   INDEX F EMR MKT ETF   EQUITY       922042858      40       425 SH    -- DEFINED        5          --         --      425
VANGUARD TAX-MANAGED FD
   EUROPE PAC ETF        EQUITY       921943858     105     2,376 SH    -- DEFINED        4          --         --    2,376
VANGUARD TAX-MANAGED FD
   EUROPE PAC ETF        EQUITY       921943858      37       848 SH    -- DEFINED        5          --         --      848
VANGUARD WORLD FDS
   CONSUM STP ETF        EQUITY       92204A207      10       150 SH    -- DEFINED        4          --         --      150
VANGUARD WORLD FDS
   HEALTH CAR ETF        EQUITY       92204A504     143     2,675 SH    -- DEFINED        4          --         --    2,675
VANGUARD WORLD FDS INF
   TECH ETF              EQUITY       92204A702      15       300 SH    -- DEFINED        5          --         --      300
VANGUARD WORLD FDS
   TELCOMM ETF           EQUITY       92204A884      32       515 SH    -- DEFINED        4          --         --      515
VARIAN INC COM           EQUITY       922206107       6       100 SH    -- DEFINED        4          --         --      100
VARIAN INC COM           EQUITY       922206107      44       760 SH    -- DEFINED        5          --         --      760
VARIAN MED SYS INC       EQUITY       92220P105       7       150 SH    -- SOLE           2         150         --       --
VARIAN MED SYS INC COM   EQUITY       92220P105   4,394    93,800 SH    -- SOLE           3      37,200         --   56,600
VARIAN MED SYS INC COM   EQUITY       92220P105      83     1,767 SH    -- DEFINED        4          --         --    1,767
VARIAN MED SYS INC COM   EQUITY       92220P105      10       216 SH    -- DEFINED        5          --         --      216
VARIAN MEDICAL SYSTEMS
   INC                   EQUITY       92220P105   2,479    52,916 SH    -- SOLE           1      52,916         --       --
VARIAN SEMICONDUCTOR
   EQUIPMENT             EQUITY       922207105      39     1,390 SH    -- SOLE           1       1,390         --       --
VARIAN SEMICONDUCTOR
   EQUIPMN COM           EQUITY       922207105      48     1,710 SH    -- DEFINED        5          --         --    1,710
VARIAN, INC.             EQUITY       922206107   5,682    98,106 SH    -- SOLE           1      98,106         --       --
VASCO DATA SEC INTL INC
   COM                   EQUITY       92230Y104      11       790 SH    -- DEFINED        5          --         --      790
VASCO DATA SECURITY INTL EQUITY       92230Y104     307    22,445 SH    -- SOLE           1      22,445         --       --
VCA ANTECH INC           EQUITY       918194101   5,514   201,624 SH    -- SOLE           1     201,624         --       --
VCA ANTECH INC COM       EQUITY       918194101       3       100 SH    -- DEFINED        4          --         --      100
VCA ANTECH INC COM       EQUITY       918194101       8       275 SH    -- DEFINED        5          --         --      275
VECTOR GROUP LTD COM     EQUITY       92240M108     166     9,411 SH    -- DEFINED        4          --         --    9,411
VECTOR GROUP LTD COM     EQUITY       92240M108       4       210 SH    -- DEFINED        5          --         --      210
VECTOR GROUP LTD.        EQUITY       92240M108     469    26,652 SH    -- SOLE           1      26,652         --       --
VECTREN CORP             EQUITY       92240G101   4,942   184,180 SH    -- SOLE           1     184,180         --       --
VEECO INSTRUMENTS, INC.  EQUITY       922417100     445    26,729 SH    -- SOLE           1      26,729         --       --
VENOCO INC               EQUITY       92275P307     142    12,219 SH    -- SOLE           1      12,219         --       --
VENTAS INC               EQUITY       92276F100  10,637   236,854 SH    -- SOLE           1     236,854         --       --
VEOLIA ENVIRONNEMENT
   SPONSORED ADR         EQUITY       92334N103       7       100 SH    -- DEFINED        4          --         --      100
VEOLIA ENVIRONNEMENT
   SPONSORED ADR         EQUITY       92334N103     129     1,846 SH    -- DEFINED        5          --         --    1,846
VERASUN ENERGY CORP      EQUITY       92336G106     251    34,189 SH    -- SOLE           1      34,189         --       --
VERASUN ENERGY CORP COM  EQUITY       92336G106      18     2,460 SH    -- DEFINED        5          --         --    2,460
VERAZ NETWORKS INC       EQUITY       923359103      19     7,778 SH    -- SOLE           1       7,778         --       --
VERENIUM CORP            EQUITY       92340P100     123    34,924 SH    -- SOLE           1      34,924         --       --
VERENIUM CORPORATION COM EQUITY       92340P100       2       607 SH    -- DEFINED        5          --         --      607
VERIFONE HOLDINGS INC    EQUITY       92342Y109      10       616 SH    -- SOLE           1         616         --       --
VERIGY LTD SHS           EQUITY       Y93691106       1        73 SH    -- DEFINED        5          --         --       73
VERISIGN INC             EQUITY       92343E102       8       255 SH    -- SOLE           2         255         --       --
VERISIGN INC COM         EQUITY       92343E102       3       100 SH    -- DEFINED        5          --         --      100
VERISIGN, INC.           EQUITY       92343E102   3,446   103,682 SH    -- SOLE           1     103,682         --       --
VERIZON COMMUNICATIONS   EQUITY       92343V104  78,665 2,158,149 SH    -- SOLE           1   2,158,149         --       --
VERIZON COMMUNICATIONS   EQUITY       92343V104  14,567   399,653 SH    -- SOLE           2     399,653         --       --
VERIZON COMMUNICATIONS
   INC COM               EQUITY       92343V104     163     4,465 SH    -- DEFINED        4          --         --    4,465
VERIZON COMMUNICATIONS
   INC COM               EQUITY       92343V104     949    26,034 SH    -- DEFINED        5          --         --   26,034





                                                                                  
VERTEX PHARMACEUTICALS,
   INC.                  EQUITY       92532F100   8,042   336,615 SH    -- SOLE           1     336,615         --       --
VIACOM INC NEW           EQUITY       92553P201     666    16,816 SH    -- SOLE           2      16,816         --       --
VIACOM INC NEW CL B      EQUITY       92553P201      85     2,138 SH    -- DEFINED        4          --         --    2,138
VIACOM INC NEW CL B      EQUITY       92553P201      43     1,077 SH    -- DEFINED        5          --         --    1,077
VIACOM INC-CLASS B       EQUITY       92553P201  23,916   603,641 SH    -- SOLE           1     603,641         --       --
VIAD CORP                EQUITY       92552R406     651    18,080 SH    -- SOLE           1      18,080         --       --
VIAD CORP COM NEW        EQUITY       92552R406       4       100 SH    -- DEFINED        5          --         --      100
VIASAT, INC.             EQUITY       92552V100     451    20,785 SH    -- SOLE           1      20,785         --       --
VICAL INC COM            EQUITY       925602104       1       300 SH    -- DEFINED        4          --         --      300
VICOR CORP.              EQUITY       925815102     199    16,689 SH    -- SOLE           1      16,689         --       --
VIEWPOINT FINANCIAL
   GROUP                 EQUITY       926727108     164     9,950 SH    -- SOLE           1       9,950         --       --
VIGNETTE CORP COM NEW    EQUITY       926734401       6       476 SH    -- DEFINED        4          --         --      476
VIGNETTE CORPORATION     EQUITY       926734401     278    21,077 SH    -- SOLE           1      21,077         --       --
VILLAGE SUPER MARKET     EQUITY       927107409     135     2,629 SH    -- SOLE           1       2,629         --       --
VIMICRO INTL CORP ADR    EQUITY       92718N109       3     1,000 SH    -- DEFINED        5          --         --    1,000
VIMPEL-COMMUNICATIONS    EQUITY       68370R109  54,372 1,825,586 SH    -- SOLE           1   1,825,586         --       --
VIRGIN MEDIA INC         EQUITY       92769L101     416    29,568 SH    -- SOLE           1      29,568         --       --
VIRGIN MOBILE USA INC    EQUITY       92769R108      48    23,579 SH    -- SOLE           1      23,579         --       --
VIRGINIA COMMERCE
   BANCORP               EQUITY       92778Q109     169    14,705 SH    -- SOLE           1      14,705         --       --
VIROPHARMA INC           EQUITY       928241108     535    59,877 SH    -- SOLE           1      59,877         --       --
VIRTUAL RADIOLOGIC CORP  EQUITY       92826B104      58     3,814 SH    -- SOLE           1       3,814         --       --
VIRTUSA CORP             EQUITY       92827P102     201    20,564 SH    -- SOLE           1      20,564         --       --
VIRTUSA CORP COM         EQUITY       92827P102   1,141   116,900 SH    -- SOLE           3     116,900         --       --
VISHAY INTERTECHNOLOGY
   INC COM               EQUITY       928298108       2       230 SH    -- DEFINED        5          --         --      230
VISHAY INTERTECHNOLOGY,
   INC.                  EQUITY       928298108   4,049   446,899 SH    -- SOLE           1     446,899         --       --
VISTEON CORP COM         EQUITY       92839U107       2       627 SH    -- DEFINED        5          --         --      627
VISTEON CORP.            EQUITY       92839U107     418   111,226 SH    -- SOLE           1     111,226         --       --
VITAL IMAGES INC         EQUITY       92846N104     217    14,644 SH    -- SOLE           1      14,644         --       --
VITAL SIGNS, INC.        EQUITY       928469105     471     9,293 SH    -- SOLE           1       9,293         --       --
VIVUS INC.               EQUITY       928551100     302    50,072 SH    -- SOLE           1      50,072         --       --
VMWARE INC CL A COM      EQUITY       928563402      69     1,600 SH    -- DEFINED        4          --         --    1,600
VMWARE INC CL A COM      EQUITY       928563402      11       250 SH    -- DEFINED        5          --         --      250
VNUS MED TECNOLOGIES COM EQUITY       928566108   1,834   100,800 SH    -- SOLE           3     100,800         --       --
VOCUS INC                EQUITY       92858J108     294    11,118 SH    -- SOLE           1      11,118         --       --
VODAFONE GROUP PLC NEW
   SPONS ADR NEW         EQUITY       92857W209     916    31,050 SH    -- DEFINED        4          --         --   31,050
VODAFONE GROUP PLC NEW
   SPONS ADR NEW         EQUITY       92857W209      21       717 SH    -- DEFINED        5          --         --      717
VOLCANO CORP             EQUITY       928645100     309    24,751 SH    -- SOLE           1      24,751         --       --
VOLCANO CORPORATION COM  EQUITY       928645100       1       100 SH    -- DEFINED        4          --         --      100
VOLCOM INC               EQUITY       92864N101     254    12,563 SH    -- SOLE           1      12,563         --       --
VOLT INFORMATION
   SCIENCES INC.         EQUITY       928703107     193    11,393 SH    -- SOLE           1      11,393         --       --
VOLTERRA SEMICONDUCTOR
   CORP                  EQUITY       928708106     207    18,258 SH    -- SOLE           1      18,258         --       --
VONAGE HOLDINGS CORP     EQUITY       92886T201     103    55,489 SH    -- SOLE           1      55,489         --       --
VORNADO REALTY TRUST     EQUITY       929042109   5,251    60,907 SH    -- SOLE           1      60,907         --       --
VORNADO RLTY TR          EQUITY       929042109      14       161 SH    -- SOLE           2         161         --       --
VULCAN MATERIALS CO.     EQUITY       929160109   3,093    46,575 SH    -- SOLE           1      46,575         --       --
VULCAN MATLS CO          EQUITY       929160109       9       130 SH    -- SOLE           2         130         --       --
VULCAN MATLS CO COM      EQUITY       929160109     259     3,904 SH    -- DEFINED        5          --         --    3,904
W HOLDING COMPANY INC.   EQUITY       929251106     116    97,700 SH    -- SOLE           1      97,700         --       --
W P CAREY & CO LLC COM   EQUITY       92930Y107      29       974 SH    -- DEFINED        4          --         --      974
W&T OFFSHORE INC         EQUITY       92922P106      61     1,787 SH    -- SOLE           1       1,787         --       --
W. R. BERKLEY CORP.      EQUITY       084423102  10,357   374,040 SH    -- SOLE           1     374,040         --       --
W. W. GRAINGER, INC.     EQUITY       384802104   2,211    28,939 SH    -- SOLE           1      28,939         --       --
WABASH NATIONAL CORP.    EQUITY       929566107     235    26,194 SH    -- SOLE           1      26,194         --       --
WABCO HLDGS INC COM      EQUITY       92927K102      22       472 SH    -- DEFINED        5          --         --      472
WABCO HOLDINGS INC       EQUITY       92927K102      49     1,067 SH    -- SOLE           1       1,067         --       --
WABTEC                   EQUITY       929740108   5,915   157,075 SH    -- SOLE           1     157,075         --       --





                                                                                  
WACHOVIA CORP            EQUITY       929903102  38,563 1,428,271 SH    -- SOLE           1   1,428,271         --       --
WACHOVIA CORP 2ND NEW    EQUITY       929903102     489    18,110 SH    -- SOLE           2      18,110         --       --
WACHOVIA CORP NEW COM    EQUITY       929903102     121     4,499 SH    -- DEFINED        4          --         --    4,499
WACHOVIA CORP NEW COM    EQUITY       929903102     347    12,847 SH    -- DEFINED        5          --         --   12,847
WADDELL & REED
   FINANCIAL, INC.       EQUITY       930059100   8,874   276,190 SH    -- SOLE           1     276,190         --       --
WADDELL + REED FINL INC  EQUITY       930059100     165     5,150 SH    -- SOLE           2       5,150         --       --
WAL MART STORES INC      EQUITY       931142103   7,287   138,326 SH    -- SOLE           2     138,326         --       --
WAL MART STORES INC COM  EQUITY       931142103     142     2,701 SH    -- DEFINED        4          --         --    2,701
WAL MART STORES INC COM  EQUITY       931142103   2,881    54,681 SH    -- DEFINED        5          --         --   54,681
WALGREEN CO              EQUITY       931422109     234     6,136 SH    -- SOLE           2       6,136         --       --
WALGREEN CO COM          EQUITY       931422109     329     8,636 SH    -- DEFINED        4          --         --    8,636
WALGREEN CO COM          EQUITY       931422109     400    10,494 SH    -- DEFINED        5          --         --   10,494
WALGREEN CO.             EQUITY       931422109  24,316   638,392 SH    -- SOLE           1     638,392         --       --
WAL-MART STORES INC      EQUITY       931142103 118,438 2,248,247 SH    -- SOLE           1   2,248,247         --       --
WALT DISNEY              EQUITY       254687106  71,258 2,270,820 SH    -- SOLE           1   2,270,820         --       --
WALTER INDS INC          EQUITY       93317Q105     902    14,400 SH    -- SOLE           2      14,400         --       --
WALTER INDUSTRIES, INC.  EQUITY       93317Q105   2,868    45,791 SH    -- SOLE           1      45,791         --       --
WARNACO GROUP INC        EQUITY       934390402   5,783   146,620 SH    -- SOLE           1     146,620         --       --
WARNER CHILCOTT LIMITED  EQUITY       G9435N108     115     6,400 SH    -- SOLE           2       6,400         --       --
WARNER MUSIC GROUP CORP  EQUITY       934550104       5     1,051 SH    -- SOLE           1       1,051         --       --
WARREN RES INC           EQUITY       93564A100   2,560   215,700 SH    -- SOLE           2     215,700         --       --
WARREN RES INC COM       EQUITY       93564A100       2       190 SH    -- DEFINED        5          --         --      190
WARREN RESOURCES INC     EQUITY       93564A100     593    49,919 SH    -- SOLE           1      49,919         --       --
WASHINGTON FEDERAL I     EQUITY       938824109   4,770   208,836 SH    -- SOLE           1     208,836         --       --
WASHINGTON MUT INC       EQUITY       939322103      29     2,855 SH    -- SOLE           2       2,855         --       --
WASHINGTON MUT INC COM   EQUITY       939322103       3       250 SH    -- DEFINED        4          --         --      250
WASHINGTON MUT INC COM   EQUITY       939322103     273    26,542 SH    -- DEFINED        5          --         --   26,542
WASHINGTON MUTUAL INC    EQUITY       939322103   4,492   436,125 SH    -- SOLE           1     436,125         --       --
WASHINGTON POST CO       EQUITY       939640108       5         7 SH    -- SOLE           2           7         --       --
WASHINGTON POST CO.
   CLASS B               EQUITY       939640108   3,348     5,061 SH    -- SOLE           1       5,061         --       --
WASHINGTON REAL ESTATE
   INV.                  EQUITY       939653101   1,291    38,644 SH    -- SOLE           1      38,644         --       --
WASHINGTON REAL ESTATE
   INVT SH BEN INT       EQUITY       939653101      17       515 SH    -- DEFINED        4          --         --      515
WASHINGTON TRUST
   BANCORP, INC.         EQUITY       940610108     243     9,798 SH    -- SOLE           1       9,798         --       --
WASTE CONNECTIONS, INC.  EQUITY       941053100   1,811    58,916 SH    -- SOLE           1      58,916         --       --
WASTE INDUSTRIES USA INC EQUITY       941057101     157     4,341 SH    -- SOLE           1       4,341         --       --
WASTE MANAGEMENT, INC.   EQUITY       94106L109  21,024   626,459 SH    -- SOLE           1     626,459         --       --
WASTE MGMT INC DEL       EQUITY       94106L109   6,833   203,592 SH    -- SOLE           2     203,592         --       --
WASTE MGMT INC DEL COM   EQUITY       94106L109      12       372 SH    -- DEFINED        4          --         --      372
WASTE MGMT INC DEL COM   EQUITY       94106L109       4       120 SH    -- DEFINED        5          --         --      120
WASTE SERVICES INC       EQUITY       941075202     135    16,674 SH    -- SOLE           1      16,674         --       --
WATERS CORP              EQUITY       941848103       7       119 SH    -- SOLE           2         119         --       --
WATERS CORP COM          EQUITY       941848103      38       690 SH    -- DEFINED        5          --         --      690
WATERS CORP.             EQUITY       941848103   4,780    85,815 SH    -- SOLE           1      85,815         --       --
WATSCO, INC.             EQUITY       942622200     813    19,639 SH    -- SOLE           1      19,639         --       --
WATSON PHARMACEUTICALS
   INC                   EQUITY       942683103     118     4,024 SH    -- SOLE           2       4,024         --       --
WATSON PHARMACEUTICALS
   INC COM               EQUITY       942683103       4       150 SH    -- DEFINED        5          --         --      150
WATSON PHARMACEUTICALS
   INC DBCV 1.750% 3/1   FIXED INCOME 942683AC7       3         3 PRN   -- DEFINED        4          --         --        3
WATSON PHARMACEUTICALS,
   INC                   EQUITY       942683103   3,150   107,450 SH    -- SOLE           1     107,450         --       --
WATSON WYATT WORLDWIDE
   INC                   EQUITY       942712100   2,082    36,685 SH    -- SOLE           1      36,685         --       --
WATSON WYATT WORLDWIDE
   INC                   EQUITY       942712100   1,155    20,350 SH    -- SOLE           2      20,350         --       --
WATTS WATER
   TECHNOLOGIES INC CL A EQUITY       942749102       4       125 SH    -- DEFINED        5          --         --      125
WATTS WATER
   TECHNOLOGIES INC.,
   CLASS A               EQUITY       942749102     716    25,545 SH    -- SOLE           1      25,545         --       --
WAUSAU PAPER CORP.       EQUITY       943315101     315    38,143 SH    -- SOLE           1      38,143         --       --
WAUWATOSA HOLDINGS INC   EQUITY       94348P108     100     8,398 SH    -- SOLE           1       8,398         --       --
WCI COMMUNITIES INC      EQUITY       92923C104      89    26,461 SH    -- SOLE           1      26,461         --       --
WD-40 CO.                EQUITY       929236107     502    15,089 SH    -- SOLE           1      15,089         --       --





                                                                                  
WEATHERFORD
   INTERNATIONAL         EQUITY       G95089101      29       405 SH    -- SOLE           2         405         --       --
WEATHERFORD
   INTERNATIONAL LT COM  EQUITY       G95089101      55       765 SH    -- DEFINED        4          --         --      765
WEATHERFORD
   INTERNATIONAL LT COM  EQUITY       G95089101      22       300 SH    -- DEFINED        5          --         --      300
WEATHERFORDNINTL LTD     EQUITY       G95089101  12,742   175,819 SH    -- SOLE           1     175,819         --       --
WEBMD HEALTH CORP        EQUITY       94770V102      12       500 SH    -- SOLE           2         500         --       --
WEBMD HEALTH CORP-CLASS
   A                     EQUITY       94770V102       7       305 SH    -- SOLE           1         305         --       --
WEBSENSE INC             EQUITY       947684106     723    38,584 SH    -- SOLE           1      38,584         --       --
WEBSENSE INC             EQUITY       947684106     684    36,500 SH    -- SOLE           2      36,500         --       --
WEBSITE PROS INC         EQUITY       94769V105   1,301   132,400 SH    -- SOLE           1     132,400         --       --
WEBSITE PROS INC COM     EQUITY       94769V105   3,010   306,200 SH    -- SOLE           3     306,200         --       --
WEBSTER FINANCIAL CORP.  EQUITY       947890109   3,575   128,290 SH    -- SOLE           1     128,290         --       --
WEBSTER FINL CORP CONN
   COM                   EQUITY       947890109     897    32,174 SH    -- DEFINED        5          --         --   32,174
WEIGHT WATCHERS INTL INC EQUITY       948626106      35       750 SH    -- SOLE           1         750         --       --
WEIS MARKETS INC         EQUITY       948849104     367    10,650 SH    -- SOLE           1      10,650         --       --
WELLCARE HEALTH PLANS
   INC                   EQUITY       94946T106   3,891    99,893 SH    -- SOLE           1      99,893         --       --
WELLCARE HEALTH PLANS
   INC COM               EQUITY       94946T106       5       140 SH    -- DEFINED        5          --         --      140
WELLPOINT INC            EQUITY       94973V107  21,154   479,355 SH    -- SOLE           1     479,355         --       --
WELLPOINT INC            EQUITY       94973V107     922    20,888 SH    -- SOLE           2      20,888         --       --
WELLPOINT INC COM        EQUITY       94973V107       5       107 SH    -- DEFINED        4          --         --      107
WELLPOINT INC COM        EQUITY       94973V107       5       110 SH    -- DEFINED        5          --         --      110
WELLS FARGO & CO NEW COM EQUITY       949746101     126     4,318 SH    -- DEFINED        4          --         --    4,318
WELLS FARGO & CO NEW COM EQUITY       949746101     434    14,913 SH    -- DEFINED        5          --         --   14,913
WELLS FARGO + CO NEW     EQUITY       949746101   2,440    83,865 SH    -- SOLE           2      83,865         --       --
WELLS FARGO CO.          EQUITY       949746101  42,961 1,476,324 SH    -- SOLE           1   1,476,324         --       --
WENDY'S INTERNATIONAL,
   INC.                  EQUITY       950590109   3,505   152,003 SH    -- SOLE           1     152,003         --       --
WENDYS INTL INC          EQUITY       950590109       2       104 SH    -- SOLE           2         104         --       --
WERNER ENTERPRISES, INC. EQUITY       950755108   2,699   145,400 SH    -- SOLE           1     145,400         --       --
WESBANCO, INC.           EQUITY       950810101     535    21,638 SH    -- SOLE           1      21,638         --       --
WESCO INTERNATIONAL,
   INC.                  EQUITY       95082P105      43     1,170 SH    -- SOLE           1       1,170         --       --
WEST COAST BANCORP       EQUITY       952145100     196    13,467 SH    -- SOLE           1      13,467         --       --
WEST MARINE INC          EQUITY       954235107      88    12,658 SH    -- SOLE           1      12,658         --       --
WEST PHARMACEUTICAL
   SERVICES              EQUITY       955306105   1,252    28,304 SH    -- SOLE           1      28,304         --       --
WESTAMERICA
   BANKCORPORATION       EQUITY       957090103   4,954    94,182 SH    -- SOLE           1      94,182         --       --
WESTAR ENERGY            EQUITY       95709T100   7,224   317,247 SH    -- SOLE           1     317,247         --       --
WESTAR ENERGY INC COM    EQUITY       95709T100      30     1,334 SH    -- DEFINED        4          --         --    1,334
WESTAR ENERGY INC COM    EQUITY       95709T100      10       452 SH    -- DEFINED        5          --         --      452
WESTERN ALLIANCE BANCORP EQUITY       957638109     183    14,221 SH    -- SOLE           1      14,221         --       --
WESTERN ASSET 2008 WW
   DLR GO COM            EQUITY       95766W103      23     2,268 SH    -- DEFINED        5          --         --    2,268
WESTERN ASSET CLYM INFL
   OPP COM               EQUITY       95766R104     127    10,595 SH    -- DEFINED        4          --         --   10,595
WESTERN ASSET CLYM INFL
   OPP COM               EQUITY       95766R104      24     2,000 SH    -- DEFINED        5          --         --    2,000
WESTERN ASSET CLYM INFL
   SEC COM SH BEN INT    EQUITY       95766Q106       5       452 SH    -- DEFINED        5          --         --      452
WESTERN ASSET EMRG MKT
   DEBT COM              EQUITY       95766A101      18     1,019 SH    -- DEFINED        4          --         --    1,019
WESTERN ASSET EMRG MKT
   DEBT COM              EQUITY       95766A101      14       832 SH    -- DEFINED        5          --         --      832
WESTERN ASSET EMRG MKT
   INCM COM              EQUITY       95766E103     203    15,879 SH    -- DEFINED        4          --         --   15,879
WESTERN ASSET GLB HI
   INCOME COM            EQUITY       95766B109      30     2,680 SH    -- DEFINED        5          --         --    2,680
WESTERN ASSET HIGH INCM
   FD I COM              EQUITY       95766H106      19     2,200 SH    -- DEFINED        5          --         --    2,200
WESTERN ASSET HIGH INCM
   FD I COM              EQUITY       95766J102     322    35,020 SH    -- DEFINED        5          --         --   35,020
WESTERN ASSET HIGH INCM
   OPP COM               EQUITY       95766K109      12     2,172 SH    -- DEFINED        5          --         --    2,172
WESTERN ASSET INFL MGMT
   FD I COM              EQUITY       95766U107     128     7,528 SH    -- DEFINED        4          --         --    7,528
WESTERN ASSET PREMIER
   BD FD SHS BEN INT     EQUITY       957664105      25     2,000 SH    -- DEFINED        5          --         --    2,000
WESTERN ASST MNG MUN FD
   INC COM               EQUITY       95766M105      40     3,656 SH    -- DEFINED        5          --         --    3,656
WESTERN DIGITAL CORP     EQUITY       958102105     154     5,700 SH    -- SOLE           2       5,700         --       --
WESTERN DIGITAL CORP COM EQUITY       958102105       4       166 SH    -- DEFINED        4          --         --      166
WESTERN DIGITAL CORP COM EQUITY       958102105      18       660 SH    -- DEFINED        5          --         --      660
WESTERN DIGITIAL CORP.   EQUITY       958102105  14,393   532,271 SH    -- SOLE           1     532,271         --       --
WESTERN GOLDFIELDS INC
   COM NEW               EQUITY       95828P203   1,460   456,400 SH    -- SOLE           3     456,400         --       --





                                                                                  
WESTERN REFINING INC     EQUITY       959319104      11       811 SH    -- SOLE           1         811         --       --
WESTERN REFNG INC COM    EQUITY       959319104       3       200 SH    -- DEFINED        4          --         --      200
WESTERN UN CO            EQUITY       959802109     300    14,096 SH    -- SOLE           2      14,096         --       --
WESTERN UN CO COM        EQUITY       959802109     128     6,000 SH    -- DEFINED        5          --         --    6,000
WESTERN UNION CO/THE     EQUITY       959802109   8,777   412,624 SH    -- SOLE           1     412,624         --       --
WESTFIELD FINANCIAL INC  EQUITY       96008P104      87     8,878 SH    -- SOLE           1       8,878         --       --
WESTWOOD ONE, INC.       EQUITY       961815107     128    60,804 SH    -- SOLE           1      60,804         --       --
WET SEAL INC CL A        EQUITY       961840105   1,405   414,600 SH    -- SOLE           3     414,600         --       --
WET SEAL, INC.           EQUITY       961840105     245    72,367 SH    -- SOLE           1      72,367         --       --
WEYCO GROUP INC          EQUITY       962149100     189     6,360 SH    -- SOLE           1       6,360         --       --
WEYERHAEUSER CO          EQUITY       962166104      16       250 SH    -- SOLE           2         250         --       --
WEYERHAEUSER CO COM      EQUITY       962166104       2        35 SH    -- DEFINED        4          --         --       35
WEYERHAEUSER CO COM      EQUITY       962166104      13       200 SH    -- DEFINED        5          --         --      200
WEYERHAEUSER CO.         EQUITY       962166104   5,607    86,203 SH    -- SOLE           1      86,203         --       --
WGL HOLDINGS INC.        EQUITY       92924F106  11,356   354,211 SH    -- SOLE           1     354,211         --       --
W-H ENERGY SERVICES INC  EQUITY       92925E108   1,797    26,097 SH    -- SOLE           1      26,097         --       --
WHIRLPOOL CORP           EQUITY       963320106       8        90 SH    -- SOLE           2          90         --       --
WHIRLPOOL CORP COM       EQUITY       963320106      86       986 SH    -- DEFINED        4          --         --      986
WHIRLPOOL CORP COM       EQUITY       963320106      53       613 SH    -- DEFINED        5          --         --      613
WHIRLPOOL CORP.          EQUITY       963320106   2,892    33,325 SH    -- SOLE           1      33,325         --       --
WHITE MTNS INS GROUP
   LTD COM               EQUITY       G9618E107       1         3 SH    -- DEFINED        5          --         --        3
WHITING PETROLEUM CORP   EQUITY       966387102   2,332    36,077 SH    -- SOLE           1      36,077         --       --
WHITNEY HOLDING CORP.    EQUITY       966612103      63     2,543 SH    -- SOLE           1       2,543         --       --
WHOLE FOODS MARKET I     EQUITY       966837106   2,206    66,919 SH    -- SOLE           1      66,919         --       --
WHOLE FOODS MKT INC      EQUITY       966837106       6       167 SH    -- SOLE           2         167         --       --
WHOLE FOODS MKT INC COM  EQUITY       966837106      10       300 SH    -- DEFINED        4          --         --      300
WHOLE FOODS MKT INC COM  EQUITY       966837106     191     5,786 SH    -- DEFINED        5          --         --    5,786
WILLBROS GROUP INC       EQUITY       969199108     972    31,774 SH    -- SOLE           1      31,774         --       --
WILLIAMS COMPANIES, INC. EQUITY       969457100  29,961   908,454 SH    -- SOLE           1     908,454         --       --
WILLIAMS COS INC         EQUITY       969457100      23       699 SH    -- SOLE           2         699         --       --
WILLIAMS COS INC DEL COM EQUITY       969457100      22       655 SH    -- DEFINED        4          --         --      655
WILLIAMS COS INC DEL COM EQUITY       969457100      11       339 SH    -- DEFINED        5          --         --      339
WILLIAMS-SONOMA, INC.    EQUITY       969904101   5,084   209,719 SH    -- SOLE           1     209,719         --       --
WILMINGTON TRUST CORP    EQUITY       971807102   5,069   162,987 SH    -- SOLE           1     162,987         --       --
WILSHIRE BANCORP INC     EQUITY       97186T108     115    15,107 SH    -- SOLE           1      15,107         --       --
WIMM-BILL-DANN FOODS
   OJSC                  EQUITY       97263M109   1,845    18,000 SH    -- SOLE           1      18,000         --       --
WIND RIVER SYSTEMS INC.  EQUITY       973149107   1,906   246,238 SH    -- SOLE           1     246,238         --       --
WINDSTREAM CORP          EQUITY       97381W104  18,348 1,535,388 SH    -- SOLE           1   1,535,388         --       --
WINDSTREAM CORP          EQUITY       97381W104   4,944   413,743 SH    -- SOLE           2     413,743         --       --
WINDSTREAM CORP COM      EQUITY       97381W104       1       103 SH    -- DEFINED        4          --         --      103
WINDSTREAM CORP COM      EQUITY       97381W104      59     4,900 SH    -- DEFINED        5          --         --    4,900
WINN-DIXIE STORES INC    EQUITY       974280307     527    29,364 SH    -- SOLE           1      29,364         --       --
WINNEBAGO INDUSTRIES,
   INC.                  EQUITY       974637100     429    25,356 SH    -- SOLE           1      25,356         --       --
WINTHROP REALTY TRUST    EQUITY       976391102     179    43,391 SH    -- SOLE           1      43,391         --       --
WINTRUST FINANCIAL CORP  EQUITY       97650W108     724    20,715 SH    -- SOLE           1      20,715         --       --
WISCONSIN ENERGY CORP.   EQUITY       976657106  12,360   280,971 SH    -- SOLE           1     280,971         --       --
WISDOMTREE TRUST DEFA
   HG YLD EQ             EQUITY       97717W802       6       100 SH    -- DEFINED        5          --         --      100
WISDOMTREE TRUST INDIA
   ERNGS FD ADDED        EQUITY       97717W422       3       150 SH    -- DEFINED        5          --         --      150
WISDOMTREE TRUST INTL
   CONS NON              EQUITY       97717W729      21       747 SH    -- DEFINED        4          --         --      747
WISDOMTREE TRUST INTL
   DV TOP100             EQUITY       97717W786     894    14,000 SH    -- DEFINED        5          --         --   14,000
WISDOMTREE TRUST INTL
   FINANCIAL             EQUITY       97717W695     654    27,120 SH    -- DEFINED        4          --         --   27,120
WISDOMTREE TRUST INTL
   LRGCAP DV             EQUITY       97717W794      22       350 SH    -- DEFINED        5          --         --      350
WISDOMTREE TRUST JP
   HG-YIELDING           EQUITY       97717W844       5        96 SH    -- DEFINED        4          --         --       96
WISDOMTREE TRUST LOW
   P/E FUND              EQUITY       97717W547      16       375 SH    -- DEFINED        4          --         --      375
WISDOMTREE TRUST MIDCAP
   DIVI FD               EQUITY       97717W505     448     9,340 SH    -- DEFINED        4          --         --    9,340
WISDOMTREE TRUST PAC
   EXJP HG YD            EQUITY       97717W810     849    13,400 SH    -- DEFINED        5          --         --   13,400





                                                                                  
WISDOMTREE TRUST PAC
   EXJP TOT D            EQUITY       97717W828      25       350 SH    -- DEFINED        4          --         --      350
WISDOMTREE TRUST PAC
   EXJP TOT D            EQUITY       97717W828       7        95 SH    -- DEFINED        5          --         --       95
WISDOMTREE TRUST
   SMALLCAP DIVID        EQUITY       97717W604       5       112 SH    -- DEFINED        4          --         --      112
WIZZARD SOFTWARE CORP
   NEW COM ADDED         EQUITY       97750V109       3     1,100 SH    -- DEFINED        5          --         --    1,100
WM. WRIGLEY JR. CO.      EQUITY       982526105   8,810   140,197 SH    -- SOLE           1     140,197         --       --
WMS INDS INC COM         EQUITY       929297109      17       475 SH    -- DEFINED        5          --         --      475
WMS INDUSTRIES INC       EQUITY       929297109     468    13,000 SH    -- SOLE           2      13,000         --       --
WMS INDUSTRIES INC.      EQUITY       929297109   1,254    34,870 SH    -- SOLE           1      34,870         --       --
WOLVERINE WORLD WIDE INC EQUITY       978097103     754    26,000 SH    -- SOLE           2      26,000         --       --
WOLVERINE WORLD WIDE
   INC COM               EQUITY       978097103       3       103 SH    -- DEFINED        5          --         --      103
WOLVERINE WORLD WIDE,
   INC.                  EQUITY       978097103   1,237    42,637 SH    -- SOLE           1      42,637         --       --
WONDER AUTO TECH INC
   COM                   EQUITY       978166106   1,073   130,400 SH    -- SOLE           3     130,400         --       --
WOODWARD GOVERNOR CO     EQUITY       980745103     492    18,400 SH    -- SOLE           2      18,400         --       --
WOODWARD GOVERNOR CO.    EQUITY       980745103   1,374    51,429 SH    -- SOLE           1      51,429         --       --
WORLD ACCEPTANCE CORP.   EQUITY       981419104     479    15,028 SH    -- SOLE           1      15,028         --       --
WORLD FUEL SERVICES
   CORP.                 EQUITY       981475106   5,224   186,100 SH    -- SOLE           2     186,100         --       --
WORLD FUEL SVCS CORP     EQUITY       981475106     687    24,480 SH    -- SOLE           1      24,480         --       --
WORLD WRESTLING ENTMNT   EQUITY       98156Q108     360    19,351 SH    -- SOLE           1      19,351         --       --
WORLD WRESTLING ENTMT
   INC                   EQUITY       98156Q108     661    35,500 SH    -- SOLE           2      35,500         --       --
WORLD WRESTLING ENTMT
   INC CL A              EQUITY       98156Q108       9       463 SH    -- DEFINED        4          --         --      463
WORTHINGTON INDUSTRIES,
   INC.                  EQUITY       981811102   3,581   212,251 SH    -- SOLE           1     212,251         --       --
WRIGHT EXPRESS CORP      EQUITY       98233Q105   1,053    34,261 SH    -- SOLE           1      34,261         --       --
WRIGHT EXPRESS CORP      EQUITY       98233Q105     845    27,500 SH    -- SOLE           2      27,500         --       --
WRIGHT MED GROUP INC     EQUITY       98235T107   1,246    51,607 SH    -- SOLE           1      51,607         --       --
WRIGHT MED GROUP INC     EQUITY       98235T107     533    22,100 SH    -- SOLE           2      22,100         --       --
WRIGLEY WM JR CO         EQUITY       982526105   1,015    16,159 SH    -- SOLE           2      16,159         --       --
WRIGLEY WM JR CO COM     EQUITY       982526105      18       282 SH    -- DEFINED        4          --         --      282
WRIGLEY WM JR CO COM     EQUITY       982526105      45       718 SH    -- DEFINED        5          --         --      718
WSFS FINANCIAL CORP      EQUITY       929328102     266     5,394 SH    -- SOLE           1       5,394         --       --
WUXI PHARMATECH CAYMAN
   INC SPONS ADR SHS     EQUITY       929352102      11       500 SH    -- DEFINED        5          --         --      500
WYETH                    EQUITY       983024100  31,390   751,676 SH    -- SOLE           1     751,676         --       --
WYETH                    EQUITY       983024100     478    11,449 SH    -- SOLE           2      11,449         --       --
WYETH COM                EQUITY       983024100      29       700 SH    -- DEFINED        4          --         --      700
WYETH COM                EQUITY       983024100      63     1,519 SH    -- DEFINED        5          --         --    1,519
WYETH DBCV 1/1           FIXED INCOME 983024AD2       3         3 PRN   -- DEFINED        4          --         --        3
WYNDHAM WORLDWIDE CORP   EQUITY       98310W108   1,644    79,499 SH    -- SOLE           1      79,499         --       --
WYNDHAM WORLDWIDE CORP   EQUITY       98310W108       4       212 SH    -- SOLE           2         212         --       --
WYNDHAM WORLDWIDE CORP
   COM                   EQUITY       98310W108       4       214 SH    -- DEFINED        5          --         --      214
WYNN RESORTS LTD         EQUITY       983134107     789     7,839 SH    -- SOLE           1       7,839         --       --
XCEL ENERGY INC          EQUITY       98389B100   2,568   128,713 SH    -- SOLE           2     128,713         --       --
XCEL ENERGY INC COM      EQUITY       98389B100      14       714 SH    -- DEFINED        4          --         --      714
XCEL ENERGY INC COM      EQUITY       98389B100   1,052    52,730 SH    -- DEFINED        5          --         --   52,730
XCEL STATES POWER-MINES  EQUITY       98389B100   7,263   364,043 SH    -- SOLE           1     364,043         --       --
XENOPORT INC             EQUITY       98411C100     748    18,486 SH    -- SOLE           1      18,486         --       --
XERIUM TECHNOLOGIES INC  EQUITY       98416J100      22    16,810 SH    -- SOLE           1      16,810         --       --
XEROX CORP               EQUITY       984121103     330    22,047 SH    -- SOLE           2      22,047         --       --
XEROX CORP COM           EQUITY       984121103      13       900 SH    -- DEFINED        5          --         --      900
XEROX CORP.              EQUITY       984121103   6,166   411,889 SH    -- SOLE           1     411,889         --       --
XILINX INC               EQUITY       983919101     648    27,302 SH    -- SOLE           2      27,302         --       --
XILINX INC COM           EQUITY       983919101       1        53 SH    -- DEFINED        5          --         --       53
XILINX, INC.             EQUITY       983919101   4,646   195,626 SH    -- SOLE           1     195,626         --       --
XL CAPITAL LTD           EQUITY       G98255105       6       213 SH    -- SOLE           2         213         --       --
XM SATELLITE RADIO
   HLDGS INC CL A        EQUITY       983759101     204    17,530 SH    -- DEFINED        5          --         --   17,530
XM SATTELLITE RADIO
   HOLDINGS              EQUITY       983759101      71     6,121 SH    -- SOLE           1       6,121         --       --
X-RITE, INC.             EQUITY       983857103     149    24,939 SH    -- SOLE           1      24,939         --       --
XTO ENERGY INC           EQUITY       98385X106  12,844   207,636 SH    -- SOLE           1     207,636         --       --





                                                                                  
XTO ENERGY INC           EQUITY       98385X106   5,761    93,130 SH    -- SOLE           2      93,130         --       --
XTO ENERGY INC COM       EQUITY       98385X106      38       608 SH    -- DEFINED        4          --         --      608
XTO ENERGY INC COM       EQUITY       98385X106      59       959 SH    -- DEFINED        5          --         --      959
XYRATEX LTD COM          EQUITY       G98268108      18     1,000 SH    -- DEFINED        5          --         --    1,000
YAHOO INC                EQUITY       984332106   3,155   109,061 SH    -- SOLE           2     109,061         --       --
YAHOO INC COM            EQUITY       984332106      11       380 SH    -- DEFINED        4          --         --      380
YAHOO INC COM            EQUITY       984332106      17       577 SH    -- DEFINED        5          --         --      577
YAHOO!, INC.             EQUITY       984332106  23,711   819,608 SH    -- SOLE           1     819,608         --       --
YAMANA GOLD INC          EQUITY       98462Y100   9,448   645,392 SH    -- OTHER          1          --    645,392       --
YAMANA GOLD INC COM      EQUITY       98462Y100     249    17,043 SH    -- DEFINED        5          --         --   17,043
YAMANA GOLD INC COM (F)  EQUITY       98462Y100   4,447   304,200 SH    -- SOLE           3     141,500         --  162,700
YANZHOU COAL MNG CO LTD
   SPON ADR H SHS        EQUITY       984846105      15       218 SH    -- DEFINED        5          --         --      218
YINGLI GREEN ENERGY
   HLDG CO ADR           EQUITY       98584B103      17     1,000 SH    -- DEFINED        5          --         --    1,000
YPF SOCIEDAD ANONIMA
   SPON ADR CL D         EQUITY       984245100       4        94 SH    -- DEFINED        4          --         --       94
YRC WORLDWIDE INC        EQUITY       984249102   1,802   137,310 SH    -- SOLE           1     137,310         --       --
YRC WORLDWIDE INC COM    EQUITY       984249102       1       100 SH    -- DEFINED        4          --         --      100
YRC WORLDWIDE INC COM    EQUITY       984249102      13     1,000 SH    -- DEFINED        5          --         --    1,000
YUCHENG TECH LTD COM (F) EQUITY       G98777108   1,359    82,100 SH    -- SOLE           3      82,100         --       --
YUCHENG TECHNOLOGIES LTD EQUITY       G98777108     353    21,300 SH    -- SOLE           2      21,300         --       --
YUM BRANDS INC           EQUITY       988498101      21       568 SH    -- SOLE           2         568         --       --
YUM BRANDS INC COM       EQUITY       988498101      11       308 SH    -- DEFINED        4          --         --      308
YUM BRANDS INC COM       EQUITY       988498101     133     3,578 SH    -- DEFINED        5          --         --    3,578
YUM! BRANDS INC          EQUITY       988498101   7,598   204,189 SH    -- SOLE           1     204,189         --       --
ZALE CORP.               EQUITY       988858106     756    38,262 SH    -- SOLE           1      38,262         --       --
ZARLINK SEMICONDUCTOR
   INC COM               EQUITY       989139100       9    10,964 SH    -- DEFINED        4          --         --   10,964
ZEBRA TECHNOLOGIES CORP
   CL A                  EQUITY       989207105       9       282 SH    -- DEFINED        5          --         --      282
ZEBRA TECHNOLOGIES
   CORP. CLASS A         EQUITY       989207105   5,274   158,271 SH    -- SOLE           1     158,271         --       --
ZENITH NATIONAL
   INSURANCE CORP        EQUITY       989390109   1,140    31,779 SH    -- SOLE           1      31,779         --       --
ZEP INC                  EQUITY       98944B108     302    18,635 SH    -- SOLE           1      18,635         --       --
ZHONE TECHNOLOGIES INC
   NEW COM               EQUITY       98950P108      59    60,000 SH    -- DEFINED        5          --         --   60,000
ZIMMER HLDGS INC COM     EQUITY       98956P102      33       430 SH    -- DEFINED        4          --         --      430
ZIMMER HLDGS INC COM     EQUITY       98956P102      32       415 SH    -- DEFINED        5          --         --      415
ZIMMER HOLDINGS INC      EQUITY       98956P102   7,403    95,075 SH    -- SOLE           1      95,075         --       --
ZIMMER HOLDINGS INC      EQUITY       98956P102   4,177    53,649 SH    -- SOLE           2      53,649         --       --
ZIONS BANCORP            EQUITY       989701107     110     2,418 SH    -- SOLE           2       2,418         --       --
ZIONS BANCORPORATION     EQUITY       989701107   2,239    49,164 SH    -- SOLE           1      49,164         --       --
ZOLL MED CORP COM        EQUITY       989922109       2        90 SH    -- DEFINED        5          --         --       90
ZOLL MEDICAL CORP.       EQUITY       989922109     465    17,494 SH    -- SOLE           1      17,494         --       --
ZOLTEK COMPANIES INC     EQUITY       98975W104     568    21,406 SH    -- SOLE           1      21,406         --       --
ZOLTEK COS INC COM       EQUITY       98975W104       5       200 SH    -- DEFINED        4          --         --      200
ZORAN CORP.              EQUITY       98975F101     581    42,550 SH    -- SOLE           1      42,550         --       --
ZUMIEZ INC               EQUITY       989817101     232    14,804 SH    -- SOLE           1      14,804         --       --
ZWEIG FD COM             EQUITY       989834106      12     2,700 SH    -- DEFINED        5          --         --    2,700
ZWEIG TOTAL RETURN FD
   INC COM               EQUITY       989837109      17     3,565 SH    -- DEFINED        5          --         --    3,565
ZYGO CORP.               EQUITY       989855101     162    12,984 SH    -- SOLE           1      12,984         --       --
ZYMOGENETICS INC         EQUITY       98985T109     327    33,366 SH    -- SOLE           1      33,366         --       --