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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 30, 2008


Check here if Amendment [ ]; Amendment Number:


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

Institutional Investment Manager Filing this Report:

Name: 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        November 14, 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: 6,142

Form 13F Information Table Value Total: $18,742,968(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 - 3Q 2008



                                  TITLE                                                                       VOTING AUTHORITY
                                   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       143      23,703 SH       SOLE           1     23,703         --       --
1ST SOURCE CORP.              EQUITY        336901103       322      13,542 SH       SOLE           1     13,542         --       --
21ST CENTY INS GRP            EQUITY        90130N103 1,244,374  88,140,970 SH       SOLE           1 88,140,970         --       --
3COM CORP                     EQUITY        885535104         3       1,100 SH       DEFINED        5         --         --    1,100
3COM CORP.                    EQUITY        885535104     3,002   1,282,796 SH       SOLE           1  1,282,796         --       --
3D SYSTEMS CORP               EQUITY        88554D205       231      16,182 SH       SOLE           1     16,182         --       --
3M CO                         EQUITY        88579Y101    40,641     594,944 SH       SOLE           1    594,944         --       --
3M CO                         FIXED INCOME  88579YAB7         3           4 PRN      DEFINED        4         --         --        4
3M CO                         EQUITY        88579Y101       172       2,513 SH       DEFINED        4         --         --    2,513
3M CO                         EQUITY        88579Y101       273       4,001 SH       DEFINED        5         --         --    4,001
3M CO                         EQUITY        88579Y101     1,995      29,200 SH       SOLE           2     29,200         --       --
3PAR INC                      EQUITY        88580F109       159      24,713 SH       SOLE           1     24,713         --       --
4 KIDS ENTMT INC              EQUITY        350865101         4         600 SH       DEFINED        5         --         --      600
40 / 86 STRATEGIC INCOME FD   EQUITY        349739102       193      27,571 SH       DEFINED        5         --         --   27,571
40 / 86 STRATEGIC INCOME FD   EQUITY        349739102       202      28,848 SH       DEFINED        4         --         --   28,848
99 CENTS ONLY STORES          EQUITY        65440K106     1,632     148,804 SH       SOLE           1    148,804         --       --
AAON INC                      EQUITY           360206       221      12,172 SH       SOLE           1     12,172         --       --
AAR CORP.                     EQUITY           361105       585      35,251 SH       SOLE           1     35,251         --       --
AARON RENTS, INC.             EQUITY          2535201     1,116      41,241 SH       SOLE           1     41,241         --       --
AASTROM BIOSCIENCES INC       EQUITY        00253U107         3      10,000 SH       DEFINED        5         --         --   10,000
ABAXIS INC                    EQUITY          2567105       389      19,730 SH       SOLE           1     19,730         --       --
ABB LTD                       EQUITY           375204        53       2,715 SH       DEFINED        4         --         --    2,715
ABB LTD                       EQUITY           375204        79       4,065 SH       DEFINED        5         --         --    4,065
ABBOTT LABORATORIES           EQUITY          2824100    46,576     808,911 SH       SOLE           1    808,911         --       --
ABBOTT LABS                   EQUITY          2824100        25         439 SH       DEFINED        4         --         --      439
ABBOTT LABS                   EQUITY          2824100        99       1,712 SH       DEFINED        5         --         --    1,712
ABBOTT LABS                   EQUITY          2824100    12,172     211,395 SH       SOLE           2    211,395         --       --
ABERCROMBIE & FITCH CO        EQUITY          2896207         1          30 SH       DEFINED        5         --         --       30
ABERCROMBIE + FITCH CO        EQUITY          2896207     1,491      37,800 SH       SOLE           2     37,800         --       --
ABERCROMBIE AND FITCH CO.     EQUITY          2896207     2,325      58,928 SH       SOLE           1     58,928         --       --
ABERDEEN ASIA PACIFIC INCOM   EQUITY          3009107        10       2,000 SH       DEFINED        4         --         --    2,000
ABERDEEN ASIA PACIFIC INCOM   EQUITY          3009107        19       3,870 SH       DEFINED        5         --         --    3,870
ABERDEEN AUSTRALIA EQTY FD I  EQUITY          3011103         6         600 SH       DEFINED        5         --         --      600





                                                                                           
ABERDEEN AUSTRALIA EQTY FD I  EQUITY          3011103        69       6,692 SH       DEFINED        4         --         --    6,692
ABINGTON BANCORP INC          EQUITY        00350L109       222      22,292 SH       SOLE           1     22,292         --       --
ABIOMED, INC.                 EQUITY          3654100       549      30,945 SH       SOLE           1     30,945         --       --
ABITIBIBOWATER INC            EQUITY          3687100       187      48,396 SH       SOLE           1     48,396         --       --
ABM INDUSTRIES, INC.          EQUITY           957100       868      39,743 SH       SOLE           1     39,743         --       --
ABRAXAS PETROLEUM CORP        EQUITY          3830106        99      38,029 SH       SOLE           1     38,029         --       --
ABRAXIS BIOSCIENCE INC/NEW    EQUITY        00383Y102        20         294 SH       SOLE           1        294         --       --
ACADIA PHARMACEUTICALS INC    EQUITY          4225108        81      29,960 SH       SOLE           1     29,960         --       --
ACADIA REALTY TRUST           EQUITY          4239109       742      29,343 SH       SOLE           1     29,343         --       --
ACCELRYS INC                  EQUITY        00430U103       134      24,318 SH       SOLE           1     24,318         --       --
ACCENTURE LTD BERMUDA         EQUITY        G1150G111        37         967 SH       DEFINED        4         --         --      967
ACCENTURE LTD BERMUDA         EQUITY        G1150G111        91       2,398 SH       DEFINED        5         --         --    2,398
ACCENTURE LTD BERMUDA         EQUITY        G1150G111       722      19,000 SH       SOLE           2     19,000         --       --
ACCO BRANDS CORP              EQUITY        00081T108       372      49,313 SH       SOLE           1     49,313         --       --
ACCURAY INC                   EQUITY          4397105       265      32,750 SH       SOLE           1     32,750         --       --
ACCURIDE CORP                 EQUITY          4398103        51      32,159 SH       SOLE           1     32,159         --       --
ACE LTD                       EQUITY        H0023R105         6         110 SH       DEFINED        4         --         --      110
ACE LTD                       EQUITY        H0023R105        11         200 SH       DEFINED        5         --         --      200
ACERGY S A                    EQUITY        4.43E+106         3         300 SH       DEFINED        4         --         --      300
ACETO CORP                    EQUITY          4446100       213      22,183 SH       SOLE           1     22,183         --       --
ACI WORLDWIDE INC             EQUITY          4498101     1,918     109,266 SH       SOLE           1    109,266         --       --
ACI WORLDWIDE INC             EQUITY          4498101         5         300 SH       DEFINED        5         --         --      300
ACME PACKET INC               EQUITY          4764106       701     122,156 SH       SOLE           1    122,156         --       --
ACORDA THERAPEUTICS INC       EQUITY        00484M106       803      33,678 SH       SOLE           1     33,678         --       --
ACTEL CORP.                   EQUITY          4934105       287      23,032 SH       SOLE           1     23,032         --       --
ACTIVISION BLIZZARD INC       EQUITY        00507V109     3,192     207,243 SH       SOLE           1    207,243         --       --
ACTIVISION BLIZZARD INC       EQUITY        00507V109        14         914 SH       DEFINED        5         --         --      914
ACTIVISION BLIZZARD INC       EQUITY        00507V109       573      37,122 SH       SOLE           2     37,122         --       --
ACTUANT CORP                  EQUITY        00508X203     1,281      50,747 SH       SOLE           1     50,747         --       --
ACTUATE CORP.                 EQUITY        00508B102       192      54,909 SH       SOLE           1     54,909         --       --
ACUITY BRANDS INC             EQUITY        00508Y102     1,540      36,887 SH       SOLE           1     36,887         --       --
ACURA PHARMACEUTICALS INC     EQUITY        00509L703        52       7,392 SH       SOLE           1      7,392         --       --
ACXIOM CORP.                  EQUITY          5125109     2,616     208,456 SH       SOLE           1    208,456         --       --
ADAMS GOLF INC                EQUITY          6228209         1         250 SH       DEFINED        4         --         --      250
ADAPTEC INC                   FIXED INCOME  00651FAG3         5           5 PRN      DEFINED        5         --         --        5
ADAPTEC, INC.                 EQUITY        00651F108       361     110,144 SH       SOLE           1    110,144         --       --
ADC TELECOMMUNICATIONS INC    EQUITY           886309     2,284     270,585 SH       SOLE           1    270,585         --       --
ADMINISTAFF INC               EQUITY          7094105        14         510 SH       DEFINED        5         --         --      510
ADMINISTAFF, INC.             EQUITY          7094105       534      19,612 SH       SOLE           1     19,612         --       --
ADOBE SYS INC                 EQUITY        00724F101        11         285 SH       DEFINED        4         --         --      285





                                                                                           
ADOBE SYS INC                 EQUITY        00724F101        16         409 SH       DEFINED        5         --         --      409
ADOBE SYS INC                 EQUITY        00724F101    20,169     511,004 SH       SOLE           2    511,004         --       --
ADOBE SYSTEMS INC.            EQUITY        00724F101    27,886     706,834 SH       SOLE           1    706,834         --       --
ADOLOR CORPORATION            EQUITY        00724X102       171      49,534 SH       SOLE           1     49,534         --       --
ADTRAN, INC.                  EQUITY        00738A106     3,458     177,435 SH       SOLE           1    177,435         --       --
ADVANCE AMERICA CASH ADVANCE  EQUITY        00739W107       114      37,978 SH       SOLE           1     37,978         --       --
ADVANCE AUTO PARTS            EQUITY        00751Y106     9,670     243,825 SH       SOLE           1    243,825         --       --
ADVANCE AUTO PARTS INC        EQUITY        00751Y106        21         530 SH       DEFINED        4         --         --      530
ADVANCED ANALOGIC TECHNOLOGI  EQUITY        00752J108       192      41,424 SH       SOLE           1     41,424         --       --
ADVANCED BATTERY TECHNOLOGIES
   INC                        EQUITY        00752H102       129      39,795 SH       SOLE           1     39,795         --       --
ADVANCED ENERGY INDUSTRIES    EQUITY          7973100       409      29,835 SH       SOLE           1     29,835         --       --
ADVANCED MEDICAL OPTICS       EQUITY        00763M108     2,120     119,248 SH       SOLE           1    119,248         --       --
ADVANCED MICRO DEVICES        FIXED INCOME  007903AL1       586   1,160,000 PRN      SOLE           1  1,160,000         --       --
ADVANCED MICRO DEVICES INC    EQUITY          7903107       377      71,884 SH       DEFINED        5         --         --   71,884
ADVANCED MICRO DEVICES, INC.  EQUITY          7903107     4,739     902,664 SH       SOLE           1    902,664         --       --
ADVANTA CORP [B]              EQUITY          7942204       284      34,753 SH       SOLE           1     34,753         --       --
ADVANTAGE ENERGY INCOME FD    EQUITY        00762L101        53       5,740 SH       DEFINED        5         --         --    5,740
ADVANTAGE ENERGY INCOME FD    EQUITY        00762L101       480      52,349 SH       DEFINED        4         --         --   52,349
ADVENT CLAYMORE CV SECS & IN  EQUITY        00764C109         8         500 SH       DEFINED        4         --         --      500
ADVENT CLAYMORE ENH GRW & IN  EQUITY        7.65E+106        18       1,750 SH       DEFINED        5         --         --    1,750
ADVENT SOFTWARE, INC.         EQUITY          7974108     1,859      52,773 SH       SOLE           1     52,773         --       --
ADVISORY BRD CO               EQUITY        00762W107       475      15,750 SH       SOLE           1     15,750         --       --
AECOM TECHNOLOGY CORP         EQUITY        00766T100        54       2,204 SH       SOLE           1      2,204         --       --
AEP INDUSTRIES INC            EQUITY          1031103        98       4,916 SH       SOLE           1      4,916         --       --
AERCAP HOLDINGS N V           EQUITY        N00985106       621      58,500 SH       SOLE           2     58,500         --       --
AEROPOSTALE                   EQUITY          7865108         9         289 SH       DEFINED        4         --         --      289
AEROPOSTALE COM               EQUITY          7865108       389      12,100 SH       SOLE           3     12,100         --       --
AEROPOSTALE INC               EQUITY          7865108     7,539     234,774 SH       SOLE           1    234,774         --       --
AEROVIRONMENT INC             EQUITY          8073108       297       9,303 SH       SOLE           1      9,303         --       --
AEROVIRONMENT INC             EQUITY          8073108         3          90 SH       DEFINED        5         --         --       90
AES CORP                      EQUITY        00130H105        13       1,100 SH       DEFINED        4         --         --    1,100
AES DRAX ENERGY LTD           EQUITY        00130H105     8,496     726,753 SH       SOLE           1    726,753         --       --
AES TR III                    EQUITY        00808N202        42       1,100 SH       DEFINED        4         --         --    1,100
AES TR III                    EQUITY        00808N202       219       5,700 SH       DEFINED        5         --         --    5,700
AETNA INC                     EQUITY        00817Y108     7,190     199,100 SH       SOLE           2    199,100         --       --
AETNA INC NEW                 EQUITY        00817Y108        16         447 SH       DEFINED        5         --         --      447
AETNA INC-NEW                 EQUITY        00817Y108     9,338     258,590 SH       SOLE           1    258,590         --       --
AFC ENTERPRISES               EQUITY        00104Q107       165      22,898 SH       SOLE           1     22,898         --       --
AFFILIATED COMPUTER SERVICES
   CLASS A                    EQUITY          8190100     7,176     141,726 SH       SOLE           1    141,726         --       --
AFFILIATED MANAGERS GROUP     EQUITY          8252108     7,741      93,433 SH       SOLE           1     93,433         --       --





                                                                                           
AFFILIATED MANAGERS GROUP     EQUITY        008252108     2,411      29,100 SH       SOLE           2     29,100         --       --
AFFYMAX INC                   EQUITY        00826A109       189       9,513 SH       SOLE           1      9,513         --       --
AFFYMETRIX INC                EQUITY        00826T108     1,719     222,043 SH       SOLE           1    222,043         --       --
AFLAC INC                     EQUITY          1055102        24         400 SH       DEFINED        4         --         --      400
AFLAC INC                     EQUITY          1055102       328       5,587 SH       DEFINED        5         --         --    5,587
AFLAC, INC.                   EQUITY          1055102    64,308   1,095,446 SH       SOLE           1  1,095,446         --       --
AGCO CORP                     EQUITY          1084102         6         135 SH       DEFINED        5         --         --      135
AGCO CORP COM                 EQUITY          1084102     2,211      51,900 SH       SOLE           3     19,900               32000
AGCO CORP.                    EQUITY          1084102     8,957     210,206 SH       SOLE           1    210,206         --       --
AGFEED INDUSTRIES INC         EQUITY        00846L101       142      18,016 SH       SOLE           1     18,016         --       --
AGILENT TECHNOLOGIES INC      EQUITY        00846U101         2          76 SH       DEFINED        4         --         --       76
AGILENT TECHNOLOGIES INC      EQUITY        00846U101        12         400 SH       DEFINED        5         --         --      400
AGILENT TECHNOLOGIES INC      EQUITY        00846U101    14,529     489,861 SH       SOLE           2    489,861         --       --
AGILENT TECHNOLOGIES INC.     EQUITY        00846U101     6,831     230,302 SH       SOLE           1    230,302         --       --
AGILYSYS INC                  EQUITY        00847J105       209      20,604 SH       SOLE           1     20,604         --       --
AGL RES INC                   EQUITY          1204106         3         100 SH       DEFINED        5         --         --      100
AGL RES INC                   EQUITY          1204106        16         500 SH       DEFINED        4         --         --      500
AGL RES INC                   EQUITY        001204106     2,865      91,300 SH       SOLE           2     91,300         --       --
AGL RESOURCES, INC.           EQUITY          1204106    15,142     482,525 SH       SOLE           1    482,525         --       --
AGNICO EAGLE MINES LTD        EQUITY          8474108        36         660 SH       DEFINED        5         --         --      660
AGNICO EAGLE MINES LTD        EQUITY        008474108     2,781      50,500 SH       SOLE           2     50,500         --       --
AGNICO-EAGLE MINES            EQUITY          8474108       502       9,195 SH       OTHER          1         --      9,195       --
AGREE REALTY CORP             EQUITY          8492100       202       7,077 SH       SOLE           1      7,077         --       --
AGRIUM INC                    EQUITY          8916108     1,852      33,095 SH       OTHER          1         --     33,095       --
AGRIUM INC                    EQUITY          8916108        34         600 SH       DEFINED        5         --         --      600
AGRIUM INC                    EQUITY          8916108        34         605 SH       DEFINED        4         --         --      605
AH BELO CORP                  EQUITY          1282102        96      18,587 SH       SOLE           1     18,587         --       --
AIR METHODS CORP              EQUITY          9128307       276       9,739 SH       SOLE           1      9,739         --       --
AIR METHODS CORP              EQUITY          9128307        21         750 SH       DEFINED        5         --         --      750
AIR METHODS CORP              EQUITY        009128307       798      28,200 SH       SOLE           2     28,200         --       --
AIR PRODS & CHEMS INC         EQUITY          9158106       224       3,274 SH       DEFINED        4         --         --    3,274
AIR PRODUCTS AND CHEMICALS
   INC                        EQUITY          9158106    59,655     871,249 SH       SOLE           1    871,249         --       --
AIRGAS, INC.                  EQUITY          9363102     9,368     188,685 SH       SOLE           1    188,685         --       --
AIRSPAN NETWORKS INC          EQUITY        00950H102         2       5,000 SH       DEFINED        4         --         --    5,000
AIRTRAN HLDGS INC             EQUITY        00949P108         3       1,280 SH       DEFINED        5         --         --    1,280
AIRTRAN HOLDINGS, INC.        EQUITY        00949P108       901     370,759 SH       SOLE           1    370,759         --       --
AIRVANA INC                   EQUITY        00950V101       128      21,879 SH       SOLE           1     21,879         --       --
AK STEEL CORP.                EQUITY          1547108     1,163      44,855 SH       SOLE           1     44,855         --       --
AK STL HLDG CORP              EQUITY          1547108         1          55 SH       DEFINED        4         --         --       55
AKAMAI  TECHNOLOGIES  INC.    EQUITY        00971T101     1,307      75,061 SH       SOLE           1     75,061         --       --





                                                                                           
AKAMAI TECHNOLOGIES INC       EQUITY        00971T101         8         444 SH       DEFINED        5         --         --      444
AKAMAI TECHNOLOGIES INC       EQUITY        00971T101     2,098     120,300 SH       SOLE           2    120,300         --       --
AKEENA SOLAR INC              EQUITY          9720103        72      18,927 SH       SOLE           1     18,927         --       --
AKORN INC                     EQUITY          9728106       265      51,747 SH       SOLE           1     51,747         --       --
ALAMO GROUP INC               EQUITY         11311107        96       5,619 SH       SOLE           1      5,619         --       --
ALASKA AIR GROUP, INC.        EQUITY         11659109     2,332     114,346 SH       SOLE           1    114,346         --       --
ALASKA COMM. SYS. HLDGS.,
   INC.                       EQUITY        01167P101       481      39,418 SH       SOLE           1     39,418         --       --
ALASKA COMMUNICATIONS SYS     EQUITY        01167P101     1,329     108,707 SH       SOLE           2    108,707         --       --
ALASKA COMMUNICATIONS SYS GR  EQUITY        01167P101        43       3,500 SH       DEFINED        4         --         --    3,500
ALBANY INTERNATIONAL CORP.
   CLASS A                    EQUITY         12348108       738      26,985 SH       SOLE           1     26,985         --       --
ALBANY INTL CORP              FIXED INCOME  012348AC2         2           2 PRN      DEFINED        5         --         --        2
ALBANY MOLECULAR              EQUITY         12423109       386      21,250 SH       SOLE           1     21,250         --       --
ALBEMARLE CORP.               EQUITY         12653101     6,451     209,162 SH       SOLE           1    209,162         --       --
ALBERTO CULVER CO NEW         EQUITY         13078100         5         200 SH       DEFINED        5         --         --      200
ALBERTO-CULVER CO             EQUITY         13078100     5,304     194,714 SH       SOLE           1    194,714         --       --
ALCATEL-LUCENT                EQUITY         13904305         3         834 SH       DEFINED        4         --         --      834
ALCATEL-LUCENT                EQUITY         13904305         6       1,506 SH       DEFINED        5         --         --    1,506
ALCOA INC                     EQUITY         13817101        20         886 SH       DEFINED        4         --         --      886
ALCOA INC                     EQUITY         13817101        38       1,662 SH       DEFINED        5         --         --    1,662
ALCOA, INC.                   EQUITY         13817101     8,803     389,876 SH       SOLE           1    389,876         --       --
ALCON INC                     EQUITY        H01301102         5          30 SH       DEFINED        4         --         --       30
ALCON INC                     EQUITY        H01301102        18         110 SH       DEFINED        5         --         --      110
ALESCO FINL INC               EQUITY         14485106        12      13,400 SH       DEFINED        5         --         --   13,400
ALEXANDER & BALDWIN, INC.     EQUITY         14482103     4,192      95,198 SH       SOLE           1     95,198         --       --
ALEXANDRIA REAL ESTATE EQ IN  EQUITY         15271109         2          21 SH       DEFINED        5         --         --       21
ALEXANDRIA REAL ESTATE
   EQUITIE                    EQUITY         15271109     8,309      73,856 SH       SOLE           1     73,856         --       --
ALEXION PHARMACEUTICLAS, INC. EQUITY         15351109     2,746      69,853 SH       SOLE           1     69,853         --       --
ALEXZA PHARMACEUTICALS INC    EQUITY         15384100       107      21,642 SH       SOLE           1     21,642         --       --
ALICO INC                     EQUITY         16230104       154       3,252 SH       SOLE           1      3,252         --       --
ALIGN TECHNOLOGY INC          EQUITY         16255101       611      56,381 SH       SOLE           1     56,381         --       --
ALIGN TECHNOLOGY INC          EQUITY         16255101        10         900 SH       DEFINED        5         --         --      900
ALKERMES INC                  EQUITY        01642T108     1,155      86,828 SH       SOLE           1     86,828         --       --
ALLEGHANY CORP                EQUITY         17175100        63         173 SH       SOLE           1        173         --       --
ALLEGHENY ENERGY INC          EQUITY         17361106     4,653     126,549 SH       SOLE           1    126,549         --       --
ALLEGHENY ENERGY INC          EQUITY         17361106         4         114 SH       DEFINED        4         --         --      114
ALLEGHENY ENERGY INC          EQUITY         17361106        11         300 SH       DEFINED        5         --         --      300
ALLEGHENY TECHNOLOGIES INC    EQUITY        01741R102     2,670      90,346 SH       SOLE           1     90,346         --       --
ALLEGIANT TRAVEL CO           EQUITY        01748X102       438      12,393 SH       SOLE           1     12,393         --       --
ALLERGAN INC                  EQUITY         18490102         3          55 SH       DEFINED        5         --         --       55
ALLERGAN, INC.                EQUITY         18490102     8,588     166,766 SH       SOLE           1    166,766         --       --





                                                                                           
ALLETE INC                    EQUITY         18522300         1          23 SH       DEFINED        5         --         --       23
ALLETE INC                    EQUITY         18522300        13         300 SH       DEFINED        4         --         --      300
ALLETE INC.                   EQUITY         18522300     1,059      23,796 SH       SOLE           1     23,796         --       --
ALLIANCE DATA SYS CORP COM    EQUITY         18581108     4,031      63,600 SH       SOLE           3     23,700               39900
ALLIANCE DATA SYSTEMS         EQUITY         18581108     9,752     153,870 SH       SOLE           1    153,870         --       --
ALLIANCE IMAGING INC          EQUITY         18606202       238      23,160 SH       SOLE           1     23,160         --       --
ALLIANCE ONE INTERNATIONAL I  EQUITY         18772103       308      81,004 SH       SOLE           1     81,004         --       --
ALLIANCE ONE INTL INC         EQUITY         18772103        11       3,000 SH       DEFINED        4         --         --    3,000
ALLIANCE RES PARTNER L P      EQUITY        01877R108         9         300 SH       DEFINED        4         --         --      300
ALLIANCE RES PARTNER L P      EQUITY        01877R108       306       9,704 SH       DEFINED        5         --         --    9,704
ALLIANCEBERNSTEIN GBL HGH IN  EQUITY        01879R106        12       1,236 SH       DEFINED        5         --         --    1,236
ALLIANCEBERNSTEIN GBL HGH IN  EQUITY        01879R106        55       5,450 SH       DEFINED        4         --         --    5,450
ALLIANCEBERNSTEIN HOLDING LP  EQUITY        01881G106        19         500 SH       DEFINED        4         --         --      500
ALLIANCEBERNSTEIN HOLDING LP  EQUITY        01881G106       156       4,216 SH       DEFINED        5         --         --    4,216
ALLIANCEBERNSTEIN INCOME FUN  EQUITY        1.88E+104       905     120,200 SH       DEFINED        4         --         --  120,200
ALLIANT ENERGY CORP           EQUITY         18802108         7         228 SH       DEFINED        4         --         --      228
ALLIANT ENERGY CORP           EQUITY         18802108        23         725 SH       DEFINED        5         --         --      725
ALLIANT ENERGY CORP.          EQUITY         18802108     8,513     264,312 SH       SOLE           1    264,312         --       --
ALLIANT TECHSYSTEMS INC       EQUITY         18804104     7,104      75,622 SH       SOLE           1     75,622         --       --
ALLIANT TECHSYSTEMS INC       EQUITY         18804104        16         169 SH       DEFINED        5         --         --      169
ALLIED CAP CORP NEW           EQUITY        01903Q108        79       7,295 SH       DEFINED        4         --         --    7,295
ALLIED CAP CORP NEW           EQUITY        01903Q108       472      43,708 SH       DEFINED        5         --         --   43,708
ALLIED CAPITAL CORP           EQUITY        01903Q108        65       6,050 SH       SOLE           1      6,050         --       --
ALLIED HEALTHCARE INTL INC    EQUITY        01923A109       936     498,044 SH       SOLE           1    498,044         --       --
ALLIED IRISH BKS P L C        EQUITY         19228402        17       1,050 SH       DEFINED        5         --         --    1,050
ALLIED NEVADA GOLD CORP       EQUITY         19344100       234      40,860 SH       SOLE           1     40,860         --       --
ALLIED WASTE INDS INC         FIXED INCOME  019589AD2         2           2 PRN      DEFINED        5         --         --        2
ALLIED WASTE INDS INC         EQUITY         19589308         3         303 SH       DEFINED        5         --         --      303
ALLIED WASTE INDUSTRIES, INC. EQUITY         19589308     1,576     141,870 SH       SOLE           1    141,870         --       --
ALLIS-CHALMERS ENERGY INC     EQUITY         19645506       322      25,429 SH       SOLE           1     25,429         --       --
ALLOS THERAPEUTICS INC        EQUITY         19777101       358      48,253 SH       SOLE           1     48,253         --       --
ALLOS THERAPEUTICS INC        EQUITY         19777101        15       2,000 SH       DEFINED        4         --         --    2,000
ALLSCRIPTS-MISYS HEALTHCARE   EQUITY        01988P108       645      51,882 SH       SOLE           1     51,882         --       --
ALLSTATE CORP                 EQUITY         20002101        50       1,077 SH       DEFINED        4         --         --    1,077
ALLSTATE CORP                 EQUITY         20002101       137       2,973 SH       DEFINED        5         --         --    2,973
ALLSTATE CORP                 EQUITY         20002101     5,696     123,500 SH       SOLE           2    123,500         --       --
ALLSTATE CORP.                EQUITY         20002101    35,945     779,385 SH       SOLE           1    779,385         --       --
ALMOST FAMILY INC             EQUITY         20409108       228       5,777 SH       SOLE           1      5,777         --       --
ALNYLAM PHARMACEUTICALS INC   EQUITY        02043Q107       936      32,341 SH       SOLE           1     32,341         --       --
ALON USA ENERGY INC           EQUITY         20520102       132       9,814 SH       SOLE           1      9,814         --       --





                                                                                           
ALPHA NATURAL RESOURCES INC   EQUITY        02076X102     1,243      24,161 SH       SOLE           1     24,161         --       --
ALPHA NATURAL RESOURCES INC   EQUITY        02076X102        10         200 SH       DEFINED        5         --         --      200
ALPHARMA INC. CLASS A         EQUITY         20813101     1,400      37,961 SH       SOLE           1     37,961         --       --
ALPHATEC HOLDINGS INC         EQUITY        02081G102       104      22,631 SH       SOLE           1     22,631         --       --
ALPINE GLOBAL DYNAMIC DIVD F  EQUITY        2.08E+109        10       1,000 SH       DEFINED        4         --         --    1,000
ALPINE GLOBAL PREMIER PPTYS   EQUITY        02083A103         8       1,250 SH       DEFINED        5         --         --    1,250
ALPINE GLOBAL PREMIER PPTYS   EQUITY        02083A103       312      48,094 SH       DEFINED        4         --         --   48,094
ALPINE TOTAL DYNAMIC DIVID F  EQUITY         21060108         9       1,025 SH       DEFINED        4         --         --    1,025
ALPINE TOTAL DYNAMIC DIVID F  EQUITY         21060108        32       3,450 SH       DEFINED        5         --         --    3,450
ALTERA CORP.                  EQUITY         21441100     5,052     244,402 SH       SOLE           1    244,402         --       --
ALTRA HOLDINGS INC            EQUITY        02208R106       355      24,047 SH       SOLE           1     24,047         --       --
ALTRIA GROUP INC              EQUITY        02209S103    28,317   1,427,271 SH       SOLE           1  1,427,271         --       --
ALTRIA GROUP INC              EQUITY        02209S103       209      10,520 SH       DEFINED        5         --         --   10,520
ALTRIA GROUP INC              EQUITY        02209S103       240      12,091 SH       DEFINED        4         --         --   12,091
ALTRIA GROUP INC              EQUITY        02209S103     5,527     278,579 SH       SOLE           2    278,579         --       --
ALUMINUM CORP CHINA LTD       EQUITY         22276109         2         100 SH       DEFINED        4         --         --      100
ALVARION LTD                  EQUITY        M0861T100         2         300 SH       DEFINED        5         --         --      300
ALZA CORP                     FIXED INCOME  02261WAB5         3           3 PRN      DEFINED        4         --         --        3
AMAG PHARMACEUTICALS INC      EQUITY        00163U106       598      15,432 SH       SOLE           1     15,432         --       --
AMAZON COM INC                EQUITY         23135106         5          67 SH       DEFINED        4         --         --       67
AMAZON COM INC                EQUITY         23135106        10         135 SH       DEFINED        5         --         --      135
AMAZON COM INC COM            EQUITY         23135106     1,201      16,500 SH       SOLE           3     16,500         --       --
AMAZON.COM, INC.              EQUITY         23135106     9,754     134,090 SH       SOLE           1    134,090         --       --
AMB PROPERTY CORP             EQUITY        00163T109    20,000     441,496 SH       SOLE           1    441,496         --       --
AMBAC FINANCIAL GROUP INC.    EQUITY         23139108       608     260,990 SH       SOLE           1    260,990         --       --
AMBAC FINL GROUP INC          EQUITY         23139108       283     121,258 SH       DEFINED        5         --         --  121,258
AMBASSADORS GROUP INC         EQUITY         23177108       276      17,323 SH       SOLE           1     17,323         --       --
AMCOL INTERNATIONAL CORP.     EQUITY        02341W103       733      23,461 SH       SOLE           1     23,461         --       --
AMCOMP INC                    EQUITY        02342J101       136      11,409 SH       SOLE           1     11,409         --       --
AMCORE FINANCIAL, INC.        EQUITY         23912108       170      18,154 SH       SOLE           1     18,154         --       --
AMDOCS LTD                    EQUITY        G02602103         4         140 SH       DEFINED        5         --         --      140
AMDOCS LTD                    EQUITY        G02602103         6         217 SH       DEFINED        4         --         --      217
AMDOCS LTD                    EQUITY        G02602103     3,595     131,300 SH       SOLE           2    131,300         --       --
AMEDISYS INC                  EQUITY         23436108     1,173      24,095 SH       SOLE           1     24,095         --       --
AMEDISYS INC                  EQUITY         23436108        34         694 SH       DEFINED        5         --         --      694
AMERCO, INC.                  EQUITY         23586100       358       8,519 SH       SOLE           1      8,519         --       --
AMEREN CORP                   EQUITY         23608102        55       1,421 SH       DEFINED        5         --         --    1,421
AMEREN CORP.                  EQUITY         23608102    10,558     270,517 SH       SOLE           1    270,517         --       --
AMERICA FIRST TAX EX IVS L P  EQUITY        02364V107         2         300 SH       DEFINED        4         --         --      300
AMERICA MOVIL SAB DE CV       EQUITY        02364W105     1,475      31,960 SH       SOLE           1     31,960         --       --





                                                                                           
AMERICA MOVIL SAB DE CV       EQUITY        02364W105        20         435 SH       DEFINED        4         --         --      435
AMERICA MOVIL SAB DE CV       EQUITY        02364W204       208       4,500 SH       DEFINED        5         --         --    4,500
AMERICA MOVIL SAB DE CV       EQUITY        02364W105       375       8,099 SH       DEFINED        5         --         --    8,099
AMERICAN APPAREL INC          EQUITY         23850100       252      30,738 SH       SOLE           1     30,738         --       --
AMERICAN AXLE & MFG HLDGS IN  EQUITY         24061103         3         513 SH       DEFINED        4         --         --      513
AMERICAN AXLE & MFG HOLDINGS  EQUITY         24061103       224      41,804 SH       SOLE           1     41,804         --       --
AMERICAN CAP LTD              EQUITY        02503Y103        90       3,544 SH       DEFINED        5         --         --    3,544
AMERICAN CAP LTD              EQUITY        02503Y103       634      24,859 SH       DEFINED        4         --         --   24,859
AMERICAN CAPITAL AGENCY CORP  EQUITY        02503X105       154       9,071 SH       SOLE           1      9,071         --       --
AMERICAN CAPITAL LTD          EQUITY        02503Y103     3,835     151,351 SH       SOLE           1    151,351         --       --
AMERICAN CARESRCE HLDG COM    EQUITY        02505A103       766      88,000 SH       SOLE           3     88,000         --       --
AMERICAN CMNTY BANCSHARES IN  EQUITY        02520W106        26       2,795 SH       DEFINED        5         --         --    2,795
AMERICAN COMMERCIAL LINES INC EQUITY         25195207       344      32,412 SH       SOLE           1     32,412         --       --
AMERICAN DAIRY INC            EQUITY         25334103        67       6,445 SH       SOLE           1      6,445         --       --
AMERICAN EAGLE OUTFITTERS     EQUITY        2.55E+109     7,185     471,172 SH       SOLE           1    471,172         --       --
AMERICAN EAGLE OUTFITTERS     EQUITY        02553E106    11,332     743,100 SH       SOLE           2    743,100         --       --
AMERICAN EAGLE OUTFITTERS NE  EQUITY        2.55E+109         9         600 SH       DEFINED        5         --         --      600
AMERICAN ECOLOGY CORP         EQUITY         25533407       939      33,921 SH       SOLE           1     33,921         --       --
AMERICAN ECOLOGY CORP COM NEW EQUITY         25533407     1,320      47,700 SH       SOLE           3     47,700         --       --
AMERICAN ELEC PWR INC         EQUITY         25537101        55       1,490 SH       DEFINED        4         --         --    1,490
AMERICAN ELEC PWR INC         EQUITY         25537101       171       4,609 SH       DEFINED        5         --         --    4,609
AMERICAN ELECTRIC POWER, INC. EQUITY         25537101    11,004     297,172 SH       SOLE           1    297,172         --       --
AMERICAN EQUITY INVT LIFE HL  EQUITY         25676206       373      49,723 SH       SOLE           1     49,723         --       --
AMERICAN EXPRESS CO           EQUITY         25816109       209       5,896 SH       DEFINED        5         --         --    5,896
AMERICAN EXPRESS CO           EQUITY        025816109     9,286     262,100 SH       SOLE           2    262,100         --       --
AMERICAN EXPRESS CO.          EQUITY         25816109    24,652     695,796 SH       SOLE           1    695,796         --       --
AMERICAN FINANCIAL GROUP,
   INC.                       EQUITY         25932104     5,082     172,264 SH       SOLE           1    172,264         --       --
AMERICAN FIRST MORTGAGE INVES EQUITY        55272X102     1,169     179,793 SH       SOLE           1    179,793         --       --
AMERICAN GREETINGS CORP.
   CLASS A                    EQUITY         26375105     2,370     155,027 SH       SOLE           1    155,027         --       --
AMERICAN INTERNATIONAL GROUP  EQUITY         26874107    10,528   3,161,600 SH       SOLE           1  3,161,600         --       --
AMERICAN INTL GROUP INC       EQUITY         26874107        97      29,088 SH       DEFINED        5         --         --   29,088
AMERICAN INTL GROUP INC       EQUITY         26874107       156      46,944 SH       DEFINED        4         --         --   46,944
AMERICAN MEDICAL SYSTEMS
   HOLDI                      EQUITY        02744M108     1,175      66,128 SH       SOLE           1     66,128         --       --
AMERICAN NATIONAL IN          EQUITY         28591105        46         532 SH       SOLE           1        532         --       --
AMERICAN OIL & GAS INC        EQUITY         28723104        87      33,293 SH       SOLE           1     33,293         --       --
AMERICAN ORIENTAL
   BIOENGINEERING INC         EQUITY         28731107       365      56,170 SH       SOLE           1     56,170         --       --
AMERICAN PHYSICIANS CAPITAL
   IN                         EQUITY         28884104       326       7,644 SH       SOLE           1      7,644         --       --
AMERICAN PUBLIC ED INC COM    EQUITY        02913V103     2,322      48,100 SH       SOLE           3     48,100         --       --
AMERICAN PUBLIC ED INC COM    EQUITY        02913V103     2,322      48,100 SH       SOLE           3     48,100         --       --
AMERICAN PUBLIC EDUCATION INC EQUITY        02913V103     1,199      24,832 SH       SOLE           1     24,832         --       --





                                                                                           
AMERICAN RAILCAR INDUSTRIES
   INC                        EQUITY        02916P103       136       8,468 SH       SOLE           1      8,468         --       --
AMERICAN REPROGRAPHICS CO     EQUITY         29263100       571      33,126 SH       SOLE           1     33,126         --       --
AMERICAN REPROGRAPHICS CO     EQUITY         29263100        17       1,000 SH       DEFINED        5         --         --    1,000
AMERICAN SCIENCE & ENGINEERI  EQUITY         29429107       496       8,268 SH       SOLE           1      8,268         --       --
AMERICAN SELECT PORTFOLIO IN  EQUITY         29570108        15       1,477 SH       DEFINED        4         --         --    1,477
AMERICAN SOFTWARE INC         EQUITY         29683109       112      20,446 SH       SOLE           1     20,446         --       --
AMERICAN SOFTWARE INC         EQUITY         29683109         1         200 SH       DEFINED        5         --         --      200
AMERICAN STATES WATER CO.     EQUITY         29899101       604      15,691 SH       SOLE           1     15,691         --       --
AMERICAN STRATEGIC INCOME II  EQUITY        03009T101        30       3,500 SH       DEFINED        4         --         --    3,500
AMERICAN STS WTR CO           EQUITY         29899101         6         160 SH       DEFINED        4         --         --      160
AMERICAN STS WTR CO           EQUITY         29899101        12         300 SH       DEFINED        5         --         --      300
AMERICAN SUPERCONDUCTOR CORP  EQUITY         30111108       900      38,171 SH       SOLE           1     38,171         --       --
AMERICAN SUPERCONDUCTOR CORP  EQUITY         30111108         3         135 SH       DEFINED        5         --         --      135
AMERICAN TOWER CORP           EQUITY         29912201     8,746     243,150 SH       SOLE           1    243,150         --       --
AMERICAN TOWER CORP           EQUITY         29912201         1          33 SH       DEFINED        5         --         --       33
AMERICAN VANGUARD CORP        EQUITY         30371108       258      17,135 SH       SOLE           1     17,135         --       --
AMERICAN WATER WORKS CO INC   EQUITY         30420103        46       2,140 SH       SOLE           1      2,140         --       --
AMERICAN WOODMARK CORP.       EQUITY         30506109       216       9,602 SH       SOLE           1      9,602         --       --
AMERICAS CAR MART INC COM     EQUITY        03062T105     1,677      90,200 SH       SOLE           3     90,200         --       --
AMERICA'S CAR-MART INC        EQUITY        03062T105       962      51,711 SH       SOLE           1     51,711         --       --
AMERICREDIT CORP              EQUITY        03060R101        13       1,300 SH       DEFINED        4         --         --    1,300
AMERICREDIT CORP.             EQUITY        03060R101     2,709     267,401 SH       SOLE           1    267,401         --       --
AMERIGAS PARTNERS L P         EQUITY         30975106        11         350 SH       DEFINED        4         --         --      350
AMERIGAS PARTNERS L P         EQUITY         30975106        19         634 SH       DEFINED        5         --         --      634
AMERIGON INC                  EQUITY        03070L300       132      20,092 SH       SOLE           1     20,092         --       --
AMERIGROUP CORP               EQUITY        03073T102     1,228      48,649 SH       SOLE           1     48,649         --       --
AMERIPRISE FINANCIAL INC      EQUITY        03076C106     5,128     134,234 SH       SOLE           1    134,234         --       --
AMERIPRISE FINL INC           EQUITY        03076C106        21         558 SH       DEFINED        5         --         --      558
AMERIPRISE FINL INC           EQUITY        03076C106     5,317     139,200 SH       SOLE           2    139,200         --       --
AMERIS BANCORP                EQUITY        03076K108       177      12,313 SH       SOLE           1     12,313         --       --
AMERISAFE INC                 EQUITY        03071H100       320      17,165 SH       SOLE           1     17,165         --       --
AMERISOURCEBERGEN CO          EQUITY        3.07E+108     2,477      65,797 SH       SOLE           1     65,797         --       --
AMERISOURCEBERGEN CORP        EQUITY        03073E105     1,532      40,700 SH       SOLE           2     40,700         --       --
AMERISTAR CASINOS             EQUITY        03070Q101       327      23,057 SH       SOLE           1     23,057         --       --
AMERITYRE CORP                EQUITY        03073V107         1       1,000 SH       DEFINED        4         --         --    1,000
AMERON, INC.                  EQUITY         30710107       597       8,332 SH       SOLE           1      8,332         --       --
AMES NATIONAL CORP            EQUITY         31001100       146       5,834 SH       SOLE           1      5,834         --       --
AMETEK INC NEW                EQUITY        031100100     3,154      77,355 SH       SOLE           2     77,355         --       --
AMETEK, INC.                  EQUITY         31100100     9,951     244,072 SH       SOLE           1    244,072         --       --
AMGEN INC                     EQUITY         31162100        84       1,420 SH       DEFINED        4         --         --    1,420





                                                                                           
AMGEN INC                     EQUITY         31162100       422       7,128 SH       DEFINED        5         --         --    7,128
AMGEN INC                     EQUITY        031162100     3,242      54,700 SH       SOLE           2     54,700         --       --
AMGEN, INC.                   EQUITY         31162100    55,232     933,397 SH       SOLE           1    933,397         --       --
AMICUS THERAPEUTICS INC       EQUITY        03152W109        67       4,436 SH       SOLE           1      4,436         --       --
AMKOR TECHNOLOGY INC          EQUITY         31652100        76      12,000 SH       DEFINED        5         --         --   12,000
AMKOR TECHNOLOGY, INC         EQUITY         31652100       632      99,078 SH       SOLE           1     99,078         --       --
AMN HEALTHCARE SERVICE        EQUITY          1744101       541      30,782 SH       SOLE           1     30,782         --       --
AMPAL AMERICAN ISRAEL         EQUITY         32015109        55      17,859 SH       SOLE           1     17,859         --       --
AMPCO-PITTSBURGH CORP         EQUITY         32037103       195       7,510 SH       SOLE           1      7,510         --       --
AMPHENOL CORP NEW             EQUITY         32095101        73       1,820 SH       DEFINED        5         --         --    1,820
AMPHENOL CORP. CLASS A        EQUITY         32095101     2,806      69,900 SH       SOLE           1     69,900         --       --
AMR CORP                      EQUITY          1765106         2         200 SH       DEFINED        4         --         --      200
AMR CORP                      EQUITY          1765106        59       6,052 SH       DEFINED        5         --         --    6,052
AMR CORP.                     EQUITY          1765106       182      18,508 SH       SOLE           1     18,508         --       --
AMREP CORP                    EQUITY         32159105        66       1,567 SH       SOLE           1      1,567         --       --
AMSURG CORP CL A              EQUITY        03232P405       729      28,617 SH       SOLE           1     28,617         --       --
AMTRUST FINANCIAL SERVICES
   INC                        EQUITY         32359309       186      14,374 SH       SOLE           1     14,374         --       --
AMYLIN PHARMACEUTICALS INC    EQUITY        032346108        73       3,600 SH       SOLE           2      3,600         --       --
AMYLIN PHARMACEUTICALS, INC.  EQUITY         32346108       199       9,843 SH       SOLE           1      9,843         --       --
ANADARKO PETE CORP            EQUITY         32511107        10         197 SH       DEFINED        4         --         --      197
ANADARKO PETE CORP            EQUITY         32511107        22         461 SH       DEFINED        5         --         --      461
ANADARKO PETROLEUM CORP.      EQUITY         32511107    22,459     462,983 SH       SOLE           1    462,983         --       --
ANADIGICS INC                 EQUITY         32515108       160      56,942 SH       SOLE           1     56,942         --       --
ANADIGICS INC                 EQUITY         32515108         3       1,000 SH       DEFINED        5         --         --    1,000
ANALOG DEVICES INC            EQUITY         32654105         2          62 SH       DEFINED        5         --         --       62
ANALOG DEVICES, INC.          EQUITY         32654105     4,131     156,781 SH       SOLE           1    156,781         --       --
ANALOGIC CORP.                EQUITY         32657207       613      12,178 SH       SOLE           1     12,178         --       --
ANAREN INC                    EQUITY         32744104       135      13,263 SH       SOLE           1     13,263         --       --
ANCHOR BANCORP WISCONSIN,
   INC.                       EQUITY         32839102       129      17,276 SH       SOLE           1     17,276         --       --
ANDERSONS INC/THE             EQUITY         34164103       580      16,463 SH       SOLE           1     16,463         --       --
ANGIODYNAMICS INC             EQUITY        03475V101       347      21,947 SH       SOLE           1     21,947         --       --
ANGLO AMERN PLC               EQUITY        03485P201         3         170 SH       DEFINED        5         --         --      170
ANGLOGOLD ASHANTI LTD         EQUITY         35128206         3         130 SH       DEFINED        5         --         --      130
ANHEUSER BUSCH COS INC        EQUITY         35229103        64         993 SH       DEFINED        4         --         --      993
ANHEUSER BUSCH COS INC        EQUITY        035229103       101       1,561 SH       SOLE           2      1,561         --       --
ANHEUSER BUSCH COS INC        EQUITY         35229103       262       4,040 SH       DEFINED        5         --         --    4,040
ANHEUSER-BUSCH COMPANIES,
   INC.                       EQUITY         35229103    26,091     402,135 SH       SOLE           1    402,135         --       --
ANIMAL HEALTH INTERNATIONA    EQUITY        03525N109       902     109,499 SH       SOLE           2    109,499         --       --
ANIXTER INTERNATIONALL, INC.  EQUITY         35290105     1,615      27,130 SH       SOLE           1     27,130         --       --
ANN TAYLOR STORES CORP.       EQUITY         36115103     2,713     131,449 SH       SOLE           1    131,449         --       --





                                                                                           
ANNALY CAP MGMT INC           EQUITY         35710409       266      19,769 SH       DEFINED        5         --         --   19,769
ANNALY MTG MGMT INC           EQUITY         35710409     1,773     131,831 SH       SOLE           1    131,831         --       --
ANNTAYLOR STORES CORP CALL    OPTION         36115903         2           5     CALL DEFINED        5         --         --        5
ANSYS INC                     EQUITY        03662Q105     7,694     203,323 SH       SOLE           1    203,323         --       --
ANTARES PHARMA INC            EQUITY         36642106         6       8,000 SH       DEFINED        4         --         --    8,000
ANTHRACITE CAP INC            EQUITY         37023108         5         985 SH       DEFINED        5         --         --      985
ANTHRACITE CAPITAL INC.       EQUITY         37023108     1,118     208,545 SH       SOLE           1    208,545         --       --
ANWORTH MORTGAGE ASSET        EQUITY         37347101       444      75,069 SH       SOLE           1     75,069         --       --
ANWORTH MORTGAGE ASSET CP     EQUITY         37347101         3         520 SH       DEFINED        5         --         --      520
AON CORP                      EQUITY         37389103        10         224 SH       DEFINED        5         --         --      224
AON CORP                      EQUITY        037389103       526      11,700 SH       SOLE           2     11,700         --       --
AON CORP.                     EQUITY         37389103     6,212     138,174 SH       SOLE           1    138,174         --       --
APACHE CORP                   EQUITY         37411105        24         232 SH       DEFINED        4         --         --      232
APACHE CORP                   EQUITY         37411105       150       1,439 SH       DEFINED        5         --         --    1,439
APACHE CORP                   EQUITY        037411105     4,213      40,400 SH       SOLE           2     40,400         --       --
APACHE CORP.                  EQUITY         37411105    44,056     422,480 SH       SOLE           1    422,480         --       --
APARTMENT INVT & MGMT CO      EQUITY        03748R101       102       2,915 SH       DEFINED        5         --         --    2,915
APARTMENT INVT & MGMT CO-- A  EQUITY        03748R101    15,550     444,039 SH       SOLE           1    444,039         --       --
APCO ARGENTINA INC            EQUITY         37489101        95       3,467 SH       SOLE           1      3,467         --       --
APOGEE ENTERPRISES INC        EQUITY         37598109       636      42,297 SH       DEFINED        4         --         --   42,297
APOGEE ENTERPRISES, INC.      EQUITY         37598109       396      26,330 SH       SOLE           1     26,330         --       --
APOLLO GROUP INC              EQUITY         37604105       824      13,900 SH       DEFINED        5         --         --   13,900
APOLLO GROUP, INC. CLASS A    EQUITY         37604105     6,441     108,615 SH       SOLE           1    108,615         --       --
APOLLO INVESTMENT CORP        EQUITY        03761U106     7,692     451,381 SH       SOLE           1    451,381         --       --
APOLLO INVT CORP              EQUITY        03761U106       219      12,818 SH       DEFINED        4         --         --   12,818
APOLLO INVT CORP              EQUITY        03761U106       693      40,650 SH       DEFINED        5         --         --   40,650
APPLE COMPUTER, INC.          EQUITY         37833100    83,809     737,636 SH       SOLE           1    737,636         --       --
APPLE INC                     EQUITY         37833100     1,032       9,078 SH       DEFINED        4         --         --    9,078
APPLE INC                     EQUITY         37833100     1,518      13,360 SH       DEFINED        5         --         --   13,360
APPLE INC                     EQUITY        037833100    16,634     146,345 SH       SOLE           2    146,345         --       --
APPLE INC CALL                OPTION         37833900        14           9     CALL DEFINED        5         --         --        9
APPLIED BIOSYSTEMS INC        EQUITY         38149100     8,054     235,155 SH       SOLE           1    235,155         --       --
APPLIED INDUSTRIAL TECH.,
   INC.                       EQUITY        03820C105     1,035      38,446 SH       SOLE           1     38,446         --       --
APPLIED MATERIALS INC         EQUITY        038222105       714      47,200 SH       SOLE           2     47,200         --       --
APPLIED MATERIALS, INC.       EQUITY         38222105    17,567   1,161,083 SH       SOLE           1  1,161,083         --       --
APPLIED MATLS INC             EQUITY         38222105        38       2,525 SH       DEFINED        4         --         --    2,525
APPLIED MATLS INC             EQUITY         38222105        66       4,384 SH       DEFINED        5         --         --    4,384
APPLIED MICRO CIRCUITS CORP   EQUITY        03822W406       352      58,855 SH       SOLE           1     58,855         --       --
APPLIED SIGNAL TECHNOLOGY     EQUITY         38237103       199      11,426 SH       SOLE           1     11,426         --       --
APPROACH RESOURCES INC        EQUITY        03834A103       117       8,154 SH       SOLE           1      8,154         --       --





                                                                                           
APPROACH RESOURCES INC COM    EQUITY        03834A103       749      51,800 SH       SOLE           3     51,800         --       --
APRIA HEALTHCARE GROUP INC    EQUITY         37933108         3         142 SH       DEFINED        5         --         --      142
APRIA HEALTHCARE GROUP, INC.  EQUITY         37933108     2,539     139,184 SH       SOLE           1    139,184         --       --
APTARGROUP, INC.              EQUITY         38336103     6,099     155,932 SH       SOLE           1    155,932         --       --
AQUA AMERICA INC              EQUITY        03836W103     5,507     309,742 SH       SOLE           1    309,742         --       --
AQUA AMERICA INC              EQUITY        03836W103        48       2,724 SH       DEFINED        4         --         --    2,724
AQUA AMERICA INC              EQUITY        03836W103        59       3,311 SH       DEFINED        5         --         --    3,311
ARAID PHARAMACEUTICLAS, INC.  EQUITY        04033A100       156      63,033 SH       SOLE           1     63,033         --       --
ARBITRON, INC.                EQUITY        03875Q108     1,108      24,784 SH       SOLE           1     24,784         --       --
ARBOR REALTY TRUST INC        EQUITY         38923108     1,361     136,097 SH       SOLE           1    136,097         --       --
ARBOR RLTY TR INC             EQUITY         38923108         7         700 SH       DEFINED        5         --         --      700
ARCELORMITTAL SA LUXEMBOURG   EQUITY        03938L104         2          42 SH       DEFINED        4         --         --       42
ARCH CHEMICALS, INC.          EQUITY        03937R102       798      22,603 SH       SOLE           1     22,603         --       --
ARCH COAL INC                 EQUITY         39380100         5         150 SH       DEFINED        4         --         --      150
ARCH COAL INC                 EQUITY         39380100       130       3,945 SH       DEFINED        5         --         --    3,945
ARCH COAL, INC.               EQUITY         39380100    10,861     330,233 SH       SOLE           1    330,233         --       --
ARCHER DANIELS MIDLAND CO     EQUITY         39483102        43       1,954 SH       DEFINED        4         --         --    1,954
ARCHER DANIELS MIDLAND CO     EQUITY         39483102        85       3,900 SH       DEFINED        5         --         --    3,900
ARCHER DANIELS MIDLAND CO     EQUITY        039483102     2,921     133,300 SH       SOLE           2    133,300         --       --
ARCHER DANIELS MIDLAND CO.    EQUITY         39483102    16,561     755,866 SH       SOLE           1    755,866         --       --
ARCSIGHT INC                  EQUITY         39666102        48       6,247 SH       SOLE           1      6,247         --       --
ARDEA BIOSCIENCES INC         EQUITY        03969P107       153      11,013 SH       SOLE           1     11,013         --       --
ARDEN GROUP INC               EQUITY         39762109       156       1,041 SH       SOLE           1      1,041         --       --
ARENA PHARMACEUTICALS INC     EQUITY         40047102       336      67,254 SH       SOLE           1     67,254         --       --
ARENA RESOURCES INC           EQUITY         40049108     1,339      34,464 SH       SOLE           1     34,464         --       --
ARES CAP CORP                 EQUITY        04010L103         4         400 SH       DEFINED        5         --         --      400
ARES CAP CORP                 EQUITY        04010L103       175      16,756 SH       DEFINED        4         --         --   16,756
ARES CAPITAL CORP             EQUITY        04010L103       920      88,315 SH       SOLE           1     88,315         --       --
ARGON ST INC                  EQUITY         40149106       279      11,878 SH       SOLE           1     11,878         --       --
ARIBA INC                     EQUITY        04033V203     1,098      77,698 SH       SOLE           1     77,698         --       --
ARISTOTLE CORP/THE            EQUITY         40448201         8       1,089 SH       SOLE           1      1,089         --       --
ARKANSAS BEST CORP.           EQUITY         40790107       693      20,582 SH       SOLE           1     20,582         --       --
ARLINGTON TANKERS LTD         EQUITY        G04899103       146       9,497 SH       DEFINED        4         --         --    9,497
ARMSTRONG WORLD INDUSTRIES
   INC                        EQUITY        04247X102        20         683 SH       SOLE           1        683         --       --
ARQULE, INC.                  EQUITY        4.27E+110       119      36,801 SH       SOLE           1     36,801         --       --
ARRAY BIOPHARMA INC           EQUITY        04269X105       331      43,145 SH       SOLE           1     43,145         --       --
ARRAY BIOPHARMA INC           EQUITY        04269X105         4         500 SH       DEFINED        5         --         --      500
ARRIS GROUP INC               EQUITY        04269Q100       862     111,428 SH       SOLE           1    111,428         --       --
ARROW ELECTRONICS INC         EQUITY         42735100     7,212     275,045 SH       SOLE           1    275,045         --       --
ARROW ELECTRS INC             EQUITY         42735100         9         330 SH       DEFINED        5         --         --      330





                                                                                           
ARROW FINANCIAL CORP          EQUITY         42744102       238       8,288 SH       SOLE           1      8,288         --       --
ART TECHNOLOGY GROUP INC      EQUITY        04289L107       413     117,299 SH       SOLE           1    117,299         --       --
ARTHROCARE CORP.              EQUITY         43136100       671      24,203 SH       SOLE           1     24,203         --       --
ARUBA NETWORKS INC            EQUITY         43176106       243      47,459 SH       SOLE           1     47,459         --       --
ARUBA NETWORKS INC            EQUITY         43176106         8       1,600 SH       DEFINED        4         --         --    1,600
ARVINMERITOR, INC             EQUITY         43353101     3,053     234,097 SH       SOLE           1    234,097         --       --
ASBURY AUTOMOTIVE GROUP       EQUITY         43436104       334      28,976 SH       SOLE           1     28,976         --       --
ASCENT SOLAR TECHNOLOGIES IN  EQUITY         43635101         9       1,500 SH       DEFINED        4         --         --    1,500
ASCENT SOLAR TECHNOLOGIES INC EQUITY         43635101        42       6,770 SH       SOLE           1      6,770         --       --
ASHFORD HOSPITALITY TR INC    EQUITY         44103109        18       4,476 SH       DEFINED        4         --         --    4,476
ASHLAND INC                   EQUITY         44209104     4,566     156,165 SH       SOLE           1    156,165         --       --
ASIA PAC FD INC               EQUITY         44901106         2         175 SH       DEFINED        4         --         --      175
ASIAINFO HOLDINGS INC.        EQUITY        04518A104     3,367     413,350 SH       SOLE           1    413,350         --       --
ASML HOLDING N V              EQUITY        N07059186       763      43,300 SH       SOLE           2     43,300         --       --
ASPEN INSURANCE HOLDINGS LTD  EQUITY        G05384105        11         407 SH       DEFINED        5         --         --      407
ASPEN TECHNOLOGY INC          EQUITY        045327103     5,206     409,900 SH       SOLE           2    409,900         --       --
ASSET ACCEPTANCE CAPITAL      EQUITY        04543P100       143      13,539 SH       SOLE           1     13,539         --       --
ASSISTED LIVING CONCEPTS INC  EQUITY        04544X102       317      49,791 SH       SOLE           1     49,791         --       --
ASSOCIATED BANC-CORP.         EQUITY         45487105     5,925     293,162 SH       SOLE           1    293,162         --       --
ASSOCIATED ESTATES REALTY     EQUITY         45604105     1,954     149,996 SH       SOLE           1    149,996         --       --
ASSURANT INC                  EQUITY        04621X108     7,849     142,712 SH       SOLE           1    142,712         --       --
ASSURANT INC                  EQUITY        04621X108         2          29 SH       DEFINED        4         --         --       29
ASSURANT INC                  EQUITY        04621X108     3,086      56,100 SH       SOLE           2     56,100         --       --
ASTEC INDS INC                EQUITY         46224101         5         150 SH       DEFINED        5         --         --      150
ASTEC INDS INC COM            EQUITY         46224101       506      16,415 SH       SOLE           1     16,415         --       --
ASTORIA FINANCIAL CORP.       EQUITY         46265104     3,930     189,579 SH       SOLE           1    189,579         --       --
ASTRAZENECA PLC               EQUITY         46353108         2          50 SH       DEFINED        5         --         --       50
ASTRAZENECA PLC               EQUITY         46353108        26         600 SH       DEFINED        4         --         --      600
ASTRAZENECA PLC               EQUITY        046353108     1,821      41,500 SH       SOLE           2     41,500         --       --
ASTRONICS CORP                EQUITY         46433108        12         539 SH       DEFINED        5         --         --      539
ASYST TECHNOLOGIES, INC.      EQUITY        04648X107       108      45,104 SH       SOLE           1     45,104         --       --
AT&T INC                      EQUITY        00206R102   123,840   4,435,516 SH       SOLE           1  4,435,516         --       --
AT&T INC                      EQUITY        00206R102       784      28,072 SH       DEFINED        4         --         --   28,072
AT&T INC                      EQUITY        00206R102       975      34,920 SH       DEFINED        5         --         --   34,920
AT+T INC                      EQUITY        00206R102    23,177     830,132 SH       SOLE           2    830,132         --       --
ATC TECHNOLOGY CORP           EQUITY        00211W104       458      19,293 SH       SOLE           1     19,293         --       --
ATHENAHEALTH INC              EQUITY        04685W103       625      18,786 SH       SOLE           1     18,786         --       --
ATHEROS COMMUNICATIONS        EQUITY        04743P108     1,271      53,898 SH       SOLE           1     53,898         --       --
ATHEROS COMMUNICATIONS INC    EQUITY        04743P108       396      16,800 SH       SOLE           2     16,800         --       --
ATLANTIC TELE-NETWORK INC     EQUITY         49079205       240       8,585 SH       SOLE           1      8,585         --       --





                                                                                           
ATLAS AIR WORLDWIDE HLDGS IN  EQUITY         49164205         3          86 SH       DEFINED        5         --         --       86
ATLAS AIR WORLDWIDE HOLDINGS
   INC                        EQUITY         49164205       486      12,089 SH       SOLE           1     12,089         --       --
ATLAS AMERICA INC             EQUITY         49167109     1,056      31,348 SH       SOLE           1     31,348         --       --
ATLAS PIPELINE PARTNERS LP    EQUITY         49392103        80       3,125 SH       DEFINED        4         --         --    3,125
ATMEL CORP.                   EQUITY         49513104     3,863   1,139,590 SH       SOLE           1  1,139,590         --       --
ATMI, INC.                    EQUITY        00207R101       525      29,180 SH       SOLE           1     29,180         --       --
ATMOS ENERGY CORP             EQUITY         49560105         5         200 SH       DEFINED        4         --         --      200
ATMOS ENERGY CORP             EQUITY         49560105        16         600 SH       DEFINED        5         --         --      600
ATMOS ENERGY CORP.            EQUITY         49560105        81       3,054 SH       SOLE           1      3,054         --       --
ATP OIL & GAS CORP            EQUITY        00208J108       450      25,255 SH       SOLE           1     25,255         --       --
ATP OIL & GAS CORP            EQUITY        00208J108         4         200 SH       DEFINED        5         --         --      200
ATRION CORP                   EQUITY         49904105       139       1,363 SH       SOLE           1      1,363         --       --
ATS MED INC COM               EQUITY          2083103     1,311     453,800 SH       SOLE           3    453,800         --       --
ATWOOD OCEANICS, INC.         EQUITY         50095108        41       1,138 SH       SOLE           1      1,138         --       --
AUDIOVOX COPR.                EQUITY         50757103       149      15,828 SH       SOLE           1     15,828         --       --
AUSTRALIAN DOLLAR CAP         EQUITY              AUD        10      12,213 SH       SOLE           2     12,213         --       --
AUTHENTEC INC                 EQUITY         52660107        47      22,735 SH       SOLE           1     22,735         --       --
AUTO ZONE INC                 EQUITY         53332102     4,749      38,500 SH       SOLE           3     14,500               24000
AUTODESK INC                  EQUITY         52769106         6         185 SH       DEFINED        4         --         --      185
AUTODESK INCORPORATED         EQUITY        052769106     1,751      52,200 SH       SOLE           2     52,200         --       --
AUTODESK, INC.                EQUITY         52769106     6,717     200,675 SH       SOLE           1    200,675         --       --
AUTOLIV INC                   EQUITY         52800109       129       3,820 SH       DEFINED        4         --         --    3,820
AUTOLIV, INC.                 EQUITY         52800109       328       9,705 SH       SOLE           1      9,705         --       --
AUTOMATIC DATA PROCESSING     EQUITY        053015103     6,742     157,700 SH       SOLE           2    157,700         --       --
AUTOMATIC DATA PROCESSING IN  EQUITY         53015103        13         297 SH       DEFINED        4         --         --      297
AUTOMATIC DATA PROCESSING IN  EQUITY         53015103        25         581 SH       DEFINED        5         --         --      581
AUTOMATIC DATA PROCESSING
   INC.                       EQUITY         53015103    13,515     316,140 SH       SOLE           1    316,140         --       --
AUTONATION INC                EQUITY        05329W102       920      81,841 SH       SOLE           1     81,841         --       --
AUTOZONE INC                  EQUITY         53332102        10          84 SH       DEFINED        5         --         --       84
AUTOZONE, INC.                EQUITY         53332102     8,544      69,274 SH       SOLE           1     69,274         --       --
AUXILIUM PHARMACEUTICALS INC  EQUITY        05334D107     1,213      37,417 SH       SOLE           1     37,417         --       --
AVALON PHARMACEUTICALS INC    EQUITY        05346P106        89     277,671 SH       SOLE           1    277,671         --       --
AVALONBAY COMMUNITIES INC     EQUITY         53484101     3,156      32,065 SH       SOLE           1     32,065         --       --
AVANEX CORP                   EQUITY        05348W307        57      12,174 SH       SOLE           1     12,174         --       --
AVANEX CORP                   EQUITY        05348W307         2         379 SH       DEFINED        5         --         --      379
AVANT IMMUNOTHERAPEUTICS INC  EQUITY         53491205       158      13,522 SH       SOLE           1     13,522         --       --
AVATAR HOLDINGS, INC.         EQUITY         53494100       183       5,533 SH       SOLE           1      5,533         --       --
AVENTINE RENEWABLE ENERGY
   HOLDINGS INC               EQUITY        05356X403        84      26,589 SH       SOLE           1     26,589         --       --
AVERY DENNISON CORP.          EQUITY         53611109     1,972      44,325 SH       SOLE           1     44,325         --       --
AVID TECHNOLOGY, INC.         EQUITY        05367P100       662      27,452 SH       SOLE           1     27,452         --       --





                                                                                           
AVIS BUDGET GROUP INC         EQUITY         53774105     1,337     232,924 SH       SOLE           1    232,924         --       --
AVISTA CORP                   EQUITY        05379B107     1,047      48,215 SH       SOLE           1     48,215         --       --
AVISTA CORP                   EQUITY        05379B107         4         200 SH       DEFINED        4         --         --      200
AVNET INC                     EQUITY         53807103         2         100 SH       DEFINED        5         --         --      100
AVNET, INC.                   EQUITY         53807103     9,865     400,542 SH       SOLE           1    400,542         --       --
AVOCENT CORP                  EQUITY         53893103        15         738 SH       DEFINED        5         --         --      738
AVOCENT CORPORATION           EQUITY         53893103     2,910     142,160 SH       SOLE           1    142,160         --       --
AVON PRODS INC                EQUITY         54303102         1          34 SH       DEFINED        5         --         --       34
AVON PRODUCTS, INC.           EQUITY         54303102     6,956     167,338 SH       SOLE           1    167,338         --       --
AVX CORP                      EQUITY          2444107        16       1,619 SH       SOLE           1      1,619         --       --
AXA                           EQUITY         54536107         8         238 SH       DEFINED        5         --         --      238
AXCELIS TECHNOLOGIES INC      EQUITY         54540109       158      93,251 SH       SOLE           1     93,251         --       --
AXIS CAPITAL HOLDINGS         EQUITY        G0692U109         1          39 SH       DEFINED        5         --         --       39
AXIS CAPITAL HOLDINGS         EQUITY        G0692U109         7         232 SH       DEFINED        4         --         --      232
AXSYS TECHNOLOGIES INC        EQUITY         54615109       469       7,949 SH       SOLE           1      7,949         --       --
AZZ INC                       EQUITY          2474104       457      11,038 SH       SOLE           1     11,038         --       --
AZZ INC                       EQUITY          2474104       113       2,735 SH       DEFINED        4         --         --    2,735
B & G FOODS INC NEW           EQUITY        05508R205         3         200 SH       DEFINED        4         --         --      200
B & G FOODS INC NEW           EQUITY        05508R205        35       2,595 SH       DEFINED        5         --         --    2,595
B & G FOODS INC NEW           EQUITY        05508R106        36       5,028 SH       DEFINED        4         --         --    5,028
B&G FOODS INC                 EQUITY        05508R106       130      18,242 SH       SOLE           1     18,242         --       --
BADGER METER INC              EQUITY         56525108       623      13,261 SH       SOLE           1     13,261         --       --
BADGER METER INC              EQUITY         56525108         5         100 SH       DEFINED        5         --         --      100
BAIDU COM INC                 EQUITY         56752108        25         100 SH       DEFINED        5         --         --      100
BAIDU.COM                     EQUITY         56752108       349       1,407 SH       SOLE           1      1,407         --       --
BAKER HUGHES INC              EQUITY         57224107        37         604 SH       DEFINED        4         --         --      604
BAKER HUGHES INC              EQUITY         57224107        44         725 SH       DEFINED        5         --         --      725
BAKER HUGHES INC              EQUITY        057224107        83       1,367 SH       SOLE           2      1,367         --       --
BAKER HUGHES, INC.            EQUITY         57224107     6,965     115,040 SH       SOLE           1    115,040         --       --
BALCHEM CORP                  EQUITY         57665200       440      16,495 SH       SOLE           1     16,495         --       --
BALCHEM CORP                  EQUITY         57665200         3         100 SH       DEFINED        5         --         --      100
BALDOR ELEC CO                EQUITY         57741100        33       1,140 SH       DEFINED        4         --         --    1,140
BALDOR ELECTRIC CO.           EQUITY         57741100     1,207      41,895 SH       SOLE           1     41,895         --       --
BALDWIN & LYONS, INC.,
   CLASS B                    EQUITY         57755209       187       7,788 SH       SOLE           1      7,788         --       --
BALL CORP.                    EQUITY         58498106     3,547      89,814 SH       SOLE           1     89,814         --       --
BALLARD PWR SYS INC           EQUITY        05858H104         2         600 SH       DEFINED        5         --         --      600
BALLY TECHNOLOGIES INC        EQUITY        05874B107     2,465      81,409 SH       SOLE           1     81,409         --       --
BALLY TECHNOLOGIES INC        EQUITY        05874B107        33       1,100 SH       DEFINED        5         --         --    1,100
BALLY TECHNOLOGIES INC COM    EQUITY        05874B107     1,399      46,200 SH       SOLE           3     46,200         --       --
BANCFIRST CORP.               EQUITY        05945F103       329       6,698 SH       SOLE           1      6,698         --       --





                                                                                           
BANCO BILBAO VIZCAYA ARGENTA  EQUITY        05946K101        29       1,766 SH       DEFINED        4         --         --    1,766
BANCO BRADESCO S A            EQUITY         59460303         4         225 SH       DEFINED        4         --         --      225
BANCO BRADESCO SA             EQUITY         59460303    15,240     968,602 SH       SOLE           1    968,602         --       --
BANCO SANTANDER SA            EQUITY        05964H105         4         238 SH       DEFINED        5         --         --      238
BANCOLOMBIA S A               EQUITY        05968L102         3         100 SH       DEFINED        5         --         --      100
BANCOLOMBIA S A               EQUITY        05968L102        12         421 SH       DEFINED        4         --         --      421
BANCOLOMBIA S.A.-SPONS ADR    EQUITY        05968L102     3,085     109,045 SH       SOLE           1    109,045         --       --
BANCORPSOUTH, INC.            EQUITY         59692103     4,647     165,189 SH       SOLE           1    165,189         --       --
BANCTRUST FINANCIAL GROUP IN  EQUITY        05978R107       215      15,916 SH       SOLE           1     15,916         --       --
BANK AMER CORP                EQUITY        060505104    28,904     825,821 SH       SOLE           2    825,821         --       --
BANK MUTUAL CORP              EQUITY         63750103       521      43,912 SH       SOLE           1     43,912         --       --
BANK NEW YORK MELLON CORP     EQUITY        064058100     3,853     118,257 SH       SOLE           2    118,257         --       --
BANK NOVA SCOTIA HALIFAX      EQUITY         64149107         5         100 SH       DEFINED        5         --         --      100
BANK OF AMERICA CORP          EQUITY         60505104   123,125   3,517,846 SH       SOLE           1  3,517,846         --       --
BANK OF AMERICA CORP COM      EQUITY         60505104       437      12,500 SH       SOLE           3     12,500         --       --
BANK OF AMERICA CORPORATION   EQUITY         60505104       120       3,426 SH       DEFINED        4         --         --    3,426
BANK OF AMERICA CORPORATION   EQUITY         60505104     1,102      31,477 SH       DEFINED        5         --         --   31,477
BANK OF HAWAII CORP           EQUITY         62540109     6,963     130,273 SH       SOLE           1    130,273         --       --
BANK OF MONTREAL              EQUITY         63671101     8,082     187,190 SH       OTHER          1         --    187,190       --
BANK OF NEW YORK MELLON CORP  EQUITY         64058100        29         902 SH       DEFINED        5         --         --      902
BANK OF NEW YORK MELLON CORP  EQUITY         64058100       133       4,080 SH       DEFINED        4         --         --    4,080
BANK OF NEW YORK MELLON
   CORP/THE                   EQUITY         64058100    51,723   1,587,556 SH       SOLE           1  1,587,556         --       --
BANK OF NOVA SCOTIA           EQUITY         64149107    13,874     307,312 SH       OTHER          1         --    307,312       --
BANK OF THE OZARKS INC        EQUITY         63904106       303      11,222 SH       SOLE           1     11,222         --       --
BANKFINANCIAL CORP            EQUITY        06643P104       264      17,961 SH       SOLE           1     17,961         --       --
BANKRATE INC                  EQUITY        06646V108       450      11,553 SH       SOLE           1     11,553         --       --
BANNER CORPORATION            EQUITY        06652V109       155      12,746 SH       SOLE           1     12,746         --       --
BARCLAYS BANK PLC             FIXED INCOME  06739H511       471      30,000 PRN      SOLE           1     30,000         --       --
BARCLAYS BANK PLC             FIXED INCOME  06739H362     1,026      60,000 PRN      SOLE           1     60,000         --       --
BARCLAYS BANK PLC             FIXED INCOME  06739H776     3,676     253,700 PRN      SOLE           1    253,700         --       --
BARCLAYS BANK PLC             EQUITY        06739H511         3         200 SH       DEFINED        4         --         --      200
BARCLAYS BANK PLC             EQUITY        06739H743         4         100 SH       DEFINED        5         --         --      100
BARCLAYS BANK PLC             EQUITY        06739H644         4         100 SH       DEFINED        4         --         --      100
BARCLAYS BANK PLC             EQUITY        06739H776         6         400 SH       DEFINED        4         --         --      400
BARCLAYS BANK PLC             EQUITY        06739H305        15         317 SH       DEFINED        4         --         --      317
BARCLAYS BANK PLC             EQUITY        06739G851        27         487 SH       DEFINED        4         --         --      487
BARCLAYS BANK PLC             EQUITY        06739H743        37         918 SH       DEFINED        4         --         --      918
BARCLAYS BANK PLC             EQUITY        06739H206        44         919 SH       DEFINED        4         --         --      919
BARCLAYS BK PLC               EQUITY        06739F291         9         200 SH       DEFINED        4         --         --      200
BARCLAYS BK PLC               EQUITY        06738G407        13         331 SH       DEFINED        4         --         --      331





                                                                                           
BARCLAYS BK PLC               EQUITY        06738C786        72       1,200 SH       DEFINED        4         --         --    1,200
BARCLAYS BK PLC               EQUITY        06738C778       181       3,508 SH       DEFINED        5         --         --    3,508
BARCLAYS BK PLC               EQUITY        06738C778       315       6,119 SH       DEFINED        4         --         --    6,119
BARCLAYS PLC                  EQUITY        6.74E+207       166       6,726 SH       DEFINED        4         --         --    6,726
BARCLAYS PLC                  EQUITY        6.74E+207       352      14,231 SH       DEFINED        5         --         --   14,231
BARD C R INC                  EQUITY         67383109         2          24 SH       DEFINED        5         --         --       24
BARE ESCENTUALS INC           EQUITY         67511105       751      69,304 SH       SOLE           1     69,304         --       --
BARNES & NOBLE, INC.          EQUITY         67774109     2,220      85,110 SH       SOLE           1     85,110         --       --
BARNES GROUP, INC.            EQUITY         67806109       879      43,471 SH       SOLE           1     43,471         --       --
BARR PHARMACEUTICALS INC      EQUITY         68306109    17,348     265,667 SH       SOLE           1    265,667         --       --
BARR PHARMACEUTICALS INC      EQUITY         68306109        55         842 SH       DEFINED        5         --         --      842
BARR PHARMACEUTICALS INC      EQUITY        068306109     2,795      42,800 SH       SOLE           2     42,800         --       --
BARRICK GOLD CORP             EQUITY         67901108        25         685 SH       DEFINED        4         --         --      685
BARRICK GOLD CORP             EQUITY         67901108       131       3,561 SH       DEFINED        5         --         --    3,561
BARRICK GOLD CORPORATION      EQUITY         67901108    19,174     523,261 SH       OTHER          1         --    523,261       --
BASIC ENERGY SERVICES INC     EQUITY        06985P100       799      37,491 SH       SOLE           1     37,491         --       --
BASIN WTR INC                 EQUITY        07011T306         6       3,300 SH       DEFINED        4         --         --    3,300
BAXTER INTERNATIONAL, INC.    EQUITY         71813109    19,389     295,431 SH       SOLE           1    295,431         --       --
BAXTER INTL INC               EQUITY         71813109         8         117 SH       DEFINED        5         --         --      117
BAXTER INTL INC               EQUITY         71813109        25         381 SH       DEFINED        4         --         --      381
BAXTER INTL INC               EQUITY        071813109       270       4,115 SH       SOLE           2      4,115         --       --
BAYTEX ENERGY TR              EQUITY         73176109         2         100 SH       DEFINED        5         --         --      100
BAYTEX ENERGY TR              EQUITY         73176109       301      12,166 SH       DEFINED        4         --         --   12,166
BAYTEX ENERGY TRUST           EQUITY         73176109       856      35,373 SH       OTHER          1         --     35,373       --
BB&T CORP                     EQUITY         54937107        31         827 SH       DEFINED        4         --         --      827
BB&T CORP                     EQUITY         54937107        96       2,550 SH       DEFINED        5         --         --    2,550
BB+T CORP                     EQUITY        054937107        83       2,200 SH       SOLE           2      2,200         --       --
BBT CORP.                     EQUITY         54937107    40,763   1,079,655 SH       SOLE           1  1,079,655         --       --
BCE INC                       EQUITY        05534B760     7,585     220,148 SH       OTHER          1         --    220,148       --
BE AEROSPACE, INC.            EQUITY         73302101     3,602     228,089 SH       SOLE           1    228,089         --       --
BEACON POWER CORP             EQUITY         73677106       116      80,337 SH       SOLE           1     80,337         --       --
BEACON POWER CORP             EQUITY         73677106         3       2,000 SH       DEFINED        5         --         --    2,000
BEACON ROOFING SUPPLY INC     EQUITY         73685109       629      40,309 SH       SOLE           1     40,309         --       --
BEACON ROOFING SUPPLY INC     EQUITY        073685109     2,709     173,400 SH       SOLE           2    173,400         --       --
BEARINGPOINT INC              EQUITY         74002106       103     197,775 SH       SOLE           1    197,775         --       --
BEAZER HOMES USA, INC.        EQUITY        07556Q105       213      35,610 SH       SOLE           1     35,610         --       --
BEBE STORES, INC.             EQUITY         75571109       341      34,838 SH       SOLE           1     34,838         --       --
BECKMAN COULTER INC           EQUITY        075811109     3,287      46,300 SH       SOLE           2     46,300         --       --
BECKMAN COULTER, INC.         EQUITY         75811109    10,112     142,443 SH       SOLE           1    142,443         --       --
BECTON DICKINSON & CO         EQUITY         75887109         1          17 SH       DEFINED        4         --         --       17





                                                                                           
BECTON DICKINSON & CO         EQUITY         75887109        13         166 SH       DEFINED        5         --         --      166
BECTON DICKINSON + CO         EQUITY        075887109     5,771      71,900 SH       SOLE           2     71,900         --       --
BECTON, DICKINSON AND CO.     EQUITY         75887109    13,071     162,857 SH       SOLE           1    162,857         --       --
BED BATH & BEYOND INC         EQUITY         75896100        29         938 SH       DEFINED        5         --         --      938
BED BATH & BEYOND, INC.       EQUITY         75896100     3,818     121,467 SH       SOLE           1    121,467         --       --
BEL FUSE INC. CLASS B         EQUITY         77347300       306      10,758 SH       SOLE           1     10,758         --       --
BELDEN INC                    EQUITY         77454106     1,264      39,753 SH       SOLE           1     39,753         --       --
BELDEN INC                    EQUITY         77454106         7         226 SH       DEFINED        4         --         --      226
BELO CORP.                    EQUITY         80555105     1,664     279,278 SH       SOLE           1    279,278         --       --
BEMIS CO INC                  EQUITY        081437105     2,343      89,393 SH       SOLE           2     89,393         --       --
BEMIS CO., INC.               EQUITY         81437105     1,084      41,360 SH       SOLE           1     41,360         --       --
BEMIS INC                     EQUITY         81437105        10         400 SH       DEFINED        5         --         --      400
BENCHMARK ELECTRONICS, INC.   EQUITY        08160H101       863      61,309 SH       SOLE           1     61,309         --       --
BENEFICIAL MUTUAL BANCORP INC EQUITY        08173R104       371      29,717 SH       SOLE           1     29,717         --       --
BERKLEY W R CORP              EQUITY         84423102         5         225 SH       DEFINED        4         --         --      225
BERKSHIRE HATHAWAY INC DEL    EQUITY         84670108       131           1 SH       DEFINED        4         --         --        1
BERKSHIRE HATHAWAY INC DEL    EQUITY         84670207       396          90 SH       DEFINED        4         --         --       90
BERKSHIRE HATHAWAY INC DEL    EQUITY         84670108       784           6 SH       DEFINED        5         --         --        6
BERKSHIRE HATHAWAY INC DEL    EQUITY         84670207     1,442         328 SH       DEFINED        5         --         --      328
BERKSHIRE HILLS BANCOR        EQUITY         84680107       289       9,566 SH       SOLE           1      9,566         --       --
BERRY PETROLEUM CO. CLASS A   EQUITY         85789105     1,502      38,790 SH       SOLE           1     38,790         --       --
BEST BUY CO INC               EQUITY        086516101     2,375      63,344 SH       SOLE           2     63,344         --       --
BEST BUY CO., INC.            EQUITY         86516101     4,719     125,842 SH       SOLE           1    125,842         --       --
BEST BUY INC                  FIXED INCOME  086516AF8         3           3 PRN      DEFINED        4         --         --        3
BEST BUY INC                  EQUITY         86516101         8         200 SH       DEFINED        4         --         --      200
BEST BUY INC                  EQUITY         86516101        88       2,336 SH       DEFINED        5         --         --    2,336
BGC PARTNERS INC              EQUITY        05541T101       126      30,480 SH       SOLE           1     30,480         --       --
BHP BILLITON LTD              EQUITY         88606108       166       3,192 SH       DEFINED        5         --         --    3,192
BIDZ COM INC                  EQUITY        08883T200        49       5,625 SH       DEFINED        4         --         --    5,625
BIDZ.COM INC                  EQUITY        08883T200        45       5,246 SH       SOLE           1      5,246         --       --
BIG 5 SPORTING GOODS CORP     EQUITY        08915P101       204      19,814 SH       SOLE           1     19,814         --       --
BIG LOTS INC                  EQUITY         89302103        31       1,100 SH       DEFINED        5         --         --    1,100
BIG LOTS INC.                 EQUITY         89302103       920      33,069 SH       SOLE           1     33,069         --       --
BIGBAND NETWORKS INC          EQUITY         89750509       109      29,830 SH       SOLE           1     29,830         --       --
BIGBAND NETWORKS INC          EQUITY         89750509         7       2,000 SH       DEFINED        4         --         --    2,000
BILL BARRETT CORP             EQUITY        06846N104     3,759     117,073 SH       SOLE           1    117,073         --       --
BIODEL INC                    EQUITY        09064M105        33       9,748 SH       SOLE           1      9,748         --       --
BIOFORM MEDICAL INC           EQUITY        09065G107        78      19,848 SH       SOLE           1     19,848         --       --
BIOGEN IDEC INC               EQUITY        09062X103     8,869     176,362 SH       SOLE           1    176,362         --       --
BIOGEN IDEC INC               EQUITY        09062X103        11         225 SH       DEFINED        4         --         --      225





                                                                                           
BIOGEN IDEC INC               EQUITY        09062X103        15         300 SH       DEFINED        5         --         --      300
BIOMARIN PHARMACEUTICAL INC.  EQUITY        09061G101        53       2,005 SH       SOLE           1      2,005         --       --
BIOMED REALTY TRUST INC       EQUITY        09063H107         5         200 SH       DEFINED        5         --         --      200
BIOMIMETIC THERAPEUTICS INC   EQUITY        09064X101       132      12,034 SH       SOLE           1     12,034         --       --
BIO-RAD LABORATORIES, INC.,
   CLASS A                    EQUITY         90572207     1,705      17,203 SH       SOLE           1     17,203         --       --
BIO-REFERENCE LABS INC        EQUITY        09057G602       303      10,469 SH       SOLE           1     10,469         --       --
BIOVAIL CORP                  EQUITY        09067J109       791      84,110 SH       OTHER          1         --     84,110       --
BIOVAIL CORP                  EQUITY        09067J109       164      16,828 SH       DEFINED        4         --         --   16,828
BIOVAIL CORP                  EQUITY        09067J109       186      19,000 SH       DEFINED        5         --         --   19,000
BJ SERVICES CO.               EQUITY         55482103     4,947     258,617 SH       SOLE           1    258,617         --       --
BJ SVCS CO                    EQUITY         55482103         8         437 SH       DEFINED        5         --         --      437
BJ'S RESTAURANTS INC          EQUITY        09180C106       189      15,793 SH       SOLE           1     15,793         --       --
BJS WHOLESALE CLUB INC        EQUITY        05548J106         6         150 SH       DEFINED        4         --         --      150
BJS WHOLESALE CLUB INC        EQUITY        05548J106        31         800 SH       DEFINED        5         --         --      800
BJ'S WHOLESALE CLUB INC.      EQUITY        05548J106     5,306     136,550 SH       SOLE           1    136,550         --       --
BLACK & DECKER CORP.          EQUITY         91797100     1,487      24,474 SH       SOLE           1     24,474         --       --
BLACK BOX CORP.               EQUITY         91826107       551      15,947 SH       SOLE           1     15,947         --       --
BLACK HILLS CORP              EQUITY         92113109         9         300 SH       DEFINED        4         --         --      300
BLACK HILLS CORP              EQUITY         92113109        89       2,850 SH       DEFINED        5         --         --    2,850
BLACK HILLS CORP.             EQUITY         92113109     3,791     121,999 SH       SOLE           1    121,999         --       --
BLACKBAUD INC                 EQUITY        09227Q100       750      40,651 SH       SOLE           1     40,651         --       --
BLACKBOARD INC                EQUITY         91935502     1,134      28,114 SH       SOLE           1     28,114         --       --
BLACKROCK BROAD INVT GRD 200  EQUITY        09247Q106        20       1,586 SH       DEFINED        4         --         --    1,586
BLACKROCK CA INSD MUN 2008 T  EQUITY        09247G108        12         803 SH       DEFINED        5         --         --      803
BLACKROCK CALIF MUN INCOME T  EQUITY        9.25E+105         4         330 SH       DEFINED        4         --         --      330
BLACKROCK CALIF MUN INCOME T  EQUITY        9.25E+105        47       3,590 SH       DEFINED        5         --         --    3,590
BLACKROCK CORE BD TR          EQUITY        9.25E+104         2         195 SH       DEFINED        4         --         --      195
BLACKROCK CORPOR HI YLD FD V  EQUITY        09255N102        79       9,909 SH       DEFINED        4         --         --    9,909
BLACKROCK CORPOR HI YLD III   EQUITY        09255M104       201      41,330 SH       DEFINED        5         --         --   41,330
BLACKROCK CORPOR HIGH YLD FD  EQUITY        09255L106        36       7,301 SH       DEFINED        5         --         --    7,301
BLACKROCK DEBT STRAT FD INC   EQUITY        09255R103        10       2,500 SH       DEFINED        4         --         --    2,500
BLACKROCK DEBT STRAT FD INC   EQUITY        09255R103        16       4,045 SH       DEFINED        5         --         --    4,045
BLACKROCK DIVID ACHIEVRS TM   EQUITY        09250N107         4         400 SH       DEFINED        4         --         --      400
BLACKROCK ECOSOLUTIONS INVT   EQUITY         92546100        18       1,500 SH       DEFINED        5         --         --    1,500
BLACKROCK ENHAN EQ YLD & PRE  EQUITY        9.26E+104         2         200 SH       DEFINED        5         --         --      200
BLACKROCK ENHANCED DIV ACHV   EQUITY        09251A104        28       3,200 SH       DEFINED        5         --         --    3,200
BLACKROCK GLBL ENRGY & RES T  EQUITY        09250U101         5         200 SH       DEFINED        4         --         --      200
BLACKROCK HIGH INCOME SHS     EQUITY        9.25E+110        18      12,000 SH       DEFINED        4         --         --   12,000
BLACKROCK HIGH YIELD TR       EQUITY        09248N102         3         580 SH       DEFINED        5         --         --      580
BLACKROCK HIGH YIELD TR       EQUITY        09248N102        27       5,000 SH       DEFINED        4         --         --    5,000





                                                                                           
BLACKROCK INCOME OPP TRUST I  EQUITY         92475102        13       1,500 SH       DEFINED        4         --         --    1,500
BLACKROCK INCOME OPP TRUST I  EQUITY         92475102        13       1,500 SH       DEFINED        5         --         --    1,500
BLACKROCK INCOME TR INC       EQUITY        09247F100        28       5,000 SH       DEFINED        4         --         --    5,000
BLACKROCK INCOME TR INC       EQUITY        09247F100        32       5,750 SH       DEFINED        5         --         --    5,750
BLACKROCK INSD MUN 2008 TRM   EQUITY        09247K109        12         804 SH       DEFINED        5         --         --      804
BLACKROCK INSD MUN INCOME TR  EQUITY         92479104        28       2,500 SH       DEFINED        4         --         --    2,500
BLACKROCK INSD MUN TERM TR I  EQUITY         92474105        42       4,197 SH       DEFINED        4         --         --    4,197
BLACKROCK KELSO CAPITAL CORP  EQUITY         92533108       136      11,799 SH       SOLE           1     11,799         --       --
BLACKROCK MUN 2020 TERM TR    EQUITY        09249X109        16       1,333 SH       DEFINED        4         --         --    1,333
BLACKROCK MUNI INCOME TR II   EQUITY        09249N101        50       4,800 SH       DEFINED        4         --         --    4,800
BLACKROCK MUNICIPAL BOND TR   EQUITY        09249H104        14       1,200 SH       DEFINED        4         --         --    1,200
BLACKROCK MUNIENHANCED FD IN  EQUITY        09253Y100        33       4,135 SH       DEFINED        4         --         --    4,135
BLACKROCK MUNIHOLDINGS CALIF  EQUITY        09254L107        19       1,895 SH       DEFINED        5         --         --    1,895
BLACKROCK MUNIVEST FD INC     EQUITY        09253R105        45       6,550 SH       DEFINED        4         --         --    6,550
BLACKROCK MUNIYIELD ARIZ FD   EQUITY        09254K109        19       1,475 SH       DEFINED        5         --         --    1,475
BLACKROCK MUNIYIELD CALIF FD  EQUITY        09254M105        20       1,900 SH       DEFINED        5         --         --    1,900
BLACKROCK MUNIYIELD CALIF IN  EQUITY        09254N103        16       1,500 SH       DEFINED        5         --         --    1,500
BLACKROCK MUNIYIELD CALIF IN  EQUITY        09254N103        30       2,858 SH       DEFINED        4         --         --    2,858
BLACKROCK MUNIYIELD FD INC    EQUITY        09253W104        12       1,200 SH       DEFINED        5         --         --    1,200
BLACKROCK MUNYIELD INSD FD I  EQUITY        9.25E+106        10       1,005 SH       DEFINED        5         --         --    1,005
BLACKROCK PFD & EQ ADVANTAGE  EQUITY         92508100         8         800 SH       DEFINED        5         --         --      800
BLACKROCK S&P QLTY RK EQ MD   EQUITY        09250D109        12       1,039 SH       DEFINED        5         --         --    1,039
BLACKROCK SR HIGH INCOME FD   EQUITY        09255T109        12       3,650 SH       DEFINED        4         --         --    3,650
BLACKROCK SR HIGH INCOME FD   EQUITY        09255T109       142      43,871 SH       DEFINED        5         --         --   43,871
BLACKROCK STRAT DIVD ACHIEVE  EQUITY        09249Y107        33       3,282 SH       DEFINED        5         --         --    3,282
BLACKROCK STRATEGIC MUN TR    EQUITY        09248T109         3         276 SH       DEFINED        5         --         --      276
BLACKROCK STRATEGIC MUN TR    EQUITY        09248T109        17       1,675 SH       DEFINED        4         --         --    1,675
BLACKROCK STRTGC BOND TR      EQUITY        09249G106        23       2,500 SH       DEFINED        5         --         --    2,500
BLACKSTONE GROUP L P          EQUITY        09253U108         5         300 SH       DEFINED        4         --         --      300
BLACKSTONE GROUP L P          EQUITY        09253U108        20       1,300 SH       DEFINED        5         --         --    1,300
BLDRS INDEX FDS TR            EQUITY        09348R102        14         550 SH       DEFINED        5         --         --      550
BLDRS INDEX FDS TR            EQUITY        09348R409        39       1,775 SH       DEFINED        5         --         --    1,775
BLDRS INDEX FDS TR            EQUITY        09348R300       128       3,388 SH       DEFINED        5         --         --    3,388
BLOCK FINANCIAL CORP          EQUITY         93671105    63,200   2,778,783 SH       SOLE           1  2,778,783         --       --
BLOCK H & R INC               EQUITY         93671105         6         247 SH       DEFINED        4         --         --      247
BLOCK H & R INC               EQUITY         93671105         6         285 SH       DEFINED        5         --         --      285
BLOCKBUSTER INC -CLA          EQUITY         93679108       330     161,096 SH       SOLE           1    161,096         --       --
BLOUNT INTERNATIONAL INC      EQUITY         95180105       387      34,743 SH       SOLE           1     34,743         --       --
BLUE CHIP VALUE FD INC        EQUITY         95333100       305      88,119 SH       DEFINED        4         --         --   88,119
BLUE COAT SYSTEMS INC         EQUITY        09534T508       428      30,160 SH       SOLE           1     30,160         --       --





                                                                                           
BLUE COAT SYSTEMS INC         EQUITY        09534T508         4         300 SH       DEFINED        4         --         --      300
BLUE NILE INC                 EQUITY        09578R103       520      12,144 SH       SOLE           1     12,144         --       --
BLUEGREEN CORP                EQUITY         96231105        80      11,646 SH       SOLE           1     11,646         --       --
BLYTH INC.                    EQUITY        09643P108       871      76,767 SH       SOLE           1     76,767         --       --
BMB MUNAI INC                 EQUITY        09656A105       151      36,274 SH       SOLE           1     36,274         --       --
BMC SOFTWARE INC              EQUITY         55921100         3         100 SH       DEFINED        4         --         --      100
BMC SOFTWARE INC              EQUITY         55921100        11         399 SH       DEFINED        5         --         --      399
BMC SOFTWARE, INC.            EQUITY         55921100     2,142      74,801 SH       SOLE           1     74,801         --       --
BMP SUNSTONE CORP             EQUITY        05569C105       145      20,964 SH       SOLE           1     20,964         --       --
BOB EVANS FARMS INC           EQUITY         96761101         7         250 SH       DEFINED        5         --         --      250
BOB EVANS FARMS, INC.         EQUITY         96761101     2,682      98,277 SH       SOLE           1     98,277         --       --
BOEING CO                     EQUITY         97023105        56         981 SH       DEFINED        4         --         --      981
BOEING CO                     EQUITY         97023105       298       5,196 SH       DEFINED        5         --         --    5,196
BOEING CO                     EQUITY        097023105     2,761      48,138 SH       SOLE           2     48,138         --       --
BOEING CO.                    EQUITY         97023105    30,739     535,993 SH       SOLE           1    535,993         --       --
BOISE INC                     EQUITY        09746Y105        51      32,397 SH       SOLE           1     32,397         --       --
BOK FINANCIAL CORP.           EQUITY        05561Q201        36         753 SH       SOLE           1        753         --       --
BOLT TECHNOLOGY CORP          EQUITY         97698104       112       7,821 SH       SOLE           1      7,821         --       --
BON-TON STORES INC            EQUITY        09776J101         3       1,040 SH       DEFINED        5         --         --    1,040
BOOKHAM INC                   EQUITY        9.86E+108       104      91,435 SH       SOLE           1     91,435         --       --
BOOTS & COOTS INTERNATIONAL
   CONTROL INC                EQUITY         99469504     1,061     549,914 SH       SOLE           1    549,914         --       --
BOOTS&COOTS/INTL WELL COM NEW EQUITY         99469504     2,575   1,333,967 SH       SOLE           3  1,333,967         --       --
BORDERS GROUP, INC.           EQUITY         99709107     1,258     191,808 SH       SOLE           1    191,808         --       --
BORG WARNER INC               EQUITY         99724106     9,035     275,697 SH       SOLE           1    275,697         --       --
BOSTON BEER INC               EQUITY        100557107        11         233 SH       DEFINED        5         --         --      233
BOSTON BEER, INC. CLASS A     EQUITY        100557107       363       7,653 SH       SOLE           1      7,653         --       --
BOSTON PRIVATE FINANCIAL
   HOLDI                      EQUITY        101119105       433      49,538 SH       SOLE           1     49,538         --       --
BOSTON SCIENTIFIC CORP        EQUITY        101137107         6         500 SH       DEFINED        4         --         --      500
BOSTON SCIENTIFIC CORP        EQUITY        101137107        52       4,264 SH       DEFINED        5         --         --    4,264
BOSTON SCIENTIFIC CORP.       EQUITY        101137107     8,582     699,436 SH       SOLE           1    699,436         --       --
BOTTOMLINE TECHNOLOGIES INC   EQUITY        101388106       208      19,923 SH       SOLE           1     19,923         --       --
BOULDER GROWTH & INCOME FUND
   INC                        EQUITY        101507101        71      11,865 SH       SOLE           1     11,865         --       --
BOWNE & CO., INC.             EQUITY        103043105       283      24,527 SH       SOLE           1     24,527         --       --
BOYD GAMING CORP.             EQUITY        103304101     1,226     131,033 SH       SOLE           1    131,033         --       --
BP PLC                        EQUITY         55622104       135       2,687 SH       DEFINED        4         --         --    2,687
BP PLC                        EQUITY         55622104       250       4,986 SH       DEFINED        5         --         --    4,986
BP PRUDHOE BAY RTY TR         EQUITY         55630107        60         650 SH       DEFINED        5         --         --      650
BP PRUDHOE BAY RTY TR         EQUITY         55630107       851       9,153 SH       DEFINED        4         --         --    9,153
BPZ RESOURCES INC             EQUITY         55639108       937      54,487 SH       SOLE           1     54,487         --       --
BRADY CORP.                   EQUITY        104674106     1,609      45,619 SH       SOLE           1     45,619         --       --





                                                                                           
BRANDYWINE RLTY TR            EQUITY        105368203        22       1,353 SH       DEFINED        4         --         --    1,353
BRE PROPERTIES INC            EQUITY        5.56E+109        39         798 SH       DEFINED        4         --         --      798
BRE PROPERTIES, INC., CLASS A EQUITY        5.56E+109     5,749     117,330 SH       SOLE           1    117,330         --       --
BREITBURN ENERGY PARTNERS LP  EQUITY        106776107         3         200 SH       DEFINED        4         --         --      200
BRIGGS & STRATTON CORP        EQUITY        109043109         6         350 SH       DEFINED        5         --         --      350
BRIGGS & STRATTON CORP.       EQUITY        109043109       730      45,089 SH       SOLE           1     45,089         --       --
BRIGHAM EXPLORATION CO        EQUITY        109178103     1,120     101,835 SH       SOLE           1    101,835         --       --
BRIGHAM EXPLORATION CO        EQUITY        109178103         5         500 SH       DEFINED        4         --         --      500
BRIGHAM EXPLORATION COM       EQUITY        109178103     1,439     130,900 SH       SOLE           3    130,900         --       --
BRIGHTPOINT INC               EQUITY        109473405       327      45,248 SH       SOLE           1     45,248         --       --
BRIGHTPOINT INC               EQUITY        109473405        17       2,340 SH       DEFINED        4         --         --    2,340
BRIGHTPOINT INC               EQUITY        109473405        22       3,107 SH       DEFINED        5         --         --    3,107
BRINKER INTERNATIONAL, INC.   EQUITY        109641100     4,143     231,560 SH       SOLE           1    231,560         --       --
BRINKER INTL INC              EQUITY        109641100       148       8,300 SH       DEFINED        5         --         --    8,300
BRINKS CO                     EQUITY        109696104        31         500 SH       DEFINED        5         --         --      500
BRINK'S CO/THE                EQUITY        109696104     5,884      96,426 SH       SOLE           1     96,426         --       --
BRISTOL MYERS SQUIBB CO       EQUITY        110122108        33       1,565 SH       DEFINED        4         --         --    1,565
BRISTOL MYERS SQUIBB CO       EQUITY        110122108       204       9,803 SH       DEFINED        5         --         --    9,803
BRISTOL MYERS SQUIBB CO.      EQUITY        110122108    50,354   2,415,055 SH       SOLE           1  2,415,055         --       --
BRISTOW GROUP INC             EQUITY        110394103       744      22,000 SH       SOLE           1     22,000         --       --
BRITISH AMERN TOB PLC         EQUITY        110448107         1          24 SH       DEFINED        5         --         --       24
BROADCOM CORP                 EQUITY        111320107     5,730     307,574 SH       SOLE           2    307,574         --       --
BROADCOM CORP.                EQUITY        111320107     4,431     238,232 SH       SOLE           1    238,232         --       --
BROADPOINT SECURITIES GROUP
   INC                        EQUITY        11133V108        65      21,932 SH       SOLE           1     21,932         --       --
BROADRIDGE FINANCIAL
   SOLUTIONS LLC              EQUITY        11133T103     6,000     389,881 SH       SOLE           1    389,881         --       --
BROADRIDGE FINL SOLUTIONS IN  EQUITY        11133T103         1          74 SH       DEFINED        4         --         --       74
BROCADE COMMUNICATIONS SYS    EQUITY        111621306     1,304     224,000 SH       SOLE           2    224,000         --       --
BROCADE COMMUNICATIONS SYS I  EQUITY        111621306         1         250 SH       DEFINED        5         --         --      250
BRONCO DRILLING CO INC        EQUITY        112211107       246      23,923 SH       SOLE           1     23,923         --       --
BROOKDALE SENIOR LIVING INC   EQUITY        112463104        27       1,218 SH       SOLE           1      1,218         --       --
BROOKDALE SR LIVING INC       EQUITY        112463104     6,622     301,138 SH       SOLE           2    301,138         --       --
BROOKFIELD ASSET MANAGEMENT
   INC                        EQUITY        112585104       857      31,768 SH       OTHER          1         --     31,768       --
BROOKFIELD ASSET MGMT INC     EQUITY        112585104         8         300 SH       DEFINED        5         --         --      300
BROOKFIELD ASSET MGMT INC     EQUITY        112585104        16         600 SH       DEFINED        4         --         --      600
BROOKFIELD HOMES CORP         EQUITY        112723101       122       8,493 SH       SOLE           1      8,493         --       --
BROOKFIELD INFRAST PARTNERS   EQUITY        G16252101         2         108 SH       DEFINED        5         --         --      108
BROOKFIELD PROPERTIES CORP    EQUITY        112900105        78       5,003 SH       OTHER          1         --      5,003       --
BROOKLINE BANCORP INC         EQUITY        11373M107       691      52,970 SH       SOLE           1     52,970         --       --
BROOKLYN FEDERAL BANCORP INC  EQUITY        114039100        44       3,073 SH       SOLE           1      3,073         --       --
BROOKS AUTOMATION INC         EQUITY        114340102       484      57,790 SH       SOLE           1     57,790         --       --





                                                                                           
BROWN & BROWN INC             EQUITY        115236101     5,728     264,945 SH       SOLE           1    264,945         --       --
BROWN SHOE COMANY, INC.       EQUITY        115736100       631      38,507 SH       SOLE           1     38,507         --       --
BROWN-FORMAN CORP CLASS B     EQUITY        115637209     2,262      31,494 SH       SOLE           1     31,494         --       --
BRUKER CORP                   EQUITY        116794108       613      45,918 SH       SOLE           1     45,918         --       --
BRUNSWICK CORP.               EQUITY        117043109     1,018      79,625 SH       SOLE           1     79,625         --       --
BRUSH ENGINEERED  MATERIALS   EQUITY        117421107       345      18,567 SH       SOLE           1     18,567         --       --
BRYN MAWR BK CORP             EQUITY        117665109       137       6,241 SH       SOLE           1      6,241         --       --
BRYN MAWR BK CORP             EQUITY        117665109        97       4,428 SH       DEFINED        4         --         --    4,428
BT GROUP PLC                  EQUITY        5.58E+104         3         100 SH       DEFINED        4         --         --      100
BUCKEYE PARTNERS L P          EQUITY        118230101       174       4,687 SH       DEFINED        4         --         --    4,687
BUCKEYE TECHNOLOGIES INC      EQUITY        118255108       291      35,575 SH       SOLE           1     35,575         --       --
BUCKLE INC                    EQUITY        118440106         2          41 SH       DEFINED        4         --         --       41
BUCKLE INC                    EQUITY        118440106        53         952 SH       DEFINED        5         --         --      952
BUCKLE, INC.                  EQUITY        118440106       781      14,063 SH       SOLE           1     14,063         --       --
BUCYRUS INTERNATIONAL INC-A   EQUITY        118759109        68       1,524 SH       SOLE           1      1,524         --       --
BUCYRUS INTL INC NEW          EQUITY        118759109        20         450 SH       DEFINED        5         --         --      450
BUFFALO WILD WINGS INC        EQUITY        119848109       654      16,204 SH       SOLE           1     16,204         --       --
BUFFALO WILD WINGS INC        EQUITY        119848109        10         250 SH       DEFINED        5         --         --      250
BUFFALO WILD WINGS INC        EQUITY        119848109       987      24,533 SH       DEFINED        4         --         --   24,533
BUILD-A-BEAR WORKSHOP INC     EQUITY        120076104       110      15,071 SH       SOLE           1     15,071         --       --
BUILDERS FIRSTSOURCE INC      EQUITY        12008R107        86      14,427 SH       SOLE           1     14,427         --       --
BUNGE LIMITED                 EQUITY        G16962105        15         230 SH       DEFINED        5         --         --      230
BUNGE LIMITED                 EQUITY        G16962105        60         957 SH       DEFINED        4         --         --      957
BURGER KING HOLDINGS INC      EQUITY        121208201     1,514      61,633 SH       SOLE           1     61,633         --       --
BURLINGTON NORTHERN SANTA FE  EQUITY        12189T104    11,288     122,120 SH       SOLE           1    122,120         --       --
BURLINGTON NORTHN SANTA FE    EQUITY        12189T104       462       5,000 SH       SOLE           2      5,000         --       --
BURLINGTON NORTHN SANTA FE C  EQUITY        12189T104        11         114 SH       DEFINED        4         --         --      114
BURLINGTON NORTHN SANTA FE C  EQUITY        12189T104       116       1,251 SH       DEFINED        5         --         --    1,251
BWAY HOLDING CO               EQUITY        12429T104        80       6,788 SH       SOLE           1      6,788         --       --
C. R. BARD, INC.              EQUITY         67383109     5,218      55,000 SH       SOLE           1     55,000         --       --
C.H. ROBINSON WORLDWIDE INC   EQUITY        12541W209     3,843      75,632 SH       SOLE           1     75,632         --       --
CA INC                        EQUITY        12673P105     5,341     268,143 SH       SOLE           1    268,143         --       --
CABELAS INC                   EQUITY        126804301         2         200 SH       DEFINED        5         --         --      200
CABELA'S INC-CL A             EQUITY        126804301       432      35,773 SH       SOLE           1     35,773         --       --
CABLEVISION SYS CORP          EQUITY        12686C109         5         202 SH       DEFINED        5         --         --      202
CABLEVISION SYSTEMS CORP      EQUITY        12686C109       186       7,373 SH       SOLE           1      7,373         --       --
CABOT CORP.                   EQUITY        127055101     4,697     147,782 SH       SOLE           1    147,782         --       --
CABOT MICROELECTRONICS CORP   EQUITY        12709P103       685      21,337 SH       SOLE           1     21,337         --       --
CABOT OIL & GAS CORP          EQUITY        127097103        11         303 SH       DEFINED        5         --         --      303
CABOT OIL & GAS CORP          EQUITY        127097103        18         500 SH       DEFINED        4         --         --      500





                                                                                           
CABOT OIL & GAS CORP.,
   CLASS A                    EQUITY        127097103     2,579      71,366 SH       SOLE           1     71,366         --       --
CACHE INC                     EQUITY        127150308        70      10,230 SH       SOLE           1     10,230         --       --
CACI INTERNATIONAL            EQUITY        127190304     1,371      27,363 SH       SOLE           1     27,363         --       --
CADBURY PLC                   EQUITY        1.27E+106         3          84 SH       DEFINED        5         --         --       84
CADENCE DESIGN SYSTEM INC     EQUITY        127387108         2         275 SH       DEFINED        4         --         --      275
CADENCE DESIGN SYSTEMS, INC.  EQUITY        127387108     4,125     612,080 SH       SOLE           1    612,080         --       --
CADENCE PHARMACEUTICALS INC   EQUITY        12738T100       163      18,346 SH       SOLE           1     18,346         --       --
CADIZ INC                     EQUITY        127537207       207      10,854 SH       SOLE           1     10,854         --       --
CAE INC                       EQUITY        124765108       120      15,314 SH       OTHER          1         --     15,314       --
CAI INTERNATIONAL INC         EQUITY        12477X106        74       6,676 SH       SOLE           1      6,676         --       --
CAKTRONICS INC                EQUITY        234264109       497      29,822 SH       SOLE           1     29,822         --       --
CAL DIVE INTERNATIONAL INC    EQUITY        12802T101     4,682     441,678 SH       SOLE           1    441,678         --       --
CAL DIVE INTL INC DEL         EQUITY        12802T101        83       7,800 SH       DEFINED        5         --         --    7,800
CAL MAINE FOODS INC           EQUITY        128030202    17,736     646,364 SH       SOLE           2    646,364         --       --
CALAMOS ASSET MANAGEMENT-A    EQUITY        12811R104       329      18,340 SH       SOLE           1     18,340         --       --
CALAMOS CONV & HIGH INCOME F  EQUITY        12811P108        69       6,900 SH       DEFINED        4         --         --    6,900
CALAMOS CONV & HIGH INCOME F  EQUITY        12811P108       628      62,837 SH       DEFINED        5         --         --   62,837
CALAMOS CONV OPP AND INC FD   EQUITY        128117108        80       7,445 SH       DEFINED        4         --         --    7,445
CALAMOS CONV OPP AND INC FD   EQUITY        128117108       291      27,192 SH       DEFINED        5         --         --   27,192
CALAMOS STRATEGIC TOTL RETN   EQUITY        128125101        57       6,646 SH       DEFINED        4         --         --    6,646
CALAVO GROWERS INC            EQUITY        128246105       117       9,412 SH       SOLE           1      9,412         --       --
CALGON CARBON CORP            EQUITY        129603106         7         333 SH       DEFINED        5         --         --      333
CALGON CARBON CORP COM        EQUITY        129603106       360      17,700 SH       SOLE           3     17,700         --       --
CALGON CARBON CORP.           EQUITY        129603106     1,426      70,028 SH       SOLE           1     70,028         --       --
CALIFORNIA PIZZA KITCHEN INC  EQUITY        13054D109       246      19,108 SH       SOLE           1     19,108         --       --
CALIFORNIA PIZZA KITCHEN INC  EQUITY        13054D109         3         246 SH       DEFINED        4         --         --      246
CALIFORNIA WATER SERVICE
   GROUP                      EQUITY        130788102       687      17,847 SH       SOLE           1     17,847         --       --
CALIPER LIFE SCIENCES INC     EQUITY        130872104       121      43,368 SH       SOLE           1     43,368         --       --
CALLAWAY GOLF CO.             EQUITY        131193104     2,911     206,868 SH       SOLE           1    206,868         --       --
CALLIDUS SOFTWARE INC         EQUITY        13123E500       108      27,341 SH       SOLE           1     27,341         --       --
CALLON PETROLEUM CO.          EQUITY        13123X102       344      19,069 SH       SOLE           1     19,069         --       --
CAL-MAINE FOODS INC           EQUITY        128030202     1,004      36,407 SH       SOLE           1     36,407         --       --
CALPINE CORP/NEW              EQUITY        131347304     1,879     135,641 SH       SOLE           1    135,641         --       --
CAMBREX CORP.                 EQUITY        132011107       162      26,398 SH       SOLE           1     26,398         --       --
CAMDEN NATIONAL CORP          EQUITY        133034108       235       6,970 SH       SOLE           1      6,970         --       --
CAMECO CORP                   EQUITY        13321L108       160       7,358 SH       OTHER          1         --      7,358       --
CAMECO CORP                   EQUITY        13321L108        17         752 SH       DEFINED        4         --         --      752
CAMECO CORP                   EQUITY        13321L108        56       2,515 SH       DEFINED        5         --         --    2,515
CAMERON INTERNATIONAL CORP    EQUITY        13342B105     3,297      85,548 SH       SOLE           1     85,548         --       --
CAMERON INTERNATIONAL CORP    EQUITY        13342B105        58       1,500 SH       DEFINED        4         --         --    1,500





                                                                                           
CAMERON INTL CORP             EQUITY        13342B105     1,515      39,300 SH       SOLE           2     39,300         --       --
CAMPBELL SOUP CO              EQUITY        134429109         2          50 SH       DEFINED        5         --         --       50
CAMPBELL SOUP CO              EQUITY        134429109        31         800 SH       DEFINED        4         --         --      800
CAMPBELL SOUP CO              EQUITY        134429109       317       8,201 SH       SOLE           2      8,201         --       --
CAMPBELL SOUP CO COM          EQUITY        134429109     4,427     114,700 SH       SOLE           3     51,400               63300
CAMPBELL SOUP CO.             EQUITY        134429109     3,279      84,953 SH       SOLE           1     84,953         --       --
CANADIAN IMPERIAL BANK OF
   COMMERCE                   EQUITY        136069101     4,853      84,580 SH       OTHER          1         --     84,580       --
CANADIAN NAT RES LTD          EQUITY        136385101         2          24 SH       DEFINED        4         --         --       24
CANADIAN NAT RES LTD          EQUITY        136385101         7         100 SH       DEFINED        5         --         --      100
CANADIAN NATIONAL RAILWAY     EQUITY        136375102     2,774      58,080 SH       OTHER          1         --     58,080       --
CANADIAN NATL RY CO           EQUITY        136375102        13         265 SH       DEFINED        5         --         --      265
CANADIAN NATURAL RESORUCES    EQUITY        136385101    12,028     175,804 SH       OTHER          1         --    175,804       --
CANADIAN PAC RY LTD           EQUITY        13645T100         8         150 SH       DEFINED        4         --         --      150
CANADIAN PAC RY LTD           EQUITY        13645T100        11         200 SH       DEFINED        5         --         --      200
CANADIAN PACIFIC RAILWAY LTD  EQUITY        13645T100     4,349      81,026 SH       OTHER          1         --     81,026       --
CANADIAN SOLAR INC            EQUITY        136635109         3         160 SH       DEFINED        5         --         --      160
CANO PETROLEUM INC            EQUITY        137801106        99      42,926 SH       SOLE           1     42,926         --       --
CANTEL MEDICAL CORP           EQUITY        138098108       109      11,326 SH       SOLE           1     11,326         --       --
CAPELLA EDUCATION CO          EQUITY        139594105       555      12,943 SH       SOLE           1     12,943         --       --
CAPITAL CITY BANK GROUP, INC. EQUITY        139674105       331      10,689 SH       SOLE           1     10,689         --       --
CAPITAL ONE FINANCIAL CORP.   EQUITY        14040H105    23,818     467,016 SH       SOLE           1    467,016         --       --
CAPITAL ONE FINL CORP         EQUITY        14040H105       317       6,222 SH       DEFINED        5         --         --    6,222
CAPITAL SENIOR LIVING CORP    EQUITY        140475104       154      20,252 SH       SOLE           1     20,252         --       --
CAPITAL SOUTHWEST CORP        EQUITY        140501107       388       2,776 SH       SOLE           1      2,776         --       --
CAPITAL TRUST-CL A            EQUITY        14052H506       234      15,090 SH       SOLE           1     15,090         --       --
CAPITALSOURCE INC             EQUITY        14055X102        81       6,583 SH       SOLE           1      6,583         --       --
CAPITALSOURCE INC             EQUITY        14055X102     1,088      88,430 SH       DEFINED        5         --         --   88,430
CAPITOL BANCORP LTD           EQUITY        14056D105       255      13,060 SH       SOLE           1     13,060         --       --
CAPITOL BANCORP LTD           EQUITY        14056D105        22       1,125 SH       DEFINED        4         --         --    1,125
CAPITOL FED FINL              EQUITY        14057C106        25         574 SH       DEFINED        5         --         --      574
CAPITOL FEDERAL FINANCIAL     EQUITY        14057C106        29         638 SH       SOLE           1        638         --       --
CAPSTEAD MORTGAGE CORP.       EQUITY        14067E506       562      51,311 SH       SOLE           1     51,311         --       --
CAPSTEAD MTG CORP             EQUITY        14067E308        11         900 SH       DEFINED        5         --         --      900
CAPSTONE TURBINE COR          EQUITY        14067D102       171     132,533 SH       SOLE           1    132,533         --       --
CAPTARIS INC                  EQUITY        14071N104         6       1,200 SH       DEFINED        5         --         --    1,200
CARACO PHARM LABS INC         EQUITY        14075T107       124       9,915 SH       SOLE           1      9,915         --       --
CARBO CERAMICS INC            EQUITY        140781105       963      18,659 SH       SOLE           1     18,659         --       --
CARBO CERAMICS INC            EQUITY        140781105        15         300 SH       DEFINED        4         --         --      300
CARDIAC SCIENCE CORP          EQUITY        14141A108       183      17,650 SH       SOLE           1     17,650         --       --
CARDIAC SCIENCE CORP COM      EQUITY        14141A108     1,931     186,400 SH       SOLE           3    186,400         --       --





                                                                                           
CARDICA INC                   EQUITY        14141R101         6         700 SH       DEFINED        5         --         --      700
CARDINAL FINANCIAL CORP       EQUITY        14149F109       177      21,929 SH       SOLE           1     21,929         --       --
CARDINAL HEALTH INC           EQUITY        14149Y108    11,116     225,577 SH       SOLE           1    225,577         --       --
CARDINAL HEALTH INC           EQUITY        14149Y108         4          90 SH       DEFINED        4         --         --       90
CARDINAL HEALTH INC           EQUITY        14149Y108        94       1,907 SH       DEFINED        5         --         --    1,907
CARDINAL HEALTH INC           EQUITY        14149Y108     1,823      37,000 SH       SOLE           2     37,000         --       --
CARDIONET INC                 EQUITY        14159L103       102       4,083 SH       SOLE           1      4,083         --       --
CARDTRONICS INC               EQUITY        14161H108        86      10,914 SH       SOLE           1     10,914         --       --
CAREER EDUCATION CORP         EQUITY        141665109     2,978     182,116 SH       SOLE           1    182,116         --       --
CAREER EDUCATION CORP         EQUITY        141665109         2         100 SH       DEFINED        5         --         --      100
CAREER EDUCATION CORP         EQUITY        141665109         9         529 SH       DEFINED        4         --         --      529
CARLISLE COS INC              EQUITY        142339100         2          83 SH       DEFINED        4         --         --       83
CARLISLE COS INC              EQUITY        142339100        11         351 SH       DEFINED        5         --         --      351
CARLISLE COS INC.             EQUITY        142339100     4,204     140,276 SH       SOLE           1    140,276         --       --
CARMAX INC                    EQUITY        143130102     7,053     503,750 SH       SOLE           1    503,750         --       --
CARNIVAL CORP                 EQUITY        143658300     5,901     166,929 SH       SOLE           1    166,929         --       --
CARNIVAL CORP                 EQUITY        143658300     2,323      65,718 SH       SOLE           2     65,718         --       --
CARPENTER TECHNOLOGY CORP.    EQUITY        144285103     2,618     102,063 SH       SOLE           1    102,063         --       --
CARRIZO OIL & CO INC          EQUITY        144577103         4         100 SH       DEFINED        5         --         --      100
CARRIZO OIL & GAS INC         EQUITY        144577103     1,640      45,141 SH       SOLE           1     45,141         --       --
CARRIZO OIL & INC COM         EQUITY        144577103       399      11,000 SH       SOLE           3     11,000         --       --
CARTER INC                    EQUITY        146229109     2,178     110,369 SH       SOLE           1    110,369         --       --
CARTER INC                    EQUITY        146229109        12         630 SH       DEFINED        4         --         --      630
CASCADE BANCORP               EQUITY        147154108       181      20,169 SH       SOLE           1     20,169         --       --
CASCADE CORP                  EQUITY        147195101       362       8,261 SH       SOLE           1      8,261         --       --
CASCADE FINL CORP             EQUITY        147272108         9       1,250 SH       DEFINED        5         --         --    1,250
CASELLA WASTE SYSTEMS, INC.   EQUITY        147448104       240      20,431 SH       SOLE           1     20,431         --       --
CASEYS GENERAL STORES, INC.   EQUITY        147528103     1,389      46,085 SH       SOLE           1     46,085         --       --
CASH AMERICA INTERNATIONAL    EQUITY        14754D100       954      26,472 SH       SOLE           1     26,472         --       --
CASS INFORMATION SYSTEMS INC  EQUITY        14808P109       220       6,144 SH       SOLE           1      6,144         --       --
CASTLE A. M.  & CO.           EQUITY        148411101       260      15,030 SH       SOLE           1     15,030         --       --
CASUAL MALE RETAIL GROUP INC  EQUITY        148711104       132      33,820 SH       SOLE           1     33,820         --       --
CATERPILLAR INC DEL           EQUITY        149123101       166       2,777 SH       DEFINED        5         --         --    2,777
CATERPILLAR INC DEL           EQUITY        149123101       474       7,950 SH       DEFINED        4         --         --    7,950
CATERPILLAR, INC.             EQUITY        149123101    37,928     636,382 SH       SOLE           1    636,382         --       --
CATHAY GENERAL BANCORP INC.   EQUITY        149150104     3,833     157,170 SH       SOLE           1    157,170         --       --
CATO CORP. CLASS A            EQUITY        149205106       442      25,192 SH       SOLE           1     25,192         --       --
CAVCO INDUSTRIES INC          EQUITY        149568107       214       5,910 SH       SOLE           1      5,910         --       --
CAVIUM NETWORKS INC           EQUITY        14965A101       389      27,556 SH       SOLE           1     27,556         --       --
CAVIUM NETWORKS INC           EQUITY        14965A101         1         100 SH       DEFINED        5         --         --      100





                                                                                           
CAVIUM NETWORKS INC COM       EQUITY        14965A101       639      45,400 SH       SOLE           3     45,400         --       --
CB RICHARD ELLIS GROUP INC    EQUITY        12497T101         4         326 SH       DEFINED        5         --         --      326
CB RICHARD ELLIS GROUP INC-A  EQUITY        12497T101       924      69,108 SH       SOLE           1     69,108         --       --
CBEYOND INC                   EQUITY        149847105       314      21,817 SH       SOLE           1     21,817         --       --
CBIZ INC                      EQUITY        124805102       343      40,612 SH       SOLE           1     40,612         --       --
CBL & ASSOCIATES PROPERTIES   EQUITY        124830100        45       2,245 SH       SOLE           1      2,245         --       --
CBRL GROUP INC                EQUITY        12489V106         3         100 SH       DEFINED        5         --         --      100
CBRL GROUP, INC.              EQUITY        12489V106       530      20,165 SH       SOLE           1     20,165         --       --
CBS CORP CLASS B              EQUITY        124857202     2,381     163,300 SH       SOLE           2    163,300         --       --
CBS CORP NEW                  EQUITY        124857202         2         104 SH       DEFINED        5         --         --      104
CBS CORP NEW                  EQUITY        124857202         2         108 SH       DEFINED        4         --         --      108
CBS CORP-CL B                 EQUITY        124857202     7,156     490,827 SH       SOLE           1    490,827         --       --
CDI CORP.                     EQUITY        125071100       270      12,091 SH       SOLE           1     12,091         --       --
CEC ENTERTAINMENT, INC.       EQUITY        125137109       608      18,314 SH       SOLE           1     18,314         --       --
CEDAR FAIR L P                EQUITY        150185106        69       3,333 SH       DEFINED        4         --         --    3,333
CELADON GROUP INC             EQUITY        150838100       229      19,957 SH       SOLE           1     19,957         --       --
CELADON GROUP INC COM         EQUITY        150838100     1,596     139,114 SH       SOLE           3    139,114         --       --
CELANESE CORP DEL             EQUITY        150870103       209       7,501 SH       DEFINED        5         --         --    7,501
CELANESE CORP-SERIES A        EQUITY        150870103        93       3,337 SH       SOLE           1      3,337         --       --
CELERA CORP                   EQUITY        1.51E+110     1,121      72,565 SH       SOLE           1     72,565         --       --
CELESTICA INC                 EQUITY        15101Q108       410      65,602 SH       OTHER          1         --     65,602       --
CELGENE CORP                  EQUITY        151020104    19,402     306,660 SH       SOLE           1    306,660         --       --
CELGENE CORP                  EQUITY        151020104        21         336 SH       DEFINED        4         --         --      336
CELGENE CORP                  EQUITY        151020104       190       2,997 SH       DEFINED        5         --         --    2,997
CELGENE CORP                  EQUITY        151020104     8,328     131,600 SH       SOLE           2    131,600         --       --
CELGENE CORP COM              EQUITY        151020104     1,380      21,800 SH       SOLE           3     21,800         --       --
CELL GENESYS INC              EQUITY        150921104        30      50,000 SH       DEFINED        5         --         --   50,000
CELL GENESYS, INC.            EQUITY        150921104        46      77,933 SH       SOLE           1     77,933         --       --
CELLCOM ISRAEL LTD            EQUITY        M2196U109        24         792 SH       DEFINED        4         --         --      792
CEMEX SAB DE CV               EQUITY        151290889         7         423 SH       DEFINED        4         --         --      423
CEMEX SAB DE CV               EQUITY        151290889        48       2,796 SH       DEFINED        5         --         --    2,796
CEMIG CIA ENERG MG SPON ADR   EQUITY        204409601     4,555     235,546 SH       SOLE           1    235,546         --       --
CENTENE CORP DEL              EQUITY        15135B101       809      39,464 SH       SOLE           1     39,464         --       --
CENTENNIAL CELLULAR CORP.     EQUITY        15133V208       902     145,242 SH       SOLE           1    145,242         --       --
CENTERPLATE INC               EQUITY        1.52E+208        35      11,350 SH       DEFINED        5         --         --   11,350
CENTERPOINT ENERGY INC        EQUITY        15189T107     2,010     137,962 SH       SOLE           1    137,962         --       --
CENTERPOINT ENERGY INC        EQUITY        15189T107         9         600 SH       DEFINED        4         --         --      600
CENTERPOINT ENERGY INC        EQUITY        15189T107        35       2,406 SH       DEFINED        5         --         --    2,406
CENTERSTATE BANKS OF FLORIDA
   INC                        EQUITY        15201P109       150       8,381 SH       SOLE           1      8,381         --       --
CENTEX CORP                   EQUITY        152312104         2         100 SH       DEFINED        5         --         --      100





                                                                                           
CENTEX CORP.                  EQUITY        152312104     3,296     203,461 SH       SOLE           1    203,461         --       --
CENTRAL EURO DISTRIBUTION CP  EQUITY        153435102        38         829 SH       SOLE           1        829         --       --
CENTRAL EUROPE AND RUSSIA FD  EQUITY        153436100        12         400 SH       DEFINED        4         --         --      400
CENTRAL EUROPEAN DISTR COR    EQUITY        153435102     2,334      51,400 SH       SOLE           2     51,400         --       --
CENTRAL EUROPEAN MEDIA ENTRP  EQUITY        G20045202         3          50 SH       DEFINED        5         --         --       50
CENTRAL FD CDA LTD            EQUITY        153501101         3         262 SH       DEFINED        4         --         --      262
CENTRAL FD CDA LTD            EQUITY        153501101        65       6,000 SH       DEFINED        5         --         --    6,000
CENTRAL GARDEN AND PET CO     EQUITY        153527205       348      58,425 SH       SOLE           1     58,425         --       --
CENTRAL PACIFIC FINANCIAL CO  EQUITY        154760102       440      26,194 SH       SOLE           1     26,194         --       --
CENTRAL SECS CORP             EQUITY        155123102         9         400 SH       DEFINED        5         --         --      400
CENTRAL VT PUB SVC CORP       EQUITY        155771108        47       2,000 SH       DEFINED        5         --         --    2,000
CENTRAL VT PUB SVC CORP COM   EQUITY        155771108       220       9,377 SH       SOLE           1      9,377         --       --
CENTURY ALUM CO               EQUITY        156431108        46       1,647 SH       DEFINED        5         --         --    1,647
CENTURY ALUMINUM CO.          EQUITY        156431108        75       2,705 SH       SOLE           1      2,705         --       --
CENTURYTEL INC                EQUITY        156700106         5         149 SH       DEFINED        4         --         --      149
CENTURYTEL, INC.              EQUITY        156700106     2,036      55,562 SH       SOLE           1     55,562         --       --
CENVEO INC                    EQUITY        15670S105       336      43,734 SH       SOLE           1     43,734         --       --
CEPHALON INC                  EQUITY        156708109    12,319     159,010 SH       SOLE           1    159,010         --       --
CEPHALON INC                  EQUITY        156708109        15         200 SH       DEFINED        5         --         --      200
CEPHALON INC                  EQUITY        156708109        65         834 SH       DEFINED        4         --         --      834
CEPHALON INC COM              EQUITY        156708109     8,400     108,400 SH       SOLE           3     44,200               64200
CEPHEID                       EQUITY        15670R107       717      51,744 SH       SOLE           1     51,744         --       --
CERADYNE INC                  EQUITY        156710105       877      23,943 SH       SOLE           1     23,943         --       --
CERADYNE INC                  EQUITY        156710105        11         300 SH       DEFINED        5         --         --      300
CERAGON NETWORKS LTD ORD (F)  EQUITY        M22013102     2,059     278,594 SH       SOLE           3    278,594         --       --
CERNER CORP                   EQUITY        156782104     6,924     155,276 SH       SOLE           1    155,276         --       --
CERNER CORP                   EQUITY        156782104        13         300 SH       DEFINED        5         --         --      300
CEVA INC                      EQUITY        157210105       152      18,273 SH       SOLE           1     18,273         --       --
CF INDS HLDGS INC             EQUITY        125269100        35         384 SH       DEFINED        4         --         --      384
CF INDUSTRIES HOLDINGS INC    EQUITY        125269100     4,429      48,431 SH       SOLE           1     48,431         --       --
CGG VERITAS                   EQUITY        204386106        11         344 SH       DEFINED        4         --         --      344
CGI GROUP INC                 EQUITY        39945C109     1,652     188,614 SH       OTHER          1         --    188,614       --
CH ENERGY GROUP INC.          EQUITY        12541M102       625      14,354 SH       SOLE           1     14,354         --       --
CHAMPION ENTERPRISES INC      EQUITY        158496109     1,917     345,400 SH       SOLE           2    345,400         --       --
CHAMPION ENTERPRISES, INC.    EQUITY        158496109       391      70,499 SH       SOLE           1     70,499         --       --
CHARLES RIVER LABORATORIES    EQUITY        159864107     8,645     155,689 SH       SOLE           1    155,689         --       --
CHARLES SCHWAB CORP.          EQUITY        808513105    23,919     920,303 SH       SOLE           1    920,303         --       --
CHARLOTTE RUSSE HOLDING INC   EQUITY        161048103       194      18,926 SH       SOLE           1     18,926         --       --
CHARMING SHOPPES, INC.        EQUITY        161133103     1,760     359,973 SH       SOLE           1    359,973         --       --
CHART INDUSTRIES INC          EQUITY        16115Q308       732      25,743 SH       SOLE           1     25,743         --       --





                                                                                           
CHARTER COMMUNICATIONS INC
   CLASS A                    EQUITY        16117M107       271     371,466 SH       SOLE           1    371,466         --       --
CHARTWELL DIVD & INCOME FD I  EQUITY        16139P104         7       1,500 SH       DEFINED        5         --         --    1,500
CHATTEM INC                   EQUITY        162456107     1,222      15,614 SH       SOLE           1     15,614         --       --
CHECK POINT SOFTWARE          EQUITY        M22465104     3,040     133,700 SH       SOLE           2    133,700         --       --
CHECKPOINT SYSTEMS, INC.      EQUITY        162825103       679      36,065 SH       SOLE           1     36,065         --       --
CHEESECAKE FACTORY            EQUITY        163072101     3,030     207,557 SH       SOLE           1    207,557         --       --
CHEESECAKE FACTORY INC        EQUITY        163072101         1         100 SH       DEFINED        5         --         --      100
CHEMED CORP NEW               EQUITY        16359R103     5,749     140,026 SH       SOLE           2    140,026         --       --
CHEMED CORP.                  EQUITY        16359R103       886      21,572 SH       SOLE           1     21,572         --       --
CHEMICAL FINANCIAL CORP.      EQUITY        163731102       686      21,685 SH       SOLE           1     21,685         --       --
CHEMTURA CORP                 EQUITY        163893100     2,537     556,435 SH       SOLE           1    556,435         --       --
CHENIERE ENERGY INC           EQUITY        16411R208        99      44,061 SH       SOLE           1     44,061         --       --
CHENIERE ENERGY PARTNERS LP   EQUITY        16411Q101         3         400 SH       DEFINED        5         --         --      400
CHEROKEE INC DEL NEW          EQUITY        16444H102       150       6,836 SH       SOLE           1      6,836         --       --
CHESAPEAKE ENERGY CORP        EQUITY        165167107       108       3,002 SH       DEFINED        4         --         --    3,002
CHESAPEAKE ENERGY CORP        EQUITY        165167107       236       6,588 SH       DEFINED        5         --         --    6,588
CHESAPEAKE ENERGY CORP.       EQUITY        165167107     8,344     232,687 SH       SOLE           1    232,687         --       --
CHESAPEAKE UTILITIES CORP     EQUITY        165303108       205       6,181 SH       SOLE           1      6,181         --       --
CHESAPEAKE UTILS CORP         EQUITY        165303108        15         450 SH       DEFINED        4         --         --      450
CHEVRON CORP                  EQUITY        166764100    21,911     265,656 SH       SOLE           2    265,656         --       --
CHEVRON CORP NEW              EQUITY        166764100       786       9,529 SH       DEFINED        4         --         --    9,529
CHEVRON CORP NEW              EQUITY        166764100     1,168      14,163 SH       DEFINED        5         --         --   14,163
CHEVRON CORPORATION           EQUITY        166764100   186,001   2,258,570 SH       SOLE           1  2,258,570         --       --
CHICAGO BRIDGE & IRON CO N V  EQUITY        167250109         8         400 SH       DEFINED        4         --         --      400
CHICAGO BRIDGE & IRON CO NV   EQUITY        167250109       673      35,000 SH       SOLE           1     35,000         --       --
CHICOS FAS INC                EQUITY        168615102         4         800 SH       DEFINED        4         --         --      800
CHICOS FAS INC                EQUITY        168615102       130      23,749 SH       DEFINED        5         --         --   23,749
CHICOS'S FAS INC.             EQUITY        168615102     3,063     560,005 SH       SOLE           1    560,005         --       --
CHILDREN'S PLACE, INC.        EQUITY        168905107       708      21,234 SH       SOLE           1     21,234         --       --
CHIMERA INVESTMENT CORP       EQUITY        16934Q109       190      30,615 SH       SOLE           1     30,615         --       --
CHINA ARCH ENGR INC COM (F)   EQUITY        16937S102     2,770     390,700 SH       SOLE           3    390,700         --       --
CHINA ARCHITECTURAL
   ENGINEERING INC            EQUITY        16937S102     1,221     172,219 SH       SOLE           1    172,219         --       --
CHINA BAK BATTERY INC         EQUITY        16936Y100       101      27,439 SH       SOLE           1     27,439         --       --
CHINA FIN ONLINE CO LTD       EQUITY        169379104         9         800 SH       DEFINED        5         --         --      800
CHINA FIRE & SECURITY GROUP
   INC                        EQUITY        16938R103       133      12,680 SH       SOLE           1     12,680         --       --
CHINA INFORMATION SECURITY
   TECHNOLOGY INC             EQUITY        16944F101        98      20,798 SH       SOLE           1     20,798         --       --
CHINA LIFE INS CO LTD         EQUITY        16939P106         6         100 SH       DEFINED        5         --         --      100
CHINA MED TECHNOLOGIES INC    EQUITY        169483104         3          80 SH       DEFINED        5         --         --       80
CHINA MOBILE LIMITED          EQUITY        16941M109        45         890 SH       DEFINED        5         --         --      890
CHINA MOBILE LTD              EQUITY        16941M109    79,136   1,598,491 SH       SOLE           1  1,598,491         --       --





                                                                                           
CHINA NATURAL RESOURCES INC   EQUITY        G2110U109         7         500 SH       DEFINED        5         --         --      500
CHINA PETE & CHEM CORP        EQUITY        16941R108        17         217 SH       DEFINED        4         --         --      217
CHINA PRECISION STEEL INC     EQUITY        16941J106        52      15,549 SH       SOLE           1     15,549         --       --
CHINA PRECISION STEEL INC     EQUITY        16941J106         5       1,500 SH       DEFINED        5         --         --    1,500
CHINA PRECISION STEEL INC     EQUITY        16941J106         8       2,508 SH       DEFINED        4         --         --    2,508
CHINA SEC & SURVE TECH INC    EQUITY        16942J105        69       5,003 SH       DEFINED        5         --         --    5,003
CHINA SECURITY & SURVEILLANCE
   TECHNOLOGY INC             EQUITY        16942J105       356      25,679 SH       SOLE           1     25,679         --       --
CHINA SKY ONE MEDICAL INC     EQUITY        16941P102        83       6,740 SH       SOLE           1      6,740         --       --
CHINDEX INTERNATIONAL INC     EQUITY        169467107       109      10,023 SH       SOLE           1     10,023         --       --
CHIPOTLE MEXICAN GRILL INC    EQUITY        169656105     4,188      75,471 SH       SOLE           1     75,471         --       --
CHIPOTLE MEXICAN GRILL INC    EQUITY        169656105        20         360 SH       DEFINED        5         --         --      360
CHIQUITA BRANDS INTL          EQUITY        170032809       623      39,390 SH       SOLE           1     39,390         --       --
CHIQUITA BRANDS INTL INC      EQUITY        170032809     4,149     262,400 SH       SOLE           2    262,400         --       --
CHOICE HOTELS INTL INC.       EQUITY        169905106        24         889 SH       SOLE           1        889         --       --
CHORDIANT SOFTWARE INC        EQUITY        170404305       140      27,270 SH       SOLE           1     27,270         --       --
CHRISTOPHER & BANKS
   CORPORATIO                 EQUITY        171046105       245      32,004 SH       SOLE           1     32,004         --       --
CHUBB CORP                    EQUITY        171232101         9         156 SH       DEFINED        5         --         --      156
CHUBB CORP                    EQUITY        171232101        13         244 SH       DEFINED        4         --         --      244
CHUBB CORP                    EQUITY        171232101     3,256      59,300 SH       SOLE           2     59,300         --       --
CHUBB CORP.                   EQUITY        171232101    39,041     712,189 SH       SOLE           1    712,189         --       --
CHUNGHWA TELECOM CO LTD       EQUITY        17133Q304        52       2,217 SH       DEFINED        4         --         --    2,217
CHURCH & DWIGHT CO., INC.     EQUITY        171340102     9,466     152,453 SH       SOLE           1    152,453         --       --
CHURCHILL DOWNS, INC.         EQUITY        171484108       425       8,725 SH       SOLE           1      8,725         --       --
CIA BRASILEIRA DE
   DISTRIBUICAO GRUPO PAO DE
   ACUCAR                     EQUITY        20440T201    27,390     805,450 SH       SOLE           1    805,450         --       --
CIA SIDERURGICA NACIONAL SA   EQUITY        20440W105    11,322     545,968 SH       SOLE           1    545,968         --       --
CIA VALE DO RIO DOCE-- SP ADR EQUITY        204412100     5,264     314,372 SH       SOLE           1    314,372         --       --
CIA VALE DO RIO DOCE-ADR      EQUITY        204412209    53,548   2,877,171 SH       SOLE           1  2,877,171         --       --
CIBER, INC.                   EQUITY        17163B102       340      48,664 SH       SOLE           1     48,664         --       --
CIENA CORP                    EQUITY        171779309       364      36,249 SH       SOLE           1     36,249         --       --
CIENA CORP                    EQUITY        171779309        19       1,874 SH       DEFINED        5         --         --    1,874
CIGNA CORP                    EQUITY        125509109         3          83 SH       DEFINED        4         --         --       83
CIGNA CORP.                   EQUITY        125509109    10,409     306,333 SH       SOLE           1    306,333         --       --
CIMAREX ENERGY CO             EQUITY        171798101     9,345     191,063 SH       SOLE           1    191,063         --       --
CIMAREX ENERGY CO             EQUITY        171798101        10         207 SH       DEFINED        4         --         --      207
CINCINNATI BELL INC           EQUITY        171871106     2,326     752,646 SH       SOLE           1    752,646         --       --
CINCINNATI FINANCIAL CORP.    EQUITY        172062101     5,210     175,130 SH       SOLE           1    175,130         --       --
CINCINNATI FINL CORP          EQUITY        172062101         2          60 SH       DEFINED        5         --         --       60
CINEMARK HOLDINGS INC         EQUITY        17243V102       368      27,038 SH       SOLE           1     27,038         --       --
CINTAS CORP.                  EQUITY        172908105     1,839      64,115 SH       SOLE           1     64,115         --       --
CIRCOR INTERNATIONAL, INC.    EQUITY        17273K109     1,125      25,895 SH       SOLE           1     25,895         --       --





                                                                                           
CIRCUIT CITY STORES, INC.     EQUITY        172737108       117     153,797 SH       SOLE           1    153,797         --       --
CIRRUS LOGIC, INC.            EQUITY        172755100       321      58,899 SH       SOLE           1     58,899         --       --
CISCO SYS INC                 EQUITY        17275R102       485      21,510 SH       DEFINED        5         --         --   21,510
CISCO SYS INC                 EQUITY        17275R102       695      30,824 SH       DEFINED        4         --         --   30,824
CISCO SYS INC                 EQUITY        17275R102    30,527   1,353,152 SH       SOLE           2  1,353,152         --       --
CISCO SYSTEMS, INC.           EQUITY        17275R102   143,085   6,348,964 SH       SOLE           1  6,348,964         --       --
CIT GROUP INC                 EQUITY        125581108       826     118,713 SH       SOLE           1    118,713         --       --
CIT GROUP INC                 EQUITY        125581108         7       1,000 SH       DEFINED        4         --         --    1,000
CITADEL BROADCASTING CORP     EQUITY        17285T106       128     164,452 SH       SOLE           1    164,452         --       --
CITI TRENDS INC               EQUITY        17306X102       211      12,951 SH       SOLE           1     12,951         --       --
CITIGROUP INC                 EQUITY        172967101    78,624   3,833,459 SH       SOLE           1  3,833,459         --       --
CITIGROUP INC                 EQUITY        172967101       140       6,828 SH       DEFINED        4         --         --    6,828
CITIGROUP INC                 EQUITY        172967101       369      18,010 SH       DEFINED        5         --         --   18,010
CITIGROUP INC                 EQUITY        172967101    15,268     744,400 SH       SOLE           2    744,400         --       --
CITIZENS & NORTHERN CORP      EQUITY        172922106       174       8,124 SH       SOLE           1      8,124         --       --
CITIZENS INC                  EQUITY        174740100       279      33,901 SH       SOLE           1     33,901         --       --
CITIZENS REPUBLIC BANCORP INC EQUITY        174420109       272      87,041 SH       SOLE           1     87,041         --       --
CITRIX SYS INC                EQUITY        177376100        10         400 SH       DEFINED        4         --         --      400
CITRIX SYS INC                EQUITY        177376100        15         600 SH       SOLE           2        600         --       --
CITRIX SYSTEMS, INC.          EQUITY        177376100     2,099      83,246 SH       SOLE           1     83,246         --       --
CITY HOLDING CO.              EQUITY        177835105       619      14,633 SH       SOLE           1     14,633         --       --
CITY NATIONAL CORP.           EQUITY        178566105     5,020      92,456 SH       SOLE           1     92,456         --       --
CITYBANK                      EQUITY        17770A109       183      12,395 SH       SOLE           1     12,395         --       --
CKE RESTAURANTS INC           EQUITY        1.26E+109       505      47,639 SH       SOLE           1     47,639         --       --
CKX INC                       EQUITY        12562M106       292      47,754 SH       SOLE           1     47,754         --       --
CLARCOR INC                   EQUITY        179895107       223       5,881 SH       DEFINED        4         --         --    5,881
CLARCOR, INC.                 EQUITY        179895107     1,741      45,867 SH       SOLE           1     45,867         --       --
CLAYMORE ETF TRUST 2          EQUITY        18383Q507         2         120 SH       DEFINED        5         --         --      120
CLAYMORE ETF TRUST 2          EQUITY        18383Q507         7         350 SH       DEFINED        4         --         --      350
CLAYMORE ETF TRUST 2          EQUITY        18383Q820       122       6,950 SH       DEFINED        5         --         --    6,950
CLAYMORE EXCHANGE TRADED FD   EQUITY        18383M621        15         835 SH       DEFINED        4         --         --      835
CLAYMORE EXCHANGE TRADED FD   EQUITY        18383M100        41       1,189 SH       DEFINED        4         --         --    1,189
CLAYMORE EXCHANGE TRADED FD   EQUITY        18383M100        52       1,492 SH       DEFINED        5         --         --    1,492
CLAYTON WILLIAMS ENERGY, INC. EQUITY        969490101       342       4,912 SH       SOLE           1      4,912         --       --
CLEAN ENERGY FUELS CORP       EQUITY        184499101       280      19,780 SH       SOLE           1     19,780         --       --
CLEAN ENERGY FUELS CORP       EQUITY        184499101         9         620 SH       DEFINED        5         --         --      620
CLEAN HARBORS INC             EQUITY        184496107     1,214      17,969 SH       SOLE           1     17,969         --       --
CLEAR CHANNEL OUTDOOR
   HOLDINGS INC               EQUITY        18451C109        13         946 SH       SOLE           1        946         --       --
CLEARWIRE CORP                EQUITY        185385309        17       1,464 SH       SOLE           1      1,464         --       --
CLEARWIRE CORP                EQUITY        185385309         1         100 SH       DEFINED        4         --         --      100





                                                                                           
CLEARWIRE CORP                EQUITY        185385309         2         200 SH       DEFINED        5         --         --      200
CLECO CORP                    EQUITY        12561W105     1,381      54,703 SH       SOLE           1     54,703         --       --
CLECO CORP NEW                EQUITY        12561W105        10         400 SH       DEFINED        5         --         --      400
CLECO CORP NEW                EQUITY        12561W105        76       3,000 SH       DEFINED        4         --         --    3,000
CLEVELAND CLIFFS INC          EQUITY        185896107        10         182 SH       DEFINED        4         --         --      182
CLEVELAND CLIFFS INC          EQUITY        185896107        23         434 SH       DEFINED        5         --         --      434
CLEVELAND-CLIFFS, INC.        EQUITY        185896107    12,291     232,172 SH       SOLE           1    232,172         --       --
CLIFTON SAVINGS BANCORP INC   EQUITY        18712Q103       111       9,516 SH       SOLE           1      9,516         --       --
CLINICAL DATA INC             EQUITY        18725U109       152       9,408 SH       SOLE           1      9,408         --       --
CLOROX CO                     EQUITY        189054109     2,451      39,100 SH       SOLE           2     39,100         --       --
CLOROX CO DEL                 EQUITY        189054109        17         276 SH       DEFINED        5         --         --      276
CLOROX CO DEL                 EQUITY        189054109        55         878 SH       DEFINED        4         --         --      878
CLOROX CO.                    EQUITY        189054109     4,975      79,359 SH       SOLE           1     79,359         --       --
CME GROUP INC                 EQUITY        12572Q105    10,727      27,800 SH       SOLE           1     27,800         --       --
CME GROUP INC                 EQUITY        12572Q105         1           3 SH       DEFINED        4         --         --        3
CME GROUP INC                 EQUITY        12572Q105        18          48 SH       DEFINED        5         --         --       48
CME GROUP INC                 EQUITY        12572Q105    11,898      32,025 SH       SOLE           2     32,025         --       --
CMS ENERGY CORP               EQUITY        125896100         8         606 SH       DEFINED        4         --         --      606
CMS ENERGY CORP.              EQUITY        125896100     1,672     134,066 SH       SOLE           1    134,066         --       --
CNA FINANCIAL CORP            EQUITY        126117100       501      19,080 SH       SOLE           1     19,080         --       --
CNA SURETY CORP.              EQUITY        12612L108       254      15,182 SH       SOLE           1     15,182         --       --
CNOOC LTD                     EQUITY        126132109    25,082     220,050 SH       SOLE           1    220,050         --       --
CNOOC LTD                     EQUITY        126132109         3          25 SH       DEFINED        5         --         --       25
CNX GAS CORP                  EQUITY        12618H309        13         562 SH       SOLE           1        562         --       --
CNX GAS CORP                  EQUITY        12618H309         7         300 SH       DEFINED        5         --         --      300
COACH INC                     EQUITY        189754104     5,749     229,581 SH       SOLE           1    229,581         --       --
COACH INC                     EQUITY        189754104        37       1,484 SH       DEFINED        4         --         --    1,484
COACH INC                     EQUITY        189754104        68       2,727 SH       DEFINED        5         --         --    2,727
COACH INC                     EQUITY        189754104       166       6,611 SH       SOLE           2      6,611         --       --
COBIZ FINANCIAL INC           EQUITY        190897108       205      17,107 SH       SOLE           1     17,107         --       --
COCA COLA CO                  EQUITY        191216100       150       2,835 SH       DEFINED        4         --         --    2,835
COCA COLA CO                  EQUITY        191216100       534      10,094 SH       DEFINED        5         --         --   10,094
COCA COLA CO                  EQUITY        191216100     2,584      48,872 SH       SOLE           2     48,872         --       --
COCA COLA ENTERPRISES, INC.   EQUITY        191219104     2,206     131,567 SH       SOLE           1    131,567         --       --
COCA COLA FEMSA S A B DE C V  EQUITY        191241108       145       2,882 SH       DEFINED        4         --         --    2,882
COCA-COLA BOTTLING CO.        EQUITY        191098102       162       3,701 SH       SOLE           1      3,701         --       --
COCA-COLA CO.                 EQUITY        191216100    80,980   1,531,398 SH       SOLE           1  1,531,398         --       --
COEUR D ALENE MINES CORP IDA  EQUITY        192108108         4       2,800 SH       DEFINED        5         --         --    2,800
COEUR D ALENE MINES CORP IDA  EQUITY        192108108         5       3,000 SH       DEFINED        4         --         --    3,000
COEUR D'ALENE MINES CORP      EQUITY        192108108       766     500,555 SH       SOLE           1    500,555         --       --





                                                                                           
COGENT COMMUNICATIONS GROUP   EQUITY        19239V302       335      43,277 SH       SOLE           1     43,277         --       --
COGENT INC                    EQUITY        19239Y108       381      37,407 SH       SOLE           1     37,407         --       --
COGNEX CORP.                  EQUITY        192422103       769      38,085 SH       SOLE           1     38,085         --       --
COGNIZANT TECH SOLUTION       EQUITY        192446102    28,544   1,250,744 SH       SOLE           1  1,250,744         --       --
COGNIZANT TECHNOLOGY SOLUT    EQUITY        192446102     1,210      53,000 SH       SOLE           2     53,000         --       --
COGNIZANT TECHNOLOGY SOLUTIO  EQUITY        192446102        45       1,950 SH       DEFINED        5         --         --    1,950
COGO GROUP INC                EQUITY        192448108       122      23,331 SH       SOLE           1     23,331         --       --
COHEN & STEERS ADV INC RLTY   EQUITY        19247W102        71       6,130 SH       DEFINED        4         --         --    6,130
COHEN & STEERS CLOSED END OP  EQUITY        19248P106         4         400 SH       DEFINED        4         --         --      400
COHEN & STEERS DIV MJRS FDIN  EQUITY        19248G106         1         100 SH       DEFINED        5         --         --      100
COHEN & STEERS INC            EQUITY        19247A100       433      15,276 SH       SOLE           1     15,276         --       --
COHEN & STEERS PREM INC RLTY  EQUITY        19247V104        21       1,850 SH       DEFINED        4         --         --    1,850
COHEN & STEERS QUALITY RLTY   EQUITY        19247L106        11         900 SH       DEFINED        5         --         --      900
COHEN & STEERS REIT & PFD IN  EQUITY        19247X100         2         150 SH       DEFINED        4         --         --      150
COHEN & STEERS REIT & PFD IN  EQUITY        19247X100         5         400 SH       DEFINED        5         --         --      400
COHEN & STEERS REIT & UTIL I  EQUITY        19247Y108        20       1,588 SH       DEFINED        5         --         --    1,588
COHEN & STEERS SELECT UTIL F  EQUITY        19248A109         8         500 SH       DEFINED        5         --         --      500
COHEN & STEERS TOTAL RETURN   EQUITY        19247R103         6         500 SH       DEFINED        4         --         --      500
COHEN & STEERS TOTAL RETURN   EQUITY        19247R103         9         732 SH       DEFINED        5         --         --      732
COHEN & STEERS WRLDWD RLT IN  EQUITY        19248J100        20       2,250 SH       DEFINED        4         --         --    2,250
COHERENT, INC.                EQUITY        192479103       758      21,480 SH       SOLE           1     21,480         --       --
COHU, INC.                    EQUITY        192576106       331      21,019 SH       SOLE           1     21,019         --       --
COINSTAR INC                  EQUITY        19259P300         2          50 SH       DEFINED        5         --         --       50
COINSTAR, INC                 EQUITY        19259P300       812      25,389 SH       SOLE           1     25,389         --       --
COLDWATER CREEK INC           EQUITY        193068103         7       1,195 SH       DEFINED        5         --         --    1,195
COLDWATER CREEK, INC.         EQUITY        193068103       919     158,453 SH       SOLE           1    158,453         --       --
COLE, K. PRODUCTIONS, INC.
   CLASS A                    EQUITY        193294105       120       8,172 SH       SOLE           1      8,172         --       --
COLEMAN CABLE INC             EQUITY        193459302        74       7,191 SH       SOLE           1      7,191         --       --
COLEMAN CABLE INC             EQUITY        193459302         1         100 SH       DEFINED        4         --         --      100
COLFAX CORP                   EQUITY        194014106       328      19,623 SH       SOLE           1     19,623         --       --
COLGATE PALMOLIVE CO          EQUITY        194162103        29         391 SH       DEFINED        4         --         --      391
COLGATE PALMOLIVE CO          EQUITY        194162103       349       4,638 SH       DEFINED        5         --         --    4,638
COLGATE PALMOLIVE CO          EQUITY        194162103       933      12,378 SH       SOLE           2     12,378         --       --
COLGATE-PALMOLIVE CO.         EQUITY        194162103    32,642     433,211 SH       SOLE           1    433,211         --       --
COLLECTIVE BRANDS INC         EQUITY        19421W100     3,712     202,730 SH       SOLE           1    202,730         --       --
COLONIAL BANCGROUP INC        EQUITY        195493309        15       1,954 SH       DEFINED        4         --         --    1,954
COLONIAL BANCGROUP, INC.      EQUITY        195493309     5,038     640,990 SH       SOLE           1    640,990         --       --
COLONIAL PPTYS TR             EQUITY        195872106        67       3,569 SH       DEFINED        4         --         --    3,569
COLONIAL PROPERTIES TRUST     EQUITY        195872106     1,144      61,193 SH       SOLE           1     61,193         --       --
COLUMBIA BANCORP ORE          EQUITY        197231103         8       1,338 SH       DEFINED        4         --         --    1,338





                                                                                           
COLUMBIA BANKING SYSTEM, INC  EQUITY        197236102       292      16,490 SH       SOLE           1     16,490         --       --
COLUMBIA LABORATORIES INC     EQUITY        197779101       111      42,489 SH       SOLE           1     42,489         --       --
COLUMBIA SPORTSWEAR           EQUITY        198516106       469      11,231 SH       SOLE           1     11,231         --       --
COLUMBUS MCKINNON CORP NY     EQUITY        199333105     4,864     206,382 SH       SOLE           2    206,382         --       --
COLUMBUS MCKINNON CORP/NY     EQUITY        199333105       408      17,296 SH       SOLE           1     17,296         --       --
COMCAST CORP NEW              EQUITY        20030N200        17         850 SH       DEFINED        4         --         --      850
COMCAST CORP NEW              EQUITY        20030N101        49       2,473 SH       DEFINED        4         --         --    2,473
COMCAST CORP NEW              EQUITY        20030N200        56       2,825 SH       DEFINED        5         --         --    2,825
COMCAST CORP NEW              EQUITY        20030N101        60       3,034 SH       DEFINED        5         --         --    3,034
COMCAST CORP NEW              EQUITY        20030N200        96       4,885 SH       SOLE           2      4,885         --       --
COMCAST CORP-CL A             EQUITY        20030N101    34,224   1,743,466 SH       SOLE           1  1,743,466         --       --
COMERICA INC                  EQUITY        200340107        57       1,747 SH       DEFINED        5         --         --    1,747
COMERICA, INC.                EQUITY        200340107     2,053      62,620 SH       SOLE           1     62,620         --       --
COMFORT SYS USA INC           EQUITY        199908104       488      36,512 SH       SOLE           1     36,512         --       --
COMMERCE BANCSHARES           EQUITY        200525103     6,691     144,099 SH       SOLE           1    144,099         --       --
COMMERCE BANCSHARES INC       EQUITY        200525103         2          44 SH       DEFINED        5         --         --       44
COMMERCIAL METALS CO.         EQUITY        201723103     4,447     263,284 SH       SOLE           1    263,284         --       --
COMMERCIAL VEHICLE GROUP INC  EQUITY        202608105       139      19,548 SH       SOLE           1     19,548         --       --
COMMSCOPE INC.                EQUITY        203372107     5,566     160,687 SH       SOLE           1    160,687         --       --
COMMUNITY BANK SYSTEM, INC.   EQUITY        203607106       684      27,210 SH       SOLE           1     27,210         --       --
COMMUNITY BK SYS INC          EQUITY        203607106        75       3,000 SH       DEFINED        4         --         --    3,000
COMMUNITY CAP CORP S C        EQUITY        20363C102         1         115 SH       DEFINED        5         --         --      115
COMMUNITY HEALTH SYS          EQUITY        203668108     6,459     220,366 SH       SOLE           1    220,366         --       --
COMMUNITY HEALTH SYS INC N    EQUITY        203668108     1,257      42,900 SH       SOLE           2     42,900         --       --
COMMUNITY TRUST BANCORP       EQUITY        204149108       477      13,654 SH       SOLE           1     13,654         --       --
COMMVAULT SYSTEMS INC         EQUITY        204166102     1,469     121,905 SH       SOLE           1    121,905         --       --
COMPANHIA DE BEBIDAS-PR ADR   EQUITY        20441W203     7,153     134,000 SH       SOLE           1    134,000         --       --
COMPANHIA DE SANEAMENTO BASI  EQUITY        20441A102         9         313 SH       DEFINED        5         --         --      313
COMPANHIA VALE DO RIO DOCE    EQUITY        204412209        30       1,560 SH       DEFINED        4         --         --    1,560
COMPANHIA VALE DO RIO DOCE    EQUITY        204412209        58       3,035 SH       DEFINED        5         --         --    3,035
COMPANHIA VALE DO RIO DOCE    EQUITY        204412209     7,045     367,879 SH       SOLE           2    367,879         --       --
COMPANIA DE MINAS BUENAVENTU  EQUITY        204448104        17         706 SH       DEFINED        4         --         --      706
COMPANIA DE TELECOMUNICS CHI  EQUITY        204449300         1         200 SH       DEFINED        5         --         --      200
COMPASS DIVERSIFIED HOLDINGS  EQUITY        20451Q104       304      21,758 SH       SOLE           1     21,758         --       --
COMPASS MINERALS INTERNATION  EQUITY        20451N101     1,543      29,448 SH       SOLE           1     29,448         --       --
COMPASS MINERALS INTL INC     EQUITY        20451N101         5         100 SH       DEFINED        5         --         --      100
COMPELLENT TECHNOLOGIES INC   EQUITY        20452A108       165      12,814 SH       SOLE           1     12,814         --       --
COMPLETE PRODUCTION SERVICES  EQUITY        2.05E+113         8         400 SH       DEFINED        4         --         --      400
COMPLETE PRODUCTION SERVICES
   INC                        EQUITY        2.05E+113       878      43,616 SH       SOLE           1     43,616         --       --
COMPTON PETE CORP             EQUITY        204940100         5       1,000 SH       DEFINED        5         --         --    1,000





                                                                                           
COMPTON PETROLEUM             EQUITY        204940100         3         465 SH       OTHER          1         --        465       --
COMPUCREDIT CORPORATION       EQUITY        20478N100        57      14,616 SH       SOLE           1     14,616         --       --
COMPUTER ASSOC INTL INC       FIXED INCOME  204912AQ2         1           1 PRN      DEFINED        4         --         --        1
COMPUTER PROGRAMS & SY        EQUITY        205306103       243       8,382 SH       SOLE           1      8,382         --       --
COMPUTER SCIENCES CORP        EQUITY        205363104         8         210 SH       DEFINED        5         --         --      210
COMPUTER SCIENCES CORP        EQUITY        205363104     2,653      66,000 SH       SOLE           2     66,000         --       --
COMPUTER SCIENCES CORP.       EQUITY        205363104     2,544      63,300 SH       SOLE           1     63,300         --       --
COMPUWARE CORP.               EQUITY        205638109     2,168     224,001 SH       SOLE           1    224,001         --       --
COMSCORE INC                  EQUITY        20564W105       288      16,315 SH       SOLE           1     16,315         --       --
COMSTOCK RES INC              EQUITY        205768203         8         150 SH       DEFINED        4         --         --      150
COMSTOCK RESOURCES, INC.      EQUITY        205768203     2,072      41,408 SH       SOLE           1     41,408         --       --
COMSYS IT PARTNERS INC        EQUITY        2.06E+108       126      13,207 SH       SOLE           1     13,207         --       --
COMTECH TELECOMMUNICATIONS    EQUITY        205826209     1,084      22,005 SH       SOLE           1     22,005         --       --
COMVERGE INC                  EQUITY        205859101        91      19,803 SH       SOLE           1     19,803         --       --
CONAGRA FOODS INC             EQUITY        205887102         2         100 SH       DEFINED        5         --         --      100
CONAGRA FOODS INC             EQUITY        205887102         3         150 SH       DEFINED        4         --         --      150
CONAGRA, INC.                 EQUITY        205887102     4,565     234,600 SH       SOLE           1    234,600         --       --
CONCEPTUS INC                 EQUITY        206016107       456      27,487 SH       SOLE           1     27,487         --       --
CONCHO RESOURCES INC          EQUITY        20605P101     1,388      50,261 SH       SOLE           1     50,261         --       --
CONCUR TECHNOLOGIES INC       EQUITY        206708109     1,498      39,163 SH       SOLE           1     39,163         --       --
CONMED CORP.                  EQUITY        207410101       835      26,054 SH       SOLE           1     26,054         --       --
CONNECTICUT WATER SVC INC     EQUITY        207797101       219       7,634 SH       SOLE           1      7,634         --       --
CONN'S INC                    EQUITY        208242107       166       8,885 SH       SOLE           1      8,885         --       --
CONOCOPHILLIPS                EQUITY        20825C104        81       1,107 SH       DEFINED        4         --         --    1,107
CONOCOPHILLIPS                EQUITY        20825C104     1,017      13,878 SH       DEFINED        5         --         --   13,878
CONOCOPHILLIPS                EQUITY        20825C104    14,333     195,667 SH       SOLE           2    195,667         --       --
CONOCOPHILLIPS PETROLEUM CO   EQUITY        20825C104    73,748   1,006,803 SH       SOLE           1  1,006,803         --       --
CONS TOMOKA LAND CO-FLORIDA   EQUITY        210226106       212       4,918 SH       SOLE           1      4,918         --       --
CONSECO INC                   EQUITY        208464883        22       6,252 SH       SOLE           1      6,252         --       --
CONSOL ENERGY INC             EQUITY        20854P109     3,303      71,979 SH       SOLE           1     71,979         --       --
CONSOL ENERGY INC             EQUITY        20854P109        41         900 SH       DEFINED        5         --         --      900
CONSOL ENERGY INC             EQUITY        20854P109        74       1,607 SH       DEFINED        4         --         --    1,607
CONSOLIDATED COMM HLDGS INC   EQUITY        209034107        17       1,150 SH       DEFINED        4         --         --    1,150
CONSOLIDATED COMMUNICATIONS   EQUITY        209034107       319      21,121 SH       SOLE           1     21,121         --       --
CONSOLIDATED EDISON INC       EQUITY        209115104       146       3,389 SH       DEFINED        4         --         --    3,389
CONSOLIDATED EDISON INC       EQUITY        209115104       247       5,752 SH       DEFINED        5         --         --    5,752
CONSOLIDATED EDISON, INC.     EQUITY        209115104     4,894     113,925 SH       SOLE           1    113,925         --       --
CONSOLIDATED GRAPHICS, INC.   EQUITY        209341106       275       9,068 SH       SOLE           1      9,068         --       --
CONSOLIDATED WATER CO INC     EQUITY        G23773107         9         500 SH       DEFINED        4         --         --      500
CONSTANT CONTACT INC          EQUITY        210313102       316      18,512 SH       SOLE           1     18,512         --       --





                                                                                           
CONSTANT CONTACT INC          EQUITY        210313102     1,336      78,245 SH       SOLE           2     78,245         --       --
CONSTELLATION BRANDS          EQUITY        21036P108     3,179     148,154 SH       SOLE           1    148,154         --       --
CONSTELLATION BRANDS INC      EQUITY        21036P108        11         534 SH       DEFINED        5         --         --      534
CONSTELLATION ENERGY GRUOP
   INC                        EQUITY        210371100     2,851     117,307 SH       SOLE           1    117,307         --       --
CONTANGO OIL & GAS CO         EQUITY        21075N204       645      11,949 SH       SOLE           1     11,949         --       --
CONTINENTAL AIRLS INC COM
   CL B                       EQUITY        210795308        94       5,622 SH       SOLE           1      5,622         --       --
CONTINENTAL RESOURCES INC     EQUITY        212015101        12         300 SH       DEFINED        4         --         --      300
CONTINENTAL RESOURCES INC/OK  EQUITY        212015101        24         605 SH       SOLE           1        605         --       --
CONVERGYS CORP                EQUITY        212485106     1,946     131,635 SH       SOLE           1    131,635         --       --
CONVERGYS CORP                EQUITY        212485106         9         600 SH       DEFINED        5         --         --      600
CON-WAY INC                   EQUITY        205944101     4,633     105,043 SH       SOLE           1    105,043         --       --
CON-WAY INC                   EQUITY        205944101        51       1,148 SH       DEFINED        5         --         --    1,148
COOPER COMPANIES, INC.        EQUITY        216648402        53       1,524 SH       SOLE           1      1,524         --       --
COOPER INDS LTD               EQUITY        G24182100         4         100 SH       DEFINED        5         --         --      100
COOPER INDS LTD CL A          EQUITY        G24182100     3,971      99,400 SH       SOLE           3     37,100               62300
COOPER TIRE & RUBBER CO       EQUITY        216831107       461      53,628 SH       SOLE           1     53,628         --       --
COPART INC                    EQUITY        217204106       238       6,274 SH       DEFINED        4         --         --    6,274
COPART, INC.                  EQUITY        217204106     5,693     149,662 SH       SOLE           1    149,662         --       --
CORE LABORATORIES N V         EQUITY        N22717107        10         100 SH       DEFINED        5         --         --      100
CORE-MARK HOLDING CO INC      EQUITY        218681104       215       8,589 SH       SOLE           1      8,589         --       --
CORINTHIAN COLLEGES INC       EQUITY        218868107     4,061     270,889 SH       SOLE           1    270,889         --       --
CORN PRODUCTS INTERNATIONAL   EQUITY        219023108     6,490     201,062 SH       SOLE           1    201,062         --       --
CORNELL COMPANIES INC         EQUITY        219141108       274      10,083 SH       SOLE           1     10,083         --       --
CORNELL COMPANIES INC COM     EQUITY        219141108     3,028     111,400 SH       SOLE           3    111,400         --       --
CORNING INC                   EQUITY        219350105       241      15,384 SH       DEFINED        4         --         --   15,384
CORNING INC                   EQUITY        219350105       884      56,538 SH       DEFINED        5         --         --   56,538
CORNING INC                   EQUITY        219350105    19,001   1,214,890 SH       SOLE           2  1,214,890         --       --
CORNING, INC.                 EQUITY        219350105    14,806     946,706 SH       SOLE           1    946,706         --       --
CORP EXEC BOARD CO.           EQUITY        21988R102     2,430      77,794 SH       SOLE           1     77,794         --       --
CORPORATE EXECUTIVE BRD CO    EQUITY        21988R102        41       1,300 SH       DEFINED        5         --         --    1,300
CORPORATE EXECUTIVE BRD CO    EQUITY        21988R102       164       5,248 SH       DEFINED        4         --         --    5,248
CORPORATE OFFICE PPTYS TR     EQUITY        22002T108         2          43 SH       DEFINED        5         --         --       43
CORPORATE OFFICE PROPERTIES
   TRUST SBI MD               EQUITY        22002T108     7,487     185,544 SH       SOLE           1    185,544         --       --
CORRECTIONS CORP AMER NEW     EQUITY        22025Y407         6         225 SH       DEFINED        4         --         --      225
CORRECTIONS CORP AMER NEW     EQUITY        22025Y407     1,623      65,300 SH       SOLE           2     65,300         --       --
CORRECTIONS CORP. OF AMERICA  EQUITY        22025Y407     7,128     286,836 SH       SOLE           1    286,836         --       --
CORRECTIONS CP AM NEW COM NEW EQUITY        22025Y407     3,983     160,300 SH       SOLE           3     37,500              122800
CORUS BANKSHARES, INC.        EQUITY        220873103       133      34,217 SH       SOLE           1     34,217         --       --
CORUS ENTERTAINMENT INC       EQUITY        220874101     1,602      93,661 SH       OTHER          1         --     93,661       --
CORVEL CORP.                  EQUITY        221006109       216       7,276 SH       SOLE           1      7,276         --       --





                                                                                           
COSTAR GROUP, INC.            EQUITY        22160N109       805      17,755 SH       SOLE           1     17,755         --       --
COSTCO COMPANIES INC          FIXED INCOME  22160QAC6         4           3 PRN      DEFINED        4         --         --        3
COSTCO WHOLESALE CORPORATION  EQUITY        22160K105    16,496     254,103 SH       SOLE           1    254,103         --       --
COSTCO WHSL CORP NEW          EQUITY        22160K105       286       4,410 SH       DEFINED        5         --         --    4,410
COSTCO WHSL CORP NEW          EQUITY        22160K105       304       4,680 SH       DEFINED        4         --         --    4,680
COUGAR BIOTECHNOLOGY INC      EQUITY        222083107       454      13,581 SH       SOLE           1     13,581         --       --
COURIER CORP                  EQUITY        222660102       189       9,536 SH       SOLE           1      9,536         --       --
COUSINS PROPERTIES, INC.      EQUITY        222795106     3,494     138,467 SH       SOLE           1    138,467         --       --
COVANCE INC                   EQUITY        222816100        20         226 SH       DEFINED        5         --         --      226
COVANCE INC COM               EQUITY        222816100     3,905      44,173 SH       SOLE           3     16,500               27673
COVANCE INC.                  EQUITY        222816100    12,747     144,179 SH       SOLE           1    144,179         --       --
COVANTA HOLDING CORP          EQUITY        2.23E+106        59       2,455 SH       SOLE           1      2,455         --       --
COVENTRY HEALTH CARE INC      EQUITY        222862104        53       1,620 SH       DEFINED        4         --         --    1,620
COVENTRY HEALTH CARE, INC.    EQUITY        222862104     1,946      59,779 SH       SOLE           1     59,779         --       --
COVIDIEN LTD                  EQUITY        G2552X108       160       2,974 SH       DEFINED        4         --         --    2,974
COVIDIEN LTD                  EQUITY        G2552X108       438       8,146 SH       DEFINED        5         --         --    8,146
COX RADIO INC-CL A            EQUITY        224051102       246      23,270 SH       SOLE           1     23,270         --       --
CPFL ENERGIA S A              EQUITY        126153105         6         100 SH       DEFINED        5         --         --      100
CPFL ENERGIA S A              EQUITY        126153105        19         335 SH       DEFINED        4         --         --      335
CPI INTERNATIONAL INC         EQUITY        12618M100       124       8,632 SH       SOLE           1      8,632         --       --
CRA INTERNATIONAL INC         EQUITY        12618T105       275      10,032 SH       SOLE           1     10,032         --       --
CRA INTL INC                  EQUITY        12618T105         9         317 SH       DEFINED        4         --         --      317
CRANE CO.                     EQUITY        224399105     3,310     111,417 SH       SOLE           1    111,417         --       --
CRAWFORD & CO                 EQUITY        224633107       939      61,784 SH       DEFINED        4         --         --   61,784
CRAWFORD & CO. CLASS B        EQUITY        224633107       333      21,938 SH       SOLE           1     21,938         --       --
CRAY INC                      EQUITY        225223304       155      29,907 SH       SOLE           1     29,907         --       --
CREDIT ACCEPTANCE CORP.       EQUITY        225310101        95       5,396 SH       SOLE           1      5,396         --       --
CREDIT SUISSE ASSET MGMT INC  EQUITY        224916106         4       1,330 SH       DEFINED        4         --         --    1,330
CREDIT SUISSE GROUP           EQUITY        225401108         6         131 SH       DEFINED        5         --         --      131
CREDIT SUISSE GROUP           EQUITY        225401108         9         195 SH       DEFINED        4         --         --      195
CREE INC                      EQUITY        225447101     4,607     202,235 SH       SOLE           1    202,235         --       --
CREE INC                      EQUITY        225447101       112       4,925 SH       DEFINED        4         --         --    4,925
CRESUD SA                     EQUITY        226406106       612      58,404 SH       SOLE           1     58,404         --       --
CROCS INC                     EQUITY        227046109       271      75,693 SH       SOLE           1     75,693         --       --
CROCS INC                     EQUITY        227046109        10       2,920 SH       DEFINED        5         --         --    2,920
CROSS COUNTRY HEALTHCARE INC  EQUITY        227483104       455      27,913 SH       SOLE           1     27,913         --       --
CROSSTEX ENERGY INC           EQUITY        22765Y104       907      36,544 SH       SOLE           1     36,544         --       --
CROWN CASTLE INTERNATIONAL    EQUITY        228227104     3,032     104,654 SH       SOLE           1    104,654         --       --
CROWN CASTLE INTL CORP        EQUITY        228227104         3         112 SH       DEFINED        4         --         --      112
CROWN HOLDINGS INC            EQUITY        228368106        73       3,266 SH       SOLE           1      3,266         --       --





                                                                                           
CROWN HOLDINGS INC            EQUITY        228368106        18         800 SH       DEFINED        4         --         --      800
CROWN MEDIA HOLDINGS-CLASS A  EQUITY        228411104        50       9,890 SH       SOLE           1      9,890         --       --
CRUSADER ENERGY GROUP INC     EQUITY        228834107         3       1,000 SH       DEFINED        5         --         --    1,000
CRYOLIFE INC                  EQUITY        228903100       772      58,824 SH       DEFINED        4         --         --   58,824
CRYOLIFE INC.                 EQUITY        228903100       331      25,258 SH       SOLE           1     25,258         --       --
CRYSTAL RIV CAP INC           EQUITY        229393301         2       1,100 SH       DEFINED        5         --         --    1,100
CSG SYSTEMS INTERNATIONAL,
   INC                        EQUITY        126349109       558      31,813 SH       SOLE           1     31,813         --       --
CSS INDUSTRIES, INC.          EQUITY        125906107       183       7,105 SH       SOLE           1      7,105         --       --
CSX CORP                      EQUITY        126408103    25,835     473,425 SH       SOLE           1    473,425         --       --
CSX CORP                      EQUITY        126408103        49         901 SH       DEFINED        4         --         --      901
CTC MEDIA INC                 EQUITY        12642X106        16       1,072 SH       SOLE           1      1,072         --       --
CTRIP COM INTL LTD            EQUITY        22943F100         3          75 SH       DEFINED        5         --         --       75
CTS CORP.                     EQUITY        126501105       391      30,602 SH       SOLE           1     30,602         --       --
CUBIC CORP.                   EQUITY        229669106       348      14,141 SH       SOLE           1     14,141         --       --
CUBIST PHARMA INC             EQUITY        229678107     1,142      51,248 SH       SOLE           1     51,248         --       --
CUBIST PHARMACEUTICALS INC    EQUITY        229678107        10         449 SH       DEFINED        5         --         --      449
CULLEN FROST BANKERS INC      EQUITY        229899109         6         100 SH       DEFINED        4         --         --      100
CULLEN FROST BANKERS INC      EQUITY        229899109        12         207 SH       DEFINED        5         --         --      207
CULLEN/FROST BANKERS          EQUITY        229899109     8,156     135,933 SH       SOLE           1    135,933         --       --
CUMMINS INC                   EQUITY        231021106     8,014     183,298 SH       SOLE           1    183,298         --       --
CUMMINS INC                   EQUITY        231021106         9         196 SH       DEFINED        4         --         --      196
CUMMINS INC                   EQUITY        231021106        52       1,200 SH       DEFINED        5         --         --    1,200
CUMULUS MEDIA, INC.           EQUITY        231082108       101      23,937 SH       SOLE           1     23,937         --       --
CURRENCYSHARES AUSTRALIAN DL  EQUITY        23129U101         2          20 SH       DEFINED        5         --         --       20
CURRENCYSHARES AUSTRALIAN DL  EQUITY        23129U101        26         325 SH       DEFINED        4         --         --      325
CURRENCYSHARES CDN DLR TR     EQUITY        23129X105        33         350 SH       DEFINED        4         --         --      350
CURRENCYSHARES EURO TR        EQUITY        23130C108     1,489      10,569 SH       DEFINED        4         --         --   10,569
CURRENCYSHARES MEXICAN PESO   EQUITY        23130H107         9         100 SH       DEFINED        5         --         --      100
CURRENCYSHARES SWISS FRANC T  EQUITY        23129V109        29         330 SH       DEFINED        5         --         --      330
CURRENCYSHS JAPANESE YEN TR   EQUITY        23130A102         5          58 SH       DEFINED        4         --         --       58
CURRENCYSHS JAPANESE YEN TR   EQUITY        23130A102        22         230 SH       DEFINED        5         --         --      230
CURTISS-WRIGHT CORP.          EQUITY        231561101     1,847      40,649 SH       SOLE           1     40,649         --       --
CUSHING MLP TOTAL RETURN FD   EQUITY        231631102        18       1,250 SH       DEFINED        5         --         --    1,250
CV THERAPEUTICS INC           EQUITY        126667104         2         200 SH       DEFINED        5         --         --      200
CV THERAPEUTICS, INC.         EQUITY        126667104       598      55,281 SH       SOLE           1     55,281         --       --
CVB FINANCIAL CORP            EQUITY        126600105       846      60,187 SH       SOLE           1     60,187         --       --
CVR ENERGY INC                EQUITY        12662P108       178      20,874 SH       SOLE           1     20,874         --       --
CVS CAREMARK CORP             EQUITY        126650100    50,012   1,485,814 SH       SOLE           1  1,485,814         --       --
CVS CAREMARK CORP             EQUITY        126650100    39,993   1,188,159 SH       SOLE           2  1,188,159         --       --
CVS CAREMARK CORPORATION      EQUITY        126650100        15         432 SH       DEFINED        4         --         --      432





                                                                                           
CVS CAREMARK CORPORATION      EQUITY        126650100       186       5,516 SH       DEFINED        5         --         --    5,516
CYBERONICS                    EQUITY        23251P102       367      21,605 SH       SOLE           1     21,605         --       --
CYBERSOURCE CORP              EQUITY        23251J106     1,008      62,710 SH       SOLE           1     62,710         --       --
CYBERSOURCE CORP              EQUITY        23251J106         5         300 SH       DEFINED        5         --         --      300
CYMER INC                     EQUITY        232572107        10         399 SH       DEFINED        5         --         --      399
CYMER, INC.                   EQUITY        232572107       699      27,598 SH       SOLE           1     27,598         --       --
CYNOSURE INC                  EQUITY        232577205       156       8,672 SH       SOLE           1      8,672         --       --
CYPRESS BIOSCIENCE INC        EQUITY        232674507       250      34,069 SH       SOLE           1     34,069         --       --
CYPRESS SEMICONDUCTOR CORP    EQUITY        232806109        10       1,965 SH       DEFINED        5         --         --    1,965
CYPRESS SEMICONDUCTOR CORP.   EQUITY        232806109        16       3,064 SH       SOLE           1      3,064         --       --
CYTEC INDS INC                EQUITY        232820100         3          75 SH       DEFINED        4         --         --       75
CYTEC INDUSTRIES, INC.        EQUITY        232820100     4,259     109,457 SH       SOLE           1    109,457         --       --
CYTOKINETICS INC              EQUITY        23282W100       150      31,725 SH       SOLE           1     31,725         --       --
CYTORI THERAPEUTICS INC       EQUITY        23283K105        96      18,077 SH       SOLE           1     18,077         --       --
CYTRX CORP                    EQUITY        232828301         3       6,000 SH       DEFINED        5         --         --    6,000
CYTRX CORP                    EQUITY        232828301        10      20,000 SH       DEFINED        4         --         --   20,000
D R HORTON INC                EQUITY        23331A109     2,280     175,100 SH       SOLE           2    175,100         --       --
D.R. HORTON INC               EQUITY        23331A109     6,829     524,469 SH       SOLE           1    524,469         --       --
DAIMLER AG                    EQUITY        D1668R123         7         135 SH       DEFINED        5         --         --      135
DAIMLER AG                    EQUITY        D1668R123        13         249 SH       DEFINED        4         --         --      249
DAKTRONICS INC                EQUITY        234264109        33       2,000 SH       DEFINED        4         --         --    2,000
DANA HOLDING CORP             EQUITY        235825205       436      90,075 SH       SOLE           1     90,075         --       --
DANAHER CORP                  EQUITY        235851102     6,531      94,100 SH       SOLE           2     94,100         --       --
DANAHER CORP DEL              EQUITY        235851102        18         260 SH       DEFINED        4         --         --      260
DANAHER CORP DEL              EQUITY        235851102        60         859 SH       DEFINED        5         --         --      859
DANAHER CORP.                 EQUITY        235851102    19,074     274,839 SH       SOLE           1    274,839         --       --
DANAOS CORPORATION            EQUITY        Y1968P105         4         300 SH       DEFINED        5         --         --      300
DANVERS BANCORP INC           EQUITY        236442109       206      16,194 SH       SOLE           1     16,194         --       --
DARDEN RESTAURANTS INC        EQUITY        237194105         8         264 SH       DEFINED        4         --         --      264
DARDEN RESTAURANTS INC        EQUITY        237194105        34       1,200 SH       SOLE           2      1,200         --       --
DARDEN RESTAURANTS, INC.      EQUITY        237194105     1,582      55,262 SH       SOLE           1     55,262         --       --
DARLING INTERNATIONAL INC     EQUITY        237266101       823      74,070 SH       SOLE           1     74,070         --       --
DARLING INTL INC              EQUITY        237266101         2         200 SH       DEFINED        4         --         --      200
DARLING INTL INC              EQUITY        237266101         3         300 SH       DEFINED        5         --         --      300
DARWIN PROFESSIONAL
   UNDERWRITERS INC           EQUITY        237502109       217       6,961 SH       SOLE           1      6,961         --       --
DATA DOMAIN INC               EQUITY        23767P109       669      30,043 SH       SOLE           1     30,043         --       --
DATASCOPE CORP.               EQUITY        238113104       617      11,967 SH       SOLE           1     11,967         --       --
DAVITA INC                    EQUITY        23918K108     2,357      41,337 SH       SOLE           1     41,337         --       --
DAWSON GEOPHYSICAL CO         EQUITY        239359102       328       7,041 SH       SOLE           1      7,041         --       --
DCT INDUSTRIAL TRUST INC      EQUITY        233153105       189      25,227 SH       DEFINED        4         --         --   25,227





                                                                                           
DEALERTRACK HLDGS INC         EQUITY        242309102       652      38,780 SH       SOLE           1     38,780         --       --
DEAN FOODS CO                 EQUITY        242370104     1,908      81,687 SH       SOLE           1     81,687         --       --
DEAN FOODS CO NEW             EQUITY        242370104         4         173 SH       DEFINED        4         --         --      173
DECKERS OUTDOOR CORP          EQUITY        243537107     2,295      22,050 SH       SOLE           1     22,050         --       --
DECKERS OUTDOOR CORP          EQUITY        243537107         8          74 SH       DEFINED        4         --         --       74
DECKERS OUTDOOR CORP COM      EQUITY        243537107       572       5,500 SH       SOLE           3      5,500         --       --
DEERE & CO                    EQUITY        244199105         9         174 SH       DEFINED        4         --         --      174
DEERE & CO                    EQUITY        244199105        87       1,755 SH       DEFINED        5         --         --    1,755
DEERE & CO.                   EQUITY        244199105    14,067     284,187 SH       SOLE           1    284,187         --       --
DEERFIELD CAPITAL CORP        EQUITY        244331104         2       2,900 SH       DEFINED        4         --         --    2,900
DEL MONTE                     EQUITY        24522P103        52       6,680 SH       SOLE           1      6,680         --       --
DEL MONTE FOODS CO            EQUITY        24522P103         2         217 SH       DEFINED        5         --         --      217
DELAWARE INV MN MUN INC FD I  EQUITY        24610V103        20       1,700 SH       DEFINED        4         --         --    1,700
DELEK US HOLDINGS INC         EQUITY        246647101       112      12,030 SH       SOLE           1     12,030         --       --
DELL INC                      EQUITY        24702R101    20,520   1,247,414 SH       SOLE           1  1,247,414         --       --
DELL INC                      EQUITY        24702R101        48       2,925 SH       DEFINED        5         --         --    2,925
DELL INC                      EQUITY        24702R101        58       3,522 SH       DEFINED        4         --         --    3,522
DELPHI FINANCIAL GROUP, INC.,
   CLASS A                    EQUITY        247131105     1,053      37,562 SH       SOLE           1     37,562         --       --
DELTA AIR LINES INC           EQUITY        247361702        59       7,930 SH       SOLE           1      7,930         --       --
DELTA AIR LINES INC DEL       EQUITY        247361702        60       8,000 SH       DEFINED        4         --         --    8,000
DELTA NAT GAS INC             EQUITY        247748106         3         100 SH       DEFINED        4         --         --      100
DELTA PETROLEUM CORP          EQUITY        247907207       762      56,456 SH       SOLE           1     56,456         --       --
DELTEK INC                    EQUITY        24784L105        69      11,422 SH       SOLE           1     11,422         --       --
DELTIC TIMBER CORP.           EQUITY        247850100       609       9,569 SH       SOLE           1      9,569         --       --
DELUXE CORP                   EQUITY        248019101         3         200 SH       DEFINED        5         --         --      200
DELUXE CORP                   EQUITY        248019101         3         239 SH       DEFINED        4         --         --      239
DELUXE CORP.                  EQUITY        248019101     2,352     163,417 SH       SOLE           1    163,417         --       --
DEMANDTEC INC                 EQUITY        24802R506       161      17,815 SH       SOLE           1     17,815         --       --
DENBURY RES INC               EQUITY        247916208        20       1,040 SH       DEFINED        4         --         --    1,040
DENBURY RES INC               EQUITY        247916208       101       5,300 SH       DEFINED        5         --         --    5,300
DENBURY RESOURCES INC         EQUITY        247916208    10,748     564,507 SH       SOLE           1    564,507         --       --
DENDREON CORP                 EQUITY        24823Q107       488      84,871 SH       SOLE           1     84,871         --       --
DENDREON CORP                 EQUITY        24823Q107         2         300 SH       DEFINED        4         --         --      300
DENDREON CORP                 EQUITY        24823Q107       264      46,300 SH       DEFINED        5         --         --   46,300
DENISON MINES CORP            EQUITY        248356107        71      24,123 SH       OTHER          1         --     24,123       --
DENISON MINES CORP            EQUITY        248356107         1         500 SH       DEFINED        5         --         --      500
DENNY'S CORPORATION           EQUITY        24869P104       221      86,043 SH       SOLE           1     86,043         --       --
DENTSPLY INTERNATIONAL INC.   EQUITY        249030107    14,923     397,639 SH       SOLE           1    397,639         --       --
DENTSPLY INTL INC NEW         EQUITY        249030107         9         241 SH       DEFINED        5         --         --      241
DENTSPLY INTL INC NEW         EQUITY        249030107        30         789 SH       DEFINED        4         --         --      789





                                                                                           
DEPOMED INC                   EQUITY        249908104       160      43,591 SH       SOLE           1     43,591         --       --
DEUTSCHE BK AG LDN BRH        EQUITY        25154H475        12         700 SH       DEFINED        5         --         --      700
DEVELOPERS DIVERSIFIED RLTY   EQUITY        251591103         5         166 SH       DEFINED        5         --         --      166
DEVELOPERS DIVERSIFIED RLTY   EQUITY        251591103        17         538 SH       DEFINED        4         --         --      538
DEVON ENERGY CORP NEW         EQUITY        25179M103         9         103 SH       DEFINED        4         --         --      103
DEVON ENERGY CORP NEW         EQUITY        25179M103       339       3,717 SH       DEFINED        5         --         --    3,717
DEVON ENERGY CORP.            EQUITY        25179M103    34,897     382,648 SH       SOLE           1    382,648         --       --
DEVON ENERGY CORPORATION N    EQUITY        25179M103     1,550      17,000 SH       SOLE           2     17,000         --       --
DEVRY, INC.                   EQUITY        251893103     6,958     140,447 SH       SOLE           1    140,447         --       --
DEXCOM INC                    EQUITY        252131107       148      23,810 SH       SOLE           1     23,810         --       --
DG FASTCHANNEL INC            EQUITY        23326R109     1,488      67,761 SH       SOLE           1     67,761         --       --
DG FASTCHANNEL INC COM        EQUITY        23326R109     2,381     108,600 SH       SOLE           3    108,600         --       --
DIAGEO P L C                  EQUITY        25243Q205        19         278 SH       DEFINED        5         --         --      278
DIAGEO P L C                  EQUITY        25243Q205        28         400 SH       DEFINED        4         --         --      400
DIAGEO PLC                    EQUITY        25243Q205       113       1,641 SH       SOLE           2      1,641         --       --
DIAMOND FOODS INC             EQUITY        252603105       409      14,624 SH       SOLE           1     14,624         --       --
DIAMOND HILL INVESTMENT GROU  EQUITY        25264R207         9         100 SH       DEFINED        5         --         --      100
DIAMOND HILL INVESTMENT GROUP
   INC                        EQUITY        25264R207       168       1,868 SH       SOLE           1      1,868         --       --
DIAMOND OFFSHORE DRILLING     EQUITY        25271C102     7,870      76,360 SH       SOLE           1     76,360         --       --
DIAMOND OFFSHORE DRILLING IN  EQUITY        25271C102       179       1,734 SH       DEFINED        5         --         --    1,734
DIAMONDS TR                   EQUITY        252787106       128       1,183 SH       DEFINED        5         --         --    1,183
DIAMONDS TR                   EQUITY        252787106       359       3,316 SH       DEFINED        4         --         --    3,316
DIANA SHIPPING INC            EQUITY        Y2066G104        46       2,350 SH       DEFINED        5         --         --    2,350
DICE HOLDINGS INC             EQUITY        253017107       101      14,276 SH       SOLE           1     14,276         --       --
DICK'S SPORTING GOODS INC     EQUITY        253393102     3,801     194,118 SH       SOLE           1    194,118         --       --
DIEBOLD, INC.                 EQUITY        253651103     4,989     150,685 SH       SOLE           1    150,685         --       --
DIGI INTERNATIONAL INC        EQUITY        253798102       239      23,393 SH       SOLE           1     23,393         --       --
DIGI INTL INC                 EQUITY        253798102         2         200 SH       DEFINED        5         --         --      200
DIGITAL ALLY INC              EQUITY        25382P109         7       1,000 SH       DEFINED        5         --         --    1,000
DIGITAL REALTY TRUST INC      EQUITY        253868103     7,274     153,947 SH       SOLE           1    153,947         --       --
DIGITAL RIV INC               EQUITY        25388B104     3,810     117,636 SH       SOLE           1    117,636         --       --
DIGITAL RIV INC               EQUITY        25388B104         6         200 SH       DEFINED        5         --         --      200
DILLARDS, INC. CLASS A        EQUITY        254067101       870      73,731 SH       SOLE           1     73,731         --       --
DIME COMMUNITY BANCSHARES     EQUITY        253922108       333      21,447 SH       SOLE           1     21,447         --       --
DINEEQUITY INC                EQUITY        254423106       267      15,827 SH       SOLE           1     15,827         --       --
DIODES INC                    EQUITY        254543101       486      26,316 SH       SOLE           1     26,316         --       --
DIODES INC                    EQUITY        254543101        71       3,826 SH       DEFINED        4         --         --    3,826
DIODES INC                    EQUITY        254543101     1,902     103,073 SH       SOLE           2    103,073         --       --
DIONEX CORP.                  EQUITY        254546104     1,059      16,648 SH       SOLE           1     16,648         --       --
DIRECTV GROUP INC             EQUITY        25459L106         1          46 SH       DEFINED        4         --         --       46





                                                                                           
DIRECTV GROUP INC             EQUITY        25459L106        18         688 SH       DEFINED        5         --         --      688
DIRECTV GROUP INC/THE         EQUITY        25459L106    11,664     445,704 SH       SOLE           1    445,704         --       --
DISCOVER FINANCIAL SERVICES   EQUITY        254709108     5,120     370,513 SH       SOLE           1    370,513         --       --
DISCOVER FINL SVCS            EQUITY        254709108         1         100 SH       DEFINED        4         --         --      100
DISCOVER FINL SVCS            EQUITY        254709108        15       1,054 SH       DEFINED        5         --         --    1,054
DISCOVERY LABORATORIES INC    EQUITY        254668106       163      87,758 SH       SOLE           1     87,758         --       --
DISH NETWORK CORP             EQUITY        25470M109     2,367     112,997 SH       SOLE           1    112,997         --       --
DISNEY WALT CO                EQUITY        254687106       150       4,895 SH       DEFINED        4         --         --    4,895
DISNEY WALT CO                EQUITY        254687106       430      14,010 SH       DEFINED        5         --         --   14,010
DISNEY WALT CO                EQUITY        254687106     7,827     255,018 SH       SOLE           2    255,018         --       --
DIVIDEND CAP RLTY INCM ALLC   EQUITY        25537T105         2         569 SH       DEFINED        4         --         --      569
DIVX INC                      EQUITY        255413106       158      24,453 SH       SOLE           1     24,453         --       --
DNP SELECT INCOME FD          EQUITY        23325P104         9         950 SH       DEFINED        4         --         --      950
DNP SELECT INCOME FD          EQUITY        23325P104        75       8,003 SH       DEFINED        5         --         --    8,003
DOLAN MEDIA CO                EQUITY        25659P402       234      23,188 SH       SOLE           1     23,188         --       --
DOLBY LABORATORIES INC-CL A   EQUITY        25659T107       570      16,206 SH       SOLE           1     16,206         --       --
DOLLAR FINANCIAL CORP         EQUITY        256664103       342      22,071 SH       SOLE           1     22,071         --       --
DOLLAR THRIFTY AUTOMOTIVE     EQUITY        256743105        38      19,607 SH       SOLE           1     19,607         --       --
DOLLAR TREE INC               EQUITY        256746108     7,520     206,831 SH       SOLE           1    206,831         --       --
DOLLAR TREE INC               EQUITY        256746108         9         247 SH       DEFINED        4         --         --      247
DOMINION RES BLACK WARRIOR T  EQUITY        25746Q108       240      11,081 SH       DEFINED        4         --         --   11,081
DOMINION RES INC VA NEW       EQUITY        25746U109         4         100 SH       DEFINED        4         --         --      100
DOMINION RES INC VA NEW       EQUITY        25746U109       132       3,076 SH       DEFINED        5         --         --    3,076
DOMINION RES INC VA NEW       EQUITY        25746U109       415       9,708 SH       SOLE           2      9,708         --       --
DOMINION RESOURCES, INC.      EQUITY        25746U109    12,350     288,678 SH       SOLE           1    288,678         --       --
DOMINOS PIZZA INC             EQUITY        25754A201     3,358     276,573 SH       SOLE           2    276,573         --       --
DOMINO'S PIZZA INC            EQUITY        25754A201       708      58,343 SH       SOLE           1     58,343         --       --
DOMTAR CORP                   EQUITY        257559104         2         357 SH       OTHER          1         --        357       --
DONALDSON CO., INC.           EQUITY        257651109     7,535     179,786 SH       SOLE           1    179,786         --       --
DONEGAL GROUP INC-CL A        EQUITY        257701201       191      10,635 SH       SOLE           1     10,635         --       --
DORAL FINANCIAL CORP          EQUITY        25811P886        53       4,875 SH       SOLE           1      4,875         --       --
DORCHESTER MINERALS LP        EQUITY        25820R105        95       4,200 SH       SOLE           1      4,200         --       --
DORMAN PRODUCTS INC           EQUITY        258278100       125       9,956 SH       SOLE           1      9,956         --       --
DOUBLE EAGLE PETROLEUM CO     EQUITY        258570209       106       7,406 SH       SOLE           1      7,406         --       --
DOUBLE-TAKE SOFTWARE INC      EQUITY        258598101       156      15,676 SH       SOLE           1     15,676         --       --
DOUGLAS EMMETT INC            EQUITY        25960P109        92       3,973 SH       SOLE           1      3,973         --       --
DOVER CORP                    EQUITY        260003108     3,081      75,990 SH       SOLE           2     75,990         --       --
DOVER CORP.                   EQUITY        260003108     3,085      76,073 SH       SOLE           1     76,073         --       --
DOVER DOWNS GAMING & ENTERTA  EQUITY        260095104        99      12,669 SH       SOLE           1     12,669         --       --
DOVER MOTORSPORTS INC         EQUITY        260174107        75      13,759 SH       SOLE           1     13,759         --       --





                                                                                           
DOW CHEM CO                   EQUITY        260543103         8         261 SH       DEFINED        4         --         --      261
DOW CHEM CO                   EQUITY        260543103       321      10,108 SH       DEFINED        5         --         --   10,108
DOW CHEMICAL CO.              EQUITY        260543103    14,851     467,300 SH       SOLE           1    467,300         --       --
DOWNEY FINANCIAL CORP.        EQUITY        261018105        51      18,379 SH       SOLE           1     18,379         --       --
DPL INC                       EQUITY        233293109        57       2,287 SH       DEFINED        4         --         --    2,287
DPL, INC.                     EQUITY        233293109     7,653     308,590 SH       SOLE           1    308,590         --       --
DR PEPPER SNAPPLE GROUP INC   EQUITY        2.61E+113       223       8,440 SH       SOLE           1      8,440         --       --
DR PEPPER SNAPPLE GROUP INC   EQUITY        2.61E+113         2          63 SH       DEFINED        5         --         --       63
DR PEPPER SNAPPLE GROUP INC   EQUITY        2.61E+113         2          72 SH       DEFINED        4         --         --       72
DR REDDYS LABS LTD            EQUITY        256135203        13       1,200 SH       DEFINED        5         --         --    1,200
DREAMWORKS ANIMATION SKG-A    EQUITY        26153C103     5,788     184,026 SH       SOLE           1    184,026         --       --
DREMAN/CLAYMORE DIVID & INC   EQUITY        26153R100         6       1,218 SH       DEFINED        4         --         --    1,218
DRESS BARN INC                EQUITY        261570105         7         464 SH       DEFINED        5         --         --      464
DRESS BARN, INC.              EQUITY        261570105       626      40,926 SH       SOLE           1     40,926         --       --
DRESSER-RAND GROUP INC        EQUITY        261608103        55       1,750 SH       SOLE           1      1,750         --       --
DRESSER-RAND GROUP INC        EQUITY        261608103        66       2,100 SH       DEFINED        5         --         --    2,100
DRESSER-RAND GROUP INC COM    EQUITY        261608103     4,588     145,800 SH       SOLE           3     54,600               91200
DREW INDUSTRIES INC           EQUITY        26168L205       306      17,881 SH       SOLE           1     17,881         --       --
DREYFUS MUN INCOME INC        EQUITY        26201R102        70       9,983 SH       DEFINED        4         --         --    9,983
DREYFUS STRATEGIC MUN BD FD   EQUITY        26202F107       275      42,600 SH       DEFINED        5         --         --   42,600
DRILL QUIP                    EQUITY        262037104     1,220      28,108 SH       SOLE           1     28,108         --       --
DRIL-QUIP INC                 EQUITY        262037104        26         608 SH       DEFINED        4         --         --      608
DRS TECHNOLOGIES INC          EQUITY        23330X100     7,319      95,365 SH       SOLE           1     95,365         --       --
DRUGSTORE COM INC             EQUITY        262241102         2       1,000 SH       DEFINED        5         --         --    1,000
DRUGSTORE.COM                 EQUITY        262241102       178      75,832 SH       SOLE           1     75,832         --       --
DRYSHIPS INC                  EQUITY        Y2109Q101        23         653 SH       DEFINED        5         --         --      653
DSP GROUP, INC. COM           EQUITY        23332B106       169      22,055 SH       SOLE           1     22,055         --       --
DST SYS INC DEL               FIXED INCOME  233326AB3         1           1 PRN      DEFINED        4         --         --        1
DST SYS INC DEL               EQUITY        233326107     3,824      68,300 SH       SOLE           2     68,300         --       --
DST SYSTEMS INC               EQUITY        233326107     5,488      98,022 SH       SOLE           1     98,022         --       --
DSW INC                       EQUITY        23334L102         5         400 SH       DEFINED        5         --         --      400
DSW INC-CLASS A               EQUITY        23334L102       167      12,160 SH       SOLE           1     12,160         --       --
DTE ENERGY CO                 EQUITY        233331107        20         489 SH       DEFINED        5         --         --      489
DTE ENERGY CO.                EQUITY        233331107     4,863     121,221 SH       SOLE           1    121,221         --       --
DTS INC                       EQUITY        23335C101       451      16,212 SH       SOLE           1     16,212         --       --
DU PONT E I DE NEMOURS & CO   EQUITY        263534109        43       1,061 SH       DEFINED        5         --         --    1,061
DU PONT E I DE NEMOURS & CO   EQUITY        263534109       103       2,544 SH       DEFINED        4         --         --    2,544
DU PONT E I DE NEMOURS + C    EQUITY        263534109    15,197     377,094 SH       SOLE           2    377,094         --       --
DUCOMMUN INC DEL              EQUITY        264147109       229       9,585 SH       SOLE           1      9,585         --       --
DUFF & PHELPS CORP            EQUITY        26433B107       202       9,621 SH       SOLE           1      9,621         --       --





                                                                                           
DUFF & PHELPS UTIL CORP BD T  EQUITY        26432K108        35       3,500 SH       DEFINED        5         --         --    3,500
DUKE ENERGY CORP              EQUITY        26441C105    12,659     726,255 SH       SOLE           1    726,255         --       --
DUKE ENERGY CORP NEW          EQUITY        26441C105       113       6,485 SH       DEFINED        4         --         --    6,485
DUKE ENERGY CORP NEW          EQUITY        26441C105       248      14,234 SH       DEFINED        5         --         --   14,234
DUKE REALTY CORP              EQUITY        264411505         4         159 SH       DEFINED        4         --         --      159
DUKE REALTY CORP              EQUITY        264411505       423      17,200 SH       DEFINED        5         --         --   17,200
DUN & BRADSTREET CORP DEL NE  EQUITY        2.65E+104         3          33 SH       DEFINED        5         --         --       33
DUN & BRADSTREET CORP NEW WI  EQUITY        2.65E+104    11,800     125,056 SH       SOLE           1    125,056         --       --
DUNCAN ENERGY PARTNERS LP     EQUITY        265026104         3         200 SH       DEFINED        4         --         --      200
DUPONT FABROS TECHNOLOGY INC  EQUITY        26613Q106       165      10,813 SH       SOLE           1     10,813         --       --
DURECT CORPORATION            EQUITY        266605104       415      74,244 SH       SOLE           1     74,244         --       --
DWS DREMAN VAL INCOME EDGE F  EQUITY        23339M105         3         353 SH       DEFINED        5         --         --      353
DWS HIGH INCOME TR            EQUITY        23337C109        37      11,200 SH       DEFINED        5         --         --   11,200
DWS MULTI MKT INCOME TR       EQUITY        23338L108        21       3,200 SH       DEFINED        4         --         --    3,200
DWS MULTI MKT INCOME TR       EQUITY        23338L108        39       5,914 SH       DEFINED        5         --         --    5,914
DWS RREEF REAL ESTATE FD II   EQUITY        23338X102        10       1,228 SH       DEFINED        5         --         --    1,228
DWS RREEF REAL ESTATE FD INC  EQUITY        233384106         6         450 SH       DEFINED        5         --         --      450
DWS STRATEGIC INCOME TR       EQUITY        23338N104         5         500 SH       DEFINED        5         --         --      500
DXP ENTERPRISES INC           EQUITY        233377407       174       3,255 SH       SOLE           1      3,255         --       --
DYAX CORP                     EQUITY        2.67E+107       225      50,467 SH       SOLE           1     50,467         --       --
DYCOM INDUSTRIES, INC.        EQUITY        267475101     1,635     125,604 SH       SOLE           1    125,604         --       --
DYNAMEX INC                   EQUITY        26784F103       238       8,394 SH       SOLE           1      8,394         --       --
DYNAMIC MATERIALS CORP        EQUITY        267888105       266      11,439 SH       SOLE           1     11,439         --       --
DYNCORP INTERNATIONAL INC     EQUITY        26817C101       376      22,452 SH       SOLE           1     22,452         --       --
DYNCORP INTL INC              EQUITY        26817C101         2         100 SH       DEFINED        4         --         --      100
DYNEGY INC                    EQUITY        26817G102       744     207,788 SH       SOLE           1    207,788         --       --
DYNEGY INC DEL                EQUITY        26817G102         8       2,105 SH       DEFINED        5         --         --    2,105
DYNEX CAP INC                 EQUITY        26817Q506         2         260 SH       DEFINED        5         --         --      260
DYNEX CAP INC                 EQUITY        26817Q605         8         852 SH       DEFINED        5         --         --      852
E HOUSE CHINA HLDGS LTD       EQUITY        26852W103        14       1,900 SH       DEFINED        4         --         --    1,900
E M C CORP MASS               EQUITY        268648102        40       3,369 SH       DEFINED        4         --         --    3,369
E M C CORP MASS               EQUITY        268648102       152      12,681 SH       DEFINED        5         --         --   12,681
E TRADE FINANCIAL CORP        EQUITY        269246104         4       1,400 SH       DEFINED        4         --         --    1,400
E TRADE FINANCIAL CORP        EQUITY        269246104         9       3,050 SH       DEFINED        5         --         --    3,050
E*TRADE FINANCIAL CORP        EQUITY        269246104       635     217,379 SH       SOLE           1    217,379         --       --
EAGLE BULK SHIPPING INC       EQUITY        Y2187A101        24       1,735 SH       DEFINED        4         --         --    1,735
EAGLE BULK SHIPPING INC       EQUITY        Y2187A101        57       4,100 SH       DEFINED        5         --         --    4,100
EAGLE MATERIALS INC           EQUITY        26969P108        21         947 SH       SOLE           1        947         --       --
EAGLE MATERIALS INC           EQUITY        26969P108        25       1,100 SH       DEFINED        5         --         --    1,100
EAGLE ROCK ENERGY PARTNERS L  EQUITY        26985R104         2         200 SH       DEFINED        4         --         --      200





                                                                                           
EAGLE TEST SYSTEMS INC        EQUITY        270006109       192      12,573 SH       SOLE           1     12,573         --       --
EARTHLINK INC                 EQUITY        270321102       845      99,758 SH       SOLE           1     99,758         --       --
EARTHLINK INC                 EQUITY        270321102         3         300 SH       DEFINED        4         --         --      300
EAST WEST BANCORP             EQUITY        27579R104       816      57,742 SH       SOLE           1     57,742         --       --
EAST WEST BANCORP INC         EQUITY        27579R104        10         753 SH       DEFINED        4         --         --      753
EASTERN AMERN NAT GAS TR      EQUITY        276217106        37       1,500 SH       DEFINED        5         --         --    1,500
EASTGROUP PROPERTIES, INC.    EQUITY        277276101     6,251     128,790 SH       SOLE           1    128,790         --       --
EASTMAN CHEM CO               EQUITY        277432100        20         360 SH       DEFINED        4         --         --      360
EASTMAN CHEMICAL CO.          EQUITY        277432100     4,812      87,391 SH       SOLE           1     87,391         --       --
EASTMAN KODAK CO              EQUITY        277461109         8         520 SH       DEFINED        5         --         --      520
EASTMAN KODAK CO              EQUITY        277461109        33       2,120 SH       DEFINED        4         --         --    2,120
EASTMAN KODAK CO.             EQUITY        277461109     2,301     149,626 SH       SOLE           1    149,626         --       --
EATON CORP                    EQUITY        278058102        14         250 SH       DEFINED        5         --         --      250
EATON CORP                    EQUITY        278058102        26         459 SH       DEFINED        4         --         --      459
EATON CORP                    EQUITY        278058102     1,713      30,500 SH       SOLE           2     30,500         --       --
EATON CORP.                   EQUITY        278058102     3,847      68,470 SH       SOLE           1     68,470         --       --
EATON VANCE CA MUNI INCOME T  EQUITY        27826F101        26       2,612 SH       DEFINED        4         --         --    2,612
EATON VANCE CORP              EQUITY        278265103         2          49 SH       DEFINED        5         --         --       49
EATON VANCE CORP.             EQUITY        278265103     9,339     265,085 SH       SOLE           1    265,085         --       --
EATON VANCE CR OPPORTUNIT FD  EQUITY        278271101         2         250 SH       DEFINED        5         --         --      250
EATON VANCE ENH EQTY INC FD   EQUITY        278277108        20       1,400 SH       DEFINED        5         --         --    1,400
EATON VANCE ENHANCED EQ INC   EQUITY        278274105        35       2,621 SH       DEFINED        5         --         --    2,621
EATON VANCE INS CA MUN BD FD  EQUITY        27828A100       136      12,234 SH       DEFINED        5         --         --   12,234
EATON VANCE INS MUN BD FD     EQUITY        27827X101        45       4,000 SH       DEFINED        4         --         --    4,000
EATON VANCE LTD DUR INCOME F  EQUITY        27828H105        21       1,910 SH       DEFINED        5         --         --    1,910
EATON VANCE LTD DUR INCOME F  EQUITY        27828H105        55       5,000 SH       DEFINED        4         --         --    5,000
EATON VANCE MUNI INCOME TRUS  EQUITY        27826U108        16       1,359 SH       DEFINED        5         --         --    1,359
EATON VANCE MUNI INCOME TRUS  EQUITY        27826U108       407      34,100 SH       DEFINED        4         --         --   34,100
EATON VANCE SR FLTNG RTE TR   EQUITY        27828Q105        32       2,914 SH       DEFINED        4         --         --    2,914
EATON VANCE SR FLTNG RTE TR   EQUITY        27828Q105       120      10,965 SH       DEFINED        5         --         --   10,965
EATON VANCE SR INCOME TR      EQUITY        27826S103         7       1,450 SH       DEFINED        4         --         --    1,450
EATON VANCE TAX ADVT DIV INC  EQUITY        27828G107        13         810 SH       DEFINED        5         --         --      810
EATON VANCE TAX ADVT DIV INC  EQUITY        27828G107        13         850 SH       DEFINED        4         --         --      850
EATON VANCE TAX MNG GBL DV E  EQUITY        27829F108         8         750 SH       DEFINED        5         --         --      750
EATON VANCE TX ADV GLBL DIV   EQUITY        27828S101         8         570 SH       DEFINED        4         --         --      570
EATON VANCE TX ADV GLBL DIV   EQUITY        27828S101        13         901 SH       DEFINED        5         --         --      901
EATON VANCE TX MGD DIV EQ IN  EQUITY        27828N102         2         125 SH       DEFINED        4         --         --      125
EATON VANCE TX MGD DIV EQ IN  EQUITY        27828N102        12       1,000 SH       DEFINED        5         --         --    1,000
EATON VANCE TX MNG BY WRT OP  EQUITY        27828Y108         3         220 SH       DEFINED        4         --         --      220
EATON VANCE TX MNG BY WRT OP  EQUITY        27828Y108        11         890 SH       DEFINED        5         --         --      890





                                                                                           
EATON VANCE TXMGD GL BUYWR O  EQUITY        27829C105        10         880 SH       DEFINED        5         --         --      880
EATON VANCE TXMGD GL BUYWR O  EQUITY        27829C105        17       1,490 SH       DEFINED        4         --         --    1,490
EBAY INC                      EQUITY        278642103        19         855 SH       DEFINED        4         --         --      855
EBAY INC                      EQUITY        278642103       184       8,215 SH       DEFINED        5         --         --    8,215
EBAY INC                      EQUITY        278642103     1,958      87,500 SH       SOLE           2     87,500         --       --
EBAY, INC.                    EQUITY        278642103    19,549     873,504 SH       SOLE           1    873,504         --       --
EBIX INC                      EQUITY        278715206       171       1,838 SH       SOLE           1      1,838         --       --
ECHELON                       EQUITY        27874N105       266      26,913 SH       SOLE           1     26,913         --       --
ECHELON CORP                  EQUITY        27874N105         5         500 SH       DEFINED        5         --         --      500
ECHELON CORP                  EQUITY        27874N105        20       2,000 SH       DEFINED        4         --         --    2,000
ECHOSTAR CORP                 EQUITY        278768106        33       1,379 SH       SOLE           1      1,379         --       --
ECLIPSYS CORP COM             EQUITY        278856109       710      33,900 SH       SOLE           3     33,900         --       --
ECLIPSYS CORP.                EQUITY        278856109     2,352     112,212 SH       SOLE           1    112,212         --       --
ECOLAB INC                    EQUITY        278865100       103       2,115 SH       DEFINED        5         --         --    2,115
ECOLAB INC COM                EQUITY        278865100     9,786     201,700 SH       SOLE           3     83,500              118200
ECOLAB, INC.                  EQUITY        278865100    13,503     278,301 SH       SOLE           1    278,301         --       --
ECOLOGY & ENVIRONMENT INC     EQUITY        278878103         2         210 SH       DEFINED        4         --         --      210
EDISON INTERNATIONAL INC      EQUITY        281020107    15,053     377,268 SH       SOLE           1    377,268         --       --
EDISON INTL                   EQUITY        281020107        39         990 SH       DEFINED        5         --         --      990
EDWARDS LIFESCIENCES COM      EQUITY        2.82E+112     7,214     124,900 SH       SOLE           3     52,600               72300
EDWARDS LIFESCIENCES CP       EQUITY        2.82E+112     7,429     128,617 SH       SOLE           1    128,617         --       --
EHEALTH INC                   EQUITY        28238P109       359      22,700 SH       SOLE           1     22,700         --       --
EI DU PONT DE NEMOURS & CO    EQUITY        263534109    33,249     825,134 SH       SOLE           1    825,134         --       --
EINSTEIN NOAH RESTAURANT
   GROUP INC                  EQUITY        28257U104        40       3,988 SH       SOLE           1      3,988         --       --
EL PASO CORP                  EQUITY        28336L109     6,292     493,129 SH       SOLE           1    493,129         --       --
EL PASO CORP                  EQUITY        28336L109        14       1,094 SH       DEFINED        4         --         --    1,094
EL PASO CORP                  EQUITY        28336L109        33       2,600 SH       DEFINED        5         --         --    2,600
EL PASO ELECTRIC CO.          EQUITY        283677854       855      40,702 SH       SOLE           1     40,702         --       --
EL PASO ENERGY CAP TR I       EQUITY        283678209        17         500 SH       DEFINED        4         --         --      500
ELAN PLC                      EQUITY        284131208        24       2,252 SH       DEFINED        5         --         --    2,252
ELBIT SYS LTD                 EQUITY        M3760D101         5         100 SH       DEFINED        4         --         --      100
ELDORADO GOLD CORPORATION     EQUITY        284902103        38       6,018 SH       OTHER          1         --      6,018       --
ELECTRO RENT CORP.            EQUITY        285218103       263      19,547 SH       SOLE           1     19,547         --       --
ELECTRO SCIENTIFIC
   INDUSTRIES,                EQUITY        285229100       351      24,702 SH       SOLE           1     24,702         --       --
ELECTRONIC ARTS               EQUITY        285512109     5,263     142,308 SH       SOLE           1    142,308         --       --
ELECTRONIC ARTS INC           EQUITY        285512109         3          85 SH       DEFINED        5         --         --       85
ELECTRONIC ARTS INC           EQUITY        285512109        64       1,724 SH       DEFINED        4         --         --    1,724
ELECTRONIC ARTS INC           EQUITY        285512109     1,288      34,816 SH       SOLE           2     34,816         --       --
ELECTRONICS FOR IMAGING, INC. EQUITY        286082102       674      48,352 SH       SOLE           1     48,352         --       --
ELI LILLY AND CO.             EQUITY        532457108    53,823   1,222,415 SH       SOLE           1  1,222,415         --       --





                                                                                           
ELIXIR GAMING TECHNOLOGIES
   INC                        EQUITY        28661G105        20      61,455 SH       SOLE           1     61,455         --       --
ELIZABETH ARDEN INC           EQUITY        28660G106       436      22,244 SH       SOLE           1     22,244         --       --
EMBARQ CORP                   EQUITY        2.91E+109    12,967     319,773 SH       SOLE           1    319,773         --       --
EMBARQ CORP                   EQUITY        2.91E+109        53       1,313 SH       DEFINED        5         --         --    1,313
EMC CORP                      EQUITY        268648102     1,247     104,300 SH       SOLE           2    104,300         --       --
EMC CORP.                     EQUITY        268648102    23,355   1,952,727 SH       SOLE           1  1,952,727         --       --
EMC INS GROUP INC             EQUITY        268664109       153       5,310 SH       SOLE           1      5,310         --       --
EMCOR GROUP, INC.             EQUITY        29084Q100     1,623      61,649 SH       SOLE           1     61,649         --       --
EMCORE CORP                   EQUITY        290846104        10       2,000 SH       DEFINED        4         --         --    2,000
EMCORE CORPORATION            EQUITY        290846104       330      66,835 SH       SOLE           1     66,835         --       --
EMERGENCY MEDICAL SERVICES
   CORP                       EQUITY        29100P102       253       8,461 SH       SOLE           1      8,461         --       --
EMERGENT BIOSOLUTIONS INC     EQUITY        29089Q105       161      12,286 SH       SOLE           1     12,286         --       --
EMERITUS CORP                 EQUITY        291005106       445      17,867 SH       SOLE           1     17,867         --       --
EMERSON ELEC CO               EQUITY        291011104        56       1,375 SH       DEFINED        5         --         --    1,375
EMERSON ELEC CO               EQUITY        291011104       143       3,496 SH       DEFINED        4         --         --    3,496
EMERSON ELEC CO               EQUITY        291011104     3,707      90,872 SH       SOLE           2     90,872         --       --
EMERSON ELECTRIC CO.          EQUITY        291011104    19,531     478,815 SH       SOLE           1    478,815         --       --
EMPIRE DIST ELEC CO           EQUITY        291641108        45       2,109 SH       DEFINED        4         --         --    2,109
EMPIRE DISTRICT ELECTRIC CO.  EQUITY        291641108       655      30,700 SH       SOLE           1     30,700         --       --
EMPLOYERS HOLDINGS INC        EQUITY        292218104       781      44,927 SH       SOLE           1     44,927         --       --
EMPRESA BRASILEIRA DE
   AERONAUTICA SA             EQUITY        29081M102     5,848     218,625 SH       SOLE           1    218,625         --       --
EMPRESA NACIONAL DE ELEC ADR  EQUITY        29244T101     1,147      25,848 SH       SOLE           1     25,848         --       --
EMS TECHNOLOGIES INC          EQUITY        26873N108       318      14,217 SH       SOLE           1     14,217         --       --
EMULEX CORP                   EQUITY        292475209       819      76,717 SH       SOLE           1     76,717         --       --
EMULEX CORP                   EQUITY        292475209         5         500 SH       DEFINED        5         --         --      500
ENBRIDGE ENERGY MANAGEMENT L  EQUITY        29250X103         3          60 SH       DEFINED        4         --         --       60
ENBRIDGE ENERGY PARTNERS L P  EQUITY        29250R106       123       3,100 SH       DEFINED        5         --         --    3,100
ENBRIDGE ENERGY PARTNERS L P  EQUITY        29250R106       152       3,830 SH       DEFINED        4         --         --    3,830
ENBRIDGE INC                  EQUITY        29250N105     1,022      27,581 SH       OTHER          1         --     27,581       --
ENCANA CORP                   EQUITY        292505104     9,838     154,025 SH       OTHER          1         --    154,025       --
ENCANA CORP                   EQUITY        292505104        41         627 SH       DEFINED        4         --         --      627
ENCANA CORP                   EQUITY        292505104        85       1,293 SH       DEFINED        5         --         --    1,293
ENCORE ACQUISITION CO         EQUITY        29255W100     5,842     139,828 SH       SOLE           1    139,828         --       --
ENCORE ACQUISITION CO         EQUITY        29255W100       343       8,200 SH       SOLE           3      8,200         --       --
ENCORE BANCSHARES INC         EQUITY        29255V201        98       5,841 SH       SOLE           1      5,841         --       --
ENCORE CAPITAL GROUP INC      EQUITY        292554102       170      12,418 SH       SOLE           1     12,418         --       --
ENCORE WIRE CORP              EQUITY        292562105       301      16,611 SH       SOLE           1     16,611         --       --
ENDEAVOUR INTERNATIONAL CORP  EQUITY        29259G101       136     103,192 SH       SOLE           1    103,192         --       --
ENDO PHARMACEUTICALS          EQUITY        29264F205     5,503     275,545 SH       SOLE           1    275,545         --       --
ENDO PHARMACEUTICALS HLDGS I  EQUITY        29264F205         4         175 SH       DEFINED        4         --         --      175





                                                                                           
ENDURANCE SPECIALTY HLDGS LT  EQUITY        G30397106         4         125 SH       DEFINED        5         --         --      125
ENER1 INC                     EQUITY        29267A203       255      32,603 SH       SOLE           1     32,603         --       --
ENER1 INC                     EQUITY        29267A203         2         314 SH       DEFINED        5         --         --      314
ENERGEN CORP                  EQUITY        29265N108         2          50 SH       DEFINED        5         --         --       50
ENERGEN CORP.                 EQUITY        29265N108     7,716     170,417 SH       SOLE           1    170,417         --       --
ENERGIZER HLDGS INC           EQUITY        29266R108        14         176 SH       DEFINED        5         --         --      176
ENERGIZER HLDGS INC           EQUITY        29266R108       717       8,900 SH       SOLE           2      8,900         --       --
ENERGIZER HOLDINGS INC        EQUITY        29266R108    10,719     133,070 SH       SOLE           1    133,070         --       --
ENERGY CONVERSION DEVICES IN  EQUITY        292659109        29         500 SH       DEFINED        5         --         --      500
ENERGY CONVERSION DEVICES IN  EQUITY        292659109       949      16,287 SH       DEFINED        4         --         --   16,287
ENERGY CONVERSION DEVICES,
   INC                        EQUITY        292659109     3,167      54,450 SH       SOLE           1     54,450         --       --
ENERGY CONVERSN DEVICE COM    EQUITY        292659109       425       7,300 SH       SOLE           3      7,300         --       --
ENERGY INCOME & GROWTH FD     EQUITY        292697109        16         800 SH       DEFINED        5         --         --      800
ENERGY INCOME & GROWTH FD     EQUITY        292697109       134       6,890 SH       DEFINED        4         --         --    6,890
ENERGY PARTNERS LTD           EQUITY        29270U105       252      29,066 SH       SOLE           1     29,066         --       --
ENERGY TRANSFER EQUITY LP     EQUITY        29273V100     4,730     217,466 SH       SOLE           1    217,466         --       --
ENERGYSOLUTIONS INC           EQUITY        292756202       302      30,197 SH       SOLE           1     30,197         --       --
ENERGYSOUTH INC               EQUITY        292970100       409       6,653 SH       SOLE           1      6,653         --       --
ENERNOC INC                   EQUITY        292764107       255      24,572 SH       SOLE           1     24,572         --       --
ENERPLUS RES FD               EQUITY        29274D604        17         450 SH       DEFINED        5         --         --      450
ENERPLUS RES FD               EQUITY        29274D604       275       7,399 SH       DEFINED        4         --         --    7,399
ENERPLUS RESOURCES FUND       EQUITY        29274D604     2,392      65,702 SH       OTHER          1         --     65,702       --
ENERSIS S A                   EQUITY        29274F104        31       1,896 SH       DEFINED        5         --         --    1,896
ENERSYS                       EQUITY        29275Y102       492      24,987 SH       SOLE           1     24,987         --       --
ENERSYS                       EQUITY        29275Y102        39       2,000 SH       DEFINED        5         --         --    2,000
ENGLOBAL CORP                 EQUITY        293306106       328      24,659 SH       SOLE           1     24,659         --       --
ENGLOBAL CORP                 EQUITY        293306106         8         600 SH       DEFINED        5         --         --      600
ENNIS INC                     EQUITY        293389102       362      23,437 SH       SOLE           1     23,437         --       --
ENPRO INDUSTRIES INC          EQUITY        29355X107       683      18,376 SH       SOLE           1     18,376         --       --
ENSCO INTERNATIONAL, INC.     EQUITY        26874Q100     6,781     117,673 SH       SOLE           1    117,673         --       --
ENSIGN GROUP INC/THE          EQUITY        29358P101       129       7,549 SH       SOLE           1      7,549         --       --
ENTEGRIS INC                  EQUITY        29362U104       503     103,864 SH       SOLE           1    103,864         --       --
ENTEGRIS INC                  EQUITY        29362U104         2         382 SH       DEFINED        5         --         --      382
ENTERCOM COMMUNICATIONS CORP  EQUITY        293639100         1         214 SH       DEFINED        4         --         --      214
ENTERCOM COMMUNICATIONS CORP. EQUITY        293639100       423      84,304 SH       SOLE           1     84,304         --       --
ENTERGY ARKANSAS INC          EQUITY        29364G103     9,760     109,646 SH       SOLE           1    109,646         --       --
ENTERGY CORP NEW              EQUITY        29364G103         2          27 SH       DEFINED        5         --         --       27
ENTERGY CORP NEW              EQUITY        29364G103       103       1,157 SH       DEFINED        4         --         --    1,157
ENTERPRISE FINANCIAL SERVICE  EQUITY        293712105       228      10,107 SH       SOLE           1     10,107         --       --
ENTERPRISE PROD PTNRS         EQUITY        293792107       988      38,350 SH       SOLE           1     38,350         --       --





                                                                                           
ENTERPRISE PRODS PARTNERS L   EQUITY        293792107        84       3,250 SH       DEFINED        4         --         --    3,250
ENTERPRISE PRODS PARTNERS L   EQUITY        293792107       296      11,480 SH       DEFINED        5         --         --   11,480
ENTERRA ENERGY TR             EQUITY        29381P102         5       2,000 SH       DEFINED        5         --         --    2,000
ENTERTAINMENT PROPERTIES
   TRUST                      EQUITY        29380T105     7,465     136,415 SH       SOLE           1    136,415         --       --
ENTRAVISION COMMUNIC          EQUITY        29382R107       145      53,997 SH       SOLE           1     53,997         --       --
ENTROPIC COMMUNICATIONS INC   EQUITY        29384R105        11       8,362 SH       SOLE           1      8,362         --       --
ENTRUST TECHNOLOGIES INC.     EQUITY        293848107       118      55,609 SH       SOLE           1     55,609         --       --
ENZO BIOCHEM, INC.            EQUITY        294100102       321      29,275 SH       SOLE           1     29,275         --       --
ENZON PHARMACEUTICALS INC     EQUITY        293904108       301      40,782 SH       SOLE           1     40,782         --       --
EOG RES INC                   EQUITY        26875P101        23         260 SH       DEFINED        5         --         --      260
EOG RESOURCES INC             EQUITY        26875P101    15,951     178,304 SH       SOLE           1    178,304         --       --
EPICOR SOFTWARE CORPORATION   EQUITY        29426L108       427      54,030 SH       SOLE           1     54,030         --       --
EPIQ SYS INC COM              EQUITY        26882D109       974      71,600 SH       SOLE           3     71,600         --       --
EPIQ SYSTEMS INC              EQUITY        26882D109       438      32,174 SH       SOLE           1     32,174         --       --
EPOCH HOLDING CORP            EQUITY        29428R103       101       9,140 SH       SOLE           1      9,140         --       --
EQUIFAX INC                   EQUITY        294429105     4,341     126,000 SH       SOLE           2    126,000         --       --
EQUIFAX, INC.                 EQUITY        294429105     1,766      51,256 SH       SOLE           1     51,256         --       --
EQUINIX INC                   EQUITY        29444U502        46         665 SH       SOLE           1        665         --       --
EQUITABLE RES INC             EQUITY        294549100       183       5,000 SH       DEFINED        5         --         --    5,000
EQUITABLE RESOURCES, INC.     EQUITY        294549100    10,977     299,263 SH       SOLE           1    299,263         --       --
EQUITY LIFESTYLE PROPERTIES
   INC                        EQUITY        29472R108     7,199     135,749 SH       SOLE           1    135,749         --       --
EQUITY RESIDENTIAL            EQUITY        29476L107    17,319     389,989 SH       SOLE           1    389,989         --       --
EQUITY RESIDENTIAL            EQUITY        29476L107        22         489 SH       DEFINED        5         --         --      489
ERESEARCHTECHNOLOGY IN        EQUITY        29481V108       468      39,303 SH       SOLE           1     39,303         --       --
ERICSSON L M TEL CO           EQUITY        294821608         5         560 SH       DEFINED        4         --         --      560
ERIE INDEMNITY COMPA          EQUITY        29530P102       221       5,078 SH       SOLE           1      5,078         --       --
ESCO ELECTRONICS CORP         EQUITY        296315104     1,136      23,573 SH       SOLE           1     23,573         --       --
ESSA BANCORP INC              EQUITY        29667D104       213      15,413 SH       SOLE           1     15,413         --       --
ESSEX PROPERTY TRUST, INC.    EQUITY        297178105    18,709     158,106 SH       SOLE           1    158,106         --       --
ESTEE LAUDER COMPANIES-CL A   EQUITY        518439104     2,253      45,151 SH       SOLE           1     45,151         --       --
ESTERLINE TECHNOLOGIES CORP   EQUITY        297425100         8         200 SH       DEFINED        5         --         --      200
ESTERLINE TECHNOLOGIES CORP.  EQUITY        297425100     1,058      26,718 SH       SOLE           1     26,718         --       --
ETHAN ALLEN INTERIOR          EQUITY        297602104     3,248     115,922 SH       SOLE           1    115,922         --       --
EURO CURRENCY          CAP    EQUITY              EUR        44      31,588 SH       SOLE           2     31,588         --       --
EURONET WORLDWIDE INC         EQUITY        298736109       717      42,850 SH       SOLE           1     42,850         --       --
EURONET WORLDWIDE INC         EQUITY        298736109     9,544     570,500 SH       SOLE           2    570,500         --       --
EUROSEAS LTD                  EQUITY        Y23592200       106      13,264 SH       DEFINED        4         --         --   13,264
EV ENERGY PARTNERS LP         EQUITY        26926V107         8         400 SH       DEFINED        4         --         --      400
EV3 INC                       EQUITY        26928A200       641      63,934 SH       SOLE           1     63,934         --       --
EVERCORE PARTNERS INC         EQUITY        29977A105       161       8,943 SH       SOLE           1      8,943         --       --





                                                                                           
EVEREST RE GROUP LTD          EQUITY        G3223R108         4          50 SH       DEFINED        4         --         --       50
EVEREST RE GROUP LTD          EQUITY        G3223R108        10         118 SH       DEFINED        5         --         --      118
EVERGREEN ENERGY INC          EQUITY        30024B104        76      76,804 SH       SOLE           1     76,804         --       --
EVERGREEN GBL DIVID OPP FUND  EQUITY        30024H101         9         809 SH       DEFINED        5         --         --      809
EVERGREEN INCOME ADVANTAGE F  EQUITY        30023Y105         5         719 SH       DEFINED        5         --         --      719
EVERGREEN INCOME ADVANTAGE F  EQUITY        30023Y105        38       5,073 SH       DEFINED        4         --         --    5,073
EVERGREEN INTL BALANCED INCO  EQUITY        30024R109         2         175 SH       DEFINED        5         --         --      175
EVERGREEN MULTI SECT INC FUN  EQUITY        30024Y104         3         249 SH       DEFINED        4         --         --      249
EVERGREEN MULTI SECT INC FUN  EQUITY        30024Y104         9         755 SH       DEFINED        5         --         --      755
EVERGREEN SOLAR INC           EQUITY        30033R108       721     130,399 SH       SOLE           1    130,399         --       --
EVERGREEN SOLAR INC           EQUITY        30033R108         3         500 SH       DEFINED        4         --         --      500
EVERGREEN SOLAR INC           EQUITY        30033R108         3         500 SH       DEFINED        5         --         --      500
EVERGREEN UTLS & HIGH INCM F  EQUITY        30034Q109        15       1,000 SH       DEFINED        5         --         --    1,000
EW SCRIPPS CO                 EQUITY        811054402         9       1,211 SH       SOLE           1      1,211         --       --
EXACTECH INC                  EQUITY        3.01E+113       154       6,900 SH       SOLE           1      6,900         --       --
EXACTECH INC COM              EQUITY        3.01E+113     1,205      54,200 SH       SOLE           3     54,200         --       --
EXAR CORP.                    EQUITY        300645108       261      34,069 SH       SOLE           1     34,069         --       --
EXCEL MARITIME CARRIERS LTD   EQUITY        V3267N107        60       4,000 SH       DEFINED        5         --         --    4,000
EXCO RESOURCES INC            EQUITY        269279402    85,937   4,925,170 SH       SOLE           1  4,925,170         --       --
EXELIXIS INC                  EQUITY        30161Q104         6         942 SH       DEFINED        5         --         --      942
EXELIXIS, INC.                EQUITY        30161Q104       581      95,638 SH       SOLE           1     95,638         --       --
EXELON CORP                   EQUITY        30161N101    20,159     321,933 SH       SOLE           1    321,933         --       --
EXELON CORP                   EQUITY        30161N101        93       1,488 SH       DEFINED        5         --         --    1,488
EXELON CORP                   EQUITY        30161N101       125       1,991 SH       DEFINED        4         --         --    1,991
EXIDE TECHNOLOGIES            EQUITY        302051206       505      68,384 SH       SOLE           1     68,384         --       --
EXLSERVICE HOLDINGS INC       EQUITY        302081104       113      12,877 SH       SOLE           1     12,877         --       --
EXPEDIA INC                   EQUITY        30212P105     3,598     238,227 SH       SOLE           1    238,227         --       --
EXPEDITORS INTERNATIONAL
   OF WA                      EQUITY        302130109     3,313      94,782 SH       SOLE           1     94,782         --       --
EXPEDITORS INTL WASH INC      EQUITY        302130109        16         448 SH       DEFINED        5         --         --      448
EXPONENT INC                  EQUITY        30214U102       445      13,418 SH       SOLE           1     13,418         --       --
EXPRESS SCRIPTS INC           EQUITY        302182100       465       6,300 SH       SOLE           2      6,300         --       --
EXPRESS SCRIPTS INC           EQUITY        302182100     4,769      64,600 SH       SOLE           3     29,300               35300
EXPRESS SCRIPTS, INC.         EQUITY        302182100    28,208     382,077 SH       SOLE           1    382,077         --       --
EXPRESSJET HOLDINGS INC       FIXED INCOME  30218UAB4         1           2 PRN      DEFINED        5         --         --        2
EXTERRAN HOLDINGS INC         EQUITY        30225X103     4,835     151,282 SH       SOLE           1    151,282         --       --
EXTRA SPACE STORAGE INC       EQUITY        30225T102     1,109      72,189 SH       SOLE           1     72,189         --       --
EXTREME NETWORK INC           EQUITY        30226D106       331     105,561 SH       SOLE           1    105,561         --       --
EXTREME NETWORKS INC          EQUITY        30226D106         2         500 SH       DEFINED        5         --         --      500
EXXON MOBIL CORP              EQUITY        30231G102     1,478      19,036 SH       DEFINED        4         --         --   19,036
EXXON MOBIL CORP              EQUITY        30231G102     2,225      28,656 SH       DEFINED        5         --         --   28,656





                                                                                           
EXXON MOBIL CORP              EQUITY        30231G102    24,422     314,467 SH       SOLE           2    314,467         --       --
EXXON MOBIL CORP.             EQUITY        30231G102   247,846   3,191,423 SH       SOLE           1  3,191,423         --       --
EZCHIP SEMICONDUCTOR LIMITED  EQUITY        M4146Y108        19       1,600 SH       DEFINED        5         --         --    1,600
EZCORP INC                    EQUITY        302301106     1,840      97,753 SH       SOLE           1     97,753         --       --
EZCORP INC CL A NON VTG       EQUITY        302301106     1,416      75,300 SH       SOLE           3     75,300         --       --
F M C CORP                    EQUITY        302491303         3          60 SH       DEFINED        5         --         --       60
F5 NETWORKS INC               EQUITY        315616102     4,826     206,395 SH       SOLE           1    206,395         --       --
FACTSET RESEARCH SYSTEMS,
   INC.                       EQUITY        303075105     5,108      97,769 SH       SOLE           1     97,769         --       --
FACTSET RESH SYS INC          EQUITY        303075105        10         200 SH       DEFINED        5         --         --      200
FAIR ISSAC CORP               EQUITY        303250104     3,552     154,100 SH       SOLE           1    154,100         --       --
FAIRCHILD SEMICONDUCTOR CORP. EQUITY        303726103     2,552     287,019 SH       SOLE           1    287,019         --       --
FAIRFAX FINANCIAL HOLDINGS
   LTD                        EQUITY        303901102     2,685       8,395 SH       OTHER          1         --      8,395       --
FAIRPOINT COMMUNICATIONS INC  EQUITY        305560104       703      81,069 SH       SOLE           1     81,069         --       --
FAIRPOINT COMMUNICATIONS INC  EQUITY        305560104       143      16,478 SH       DEFINED        5         --         --   16,478
FALCONSTOR SOFTWARE INC       EQUITY        306137100       186      34,641 SH       SOLE           1     34,641         --       --
FAMILY DOLLAR STORES, INC.    EQUITY        307000109     1,356      57,223 SH       SOLE           1     57,223         --       --
FARMER BROS. CO.              EQUITY        307675108       152       6,128 SH       SOLE           1      6,128         --       --
FARMERS CAPITAL BANK CORP     EQUITY        309562106       152       5,630 SH       SOLE           1      5,630         --       --
FARO TECHNOLOGIES INC         EQUITY        311642102       310      15,190 SH       SOLE           1     15,190         --       --
FASTENAL CO                   EQUITY        311900104       453       9,166 SH       DEFINED        5         --         --    9,166
FASTENAL CO                   EQUITY        311900104       539      10,918 SH       DEFINED        4         --         --   10,918
FASTENAL CO COM               EQUITY        311900104     5,062     102,500 SH       SOLE           3     38,300               64200
FASTENAL CO.                  EQUITY        311900104     2,884      58,425 SH       SOLE           1     58,425         --       --
FBL FINANCIAL GROUP, INC.,
   CLASS A                    EQUITY        30239F106       324      11,633 SH       SOLE           1     11,633         --       --
FBR CAPITAL MARKETS CORP      EQUITY        30247C301       164      25,286 SH       SOLE           1     25,286         --       --
FCSTONE GROUP INC             EQUITY        31308T100       378      20,645 SH       SOLE           1     20,645         --       --
FEDERAL AGRIC MTG CORP        EQUITY        313148306        35       8,605 SH       SOLE           1      8,605         --       --
FEDERAL HOME LN MTG CORP      EQUITY        313400301        13       7,330 SH       DEFINED        5         --         --    7,330
FEDERAL MOGUL CORP            EQUITY        313549404        10         770 SH       SOLE           1        770         --       --
FEDERAL NATL MTG ASSN         EQUITY        313586109        13       8,683 SH       DEFINED        4         --         --    8,683
FEDERAL NATL MTG ASSN         EQUITY        313586109        19      12,155 SH       DEFINED        5         --         --   12,155
FEDERAL REALTY INVS TRUST     EQUITY        313747206    24,791     289,612 SH       SOLE           1    289,612         --       --
FEDERAL SIGNAL CORP.          EQUITY        313855108     2,072     151,275 SH       SOLE           1    151,275         --       --
FEDERATED INVESTORS           EQUITY        314211103     7,327     253,957 SH       SOLE           1    253,957         --       --
FEDEX CORP                    EQUITY        31428X106        33         417 SH       DEFINED        4         --         --      417
FEDEX CORP                    EQUITY        31428X106        67         852 SH       DEFINED        5         --         --      852
FEDEX CORPORATION             EQUITY        31428X106     9,251     117,036 SH       SOLE           1    117,036         --       --
FEI COMPANY                   EQUITY        30241L109       788      33,154 SH       SOLE           1     33,154         --       --
FELCOR LODGING TRUST, INC.    EQUITY        31430F101       410      57,240 SH       SOLE           1     57,240         --       --
FERRELLGAS PARTNERS L.P.      EQUITY        315293100        93       5,102 SH       DEFINED        4         --         --    5,102





                                                                                           
FERRELLGAS PARTNERS L.P.      EQUITY        315293100       141       7,700 SH       DEFINED        5         --         --    7,700
FERRO CORP.                   EQUITY        315405100     2,789     138,747 SH       SOLE           1    138,747         --       --
FIBERTOWER CORP               EQUITY        31567R100       195     151,504 SH       SOLE           1    151,504         --       --
FIDELITY COMWLTH TR           EQUITY        315912808        33         400 SH       DEFINED        5         --         --      400
FIDELITY NATIONAL FINANCIAL   EQUITY        31620R105         2         134 SH       DEFINED        5         --         --      134
FIDELITY NATIONAL FINL-A      EQUITY        31620R105     7,141     485,815 SH       SOLE           1    485,815         --       --
FIDELITY NAT'L INFO SVCS INC  EQUITY        31620M106     1,430      77,460 SH       SOLE           1     77,460         --       --
FIDUCIARY CLAYMORE MLP OPP F  EQUITY        31647Q106         9         500 SH       DEFINED        4         --         --      500
FIDUCIARY CLAYMORE MLP OPP F  EQUITY        31647Q106        25       1,353 SH       DEFINED        5         --         --    1,353
FIFTH THIRD BANCORP           EQUITY        316773100     2,873     237,247 SH       SOLE           1    237,247         --       --
FIFTH THIRD BANCORP           EQUITY        316773100         8         697 SH       DEFINED        4         --         --      697
FIFTH THIRD BANCORP           EQUITY        316773100        19       1,599 SH       DEFINED        5         --         --    1,599
FINANCIAL FEDERAL CORP.       EQUITY        317492106       531      23,176 SH       SOLE           1     23,176         --       --
FINANCIAL SELECT SECTOR SPDR
   FUND                       EQUITY        81369Y605    19,399     977,320 SH       SOLE           1    977,320         --       --
FINCANCIAL INSTITUTIONS INC   EQUITY        317585404       199       9,955 SH       SOLE           1      9,955         --       --
FINISAR                       EQUITY        31787A101         8       7,603 SH       DEFINED        5         --         --    7,603
FINISAR CORPORATION           EQUITY        31787A101       363     359,230 SH       SOLE           1    359,230         --       --
FINISH LINE INC               EQUITY        317923100         3         350 SH       DEFINED        5         --         --      350
FINISH LINE, INC.             EQUITY        317923100       386      38,687 SH       SOLE           1     38,687         --       --
FIRST ACCEPTANCE CORP         EQUITY        318457108        53      15,653 SH       SOLE           1     15,653         --       --
FIRST ADVANTAGE CORP          EQUITY        31845F100        29       2,067 SH       DEFINED        4         --         --    2,067
FIRST ADVANTAGE CORP-CL A     EQUITY        31845F100       131       9,330 SH       SOLE           1      9,330         --       --
FIRST AMERICAN CAP TRUST
   CLASS A                    EQUITY        318522307     6,284     213,021 SH       SOLE           1    213,021         --       --
FIRST AMERN CORP CALIF        EQUITY        318522307        21         700 SH       DEFINED        5         --         --      700
FIRST BANCORP INC/ME          EQUITY        31866P102       154       7,862 SH       SOLE           1      7,862         --       --
FIRST BANCORP N C             EQUITY        318910106        28       1,650 SH       DEFINED        4         --         --    1,650
FIRST BANCORP NORTH CAROLINA  EQUITY        318910106       228      13,032 SH       SOLE           1     13,032         --       --
FIRST BANCORP P R             EQUITY        318672102         3         232 SH       DEFINED        5         --         --      232
FIRST BANCORP/PUERTO RICO     EQUITY        318672102       716      64,773 SH       SOLE           1     64,773         --       --
FIRST BUSEY CORP              EQUITY        319383105       423      23,052 SH       SOLE           1     23,052         --       --
FIRST CASH FINL SVCS INC      EQUITY        31942D107       270      18,013 SH       SOLE           1     18,013         --       --
FIRST CITIZENS BANCSHARES,
   INC CLASS A                EQUITY        31946M103        33         204 SH       SOLE           1        204         --       --
FIRST COMMONWEALTH FINANCIAL  EQUITY        319829107       897      66,570 SH       SOLE           1     66,570         --       --
FIRST COMMUNITY BANCSHARES
   INC                        EQUITY        31983A103       313       8,282 SH       SOLE           1      8,282         --       --
FIRST FINANCIAL BANCORP       EQUITY        320209109       501      34,171 SH       SOLE           1     34,171         --       --
FIRST FINANCIAL BANKSHARES    EQUITY        32020R109     1,005      18,863 SH       SOLE           1     18,863         --       --
FIRST FINANCIAL CORP.         EQUITY        320218100       494      10,305 SH       SOLE           1     10,305         --       --
FIRST FINANCIAL HOLDINGS,
   INC.                       EQUITY        320239106       281      10,588 SH       SOLE           1     10,588         --       --
FIRST FINANCIAL NORTHWEST INC EQUITY        32022K102       215      20,876 SH       SOLE           1     20,876         --       --
FIRST HORIZON NATIONAL CORP   EQUITY        320517105       783      83,682 SH       SOLE           1     83,682         --       --





                                                                                           
FIRST HORIZON NATL CORP       EQUITY        320517105        47       5,045 SH       DEFINED        5         --         --    5,045
FIRST INDUSTRIAL REALITY
   TRUST                      EQUITY        32054K103     1,155      40,260 SH       SOLE           1     40,260         --       --
FIRST INDUSTRIAL REALTY TRUS  EQUITY        32054K103         5         158 SH       DEFINED        5         --         --      158
FIRST INDUSTRIAL REALTY TRUS  EQUITY        32054K103        41       1,426 SH       DEFINED        4         --         --    1,426
FIRST MARBLEHEAD CORP/THE     EQUITY        320771108       156      62,728 SH       SOLE           1     62,728         --       --
FIRST MERCHANTS CORP.         EQUITY        320817109       379      16,597 SH       SOLE           1     16,597         --       --
FIRST MERCURY FINANCIAL CORP  EQUITY        320841109       188      13,186 SH       SOLE           1     13,186         --       --
FIRST MIDWEST BANCORP, INC.   EQUITY        320867104     1,085      44,157 SH       SOLE           1     44,157         --       --
FIRST NIAGARA FINANCIAL GRP   EQUITY        33582V108     5,749     364,768 SH       SOLE           1    364,768         --       --
FIRST PLACE FINANCIAL CORP    EQUITY        33610T109       205      15,405 SH       SOLE           1     15,405         --       --
FIRST POTOMAC RLTY TR         EQUITY        33610F109         7         432 SH       DEFINED        4         --         --      432
FIRST SOLAR INC               EQUITY        336433107        66         348 SH       SOLE           1        348         --       --
FIRST SOLAR INC               EQUITY        336433107        33         175 SH       DEFINED        5         --         --      175
FIRST SOLAR INC               EQUITY        336433107        75         397 SH       DEFINED        4         --         --      397
FIRST SOLAR INC               EQUITY        336433107       359       1,900 SH       SOLE           2      1,900         --       --
FIRST SOUTH BANCORP IN        EQUITY        33646W100       126       7,293 SH       SOLE           1      7,293         --       --
FIRST TR ABERDEEN GLBL OPP F  EQUITY        337319107         2         200 SH       DEFINED        4         --         --      200
FIRST TR ABERDEEN GLBL OPP F  EQUITY        337319107        10         800 SH       DEFINED        5         --         --      800
FIRST TR ENHANCED EQTY INC F  EQUITY        337318109         7         600 SH       DEFINED        5         --         --      600
FIRST TR EXCHANGE TRADED FD   EQUITY        33734X119         4         200 SH       DEFINED        5         --         --      200
FIRST TR ISE GLB WIND ENRG E  EQUITY        33736G106         3         140 SH       DEFINED        5         --         --      140
FIRST TR ISE GLB WIND ENRG E  EQUITY        33736G106        47       2,460 SH       DEFINED        4         --         --    2,460
FIRST TR STRTGC HIGH INCM FD  EQUITY        337347108         3         550 SH       DEFINED        4         --         --      550
FIRST TR VALUE LINE 100 ETF   EQUITY        33735G107         2         122 SH       DEFINED        5         --         --      122
FIRST TR VALUE LINE DIVID IN  EQUITY        33734H106        28       2,000 SH       DEFINED        5         --         --    2,000
FIRST TR/FOUR CRNRS SR FLOAT  EQUITY        33733U108        17       1,674 SH       DEFINED        4         --         --    1,674
FIRSTENERGY CORP              EQUITY        337932107        10         150 SH       DEFINED        4         --         --      150
FIRSTENERGY CORP              EQUITY        337932107        48         723 SH       DEFINED        5         --         --      723
FIRSTENERGY CORP.             EQUITY        337932107     9,050     135,097 SH       SOLE           1    135,097         --       --
FIRSTFED FINANCIAL CORP.      EQUITY        337907109        97      12,421 SH       SOLE           1     12,421         --       --
FIRSTFED FINL CORP            EQUITY        337907109         5         600 SH       DEFINED        5         --         --      600
FIRSTMERIT CORP.              EQUITY        337915102     5,466     256,384 SH       SOLE           1    256,384         --       --
FISERV INC                    EQUITY        337738108        47         988 SH       DEFINED        5         --         --      988
FISERV INC                    EQUITY        337738108    24,062     508,500 SH       SOLE           2    508,500         --       --
FISERV, INC.                  EQUITY        337738108     4,890     103,609 SH       SOLE           1    103,609         --       --
FISHER COMMUNICATIONS INC     EQUITY        337756209       239       6,070 SH       SOLE           1      6,070         --       --
FISHER SCIENTIFIC INTL INC    FIXED INCOME  338032AW5         2           1 PRN      DEFINED        4         --         --        1
FIVE STAR QUALITY CARE INC    EQUITY        33832D106       108      28,879 SH       SOLE           1     28,879         --       --
FLAGSTAR BANCORP, INC.        EQUITY        337930101       141      47,207 SH       SOLE           1     47,207         --       --
FLAHERTY & CRMRN CLYMRE T R   EQUITY        338479108         8       1,000 SH       DEFINED        5         --         --    1,000





                                                                                           
FLAHERTY & CRUMRINE PFD INC   EQUITY        338480106       326      53,309 SH       DEFINED        4         --         --   53,309
FLANDERS CORPORATION          EQUITY        338494107        92      14,593 SH       SOLE           1     14,593         --       --
FLEETWOOD ENTERPRISES, INC.   EQUITY        339099103        71      69,214 SH       SOLE           1     69,214         --       --
FLIR SYS INC                  EQUITY        302445101        15         400 SH       DEFINED        4         --         --      400
FLIR SYS INC                  EQUITY        302445101     6,785     176,600 SH       SOLE           3     73,200              103400
FLIR SYSTEMS INC (USD)        EQUITY        302445101    13,336     347,662 SH       SOLE           1    347,662         --       --
FLOTEK INDUSTRIES INC         EQUITY        343389102       227      20,640 SH       SOLE           1     20,640         --       --
FLOW INTERNATIONAL CORP       EQUITY        343468104       174      34,116 SH       SOLE           1     34,116         --       --
FLOWERS FOODS INC             EQUITY        343498101     2,063      70,257 SH       SOLE           1     70,257         --       --
FLOWSERVE CORP                EQUITY        34354P105         9         100 SH       DEFINED        4         --         --      100
FLOWSERVE CORP.               EQUITY        34354P105    11,689     131,676 SH       SOLE           1    131,676         --       --
FLUOR CORP                    EQUITY        343412102     6,532     117,277 SH       SOLE           1    117,277         --       --
FLUOR CORP NEW                EQUITY        343412102        57       1,030 SH       DEFINED        4         --         --    1,030
FLUOR CORP NEW COM            EQUITY        343412102     2,295      41,200 SH       SOLE           3     16,500               24700
FLUSHING FINANCIAL CORP       EQUITY        343873105       341      19,513 SH       SOLE           1     19,513         --       --
FMC CORP.                     EQUITY        302491303     8,824     171,704 SH       SOLE           1    171,704         --       --
FMC TECHNOLOGIES INC          EQUITY        30249U101    18,213     391,257 SH       SOLE           1    391,257         --       --
FMC TECHNOLOGIES INC          EQUITY        30249U101       150       3,214 SH       DEFINED        4         --         --    3,214
FMC TECHNOLOGIES INC          EQUITY        30249U101     1,243      26,700 SH       SOLE           2     26,700         --       --
FNB CORP.                     EQUITY        302520101     1,249      78,182 SH       SOLE           1     78,182         --       --
FOCUS MEDIA HLDG LTD          EQUITY        34415V109         2          65 SH       DEFINED        5         --         --       65
FOCUS MEDIA HOLDING-ADR       EQUITY        34415V109       168       5,961 SH       SOLE           1      5,961         --       --
FOMENTO ECONOMICO MEX -SP ADR EQUITY        344419106    21,077     553,854 SH       SOLE           1    553,854         --       --
FOOT LOCKER INC               EQUITY        344849104     5,758     356,341 SH       SOLE           1    356,341         --       --
FORCE PROTECTION INC          EQUITY        345203202       158      61,824 SH       SOLE           1     61,824         --       --
FORCE PROTECTION INC          EQUITY        345203202         9       3,250 SH       DEFINED        5         --         --    3,250
FORD MOTOR CO.                EQUITY        345370860     8,081   1,554,127 SH       SOLE           1  1,554,127         --       --
FORD MTR CO CAP TR II         EQUITY        345395206       554      36,000 SH       DEFINED        5         --         --   36,000
FORD MTR CO DEL               EQUITY        345370860        21       3,959 SH       DEFINED        4         --         --    3,959
FORD MTR CO DEL               EQUITY        345370860       246      47,282 SH       DEFINED        5         --         --   47,282
FORDING CANADIAN COAL TRUST   EQUITY        345425102     3,625      44,167 SH       OTHER          1         --     44,167       --
FORDING CDN COAL TR           EQUITY        345425102        47         562 SH       DEFINED        4         --         --      562
FOREST CITY ENTERPRISES, INC.
   CLASS A                    EQUITY        345550107        46       1,510 SH       SOLE           1      1,510         --       --
FOREST LABORATORIES, INC.     EQUITY        345838106    15,396     544,421 SH       SOLE           1    544,421         --       --
FOREST LABS INC               EQUITY        345838106         2          75 SH       DEFINED        5         --         --       75
FOREST LABS INC               EQUITY        345838106        11         400 SH       DEFINED        4         --         --      400
FOREST OIL CORP               EQUITY        346091705    10,241     206,468 SH       SOLE           1    206,468         --       --
FORESTAR REAL ESTATE GROUP
   INC                        EQUITY        346233109       478      32,402 SH       SOLE           1     32,402         --       --
FORMFACTOR INC                EQUITY        346375108       771      44,385 SH       SOLE           1     44,385         --       --
FORRESTER RESEARCH, INC.      EQUITY        346563109       413      14,099 SH       SOLE           1     14,099         --       --





                                                                                           
FORTRESS INVESTMENT GROUP LL  EQUITY        34958B106        76       7,200 SH       DEFINED        5         --         --    7,200
FORTUNE BRANDS INC            EQUITY        349631200         5          14 SH       DEFINED        5         --         --       14
FORTUNE BRANDS INC            EQUITY        349631101        11         185 SH       DEFINED        4         --         --      185
FORTUNE BRANDS INC            EQUITY        349631101        77       1,345 SH       DEFINED        5         --         --    1,345
FORTUNE BRANDS, INC.          EQUITY        349631101     3,536      61,638 SH       SOLE           1     61,638         --       --
FORWARD AIR CORP              EQUITY        349853101       714      26,206 SH       SOLE           1     26,206         --       --
FOSSIL, INC.                  EQUITY        349882100     1,163      41,219 SH       SOLE           1     41,219         --       --
FOSTER L B CO                 EQUITY        350060109         3         100 SH       DEFINED        4         --         --      100
FOSTER WHEELER LTD            EQUITY        G36535139        43       1,191 SH       DEFINED        5         --         --    1,191
FOSTER WHEELER LTD            EQUITY        G36535139        43       1,195 SH       DEFINED        4         --         --    1,195
FOUNDATION COAL HOLDINGS INC  EQUITY        35039W100        33         924 SH       SOLE           1        924         --       --
FOUNDRY NETWORKS INC          EQUITY        35063R100    10,912     601,211 SH       SOLE           1    601,211         --       --
FOUNDRY NETWORKS INC          EQUITY        35063R100        17         946 SH       DEFINED        5         --         --      946
FOX CHASE BANCORP INC         EQUITY        35137P106        67       5,602 SH       SOLE           1      5,602         --       --
FPIC INS GROUP INC            EQUITY        302563101       396       7,523 SH       SOLE           1      7,523         --       --
FPL GROUP INC                 EQUITY        302571104        61       1,205 SH       DEFINED        4         --         --    1,205
FPL GROUP INC                 EQUITY        302571104        98       1,944 SH       DEFINED        5         --         --    1,944
FPL GROUP INC                 EQUITY        302571104     4,618      91,805 SH       SOLE           2     91,805         --       --
FPL GROUP, INC.               EQUITY        302571104     7,856     156,175 SH       SOLE           1    156,175         --       --
FRANKLIN ELECTRIC CO., INC.   EQUITY        353514102       929      20,790 SH       SOLE           1     20,790         --       --
FRANKLIN RESOURCES, INC.      EQUITY        354613101     7,381      83,754 SH       SOLE           1     83,754         --       --
FRANKLIN TEMPLETON LTD DUR I  EQUITY        35472T101         3         300 SH       DEFINED        5         --         --      300
FRANKLIN TEMPLETON LTD DUR I  EQUITY        35472T101         4         470 SH       DEFINED        4         --         --      470
FRED'S INC.                   EQUITY        356108100       517      36,338 SH       SOLE           1     36,338         --       --
FREEPORT MCMORAN COPPER +     EQUITY        35671D857    10,640     187,159 SH       SOLE           2    187,159         --       --
FREEPORT-MCMORAN COPPER & GO  EQUITY        35671D857        49         867 SH       DEFINED        4         --         --      867
FREEPORT-MCMORAN COPPER & GO  EQUITY        35671D857       440       7,732 SH       DEFINED        5         --         --    7,732
FREEPORT-MCMORAN COPPER &
   GOLD COMMON                EQUITY        35671D857    23,244     408,858 SH       SOLE           1    408,858         --       --
FREIGHTCAR AMERICA INC        EQUITY        357023100       312      10,802 SH       SOLE           1     10,802         --       --
FRESH DEL MONTE PRODUCE       EQUITY        G36738105     5,574     251,063 SH       SOLE           2    251,063         --       --
FRIEDMAN BILLINGS RAMSEY-A    EQUITY        358434108       268     134,204 SH       SOLE           1    134,204         --       --
FRONTEER DEV GROUP INC        EQUITY        35903Q106         1         500 SH       DEFINED        5         --         --      500
FRONTIER COMMUNICATIONS CORP  EQUITY        35906A108     1,493     129,838 SH       SOLE           1    129,838         --       --
FRONTIER COMMUNICATIONS CORP  EQUITY        35906A108        33       2,864 SH       DEFINED        4         --         --    2,864
FRONTIER COMMUNICATIONS CORP  EQUITY        35906A108       359      31,213 SH       DEFINED        5         --         --   31,213
FRONTIER FINANCIAL CORP.      EQUITY        35907K105       568      42,805 SH       SOLE           1     42,805         --       --
FRONTIER FINL CORP WASH       EQUITY        35907K105        17       1,296 SH       DEFINED        5         --         --    1,296
FRONTIER OIL CORP             EQUITY        35914P105       121       6,565 SH       DEFINED        5         --         --    6,565
FRONTIER OIL CORP COM         EQUITY        35914P105     2,942     159,700 SH       SOLE           3     62,000               97700
FRONTIER OIL CORP.            EQUITY        35914P105     4,375     237,516 SH       SOLE           1    237,516         --       --





                                                                                           
FRONTLINE LTD                 EQUITY        G3682E127       206       4,280 SH       DEFINED        5         --         --    4,280
FRONTLINE LTD                 EQUITY        G3682E127       323       6,710 SH       DEFINED        4         --         --    6,710
FRONTLINE LTD                 EQUITY        G3682E127     4,990     103,800 SH       SOLE           2    103,800         --       --
FTI CONSULTING INC            EQUITY        302941109        74       1,021 SH       SOLE           1      1,021         --       --
FUEL SYSTEMS SOLUTIONS INC    EQUITY        35952W103       378      10,971 SH       SOLE           1     10,971         --       --
FUEL TECH INC                 EQUITY        359523107       310      17,144 SH       SOLE           1     17,144         --       --
FUEL TECH INC                 EQUITY        359523107         9         475 SH       DEFINED        5         --         --      475
FUEL TECH INC                 EQUITY        359523107        14         800 SH       DEFINED        4         --         --      800
FUELCELL ENERGY INC           EQUITY        35952H106       376      62,435 SH       SOLE           1     62,435         --       --
FULTON FIN CORP               EQUITY        360271100        68       5,892 SH       SOLE           1      5,892         --       --
FULTON FINL CORP PA           EQUITY        360271100         1         105 SH       DEFINED        5         --         --      105
FUQI INTERNATIONAL INC        EQUITY        36102A207        72       8,850 SH       SOLE           1      8,850         --       --
FURMANITE CORP                EQUITY        361086101       342      33,057 SH       SOLE           1     33,057         --       --
FURMANITE CORPORATION         EQUITY        361086101         3         330 SH       DEFINED        5         --         --      330
FURNITURE BRANDS
   INTERNATIONAL              EQUITY        360921100     1,385     131,611 SH       SOLE           1    131,611         --       --
FUSHI COPPERWELD INC          EQUITY        3.61E+111       127      13,059 SH       SOLE           1     13,059         --       --
FUSHI COPPERWELD INC          EQUITY        36113E107       998     102,974 SH       SOLE           2    102,974         --       --
FX ENERGY INC                 EQUITY        302695101       274      36,806 SH       SOLE           1     36,806         --       --
FX REAL ESTATE AND
   ENTERTAINMENT INC          EQUITY        302709100        10       9,375 SH       SOLE           1      9,375         --       --
G & K SERVICES, INC. CLASS A  EQUITY        361268105       600      17,989 SH       SOLE           1     17,989         --       --
G + K SERVICES                EQUITY        361268105       454      13,743 SH       SOLE           2     13,743         --       --
GABELLI CONV & INCOME SECS F  EQUITY        36240B109        15       2,500 SH       DEFINED        5         --         --    2,500
GABELLI EQUITY TR INC         EQUITY        362397101        30       4,372 SH       DEFINED        5         --         --    4,372
GABELLI GLB GLD NAT RES & IN  EQUITY        36244N109        21       1,053 SH       DEFINED        5         --         --    1,053
GABELLI GLOBAL MULTIMEDIA TR  EQUITY        36239Q109         1         144 SH       DEFINED        5         --         --      144
GABELLI HLTHCARE & WELLNESS   EQUITY        36246K103         9       1,568 SH       DEFINED        5         --         --    1,568
GABELLI UTIL TR               EQUITY        36240A101        45       4,932 SH       DEFINED        5         --         --    4,932
GAIAM INC                     EQUITY        36268Q103       173      16,304 SH       SOLE           1     16,304         --       --
GALLAGHER ARTHUR J & CO       EQUITY        363576109         3         100 SH       DEFINED        5         --         --      100
GALLAGHER, ARTHUR J & CO      EQUITY        363576109    19,811     772,044 SH       SOLE           1    772,044         --       --
GAMCO INVESTORS INC           EQUITY        361438104       409       6,905 SH       SOLE           1      6,905         --       --
GAMESTOP CORP NEW             EQUITY        36467W109        14         408 SH       SOLE           2        408         --       --
GAMESTOP CORP-CL A            EQUITY        36467W109    28,032     819,426 SH       SOLE           1    819,426         --       --
GAMING PARTNERS INTL CORP     EQUITY        36467A107         2         343 SH       DEFINED        5         --         --      343
GAMMON GOLD INC               EQUITY        36467T106         4         500 SH       DEFINED        5         --         --      500
GANNETT CO., INC.             EQUITY        364730101     5,605     331,459 SH       SOLE           1    331,459         --       --
GANNETT INC                   EQUITY        364730101     3,513     207,722 SH       SOLE           2    207,722         --       --
GAP INC DEL                   EQUITY        364760108        11         600 SH       DEFINED        5         --         --      600
GAP INC DEL                   EQUITY        364760108        80       4,521 SH       DEFINED        4         --         --    4,521
GAP, INC.                     EQUITY        364760108    17,004     956,333 SH       SOLE           1    956,333         --       --





                                                                                           
GARDNER DENVER INC            EQUITY        365558105         3         100 SH       DEFINED        4         --         --      100
GARDNER DENVER, INC.          EQUITY        365558105        60       1,723 SH       SOLE           1      1,723         --       --
GARMIN LTD                    EQUITY        G37260109        16         474 SH       DEFINED        4         --         --      474
GARMIN LTD                    EQUITY        G37260109        53       1,565 SH       DEFINED        5         --         --    1,565
GARTNER INC. CLASS A          EQUITY        366651107     4,264     187,995 SH       SOLE           1    187,995         --       --
GASCO ENERGY INC              EQUITY        367220100       155      85,425 SH       SOLE           1     85,425         --       --
GATEHOUSE MEDIA INC           EQUITY        367348109        14      28,651 SH       SOLE           1     28,651         --       --
GATX CORP.                    EQUITY        361448103     4,427     111,874 SH       SOLE           1    111,874         --       --
GAYLORD ENTERTAINMENT CO.     EQUITY        367905106     1,091      37,136 SH       SOLE           1     37,136         --       --
GCI, INC.                     EQUITY        369385109       382      41,218 SH       SOLE           1     41,218         --       --
GEHL COMPANY                  EQUITY        368483103       277       9,426 SH       SOLE           1      9,426         --       --
GENCO SHIPPING & TRADING LTD  EQUITY        Y2685T107         7         200 SH       DEFINED        5         --         --      200
GENCORP, INC.                 EQUITY        368682100       350      51,917 SH       SOLE           1     51,917         --       --
GENENTECH INC                 EQUITY        368710406         4          45 SH       DEFINED        5         --         --       45
GENENTECH INC                 EQUITY        368710406         7          79 SH       DEFINED        4         --         --       79
GENENTECH INC                 EQUITY        368710406    10,580     119,300 SH       SOLE           2    119,300         --       --
GENENTECH, INC.               EQUITY        368710406     8,820      99,459 SH       SOLE           1     99,459         --       --
GENERAL AMERN INVS INC        EQUITY        368802104         3         109 SH       DEFINED        4         --         --      109
GENERAL CABLE CORP DEL NEW    EQUITY        369300108         5         144 SH       DEFINED        5         --         --      144
GENERAL CABLE CORP.           EQUITY        369300108        38       1,073 SH       SOLE           1      1,073         --       --
GENERAL DYNAMICS CORP         EQUITY        369550108        46         630 SH       DEFINED        4         --         --      630
GENERAL DYNAMICS CORP         EQUITY        369550108        72         981 SH       DEFINED        5         --         --      981
GENERAL DYNAMICS CORP         EQUITY        369550108     5,024      68,238 SH       SOLE           2     68,238         --       --
GENERAL DYNAMICS CORP.        EQUITY        369550108    20,722     281,473 SH       SOLE           1    281,473         --       --
GENERAL ELEC CO               EQUITY        369604103    20,599     807,794 SH       SOLE           2    807,794         --       --
GENERAL ELECTRIC CO           EQUITY        369604103   146,742   5,754,583 SH       SOLE           1  5,754,583         --       --
GENERAL ELECTRIC CO           EQUITY        369604103     2,277      89,295 SH       DEFINED        4         --         --   89,295
GENERAL ELECTRIC CO           EQUITY        369604103     2,551     100,036 SH       DEFINED        5         --         --  100,036
GENERAL GROWTH PROPERTIES INC EQUITY        370021107     1,406      93,102 SH       SOLE           1     93,102         --       --
GENERAL MARITIME CORP         EQUITY        Y2692M103       365      18,750 SH       DEFINED        5         --         --   18,750
GENERAL MILLS, INC.           EQUITY        370334104    27,442     399,381 SH       SOLE           1    399,381         --       --
GENERAL MLS INC               EQUITY        370334104        25         371 SH       DEFINED        5         --         --      371
GENERAL MLS INC               EQUITY        370334104       178       2,595 SH       DEFINED        4         --         --    2,595
GENERAL MLS INC               EQUITY        370334104       653       9,500 SH       SOLE           2      9,500         --       --
GENERAL MOLY INC              EQUITY        370373102       248      57,016 SH       SOLE           1     57,016         --       --
GENERAL MOTORS CORP           EQUITY        370442105     6,702     709,257 SH       SOLE           1    709,257         --       --
GENERAL MTRS CORP             EQUITY        370442105         6         640 SH       DEFINED        4         --         --      640
GENERAL MTRS CORP             EQUITY        370442717         6         800 SH       DEFINED        4         --         --      800
GENERAL MTRS CORP             EQUITY        370442717        40       5,000 SH       DEFINED        5         --         --    5,000
GENERAL MTRS CORP             EQUITY        370442105       126      13,373 SH       DEFINED        5         --         --   13,373





                                                                                           
GENERAL MTRS CORP             EQUITY        370442105     1,659     175,600 SH       SOLE           2    175,600         --       --
GENERAL STEEL HOLDINGS INC    EQUITY        370853103        70       9,770 SH       SOLE           1      9,770         --       --
GENERAL STEEL HOLDINGS INC    EQUITY        370853103         1         180 SH       DEFINED        4         --         --      180
GENESCO INC                   EQUITY        371532102        13         387 SH       DEFINED        5         --         --      387
GENESCO, INC.                 EQUITY        371532102       584      17,444 SH       SOLE           1     17,444         --       --
GENESEE & WYO INC             EQUITY        371559105     1,789      47,677 SH       SOLE           1     47,677         --       --
GENESEE & WYO INC CL A        EQUITY        371559105       401      10,700 SH       SOLE           3     10,700         --       --
GENESIS ENERGY L P            EQUITY        371927104         6         400 SH       DEFINED        4         --         --      400
GENESIS LEASE LTD             EQUITY        37183T107         3         400 SH       DEFINED        4         --         --      400
GENESIS LEASE LTD             EQUITY        37183T107        36       4,100 SH       DEFINED        5         --         --    4,100
GENOMIC HEALTH INC            EQUITY        37244C101       286      12,638 SH       SOLE           1     12,638         --       --
GENOPTIX INC                  EQUITY        37243V100       247       7,550 SH       SOLE           1      7,550         --       --
GEN-PROBE INC                 EQUITY        36866T103     6,701     126,579 SH       SOLE           1    126,579         --       --
GEN-PROBE INC NEW             EQUITY        36866T103       157       2,966 SH       DEFINED        4         --         --    2,966
GENTEK INC                    EQUITY        37245X203       209       8,139 SH       SOLE           1      8,139         --       --
GENTEX CORP                   EQUITY        371901109         6         444 SH       DEFINED        5         --         --      444
GENTEX CORP.                  EQUITY        371901109     4,633     324,406 SH       SOLE           1    324,406         --       --
GENTIVA HEALTH SERVICES       EQUITY        37247A102       624      23,150 SH       SOLE           1     23,150         --       --
GENUINE PARTS CO              EQUITY        372460105        30         757 SH       DEFINED        4         --         --      757
GENUINE PARTS CO              EQUITY        372460105     2,041      50,764 SH       SOLE           2     50,764         --       --
GENUINE PARTS CO.             EQUITY        372460105     2,707      67,318 SH       SOLE           1     67,318         --       --
GENWORTH FINANCIAL INC-CL A   EQUITY        37247D106     3,468     402,770 SH       SOLE           1    402,770         --       --
GENWORTH FINL INC             EQUITY        37247D106         2         206 SH       DEFINED        4         --         --      206
GENZYME CORP                  EQUITY        372917104     9,552     118,125 SH       SOLE           1    118,125         --       --
GENZYME CORP                  EQUITY        372917104        26         324 SH       DEFINED        4         --         --      324
GENZYME CORP                  EQUITY        372917104     6,711      82,967 SH       SOLE           2     82,967         --       --
GENZYME CORP CALL             OPTION        372917904         3           3     CALL DEFINED        5         --         --        3
GEO GROUP INC                 EQUITY        36159R103     2,183     108,035 SH       SOLE           1    108,035         --       --
GEO GROUP INC                 EQUITY        36159R103     5,827     288,312 SH       SOLE           2    288,312         --       --
GEO GROUP INC COM             EQUITY        36159R103       673      33,300 SH       SOLE           3     33,300         --       --
GEOEYE INC                    EQUITY        37250W108     4,956     224,132 SH       SOLE           1    224,132         --       --
GEOGLOBAL RESOURCES INC       EQUITY        37249T109        87      34,473 SH       SOLE           1     34,473         --       --
GEOKINETICS INC               EQUITY        372910307        82       4,338 SH       SOLE           1      4,338         --       --
GEOMET INC                    EQUITY        37250U201        91      16,751 SH       SOLE           1     16,751         --       --
GEORESOURCES INC              EQUITY        372476101        63       5,510 SH       SOLE           1      5,510         --       --
GERBER SCIENTIFIC, INC.       EQUITY        373730100       197      21,606 SH       SOLE           1     21,606         --       --
GERDAU AMERISTEEL CORP        EQUITY        37373P105        33       3,400 SH       OTHER          1         --      3,400       --
GERDAU S A                    EQUITY        373737105        29       2,574 SH       DEFINED        5         --         --    2,574
GERON CORP                    EQUITY        374163103       279      70,709 SH       SOLE           1     70,709         --       --
GERON CORP                    EQUITY        374163103        12       3,000 SH       DEFINED        4         --         --    3,000





                                                                                           
GERON CORP                    EQUITY        374163103       103      26,025 SH       DEFINED        5         --         --   26,025
GEVITY HR INC                 EQUITY        374393106       154      21,159 SH       SOLE           1     21,159         --       --
GFI GROUP INC                 EQUITY        361652209       281      60,149 SH       SOLE           1     60,149         --       --
GIBRALTAR INDS INC            EQUITY        374689107         9         503 SH       DEFINED        5         --         --      503
GIBRALTAR INDUSTRIES INC      EQUITY        374689107       458      24,490 SH       SOLE           1     24,490         --       --
GIGAMEDIA LTD                 EQUITY        Y2711Y104         1         200 SH       DEFINED        4         --         --      200
G-III APPAREL GROUP LTD       EQUITY        36237H101       225      12,000 SH       SOLE           1     12,000         --       --
GILDAN ACTIVEWEAR INC         EQUITY        375916103        70       3,132 SH       OTHER          1         --      3,132       --
GILDAN ACTIVEWEAR INC         EQUITY        375916103       114       5,015 SH       DEFINED        4         --         --    5,015
GILEAD SCIENCES INC           EQUITY        375558103        67       1,476 SH       DEFINED        4         --         --    1,476
GILEAD SCIENCES INC           EQUITY        375558103       140       3,068 SH       DEFINED        5         --         --    3,068
GILEAD SCIENCES INC           EQUITY        375558103    14,076     308,830 SH       SOLE           2    308,830         --       --
GILEAD SCIENCES, INC.         EQUITY        375558103    37,439     820,162 SH       SOLE           1    820,162         --       --
GLACIER BANCORP, INC.         EQUITY        37637Q105     1,247      49,054 SH       SOLE           1     49,054         --       --
GLADSTONE CAPITAL CORP        EQUITY        376535100       293      19,236 SH       SOLE           1     19,236         --       --
GLADSTONE CAPITAL CORP        EQUITY        376535100       147       9,626 SH       DEFINED        4         --         --    9,626
GLADSTONE INVESTMENT CORP     EQUITY        376546107       138      20,041 SH       SOLE           1     20,041         --       --
GLATFELTER, P.H. CO.          EQUITY        377316104       557      41,158 SH       SOLE           1     41,158         --       --
GLAXOSMITHKLINE PLC           EQUITY        37733W105        31         706 SH       DEFINED        4         --         --      706
GLAXOSMITHKLINE PLC           EQUITY        37733W105       123       2,819 SH       DEFINED        5         --         --    2,819
GLG PARTNERS INC              EQUITY        37929X107         5         999 SH       SOLE           1        999         --       --
GLOBAL CASH ACCESS INC        EQUITY        378967103       184      36,408 SH       SOLE           1     36,408         --       --
GLOBAL HIGH INCOME FUND INC   EQUITY        37933G108         9         900 SH       DEFINED        5         --         --      900
GLOBAL INDUSTRIES LT          EQUITY        379336100        20       2,910 SH       SOLE           1      2,910         --       --
GLOBAL PAYMENTS INC.          EQUITY        37940X102     8,188     182,519 SH       SOLE           1    182,519         --       --
GLOBAL PMTS INC               EQUITY        37940X102        40         897 SH       DEFINED        4         --         --      897
GLOBAL PMTS INC               EQUITY        37940X102        74       1,660 SH       DEFINED        5         --         --    1,660
GLOBAL PMTS INC               EQUITY        37940X102     1,328      29,600 SH       SOLE           2     29,600         --       --
GLOBAL SOURCES LTD            EQUITY        G39300101         2         237 SH       DEFINED        4         --         --      237
GLOBAL TRAFFIC NETWORK COM    EQUITY        37947B103     2,574     277,700 SH       SOLE           3    277,700         --       --
GLOBAL TRAFFIC NETWORK INC    EQUITY        37947B103       100      10,744 SH       SOLE           1     10,744         --       --
GLOBALSTAR INC                EQUITY        378973408        64      38,065 SH       SOLE           1     38,065         --       --
GLOBECOMM SYSTEMS INC         EQUITY        37956X103       160      18,301 SH       SOLE           1     18,301         --       --
GMARKET INC                   EQUITY        38012G100        26       1,100 SH       DEFINED        5         --         --    1,100
GMX RESOURCES INC             EQUITY        38011M108       725      15,173 SH       SOLE           1     15,173         --       --
GOLDCORP INC                  EQUITY        380956409       560      17,700 SH       SOLE           2     17,700         --       --
GOLDCORP INC NEW              EQUITY        380956409        22         700 SH       DEFINED        4         --         --      700
GOLDCORP INC NEW              EQUITY        380956409        68       2,164 SH       DEFINED        5         --         --    2,164
GOLDCORP INC.                 EQUITY        380956409     8,207     260,855 SH       OTHER          1         --    260,855       --
GOLDMAN SACHS GROUP INC       EQUITY        38141G104    22,032     172,124 SH       SOLE           1    172,124         --       --





                                                                                           
GOLDMAN SACHS GROUP INC       EQUITY        38141G104        72         562 SH       DEFINED        4         --         --      562
GOLDMAN SACHS GROUP INC       EQUITY        38141G104       377       2,948 SH       DEFINED        5         --         --    2,948
GOLDMAN SACHS GROUP INC       EQUITY        38141G104     9,690      75,700 SH       SOLE           2     75,700         --       --
GOODRICH CORP                 EQUITY        382388106         3          80 SH       DEFINED        5         --         --       80
GOODRICH CORP                 EQUITY        382388106         6         150 SH       DEFINED        4         --         --      150
GOODRICH CORP.                EQUITY        382388106     2,218      53,306 SH       SOLE           1     53,306         --       --
GOODRICH PETROLEUM CORP       EQUITY        382410405       894      20,506 SH       SOLE           1     20,506         --       --
GOODYEAR TIRE & RUBBER CO.    EQUITY        382550101     1,470      96,017 SH       SOLE           1     96,017         --       --
GOODYEAR TIRE & RUBR CO       EQUITY        382550101        14         937 SH       DEFINED        5         --         --      937
GOOGLE INC                    EQUITY        38259P508    33,291     158,457 SH       SOLE           1    158,457         --       --
GOOGLE INC                    EQUITY        38259P508        36          88 SH       DEFINED        4         --         --       88
GOOGLE INC                    EQUITY        38259P508       471       1,165 SH       DEFINED        5         --         --    1,165
GOOGLE INC                    EQUITY        38259P508    29,693      74,135 SH       SOLE           2     74,135         --       --
GORMAN RUPP CO COM            EQUITY        383082104       492      13,056 SH       SOLE           1     13,056         --       --
GPO TELEVISA SA ADR-REPR 20   EQUITY        40049J206    35,727   1,631,208 SH       SOLE           1  1,631,208         --       --
GRACE, W.R. & CO.             EQUITY        38388F108       991      65,531 SH       SOLE           1     65,531         --       --
GRACO INC                     EQUITY        384109104         5         148 SH       DEFINED        4         --         --      148
GRACO INC                     EQUITY        384109104        18         500 SH       DEFINED        5         --         --      500
GRACO, INC.                   EQUITY        384109104     4,890     137,333 SH       SOLE           1    137,333         --       --
GRAFTECH INTERNATIONAL LTD    EQUITY        384313102     1,641     108,635 SH       SOLE           1    108,635         --       --
GRAHAM CORP                   EQUITY        384556106       244       4,503 SH       SOLE           1      4,503         --       --
GRAHAM CORP                   EQUITY        384556106        80       1,475 SH       DEFINED        5         --         --    1,475
GRAINGER W W INC              EQUITY        384802104         2          28 SH       DEFINED        5         --         --       28
GRAMERCY CAP CORP             EQUITY        384871109       243      93,700 SH       DEFINED        5         --         --   93,700
GRAN TIERRA ENERGY INC        EQUITY        38500T101       350      94,458 SH       SOLE           1     94,458         --       --
GRAN TIERRA ENERGY INC        EQUITY        38500T101         1         400 SH       DEFINED        4         --         --      400
GRANITE CONSTR INC            EQUITY        387328107        12         335 SH       DEFINED        4         --         --      335
GRANITE CONSTRUCTION, INC.    EQUITY        387328107     3,754     104,793 SH       SOLE           1    104,793         --       --
GRAPHIC PACKAGING HOLDING CO  EQUITY        388689101       327     130,906 SH       SOLE           1    130,906         --       --
GRAY TELEVISION INC           EQUITY        389375106        67      38,759 SH       SOLE           1     38,759         --       --
GREAT ATLANTIC & PACIFIC
   TEA CO                     EQUITY        390064103       347      32,070 SH       SOLE           1     32,070         --       --
GREAT LAKES DREDGE & DOCK CO  EQUITY        390607109         2         300 SH       DEFINED        4         --         --      300
GREAT LAKES DREDGE &
   DOCK CORP                  EQUITY        390607109       228      36,134 SH       SOLE           1     36,134         --       --
GREAT NORTHN IRON ORE PPTYS   EQUITY        391064102         2          30 SH       DEFINED        4         --         --       30
GREAT PLAINS ENERGY INC       EQUITY        391164100     6,048     272,170 SH       SOLE           1    272,170         --       --
GREAT PLAINS ENERGY INC       EQUITY        391164100         6         292 SH       DEFINED        4         --         --      292
GREAT PLAINS ENERGY INC       EQUITY        391164100        10         450 SH       DEFINED        5         --         --      450
GREAT WOLF RESORTS INC        EQUITY        391523107        89      24,429 SH       SOLE           1     24,429         --       --
GREATBATCH INC                EQUITY        39153L106       510      20,790 SH       SOLE           1     20,790         --       --
GREATBATCH INC                EQUITY        39153L106        12         500 SH       DEFINED        5         --         --      500





                                                                                           
GREATBATCH INC                EQUITY        39153L106     2,351      95,823 SH       SOLE           2     95,823         --       --
GREEN BANKSHARES INC          EQUITY        394361208       277      11,801 SH       SOLE           1     11,801         --       --
GREEN MOUNTAIN COFFEE ROASTE  EQUITY        393122106       616      15,651 SH       SOLE           1     15,651         --       --
GREEN MTN COFFEE ROASTERS IN  EQUITY        393122106         4         100 SH       DEFINED        5         --         --      100
GREENBRIER COMPANIES INC      EQUITY        393657101       290      14,855 SH       SOLE           1     14,855         --       --
GREENFIELD ONLINE             EQUITY        395150105     2,912     167,477 SH       SOLE           1    167,477         --       --
GREENHAVEN CONT CMDTY INDEX   EQUITY        395258106        67       2,430 SH       DEFINED        5         --         --    2,430
GREENHILL & CO INC            EQUITY        395259104     1,162      15,750 SH       SOLE           1     15,750         --       --
GREENHUNTER ENERGY INC        EQUITY        39530A104        56       3,898 SH       SOLE           1      3,898         --       --
GREENHUNTER ENERGY INC COM    EQUITY        39530A104       864      60,600 SH       SOLE           3     60,600         --       --
GREIF INC                     EQUITY        397624107         1          20 SH       DEFINED        4         --         --       20
GREIF INC                     EQUITY        397624107         7         100 SH       DEFINED        5         --         --      100
GREIF INC CL A                EQUITY        397624107     5,160      78,635 SH       SOLE           1     78,635         --       --
GREY WOLF INC                 EQUITY        397888108         1         184 SH       DEFINED        4         --         --      184
GREY WOLF, INC.               EQUITY        397888108     1,264     162,473 SH       SOLE           1    162,473         --       --
GRIFFIN LAND & NURSERIES INC  EQUITY        398231100       112       3,031 SH       SOLE           1      3,031         --       --
GRIFFON CORP                  EQUITY        398433110         2      24,248 SH       SOLE           1     24,248         --       --
GRIFFON CORP.                 EQUITY        398433102       219      24,325 SH       SOLE           1     24,325         --       --
GROUP 1 AUTOMOTIVE, INC.      EQUITY        398905109       459      21,121 SH       SOLE           1     21,121         --       --
GRUBB & ELLIS CO              EQUITY        400095204        85      31,504 SH       SOLE           1     31,504         --       --
GSI COMMERCE INC              EQUITY        36238G102       329      21,312 SH       SOLE           1     21,312         --       --
GT SOLAR INTL INC             EQUITY        3.62E+212         3         280 SH       DEFINED        5         --         --      280
GTX INC                       EQUITY        40052B108       318      16,906 SH       SOLE           1     16,906         --       --
GTX INC DEL                   EQUITY        40052B108        68       3,600 SH       DEFINED        5         --         --    3,600
GUARANTY BANCORP              EQUITY        40075T102       293      47,792 SH       SOLE           1     47,792         --       --
GUARANTY FINANCIAL GROUP INC  EQUITY        40108N106       134      33,802 SH       SOLE           1     33,802         --       --
GUESS? INC                    EQUITY        401617105     4,795     137,827 SH       SOLE           1    137,827         --       --
GUIDANCE SOFTWARE INC         EQUITY        401692108        40       8,457 SH       SOLE           1      8,457         --       --
GULF ISLAND FABRICATION, INC. EQUITY        402307102       382      11,075 SH       SOLE           1     11,075         --       --
GULFMARK OFFSHORE INC         EQUITY        402629109         2          53 SH       DEFINED        4         --         --       53
GULFMARK OFFSHORE, INC.       EQUITY        402629109       920      20,499 SH       SOLE           1     20,499         --       --
GULFPORT ENERGY CORP          EQUITY        402635304       239      23,888 SH       SOLE           1     23,888         --       --
GYMBOREE CORP.                EQUITY        403777105       919      25,871 SH       SOLE           1     25,871         --       --
H & Q HEALTHCARE FD           EQUITY        404052102         7         511 SH       DEFINED        5         --         --      511
H J HEINZ CO.                 EQUITY        423074103     6,381     127,706 SH       SOLE           1    127,706         --       --
H&E EQUIPMENT SERVICES INC    EQUITY        404030108       143      14,837 SH       SOLE           1     14,837         --       --
H.B. FULLER CO.               EQUITY        359694106       919      44,015 SH       SOLE           1     44,015         --       --
HACKETT GROUP INC/THE         EQUITY        404609109       204      37,368 SH       SOLE           1     37,368         --       --
HAEMONETICS CORP              EQUITY        405024100        19         300 SH       DEFINED        5         --         --      300
HAEMONETICS CORP COM          EQUITY        405024100       593       9,600 SH       SOLE           3      9,600         --       --





                                                                                           
HAEMONETICS CORP.             EQUITY        405024100     2,541      41,176 SH       SOLE           1     41,176         --       --
HAIN CELESTIAL GROUP INC      EQUITY        405217100     1,015      36,833 SH       SOLE           1     36,833         --       --
HAIN CELESTIAL GROUP INC      EQUITY        405217100        57       2,070 SH       DEFINED        5         --         --    2,070
HALLIBURTON CO                EQUITY        406216101        59       1,820 SH       DEFINED        5         --         --    1,820
HALLIBURTON CO                EQUITY        406216101       240       7,406 SH       DEFINED        4         --         --    7,406
HALLIBURTON CO                EQUITY        406216101     2,131      65,800 SH       SOLE           2     65,800         --       --
HALLIBURTON CO.               EQUITY        406216101    33,776   1,042,791 SH       SOLE           1  1,042,791         --       --
HALLMARK FINANCIAL SERVICES   EQUITY        40624Q203        49       5,344 SH       SOLE           1      5,344         --       --
HALOZYME THERAPEUTICS INC     EQUITY        40637H109       407      55,407 SH       SOLE           1     55,407         --       --
HANCOCK HOLDING CO.           EQUITY        410120109     1,209      23,387 SH       SOLE           1     23,387         --       --
HANCOCK JOHN INV TRUST        EQUITY        41013P749        23       2,000 SH       DEFINED        5         --         --    2,000
HANCOCK JOHN PATRIOT PREM II  EQUITY        41013T105         4         630 SH       DEFINED        4         --         --      630
HANCOCK JOHN PFD INCOME FD    EQUITY        41013W108        35       3,000 SH       DEFINED        5         --         --    3,000
HANCOCK JOHN PFD INCOME FD I  EQUITY        41021P103         5         500 SH       DEFINED        5         --         --      500
HANCOCK JOHN PFD INCOME FD I  EQUITY        41013X106       617      52,429 SH       DEFINED        4         --         --   52,429
HANCOCK JOHN TAX-ADV DIV INC  EQUITY        41013V100         7         592 SH       DEFINED        4         --         --      592
HANESBRANDS INC               EQUITY        410345102     4,788     220,129 SH       SOLE           1    220,129         --       --
HANESBRANDS INC               EQUITY        410345102        22       1,000 SH       DEFINED        5         --         --    1,000
HANESBRANDS INC               EQUITY        410345102     1,305      60,000 SH       SOLE           2     60,000         --       --
HANGER ORTHOPEDIC GROUP       EQUITY        41043F208       364      20,835 SH       SOLE           1     20,835         --       --
HANMI FINL CORP               EQUITY        410495105       171      33,790 SH       SOLE           1     33,790         --       --
HANOVER INSURANCE GROUP INC/  EQUITY        410867105     5,338     117,271 SH       SOLE           1    117,271         --       --
HANSEN MEDICAL INC            EQUITY        411307101       208      15,476 SH       SOLE           1     15,476         --       --
HANSEN MEDICAL INC            EQUITY        411307101        23       1,700 SH       DEFINED        5         --         --    1,700
HANSEN NAT CORP               EQUITY        411310105        13         431 SH       DEFINED        5         --         --      431
HANSEN NAT CORP               EQUITY        411310105     1,827      60,400 SH       SOLE           2     60,400         --       --
HANSEN NATURAL CORP           EQUITY        411310105     5,254     173,845 SH       SOLE           1    173,845         --       --
HARBIN ELECTRIC INC           EQUITY        41145W109        80       6,769 SH       SOLE           1      6,769         --       --
HARLEY DAVIDSON INC           EQUITY        412822108        22         578 SH       DEFINED        4         --         --      578
HARLEY DAVIDSON INC           EQUITY        412822108       157       4,218 SH       DEFINED        5         --         --    4,218
HARLEY DAVIDSON INC           EQUITY        412822108     6,192     166,000 SH       SOLE           2    166,000         --       --
HARLEY-DAVIDSON               EQUITY        412822108     3,475      93,176 SH       SOLE           1     93,176         --       --
HARLEYSVILLE GROUP, INC.      EQUITY        412824104       458      11,846 SH       SOLE           1     11,846         --       --
HARLEYSVILLE NATIONAL CORP.   EQUITY        412850109       486      28,577 SH       SOLE           1     28,577         --       --
HARMAN INT'L INDUSTRIES, INC. EQUITY        413086109       793      23,268 SH       SOLE           1     23,268         --       --
HARMONIC INC                  EQUITY        413160102         4         500 SH       DEFINED        4         --         --      500
HARMONIC INC                  EQUITY        413160102        25       3,000 SH       DEFINED        5         --         --    3,000
HARMONIC INC.                 EQUITY        413160102       724      85,570 SH       SOLE           1     85,570         --       --
HARMONY GOLD MNG LTD          EQUITY        413216300        98      10,098 SH       DEFINED        5         --         --   10,098
HARRIS & HARRIS GROUP INC     EQUITY        413833104       150      23,472 SH       SOLE           1     23,472         --       --





                                                                                           
HARRIS & HARRIS GROUP INC     EQUITY        413833104         4         600 SH       DEFINED        4         --         --      600
HARRIS CORP DEL               EQUITY        413875105    22,204     480,600 SH       SOLE           2    480,600         --       --
HARRIS CORP.                  EQUITY        413875105     2,441      52,838 SH       SOLE           1     52,838         --       --
HARRIS INTERACTIVE INC        EQUITY        414549105         2         966 SH       DEFINED        5         --         --      966
HARRIS STRATEX NETWORKS INC   EQUITY        41457P106       181      23,137 SH       SOLE           1     23,137         --       --
HARRY WINSTON DIAMOND CORP    EQUITY        41587B100       790      60,718 SH       OTHER          1         --     60,718       --
HARSCO CORP                   EQUITY        415864107         4         120 SH       DEFINED        5         --         --      120
HARSCO CORP.                  EQUITY        415864107     9,379     252,200 SH       SOLE           1    252,200         --       --
HARTE-HANKS COMMUNICATIONS    EQUITY        416196103     1,235     119,133 SH       SOLE           1    119,133         --       --
HARTFORD FINANCIAL SVCS GR    EQUITY        416515104     7,865     191,870 SH       SOLE           2    191,870         --       --
HARTFORD FINANCIAL SVCS GROUP EQUITY        416515104    18,207     444,192 SH       SOLE           1    444,192         --       --
HARTFORD FINL SVCS GROUP INC  EQUITY        416515104        18         451 SH       DEFINED        5         --         --      451
HARTFORD FINL SVCS GROUP INC  EQUITY        416515104        24         587 SH       DEFINED        4         --         --      587
HARVEST ENERGY TR             EQUITY        41752X101       128       7,600 SH       DEFINED        5         --         --    7,600
HARVEST ENERGY TR             EQUITY        41752X101       682      40,327 SH       DEFINED        4         --         --   40,327
HARVEST ENERGY TRUST          EQUITY        41752X101     1,609      95,631 SH       OTHER          1         --     95,631       --
HARVEST NATURAL RESOUR        EQUITY        41754V103       325      32,145 SH       SOLE           1     32,145         --       --
HASBRO INC                    EQUITY        418056107         7         200 SH       DEFINED        5         --         --      200
HASBRO, INC.                  EQUITY        418056107     1,786      51,442 SH       SOLE           1     51,442         --       --
HATTERAS FINANCIAL CORP       EQUITY        41902R103       242      10,425 SH       SOLE           1     10,425         --       --
HATTERAS FINL CORP            EQUITY        41902R103         5         200 SH       DEFINED        5         --         --      200
HAVERTY FURNITURE COMPANIES   EQUITY        419596101       184      16,080 SH       SOLE           1     16,080         --       --
HAWAIIAN ELEC INDUSTRIES      EQUITY        419870100         6         200 SH       DEFINED        5         --         --      200
HAWAIIAN ELECTRIC INDUSTRIES, EQUITY        419870100     5,669     194,747 SH       SOLE           1    194,747         --       --
HAWAIIAN HOLDINGS INC         EQUITY        419879101     1,337     144,108 SH       SOLE           1    144,108         --       --
HAWAIIAN HOLDINGS INC COM     EQUITY        419879101     1,877     202,300 SH       SOLE           3    202,300         --       --
HAYES LEMMERZ INTERNATIONAL   EQUITY        420781304       250      91,757 SH       SOLE           1     91,757         --       --
HAYNES INTERNATIONAL INV      EQUITY        420877201     8,558     182,715 SH       SOLE           1    182,715         --       --
HCC INSURANCE HOLDINGS, INC.  EQUITY        404132102     7,128     264,012 SH       SOLE           1    264,012         --       --
HCP INC                       EQUITY        40414L109     4,182     104,200 SH       SOLE           1    104,200         --       --
HCP INC                       EQUITY        40414L109        24         609 SH       DEFINED        4         --         --      609
HCP INC                       EQUITY        40414L109       194       4,832 SH       DEFINED        5         --         --    4,832
HEADWATERS INC                EQUITY        42210P102       509      38,115 SH       SOLE           1     38,115         --       --
HEADWATERS INC                EQUITY        42210P102         9         700 SH       DEFINED        5         --         --      700
HEALTH CARE REIT INC          EQUITY        42217K106        58       1,085 SH       DEFINED        5         --         --    1,085
HEALTH CARE REIT INC          EQUITY        42217K106       354       6,642 SH       DEFINED        4         --         --    6,642
HEALTH CARE REIT, INC.        EQUITY        42217K106       815      15,307 SH       SOLE           1     15,307         --       --
HEALTH MANAGEMENT ASSOC.      EQUITY        421933102     2,754     662,015 SH       SOLE           1    662,015         --       --
HEALTH MGMT ASSOC             EQUITY        421933102       337      81,100 SH       SOLE           2     81,100         --       --
HEALTH MGMT ASSOC INC NEW     EQUITY        421933102        59      14,082 SH       DEFINED        4         --         --   14,082





                                                                                           
HEALTH NET INC.               EQUITY        42222G108     5,826     246,855 SH       SOLE           1    246,855         --       --
HEALTHCARE RLTY TR            EQUITY        421946104        47       1,600 SH       DEFINED        5         --         --    1,600
HEALTHCARE RLTY TR            EQUITY        421946104       355      12,184 SH       DEFINED        4         --         --   12,184
HEALTHCARE SVCS GRP IN        EQUITY        421906108       716      39,139 SH       SOLE           1     39,139         --       --
HEALTHEXTRAS INC              EQUITY        422211102     1,254      48,010 SH       SOLE           1     48,010         --       --
HEALTHSOUTH CORP              EQUITY        421924309     1,473      79,941 SH       SOLE           1     79,941         --       --
HEALTHSPRING INC              EQUITY        42224N101       951      44,926 SH       SOLE           1     44,926         --       --
HEALTHSPRING INC              EQUITY        42224N101         4         200 SH       DEFINED        5         --         --      200
HEALTHSPRING INC              EQUITY        42224N101        26       1,227 SH       DEFINED        4         --         --    1,227
HEALTHWAYS INC                EQUITY        422245100       515      31,943 SH       SOLE           1     31,943         --       --
HEARST-ARGYLE TELEVI          EQUITY        422317107        17         773 SH       SOLE           1        773         --       --
HEARTLAND EXPRESS, INC.       EQUITY        422347104       789      50,793 SH       SOLE           1     50,793         --       --
HEARTLAND FINANCIAL USA INC   EQUITY        42234Q102       300      11,953 SH       SOLE           1     11,953         --       --
HEARTLAND PAYMENT SYSTEMS IN  EQUITY        42235N108       568      22,206 SH       SOLE           1     22,206         --       --
HEARTLAND PMT SYS INC         EQUITY        42235N108     1,462      57,200 SH       SOLE           2     57,200         --       --
HECKMANN CORP                 EQUITY        422680108         2         300 SH       DEFINED        5         --         --      300
HECLA MNG CO                  EQUITY        422704106       542     115,770 SH       SOLE           1    115,770         --       --
HECLA MNG CO                  EQUITY        422704106        18       3,910 SH       DEFINED        5         --         --    3,910
HEICO CORP.                   EQUITY        422806109       661      20,155 SH       SOLE           1     20,155         --       --
HEIDRICK & STRUGGLES INT'L    EQUITY        422819102       473      15,652 SH       SOLE           1     15,652         --       --
HEINZ H J CO                  EQUITY        423074103        15         294 SH       DEFINED        4         --         --      294
HEINZ H J CO                  EQUITY        423074103        75       1,510 SH       DEFINED        5         --         --    1,510
HEINZ H J CO                  EQUITY        423074103     5,452     109,100 SH       SOLE           2    109,100         --       --
HELEN OF TROY CORP LTD        EQUITY        G4388N106         9         400 SH       DEFINED        5         --         --      400
HELIX ENERGY SOLUTIONS GROUP  EQUITY        42330P107     5,126     211,124 SH       SOLE           1    211,124         --       --
HELIX ENERGY SOLUTIONS GRP I  EQUITY        42330P107         4         162 SH       DEFINED        5         --         --      162
HELMERICH & PAYNE INC         EQUITY        423452101        48       1,100 SH       DEFINED        5         --         --    1,100
HELMERICH & PAYNE, INC.       EQUITY        423452101    10,452     241,992 SH       SOLE           1    241,992         --       --
HENRY JACK & ASSOC INC        EQUITY        426281101        31       1,510 SH       DEFINED        5         --         --    1,510
HENRY JACK & ASSOCIATES       EQUITY        426281101     5,348     263,053 SH       SOLE           1    263,053         --       --
HENRY SCHEIN INC              EQUITY        806407102    11,242     209,275 SH       SOLE           1    209,275         --       --
HERBALIFE LTD                 EQUITY        G4412G101         4         100 SH       DEFINED        4         --         --      100
HERCULES OFFSHORE INC         EQUITY        427093109        44       2,932 SH       SOLE           1      2,932         --       --
HERCULES TECH GROWTH CAP INC  EQUITY        427096508         4         400 SH       DEFINED        5         --         --      400
HERCULES TECH GROWTH CAP INC  EQUITY        427096508       198      20,452 SH       DEFINED        4         --         --   20,452
HERCULES TECHNOLOGY GROWTH
   CAPITAL INC                EQUITY        427096508       292      29,978 SH       SOLE           1     29,978         --       --
HERCULES, INC.                EQUITY        427056106     2,876     145,322 SH       SOLE           1    145,322         --       --
HERITAGE COMMERCE CORP        EQUITY        426927109       136       9,406 SH       SOLE           1      9,406         --       --
HERITAGE CRYSTAL CLEAN INC    EQUITY        42726M106     1,122      83,148 SH       SOLE           2     83,148         --       --
HERLEY INDS INC DEL           EQUITY        427398102       209      12,256 SH       SOLE           1     12,256         --       --





                                                                                           
HERLEY INDS INC DEL           EQUITY        427398102        11         631 SH       DEFINED        4         --         --      631
HERMAN MILLER, INC.           EQUITY        600544100     4,336     177,184 SH       SOLE           1    177,184         --       --
HERSHA HOSPITALITY TRUST      EQUITY        427825104       500      67,141 SH       SOLE           1     67,141         --       --
HERSHEY CO                    EQUITY        427866108        10         250 SH       DEFINED        4         --         --      250
HERSHEY CO                    EQUITY        427866108        20         497 SH       DEFINED        5         --         --      497
HERTZ GLOBAL HOLDINGS INC     EQUITY        42805T105        78      10,336 SH       SOLE           1     10,336         --       --
HESS CORP                     EQUITY        42809H107    22,509     274,234 SH       SOLE           1    274,234         --       --
HESS CORP                     EQUITY        42809H107        32         384 SH       DEFINED        5         --         --      384
HESS CORP                     EQUITY        42809H107        50         612 SH       DEFINED        4         --         --      612
HESS CORP                     EQUITY        42809H107       246       3,000 SH       SOLE           2      3,000         --       --
HEWITT ASSOCIATES INC-CL A    EQUITY        42822Q100     1,080      29,631 SH       SOLE           1     29,631         --       --
HEWLETT PACKARD CO            EQUITY        428236103       107       2,314 SH       DEFINED        4         --         --    2,314
HEWLETT PACKARD CO            EQUITY        428236103       175       3,785 SH       DEFINED        5         --         --    3,785
HEWLETT PACKARD CO            EQUITY        428236103    38,327     828,871 SH       SOLE           2    828,871         --       --
HEWLETT PACKARD CO.           EQUITY        428236103    77,048   1,666,265 SH       SOLE           1  1,666,265         --       --
HEXCEL CORP NEW               EQUITY        428291108         3         200 SH       DEFINED        5         --         --      200
HEXCEL CORP NEW               EQUITY        428291108         7         500 SH       DEFINED        4         --         --      500
HEXCEL CORP.                  EQUITY        428291108     1,193      87,167 SH       SOLE           1     87,167         --       --
HHGREGG INC                   EQUITY        42833L108       110      11,326 SH       SOLE           1     11,326         --       --
HIBBETT SPORTS INC.           EQUITY        428567101       517      25,820 SH       SOLE           1     25,820         --       --
HIGH YIELD PLUS FD INC        EQUITY        429906100        14       6,107 SH       DEFINED        5         --         --    6,107
HIGHWOODS PPTYS INC           EQUITY        431284108         5         150 SH       DEFINED        5         --         --      150
HIGHWOODS PROPERTIES, INC.    EQUITY        431284108     6,935     195,016 SH       SOLE           1    195,016         --       --
HILB, ROGAL & HAMILTON CO.    EQUITY        431294107     1,545      33,063 SH       SOLE           1     33,063         --       --
HILL INTERNATIONAL INC        EQUITY        431466101     1,057      76,347 SH       SOLE           1     76,347         --       --
HILL INTERNATIONAL INC COM    EQUITY        431466101     1,545     111,550 SH       SOLE           3    111,550         --       --
HILLENBRAND INC               EQUITY        431571108        26       1,270 SH       SOLE           1      1,270         --       --
HILL-ROM HOLDINGS INC         EQUITY        431475102     4,352     143,597 SH       SOLE           1    143,597         --       --
HILLTOP HOLDINGS INC          EQUITY        432748101       423      41,015 SH       SOLE           1     41,015         --       --
HITACHI LIMITED               EQUITY        433578507         7         100 SH       DEFINED        4         --         --      100
HITTITE MICROWAVE CORP        EQUITY        43365Y104       598      17,773 SH       SOLE           1     17,773         --       --
HLTH CORP                     EQUITY        40422Y101        63       5,506 SH       SOLE           1      5,506         --       --
HLTH CORPORATION              EQUITY        40422Y101        48       4,192 SH       DEFINED        4         --         --    4,192
HMS HOLDINGS CORP             EQUITY        40425J101       546      22,748 SH       SOLE           1     22,748         --       --
HNI CORP                      EQUITY        404251100     3,563     140,612 SH       SOLE           1    140,612         --       --
HOLLY CORP                    EQUITY        435758305         6         218 SH       DEFINED        4         --         --      218
HOLLY CORP.                   EQUITY        435758305        39       1,341 SH       SOLE           1      1,341         --       --
HOLLYWOOD PARK, INC.          EQUITY        723456109       413      54,568 SH       SOLE           1     54,568         --       --
HOLOGIC INC                   EQUITY        436440101    11,554     602,072 SH       SOLE           1    602,072         --       --
HOLOGIC INC                   EQUITY        436440101        13         650 SH       DEFINED        5         --         --      650





                                                                                           
HOLOGIC INC                   EQUITY        436440101    28,838   1,491,882 SH       SOLE           2  1,491,882         --       --
HOME BANCSHARES INC/CONWAY AR EQUITY        436893200       318      12,028 SH       SOLE           1     12,028         --       --
HOME DEPOT INC                EQUITY        437076102       225       8,683 SH       DEFINED        4         --         --    8,683
HOME DEPOT INC                EQUITY        437076102       298      11,523 SH       DEFINED        5         --         --   11,523
HOME DEPOT INC                EQUITY        437076102     6,716     259,400 SH       SOLE           2    259,400         --       --
HOME DEPOT, INC.              EQUITY        437076102    21,345     824,442 SH       SOLE           1    824,442         --       --
HOME FEDERAL BANCORP INC/ID   EQUITY        43710G105        74       5,953 SH       SOLE           1      5,953         --       --
HOME INNS & HOTELS MGMT INC   EQUITY        43713W107        14       1,000 SH       DEFINED        5         --         --    1,000
HONDA MOTOR LTD               EQUITY        438128308         1          34 SH       DEFINED        4         --         --       34
HONDA MOTOR LTD               EQUITY        438128308         3         110 SH       DEFINED        5         --         --      110
HONEYWELL INTERNATIONAL INC.  EQUITY        438516106    21,157     509,192 SH       SOLE           1    509,192         --       --
HONEYWELL INTL INC            EQUITY        438516106       122       2,933 SH       DEFINED        4         --         --    2,933
HONEYWELL INTL INC            EQUITY        438516106       140       3,363 SH       DEFINED        5         --         --    3,363
HONEYWELL INTL INC            EQUITY        438516106     8,636     207,844 SH       SOLE           2    207,844         --       --
HOOKER FURNITURE CORP         EQUITY        439038100       158       8,899 SH       SOLE           1      8,899         --       --
HORACE MANN EDUCATORS CORP.   EQUITY        440327104     1,611     125,168 SH       SOLE           1    125,168         --       --
HORIZON FINL CORP WASH        EQUITY        44041F105        14       1,500 SH       DEFINED        5         --         --    1,500
HORIZON LINES INC-CL A        EQUITY        44044K101       268      27,153 SH       SOLE           1     27,153         --       --
HORMEL FOODS CORP             EQUITY        440452100     4,143     114,200 SH       SOLE           2    114,200         --       --
HORMEL FOODS CORP.            EQUITY        440452100     5,849     161,207 SH       SOLE           1    161,207         --       --
HORNBECK OFFSHORE SERVICES    EQUITY        440543106       813      21,063 SH       SOLE           1     21,063         --       --
HORSEHEAD HOLDING CORP        EQUITY        440694305       187      31,693 SH       SOLE           1     31,693         --       --
HOSPIRA INC                   EQUITY        441060100     2,462      64,457 SH       SOLE           1     64,457         --       --
HOSPITALITY PPTYS TR          EQUITY        44106M102         8         400 SH       DEFINED        5         --         --      400
HOSPITALITY PPTYS TR          EQUITY        44106M102        10         500 SH       DEFINED        4         --         --      500
HOSPITALITY PROPERTIES TRUST  EQUITY        44106M102     3,035     147,893 SH       SOLE           1    147,893         --       --
HOST HOTELS & RESORTS INC     EQUITY        44107P104    13,491   1,015,110 SH       SOLE           1  1,015,110         --       --
HOT TOPIC INC                 EQUITY        441339108       262      39,676 SH       SOLE           1     39,676         --       --
HOUSTON AMERICAN ENERGY CORP  EQUITY        44183U100        86      13,532 SH       SOLE           1     13,532         --       --
HOUSTON WIRE & CABLE CO       EQUITY        44244K109       279      16,214 SH       SOLE           1     16,214         --       --
HOUSTON WIRE & CABLE CO       EQUITY        44244K109         2         100 SH       DEFINED        5         --         --      100
HOVNANIAN ENTERPRISES INC     EQUITY        442487203     1,493     186,797 SH       SOLE           1    186,797         --       --
HOVNANIAN ENTERPRISES INC     EQUITY        442487203        25       3,172 SH       DEFINED        4         --         --    3,172
HQ SUSTAINABLE MARITIME
   INDUSTRIES INC             EQUITY        40426A208        31       6,053 SH       SOLE           1      6,053         --       --
HRPT PPTYS TR                 EQUITY        40426W101        20       2,932 SH       DEFINED        4         --         --    2,932
HSBC HLDGS PLC                EQUITY        404280406        16         199 SH       DEFINED        5         --         --      199
HSBC HLDGS PLC                EQUITY        404280604        18       1,000 SH       DEFINED        5         --         --    1,000
HSBC HLDGS PLC                EQUITY        404280406        97       1,203 SH       DEFINED        4         --         --    1,203
HSBC HOLDINGS PLC             FIXED INCOME  404280604     1,180      67,400 PRN      SOLE           1     67,400         --       --
HSN INC                       EQUITY        404303109        50       4,499 SH       SOLE           1      4,499         --       --





                                                                                           
HSN INC DEL                   EQUITY        404303109     1,280     116,300 SH       SOLE           2    116,300         --       --
HSW INTERNATIONAL INC         EQUITY        40431N104        66      25,302 SH       SOLE           1     25,302         --       --
HUANENG PWR INTL INC          EQUITY        443304100         3          94 SH       DEFINED        4         --         --       94
HUANENG PWR INTL INC          EQUITY        443304100        13         480 SH       DEFINED        5         --         --      480
HUB GROUP INC                 EQUITY        443320106        83       2,200 SH       DEFINED        5         --         --    2,200
HUB GROUP INC-CL A            EQUITY        443320106     1,265      33,585 SH       SOLE           1     33,585         --       --
HUBBELL INC. CLASS B          EQUITY        443510201     5,948     169,697 SH       SOLE           1    169,697         --       --
HUDSON CITY BANCORP           EQUITY        443683107     3,965     210,659 SH       SOLE           1    210,659         --       --
HUDSON HIGHLAND GROUP INC     EQUITY        443792106       158      22,726 SH       SOLE           1     22,726         --       --
HUGHES COMMUNICATIONS INC     EQUITY        444398101       241       6,514 SH       SOLE           1      6,514         --       --
HUGOTON RTY TR TEX            EQUITY        444717102        74       2,746 SH       DEFINED        4         --         --    2,746
HUMAN GENOME SCIENCES, INC.   EQUITY        444903108       782     123,149 SH       SOLE           1    123,149         --       --
HUMANA INC                    EQUITY        444859102         3          75 SH       DEFINED        4         --         --       75
HUMANA INC                    EQUITY        444859102        24         590 SH       DEFINED        5         --         --      590
HUMANA, INC.                  EQUITY        444859102     2,799      67,930 SH       SOLE           1     67,930         --       --
HUNGARIAN TELEPHONE & CABLE   EQUITY        445542103        87       4,367 SH       SOLE           1      4,367         --       --
HUNT JB TRANS SVC INC COM     EQUITY        445658107     2,660      79,700 SH       SOLE           3     32,000               47700
HUNTINGTON BANCSHARES INC     EQUITY        446150104       112      14,049 SH       DEFINED        4         --         --   14,049
HUNTINGTON BANCSHARES, INC.   EQUITY        446150104     1,215     152,020 SH       SOLE           1    152,020         --       --
HUNTSMAN CORP                 EQUITY        447011107        66       5,257 SH       SOLE           1      5,257         --       --
HURCO COS INC                 EQUITY        447324104       172       5,824 SH       SOLE           1      5,824         --       --
HURON CONSULTING GROUP INC    EQUITY        447462102     1,075      18,861 SH       SOLE           1     18,861         --       --
HUTCHINSON TECHNOLOGY, INC.   EQUITY        448407106       248      21,400 SH       SOLE           1     21,400         --       --
HYPERCOM CORP                 EQUITY        44913M105       193      48,462 SH       SOLE           1     48,462         --       --
HYPERION BRKFLD TOTAL RET FD  EQUITY        449145101         5       1,040 SH       DEFINED        5         --         --    1,040
I2 TECHNOLOGIES INC           EQUITY        465754208       191      14,215 SH       SOLE           1     14,215         --       --
I2 TECHNOLOGIES INC           EQUITY        465754208         7         488 SH       DEFINED        5         --         --      488
IAC/INTERACTIVECORP           EQUITY        44919P508     1,290      74,772 SH       SOLE           1     74,772         --       --
IAMGOLD CORPORATION           EQUITY        450913108     2,072     376,492 SH       OTHER          1         --    376,492       --
IBASIS INC                    EQUITY        450732201        99      28,524 SH       SOLE           1     28,524         --       --
IBERIABANK CORP               EQUITY        450828108       638      11,714 SH       SOLE           1     11,714         --       --
ICF INTERNATIONAL INC         EQUITY        44925C103       353      18,019 SH       SOLE           1     18,019         --       --
ICICI BK LTD                  EQUITY        45104G104         2         100 SH       DEFINED        4         --         --      100
ICICI BK LTD                  EQUITY        45104G104        14         600 SH       DEFINED        5         --         --      600
ICO GLOBAL COMMUNICATIONS
   HOLDINGS LTD               EQUITY        44930K108       102      93,966 SH       SOLE           1     93,966         --       --
ICO INC                       EQUITY        449293109       141      25,141 SH       SOLE           1     25,141         --       --
ICON PLC-- SPONSORED ADR      EQUITY        45103T107       682      17,800 SH       SOLE           1     17,800         --       --
ICON PUB LTD CO SPONSORED ADR EQUITY        45103T107       367       9,600 SH       SOLE           3      9,600         --       --
ICONIX BRAND GROUP INC        EQUITY        451055107       686      52,436 SH       SOLE           1     52,436         --       --
ICONIX BRAND GROUP INC        EQUITY        451055107     5,508     421,100 SH       SOLE           2    421,100         --       --





                                                                                           
ICT GROUP INC                 EQUITY        44929Y101        64       7,942 SH       SOLE           1      7,942         --       --
ICU MEDICAL, INC.             EQUITY        44930G107       305      10,023 SH       SOLE           1     10,023         --       --
ICX TECHNOLOGIES INC          EQUITY        44934T105        95      12,434 SH       SOLE           1     12,434         --       --
IDACORP INC                   EQUITY        451107106         3          95 SH       DEFINED        5         --         --       95
IDACORP, INC.                 EQUITY        451107106     4,183     143,802 SH       SOLE           1    143,802         --       --
IDEARC INC                    EQUITY        451663108       168     134,029 SH       SOLE           1    134,029         --       --
IDEARC INC                    EQUITY        451663108       209     167,500 SH       SOLE           2    167,500         --       --
IDENIX PHARMACEUTICALS INC    EQUITY        45166R204       164      22,703 SH       SOLE           1     22,703         --       --
IDERA PHARMACEUTICALS INC     EQUITY        45168K306       263      18,652 SH       SOLE           1     18,652         --       --
IDEX CORP.                    EQUITY        45167R104     5,860     188,899 SH       SOLE           1    188,899         --       --
IDEXX LABORATORIES, INC.      EQUITY        45168D104     7,453     136,027 SH       SOLE           1    136,027         --       --
IDEXX LABS INC COM            EQUITY        45168D104     4,735      86,400 SH       SOLE           3     37,000               49400
IDT CORP-CL B                 EQUITY        448947309        36      49,070 SH       SOLE           1     49,070         --       --
I-FLOW CORP                   EQUITY        449520303       183      19,608 SH       SOLE           1     19,608         --       --
IGATE CORP                    EQUITY        45169U105       172      19,856 SH       SOLE           1     19,856         --       --
IHS INC-CLASS A               EQUITY        451734107       990      20,781 SH       SOLE           1     20,781         --       --
II VI INC                     EQUITY        902104108         4         100 SH       DEFINED        4         --         --      100
II-VI INC                     EQUITY        902104108       859      22,197 SH       SOLE           1     22,197         --       --
IKON OFFICE SOLUTIONS INC     EQUITY        451713101        10         590 SH       DEFINED        4         --         --      590
IKON OFFICE SOLUTIONS INC.    EQUITY        451713101     2,503     147,126 SH       SOLE           1    147,126         --       --
ILLINOIS TOOL WKS INC         EQUITY        452308109         2          45 SH       DEFINED        5         --         --       45
ILLINOIS TOOL WORKS, INC.     EQUITY        452308109     8,709     195,925 SH       SOLE           1    195,925         --       --
ILLUMINA INC                  EQUITY        452327109        50       1,248 SH       SOLE           1      1,248         --       --
ILLUMINA INC                  EQUITY        452327109        16         400 SH       DEFINED        4         --         --      400
IMATION CORP.                 EQUITY        45245A107     2,154      95,368 SH       SOLE           1     95,368         --       --
IMCLONE SYS INC               EQUITY        45245W109       330       5,285 SH       SOLE           2      5,285         --       --
IMCLONE SYSTEMS               EQUITY        45245W109        97       1,561 SH       SOLE           1      1,561         --       --
IMMERSION CORP                EQUITY        452521107       161      27,721 SH       SOLE           1     27,721         --       --
IMMUCOR INC                   EQUITY        452526106     2,035      63,661 SH       SOLE           1     63,661         --       --
IMMUNOGEN INC                 EQUITY        45253H101       226      46,036 SH       SOLE           1     46,036         --       --
IMMUNOGEN INC                 EQUITY        45253H101         5       1,000 SH       DEFINED        5         --         --    1,000
IMMUNOMEDICS, INC.            EQUITY        452907108       106      59,308 SH       SOLE           1     59,308         --       --
IMPERIAL OIL LTD              EQUITY        453038408     1,146      26,767 SH       OTHER          1         --     26,767       --
IMPERIAL SUGAR CO             EQUITY        453096208       146      10,804 SH       SOLE           1     10,804         --       --
IMS HEALTH, INC.              EQUITY        449934108     3,691     195,170 SH       SOLE           1    195,170         --       --
INCYTE CORP                   EQUITY        45337C102       530      69,345 SH       SOLE           1     69,345         --       --
INDEPENDENCE HLDG CO N        EQUITY        453440307        68       5,887 SH       SOLE           1      5,887         --       --
INDEPENDENT BANK CORP MASS    EQUITY        453836108        66       2,111 SH       DEFINED        5         --         --    2,111
INDEPENDENT BANK CORP.-
   MASSACHUSETTS              EQUITY        453836108       462      14,824 SH       SOLE           1     14,824         --       --
INDEVUS PHARMACEUTICALS INC   EQUITY        454072109       236      70,351 SH       SOLE           1     70,351         --       --





                                                                                           
INDIA FD INC                  EQUITY        454089103         3         100 SH       DEFINED        4         --         --      100
INDIA FD INC                  EQUITY        454089103       182       5,557 SH       DEFINED        5         --         --    5,557
INFINERA CORP                 EQUITY        45667G103       804      84,372 SH       SOLE           1     84,372         --       --
INFINITY PROPERTY & CASUALTY  EQUITY        45665Q103       579      13,923 SH       SOLE           1     13,923         --       --
INFOGROUP INC                 EQUITY        45670G108       198      29,945 SH       SOLE           1     29,945         --       --
INFORMATICA CORP              EQUITY        45666Q102     1,053      80,417 SH       SOLE           1     80,417         --       --
INFOSPACE INC.                EQUITY        45678T201       339      31,214 SH       SOLE           1     31,214         --       --
INFOSYS TECHNOLOGIES LTD      EQUITY        456788108        53       1,585 SH       DEFINED        5         --         --    1,585
INFOSYS TECHNOLOGIES-SP ADR   EQUITY        456788108    32,769     980,484 SH       SOLE           1    980,484         --       --
ING CLARION GLB RE EST INCM   EQUITY        44982G104        30       3,453 SH       DEFINED        4         --         --    3,453
ING CLARION GLB RE EST INCM   EQUITY        44982G104        73       8,265 SH       DEFINED        5         --         --    8,265
ING GLOBAL EQTY DIV & PREM O  EQUITY        4.57E+111        21       1,875 SH       DEFINED        5         --         --    1,875
ING GROEP N V                 EQUITY        456837103         3         120 SH       DEFINED        5         --         --      120
ING GROEP N V                 EQUITY        456837103         6         262 SH       DEFINED        4         --         --      262
ING PRIME RATE TR             EQUITY        44977W106         4         877 SH       DEFINED        5         --         --      877
ING PRIME RATE TR             EQUITY        44977W106        19       4,282 SH       DEFINED        4         --         --    4,282
INGERSOLL-RAND COMPANY LTD    EQUITY        G4776G101        14         442 SH       DEFINED        5         --         --      442
INGERSOLL-RAND COMPANY LTD    EQUITY        G4776G101        23         745 SH       DEFINED        4         --         --      745
INGLES MARKETS INC CLASS A    EQUITY        457030104       260      11,466 SH       SOLE           1     11,466         --       --
INGRAM MICRO INC. CLASS A     EQUITY        457153104     6,129     381,393 SH       SOLE           1    381,393         --       --
INLAND REAL ESTATE CORP       EQUITY        457461200       818      52,134 SH       SOLE           1     52,134         --       --
INLAND REAL ESTATE CORP       EQUITY        457461200         5         345 SH       DEFINED        5         --         --      345
INLAND REAL ESTATE CORP       EQUITY        457461200     1,028      65,490 SH       DEFINED        4         --         --   65,490
INNERWORKINGS INC             EQUITY        45773Y105       320      28,808 SH       SOLE           1     28,808         --       --
INNOPHOS HOLDINGS INC         EQUITY        45774N108       231       9,478 SH       SOLE           1      9,478         --       --
INNOSPEC INC                  EQUITY        45768S105       257      21,293 SH       SOLE           1     21,293         --       --
INOVIO BIOMEDICAL CORP        EQUITY        45773H102         4       6,000 SH       DEFINED        4         --         --    6,000
INSIGHT ENTERPRISES, INC.     EQUITY        45765U103       573      42,659 SH       SOLE           1     42,659         --       --
INSITUFORM TECHNOLOGIES, INC.
   CLASS A                    EQUITY        457667103       379      25,292 SH       SOLE           1     25,292         --       --
INSPIRE PHARMACEUTICALS INC   EQUITY        457733103       137      38,311 SH       SOLE           1     38,311         --       --
INSPIRE PHARMACEUTICALS INC   EQUITY        457733103         3         800 SH       DEFINED        5         --         --      800
INSTEEL INDUSTRIES INC        EQUITY        45774W108     2,203     162,122 SH       SOLE           1    162,122         --       --
INSULET CORP                  EQUITY        45784P101       232      16,644 SH       SOLE           1     16,644         --       --
INSURED MUN INCOME FD         EQUITY        45809F104         2         200 SH       DEFINED        5         --         --      200
INSWEB CORP                   EQUITY        45809K202        50       9,194 SH       SOLE           1      9,194         --       --
INTEGRA BANK CORP.            EQUITY        45814P105       150      18,756 SH       SOLE           1     18,756         --       --
INTEGRA LIFESCIENCES HOLDINGS EQUITY        457985208       712      16,189 SH       SOLE           1     16,189         --       --
INTEGRAL SYSTEMS INC/MD       EQUITY        45810H107       320      15,442 SH       SOLE           1     15,442         --       --
INTEGRATED DEVICE TECHNOLOGY, EQUITY        458118106     3,031     389,058 SH       SOLE           1    389,058         --       --
INTEGRATED ELECTRICAL
   SERVICES INC               EQUITY        4.58E+305       123       7,024 SH       SOLE           1      7,024         --       --





                                                                                           
INTEGRYS ENERGY GROUP INC     EQUITY        45822P105     1,583      31,691 SH       SOLE           1     31,691         --       --
INTEGRYS ENERGY GROUP INC     EQUITY        45822P105        16         330 SH       DEFINED        5         --         --      330
INTEL CORP                    EQUITY        458140100       721      38,504 SH       DEFINED        4         --         --   38,504
INTEL CORP                    EQUITY        458140100     1,951     104,163 SH       DEFINED        5         --         --  104,163
INTEL CORP                    EQUITY        458140100    23,317   1,244,908 SH       SOLE           2  1,244,908         --       --
INTEL CORP PUT                OPTION        458140950         2           5     PUT  DEFINED        5         --         --        5
INTEL CORP.                   EQUITY        458140100    77,303   4,132,077 SH       SOLE           1  4,132,077         --       --
INTER PARFUMS INC             EQUITY        458334109       174      12,758 SH       SOLE           1     12,758         --       --
INTERACTIVE BROKERS GROUP     EQUITY        45841N107       841      36,895 SH       SOLE           1     36,895         --       --
INTERACTIVE DATA CORP         EQUITY        45840J107       839      33,258 SH       SOLE           1     33,258         --       --
INTERACTIVE INTELLIGENCE INC  EQUITY        45839M103       114      12,605 SH       SOLE           1     12,605         --       --
INTERCONTINENTAL HTLS GRP PL  EQUITY        45857P301         2         191 SH       DEFINED        5         --         --      191
INTERCONTINENTALEXCHANGE INC  EQUITY        45865V100     3,112      38,573 SH       SOLE           1     38,573         --       --
INTERCONTINENTALEXCHANGE INC  EQUITY        45865V100         5          66 SH       DEFINED        4         --         --       66
INTERCONTINENTALEXCHANGE INC  EQUITY        45865V100        25         305 SH       DEFINED        5         --         --      305
INTERDIGITAL INC              EQUITY        45867G101       990      41,151 SH       SOLE           1     41,151         --       --
INTERDIGITAL INC              EQUITY        45867G101         8         350 SH       DEFINED        5         --         --      350
INTERFACE, INC. CLASS A       EQUITY        458665106       551      48,484 SH       SOLE           1     48,484         --       --
INTERLINE BRANDS INC          EQUITY        458743101       478      29,484 SH       SOLE           1     29,484         --       --
INTERMEC INC                  EQUITY        458786100     1,099      55,933 SH       SOLE           1     55,933         --       --
INTERMUNE INC.                EQUITY        45884X103       492      28,767 SH       SOLE           1     28,767         --       --
INTERNAP NETWORK
   SERVICES CORP              EQUITY        45885A300       159      45,763 SH       SOLE           1     45,763         --       --
INTERNATIONAL ASSETS HOLDING
   CORP                       EQUITY        459028106        92       3,831 SH       SOLE           1      3,831         --       --
INTERNATIONAL BANCSHARES COR  EQUITY        459044103       186       6,875 SH       DEFINED        5         --         --    6,875
INTERNATIONAL BANCSHARES
   CORP.                      EQUITY        459044103     1,268      46,357 SH       SOLE           1     46,357         --       --
INTERNATIONAL BUSINESS MAC    EQUITY        459200101    12,031     102,864 SH       SOLE           2    102,864         --       --
INTERNATIONAL BUSINESS
   MACHINES CORP              EQUITY        459200101   100,523     859,510 SH       SOLE           1    859,510         --       --
INTERNATIONAL BUSINESS MACHS  EQUITY        459200101       927       7,925 SH       DEFINED        4         --         --    7,925
INTERNATIONAL BUSINESS MACHS  EQUITY        459200101     1,182      10,107 SH       DEFINED        5         --         --   10,107
INTERNATIONAL COAL GROUP INC  EQUITY        45928H106       721     115,603 SH       SOLE           1    115,603         --       --
INTERNATIONAL GAME TECHNOL    EQUITY        459902102       333      19,400 SH       SOLE           2     19,400         --       --
INTERNATIONAL GAME TECHNOLOG  EQUITY        459902102        13         750 SH       DEFINED        5         --         --      750
INTERNATIONAL GAME TECHNOLOGY EQUITY        459902102     2,840     165,280 SH       SOLE           1    165,280         --       --
INTERNATIONAL PAPER CO        EQUITY        460146103     9,234     352,700 SH       SOLE           2    352,700         --       --
INTERNATIONAL PAPER CO.       EQUITY        460146103     4,648     177,558 SH       SOLE           1    177,558         --       --
INTERNATIONAL RECTIFIER CORP  EQUITY        460254105         2         100 SH       DEFINED        4         --         --      100
INTERNATIONAL RECTIFIER CORP  EQUITY        460254105        14         750 SH       DEFINED        5         --         --      750
INTERNATIONAL RECTIFIER CORP. EQUITY        460254105     3,181     167,240 SH       SOLE           1    167,240         --       --
INTERNATIONAL SHIPHOLDING
   CORP                       EQUITY        460321201       120       5,496 SH       SOLE           1      5,496         --       --
INTERNATIONAL SPEEDWAY COR    EQUITY        460335201       747      19,200 SH       SOLE           2     19,200         --       --





                                                                                           
INTERNATIONAL SPEEDWAY CORP   EQUITY        460335201         4         100 SH       DEFINED        5         --         --      100
INTERNATIONAL SPEEDWAY CORP.  EQUITY        460335201     2,535      65,298 SH       SOLE           1     65,298         --       --
INTERNET BRANDS INC           EQUITY        460608102       140      20,122 SH       SOLE           1     20,122         --       --
INTERNET CAPITAL GROUP, INC.  EQUITY        46059C205       285      35,130 SH       SOLE           1     35,130         --       --
INTERPUBLIC GROUP CORP        EQUITY        460690100     1,895     244,575 SH       SOLE           1    244,575         --       --
INTERSIL CORP                 EQUITY        46069S109       610      36,800 SH       SOLE           2     36,800         --       --
INTERSIL CORP -CL A           EQUITY        46069S109     4,698     283,721 SH       SOLE           1    283,721         --       --
INTERVAL LEISURE GROUP INC    EQUITY        46113M108        47       4,499 SH       SOLE           1      4,499         --       --
INTERWOVEN INC                EQUITY        46114T508       585      41,435 SH       SOLE           1     41,435         --       --
INTEVAC INC                   EQUITY        461148108       209      19,689 SH       SOLE           1     19,689         --       --
INTL PAPER CO                 EQUITY        460146103         4         154 SH       DEFINED        5         --         --      154
INTL PAPER CO                 EQUITY        460146103        56       2,123 SH       DEFINED        4         --         --    2,123
INT'L. FLAVORS & FRAGRANCES,  EQUITY        459506101     1,570      39,799 SH       SOLE           1     39,799         --       --
INTREPID POTASH INC           EQUITY        46121Y102        27         904 SH       SOLE           1        904         --       --
INTREPID POTASH INC           EQUITY        46121Y102        16         535 SH       DEFINED        5         --         --      535
INTUIT                        EQUITY        461202103     3,066      97,000 SH       SOLE           2     97,000         --       --
INTUIT, INC.                  EQUITY        461202103     4,675     147,770 SH       SOLE           1    147,770         --       --
INTUITIVE SURGICAL INC        EQUITY        46120E602     4,165      17,286 SH       SOLE           1     17,286         --       --
INTUITIVE SURGICAL INC        EQUITY        46120E602        67         278 SH       DEFINED        4         --         --      278
INVACARE CORP.                EQUITY        461203101       704      29,180 SH       SOLE           1     29,180         --       --
INVENTIV HEALTH INC           EQUITY        4.61E+109       531      30,040 SH       SOLE           1     30,040         --       --
INVERNESS MED INNOVATIONS     EQUITY        46126P106     1,509      50,300 SH       SOLE           2     50,300         --       --
INVERNESS MEDICAL INNOVATION  EQUITY        46126P106        63       2,097 SH       SOLE           1      2,097         --       --
INVESCO LTD                   EQUITY        G491BT108         4         200 SH       DEFINED        5         --         --      200
INVESCO LTD                   EQUITY        G491BT108     8,044     383,400 SH       SOLE           2    383,400         --       --
INVESTMENT GRADE MUN INCOME   EQUITY        461368102         9         826 SH       DEFINED        4         --         --      826
INVESTMENT TECHNOLOGY GROU    EQUITY        46145F105     1,019      33,500 SH       SOLE           2     33,500         --       --
INVESTMENT TECHNOLOGY GROUP   EQUITY        46145F105        29         940 SH       SOLE           1        940         --       --
INVESTORS BANCORP INC         EQUITY        46146P102       601      39,992 SH       SOLE           1     39,992         --       --
INVESTORS REAL ESTATE TRUST   EQUITY        461730103       585      52,246 SH       SOLE           1     52,246         --       --
INVITROGEN CORP               EQUITY        46185R100    11,945     316,304 SH       SOLE           1    316,304         --       --
ION GEOPHYSICAL CORP          EQUITY        462044108     1,088      76,692 SH       SOLE           1     76,692         --       --
IOWA TELECOMM SERVICES INC    EQUITY        462594201        11         600 SH       DEFINED        4         --         --      600
IOWA TELECOMM SERVICES INC    EQUITY        462594201        24       1,309 SH       DEFINED        5         --         --    1,309
IOWA TELECOMMUNICATIONS SERV  EQUITY        462594201     4,563     244,274 SH       SOLE           1    244,274         --       --
IPC HLDGS LTD                 EQUITY        G4933P101        11         352 SH       DEFINED        5         --         --      352
IPC THE HOSPITALIST CO INC    EQUITY        44984A105       142       5,536 SH       SOLE           1      5,536         --       --
IPCS INC                      EQUITY        44980Y305    45,184   2,056,584 SH       SOLE           1  2,056,584         --       --
IPG PHOTONICS CORP            EQUITY        44980X109       340      17,442 SH       SOLE           1     17,442         --       --
IPG PHOTONICS CORP            EQUITY        44980X109         6         286 SH       DEFINED        5         --         --      286





                                                                                           
IRIS INTERNATIONAL INC        EQUITY        46270W105       299      16,706 SH       SOLE           1     16,706         --       --
IROBOT CORP                   EQUITY        462726100       241      16,240 SH       SOLE           1     16,240         --       --
IRON MOUNTAIN INC.            EQUITY        462846106        89       3,642 SH       SOLE           1      3,642         --       --
IRON MTN INC                  EQUITY        462846106         5         185 SH       DEFINED        4         --         --      185
IRON MTN INC                  EQUITY        462846106         7         300 SH       DEFINED        5         --         --      300
IRON MTN INC PA               EQUITY        462846106    11,747     481,242 SH       SOLE           2    481,242         --       --
ISHARES COMEX GOLD TR         EQUITY        464285105       156       1,827 SH       DEFINED        5         --         --    1,827
ISHARES COMEX GOLD TR         EQUITY        464285105       456       5,336 SH       DEFINED        4         --         --    5,336
ISHARES INC                   EQUITY        464286772         2          50 SH       DEFINED        4         --         --       50
ISHARES INC                   EQUITY        464286632         2          50 SH       DEFINED        5         --         --       50
ISHARES INC                   EQUITY        464286822         6         125 SH       DEFINED        5         --         --      125
ISHARES INC                   EQUITY        464286608         7         174 SH       DEFINED        5         --         --      174
ISHARES INC                   EQUITY        464286657         7         200 SH       DEFINED        4         --         --      200
ISHARES INC                   EQUITY        464286871         7         550 SH       DEFINED        4         --         --      550
ISHARES INC                   EQUITY        464286673         8         800 SH       DEFINED        4         --         --      800
ISHARES INC                   EQUITY        464286806        10         400 SH       DEFINED        4         --         --      400
ISHARES INC                   EQUITY        464286731        10         915 SH       DEFINED        5         --         --      915
ISHARES INC                   EQUITY        464286871        12         926 SH       DEFINED        5         --         --      926
ISHARES INC                   EQUITY        464286509        13         500 SH       DEFINED        4         --         --      500
ISHARES INC                   EQUITY        464286772        15         370 SH       DEFINED        5         --         --      370
ISHARES INC                   EQUITY        464286657        16         450 SH       DEFINED        5         --         --      450
ISHARES INC                   EQUITY        464286756        17         842 SH       DEFINED        4         --         --      842
ISHARES INC                   EQUITY        464286830        20       2,325 SH       DEFINED        5         --         --    2,325
ISHARES INC                   EQUITY        464286103        24       1,160 SH       DEFINED        5         --         --    1,160
ISHARES INC                   EQUITY        464286731        31       2,835 SH       DEFINED        4         --         --    2,835
ISHARES INC                   EQUITY        464286673        32       3,300 SH       DEFINED        5         --         --    3,300
ISHARES INC                   EQUITY        464286848        42       3,952 SH       DEFINED        4         --         --    3,952
ISHARES INC                   EQUITY        464286103        45       2,185 SH       DEFINED        4         --         --    2,185
ISHARES INC                   EQUITY        464286806        63       2,624 SH       DEFINED        5         --         --    2,624
ISHARES INC                   EQUITY        464286665        65       1,822 SH       DEFINED        5         --         --    1,822
ISHARES INC                   EQUITY        464286848        80       7,543 SH       DEFINED        5         --         --    7,543
ISHARES INC                   EQUITY        464286715       127       2,845 SH       DEFINED        4         --         --    2,845
ISHARES INC                   EQUITY        464286400       197       3,500 SH       DEFINED        5         --         --    3,500
ISHARES INC                   EQUITY        464286400       232       4,117 SH       DEFINED        4         --         --    4,117
ISHARES INC                   EQUITY        464286830       539      62,258 SH       DEFINED        4         --         --   62,258
ISHARES INC                   EQUITY        464286665     1,159      32,277 SH       DEFINED        4         --         --   32,277
ISHARES INC MSCI JAPAN
   INDEX FD                   EQUITY        464286848    22,478   2,138,700 SH       SOLE           1  2,138,700         --       --
ISHARES MSCI CANADA INDEX
   FUND                       EQUITY        464286509    15,279     580,290 SH       SOLE           1    580,290         --       --
ISHARES MSCI EAFE INDEX FUND  EQUITY        464287465    11,502     204,300 SH       SOLE           1    204,300         --       --
ISHARES MSCI HONG KONG INDEX  EQUITY        464286871     2,550     193,000 SH       SOLE           1    193,000         --       --





                                                                                           
ISHARES MSCI MEXICO INDEX
   FUND                       EQUITY        464286822       484      10,360 SH       SOLE           1     10,360         --       --
ISHARES RUSSELL 2000          EQUITY        464287655     4,177      61,380 SH       SOLE           1     61,380         --       --
ISHARES S&P GLOBAL 100 INDEX
   FUND                       EQUITY        464287572       217       3,500 SH       SOLE           1      3,500         --       --
ISHARES S&P GSCI COMMODITY I  EQUITY        46428R107       178       3,312 SH       DEFINED        5         --         --    3,312
ISHARES SILVER TRUST          EQUITY        46428Q109       295      24,875 SH       DEFINED        5         --         --   24,875
ISHARES SILVER TRUST          EQUITY        46428Q109     1,104      93,196 SH       DEFINED        4         --         --   93,196
ISHARES TR                    EQUITY        464287713         1          56 SH       DEFINED        5         --         --       56
ISHARES TR                    EQUITY        464288828         3          70 SH       DEFINED        5         --         --       70
ISHARES TR                    EQUITY        464287531         3         150 SH       DEFINED        5         --         --      150
ISHARES TR                    EQUITY        464288851         4          75 SH       DEFINED        5         --         --       75
ISHARES TR                    EQUITY        464287739         5          80 SH       DEFINED        4         --         --       80
ISHARES TR                    EQUITY        464287721         5         110 SH       DEFINED        5         --         --      110
ISHARES TR                    EQUITY        464287754         5          95 SH       DEFINED        4         --         --       95
ISHARES TR                    EQUITY        464287754         6         105 SH       DEFINED        5         --         --      105
ISHARES TR                    EQUITY        464287572         6         102 SH       DEFINED        5         --         --      102
ISHARES TR                    EQUITY        464288885         7         120 SH       DEFINED        5         --         --      120
ISHARES TR                    EQUITY        464287861         8         200 SH       DEFINED        5         --         --      200
ISHARES TR                    EQUITY        464287580         9         168 SH       DEFINED        5         --         --      168
ISHARES TR                    EQUITY        464288638         9         100 SH       DEFINED        5         --         --      100
ISHARES TR                    EQUITY        464287291        10         200 SH       DEFINED        4         --         --      200
ISHARES TR                    EQUITY        464288208        10         152 SH       DEFINED        4         --         --      152
ISHARES TR                    EQUITY        464287549        11         238 SH       DEFINED        5         --         --      238
ISHARES TR                    EQUITY        464288703        11         165 SH       DEFINED        5         --         --      165
ISHARES TR                    EQUITY        464288406        11         171 SH       DEFINED        5         --         --      171
ISHARES TR                    EQUITY        464287663        13         155 SH       DEFINED        4         --         --      155
ISHARES TR                    EQUITY        464287770        14         190 SH       DEFINED        4         --         --      190
ISHARES TR                    EQUITY        464287242        14         160 SH       DEFINED        4         --         --      160
ISHARES TR                    EQUITY        464288414        15         150 SH       DEFINED        5         --         --      150
ISHARES TR                    EQUITY        464288836        15         300 SH       DEFINED        4         --         --      300
ISHARES TR                    EQUITY        464288695        15         275 SH       DEFINED        5         --         --      275
ISHARES TR                    EQUITY        464287127        15         230 SH       DEFINED        5         --         --      230
ISHARES TR                    EQUITY        464287440        16         178 SH       DEFINED        4         --         --      178
ISHARES TR                    EQUITY        464288109        16         264 SH       DEFINED        5         --         --      264
ISHARES TR                    EQUITY        464288877        18         355 SH       DEFINED        4         --         --      355
ISHARES TR                    EQUITY        464288208        18         272 SH       DEFINED        5         --         --      272
ISHARES TR                    EQUITY        464288604        19         293 SH       DEFINED        5         --         --      293
ISHARES TR                    EQUITY        464288836        20         400 SH       DEFINED        5         --         --      400
ISHARES TR                    EQUITY        464287119        21         378 SH       DEFINED        5         --         --      378
ISHARES TR                    EQUITY        464288752        22       1,240 SH       DEFINED        5         --         --    1,240
ISHARES TR                    EQUITY        464287697        23         295 SH       DEFINED        5         --         --      295





                                                                                           
ISHARES TR                    EQUITY        464287770        24         325 SH       DEFINED        5         --         --      325
ISHARES TR                    EQUITY        464288604        25         369 SH       DEFINED        4         --         --      369
ISHARES TR                    EQUITY        464287663        25         294 SH       DEFINED        5         --         --      294
ISHARES TR                    EQUITY        464288869        25         566 SH       DEFINED        5         --         --      566
ISHARES TR                    EQUITY        464287671        25         645 SH       DEFINED        5         --         --      645
ISHARES TR                    EQUITY        464288711        26         479 SH       DEFINED        5         --         --      479
ISHARES TR                    EQUITY        464288844        26         502 SH       DEFINED        5         --         --      502
ISHARES TR                    EQUITY        464288505        27         376 SH       DEFINED        4         --         --      376
ISHARES TR                    EQUITY        464287119        27         489 SH       DEFINED        4         --         --      489
ISHARES TR                    EQUITY        464288406        29         438 SH       DEFINED        4         --         --      438
ISHARES TR                    EQUITY        464288109        29         470 SH       DEFINED        4         --         --      470
ISHARES TR                    EQUITY        464287812        30         515 SH       DEFINED        4         --         --      515
ISHARES TR                    EQUITY        464288869        34         770 SH       DEFINED        4         --         --      770
ISHARES TR                    EQUITY        464287861        35         866 SH       DEFINED        4         --         --      866
ISHARES TR                    EQUITY        464287572        35         561 SH       DEFINED        4         --         --      561
ISHARES TR                    EQUITY        464287556        35         433 SH       DEFINED        5         --         --      433
ISHARES TR                    EQUITY        464287564        35         462 SH       DEFINED        4         --         --      462
ISHARES TR                    EQUITY        464287556        37         460 SH       DEFINED        4         --         --      460
ISHARES TR                    EQUITY        464288729        39         850 SH       DEFINED        5         --         --      850
ISHARES TR                    EQUITY        464287101        40         755 SH       DEFINED        5         --         --      755
ISHARES TR                    EQUITY        464287325        40         797 SH       DEFINED        4         --         --      797
ISHARES TR                    EQUITY        464288745        40         975 SH       DEFINED        5         --         --      975
ISHARES TR                    EQUITY        464287630        43         635 SH       DEFINED        4         --         --      635
ISHARES TR                    EQUITY        464288505        43         603 SH       DEFINED        5         --         --      603
ISHARES TR                    EQUITY        464288307        43         576 SH       DEFINED        4         --         --      576
ISHARES TR                    EQUITY        464287275        44         800 SH       DEFINED        4         --         --      800
ISHARES TR                    EQUITY        464287705        49         714 SH       DEFINED        4         --         --      714
ISHARES TR                    EQUITY        464287762        56         900 SH       DEFINED        5         --         --      900
ISHARES TR                    EQUITY        464288695        62       1,155 SH       DEFINED        4         --         --    1,155
ISHARES TR                    EQUITY        464287150        63       1,200 SH       DEFINED        5         --         --    1,200
ISHARES TR                    EQUITY        464288737        63       1,144 SH       DEFINED        5         --         --    1,144
ISHARES TR                    EQUITY        464288810        68       1,192 SH       DEFINED        5         --         --    1,192
ISHARES TR                    EQUITY        464288851        70       1,250 SH       DEFINED        4         --         --    1,250
ISHARES TR                    EQUITY        464287689        71       1,035 SH       DEFINED        5         --         --    1,035
ISHARES TR                    EQUITY        464287812        75       1,312 SH       DEFINED        5         --         --    1,312
ISHARES TR                    EQUITY        464287879        76       1,169 SH       DEFINED        5         --         --    1,169
ISHARES TR                    EQUITY        464287622        77       1,213 SH       DEFINED        5         --         --    1,213
ISHARES TR                    EQUITY        464287325        82       1,623 SH       DEFINED        5         --         --    1,623
ISHARES TR                    EQUITY        464288877        85       1,682 SH       DEFINED        5         --         --    1,682
ISHARES TR                    EQUITY        464288703        91       1,348 SH       DEFINED        4         --         --    1,348





                                                                                           
ISHARES TR                    EQUITY        464288737        98       1,762 SH       DEFINED        4         --         --    1,762
ISHARES TR                    EQUITY        464287515       100       2,271 SH       DEFINED        5         --         --    2,271
ISHARES TR                    EQUITY        464288513       100       1,224 SH       DEFINED        5         --         --    1,224
ISHARES TR                    EQUITY        464288307       114       1,523 SH       DEFINED        5         --         --    1,523
ISHARES TR                    EQUITY        464288646       116       1,190 SH       DEFINED        5         --         --    1,190
ISHARES TR                    EQUITY        464287341       118       3,130 SH       DEFINED        5         --         --    3,130
ISHARES TR                    EQUITY        464287101       118       2,230 SH       DEFINED        4         --         --    2,230
ISHARES TR                    EQUITY        464287374       125       3,471 SH       DEFINED        4         --         --    3,471
ISHARES TR                    EQUITY        464287432       126       1,323 SH       DEFINED        5         --         --    1,323
ISHARES TR                    EQUITY        464287184       126       3,654 SH       DEFINED        5         --         --    3,654
ISHARES TR                    EQUITY        464287887       128       2,084 SH       DEFINED        5         --         --    2,084
ISHARES TR                    EQUITY        464287390       133       3,436 SH       DEFINED        5         --         --    3,436
ISHARES TR                    EQUITY        464287762       136       2,186 SH       DEFINED        4         --         --    2,186
ISHARES TR                    EQUITY        464288596       141       1,431 SH       DEFINED        5         --         --    1,431
ISHARES TR                    EQUITY        464287333       142       2,553 SH       DEFINED        5         --         --    2,553
ISHARES TR                    EQUITY        464287788       142       2,044 SH       DEFINED        5         --         --    2,044
ISHARES TR                    EQUITY        464287275       145       2,648 SH       DEFINED        5         --         --    2,648
ISHARES TR                    EQUITY        464288588       148       1,446 SH       DEFINED        5         --         --    1,446
ISHARES TR                    EQUITY        464288760       167       3,284 SH       DEFINED        4         --         --    3,284
ISHARES TR                    EQUITY        464287697       174       2,201 SH       DEFINED        4         --         --    2,201
ISHARES TR                    EQUITY        464287796       176       4,687 SH       DEFINED        5         --         --    4,687
ISHARES TR                    EQUITY        464287341       180       4,767 SH       DEFINED        4         --         --    4,767
ISHARES TR                    EQUITY        464287838       182       3,194 SH       DEFINED        5         --         --    3,194
ISHARES TR                    EQUITY        464287184       187       5,429 SH       DEFINED        4         --         --    5,429
ISHARES TR                    EQUITY        464287648       195       2,756 SH       DEFINED        5         --         --    2,756
ISHARES TR                    EQUITY        464288448       201       6,769 SH       DEFINED        5         --         --    6,769
ISHARES TR                    EQUITY        464287291       201       4,131 SH       DEFINED        5         --         --    4,131
ISHARES TR                    EQUITY        464287481       201       4,642 SH       DEFINED        5         --         --    4,642
ISHARES TR                    EQUITY        464287473       210       5,356 SH       DEFINED        5         --         --    5,356
ISHARES TR                    EQUITY        464287788       222       3,191 SH       DEFINED        4         --         --    3,191
ISHARES TR                    EQUITY        464287739       237       3,822 SH       DEFINED        5         --         --    3,822
ISHARES TR                    EQUITY        464287648       240       3,390 SH       DEFINED        4         --         --    3,390
ISHARES TR                    EQUITY        464287804       243       4,079 SH       DEFINED        4         --         --    4,079
ISHARES TR                    EQUITY        464287705       260       3,791 SH       DEFINED        5         --         --    3,791
ISHARES TR                    EQUITY        464287408       277       4,622 SH       DEFINED        5         --         --    4,622
ISHARES TR                    EQUITY        464287192       309       3,739 SH       DEFINED        4         --         --    3,739
ISHARES TR                    EQUITY        464287606       313       4,168 SH       DEFINED        5         --         --    4,168
ISHARES TR                    EQUITY        464288679       313       2,839 SH       DEFINED        5         --         --    2,839
ISHARES TR                    EQUITY        464287549       314       6,889 SH       DEFINED        4         --         --    6,889
ISHARES TR                    EQUITY        464288372       339       9,300 SH       DEFINED        5         --         --    9,300





                                                                                           
ISHARES TR                    EQUITY        464287796       348       9,270 SH       DEFINED        4         --         --    9,270
ISHARES TR                    EQUITY        464287598       349       5,464 SH       DEFINED        5         --         --    5,464
ISHARES TR                    EQUITY        464287143       354       5,154 SH       DEFINED        5         --         --    5,154
ISHARES TR                    EQUITY        464287614       356       7,324 SH       DEFINED        5         --         --    7,324
ISHARES TR                    EQUITY        464287499       376       4,577 SH       DEFINED        5         --         --    4,577
ISHARES TR                    EQUITY        464287309       387       6,817 SH       DEFINED        5         --         --    6,817
ISHARES TR                    EQUITY        464288513       388       4,735 SH       DEFINED        4         --         --    4,735
ISHARES TR                    EQUITY        464287838       431       7,557 SH       DEFINED        4         --         --    7,557
ISHARES TR                    EQUITY        464288661       448       4,120 SH       DEFINED        5         --         --    4,120
ISHARES TR                    EQUITY        464287432       454       4,786 SH       DEFINED        4         --         --    4,786
ISHARES TR                    EQUITY        464287242       467       5,205 SH       DEFINED        5         --         --    5,205
ISHARES TR                    EQUITY        464287200       472       4,037 SH       DEFINED        5         --         --    4,037
ISHARES TR                    EQUITY        464287564       475       6,191 SH       DEFINED        5         --         --    6,191
ISHARES TR                    EQUITY        464287374       500      13,906 SH       DEFINED        5         --         --   13,906
ISHARES TR                    EQUITY        464288679       523       4,745 SH       DEFINED        4         --         --    4,745
ISHARES TR                    EQUITY        464287457       536       6,420 SH       DEFINED        4         --         --    6,420
ISHARES TR                    EQUITY        464287481       561      12,947 SH       DEFINED        4         --         --   12,947
ISHARES TR                    EQUITY        464288711       571      10,604 SH       DEFINED        4         --         --   10,604
ISHARES TR                    EQUITY        464287168       586      11,006 SH       DEFINED        4         --         --   11,006
ISHARES TR                    EQUITY        464288687       610      21,479 SH       DEFINED        5         --         --   21,479
ISHARES TR                    EQUITY        464287457       628       7,510 SH       DEFINED        5         --         --    7,510
ISHARES TR                    EQUITY        464288828       657      14,653 SH       DEFINED        4         --         --   14,653
ISHARES TR                    EQUITY        464287846       678      11,874 SH       DEFINED        5         --         --   11,874
ISHARES TR                    EQUITY        464287721       709      14,957 SH       DEFINED        4         --         --   14,957
ISHARES TR                    EQUITY        464287515       716      16,262 SH       DEFINED        4         --         --   16,262
ISHARES TR                    EQUITY        464287507       741      10,244 SH       DEFINED        4         --         --   10,244
ISHARES TR                    EQUITY        464287655       773      11,374 SH       DEFINED        4         --         --   11,374
ISHARES TR                    EQUITY        464287440       779       8,756 SH       DEFINED        5         --         --    8,756
ISHARES TR                    EQUITY        464287507       813      11,234 SH       DEFINED        5         --         --   11,234
ISHARES TR                    EQUITY        464287390       819      21,147 SH       DEFINED        4         --         --   21,147
ISHARES TR                    EQUITY        464287655       866      12,736 SH       DEFINED        5         --         --   12,736
ISHARES TR                    EQUITY        464288414       874       8,980 SH       DEFINED        4         --         --    8,980
ISHARES TR                    EQUITY        464287804       949      15,946 SH       DEFINED        5         --         --   15,946
ISHARES TR                    EQUITY        464287226     1,060      10,754 SH       DEFINED        5         --         --   10,754
ISHARES TR                    EQUITY        464287127     1,091      16,206 SH       DEFINED        4         --         --   16,206
ISHARES TR                    EQUITY        464287499     1,134      13,803 SH       DEFINED        4         --         --   13,803
ISHARES TR                    EQUITY        464287234     1,216      35,591 SH       DEFINED        5         --         --   35,591
ISHARES TR                    EQUITY        464287176     1,227      12,115 SH       DEFINED        5         --         --   12,115
ISHARES TR                    EQUITY        464287408     1,232      20,578 SH       DEFINED        4         --         --   20,578
ISHARES TR                    EQUITY        464287473     1,233      31,450 SH       DEFINED        4         --         --   31,450





                                                                                           
ISHARES TR                    EQUITY        464287226     1,262      12,804 SH       DEFINED        4         --         --   12,804
ISHARES TR                    EQUITY        464287309     1,294      22,783 SH       DEFINED        4         --         --   22,783
ISHARES TR                    EQUITY        464288661     1,352      12,420 SH       DEFINED        4         --         --   12,420
ISHARES TR                    EQUITY        464287879     1,384      21,271 SH       DEFINED        4         --         --   21,271
ISHARES TR                    EQUITY        464287200     1,408      12,055 SH       DEFINED        4         --         --   12,055
ISHARES TR                    EQUITY        464288885     1,433      25,320 SH       DEFINED        4         --         --   25,320
ISHARES TR                    EQUITY        464287614     1,761      36,268 SH       DEFINED        4         --         --   36,268
ISHARES TR                    EQUITY        464287465     1,789      31,785 SH       DEFINED        4         --         --   31,785
ISHARES TR                    EQUITY        464287465     1,802      32,000 SH       DEFINED        5         --         --   32,000
ISHARES TR                    EQUITY        464287630     1,960      29,147 SH       DEFINED        5         --         --   29,147
ISHARES TR                    EQUITY        464287606     2,380      31,738 SH       DEFINED        4         --         --   31,738
ISHARES TR                    EQUITY        464287168     2,611      49,048 SH       DEFINED        5         --         --   49,048
ISHARES TR                    EQUITY        464287176     2,663      26,287 SH       DEFINED        4         --         --   26,287
ISHARES TR                    EQUITY        464287887     2,972      48,400 SH       DEFINED        4         --         --   48,400
ISHARES TR                    EQUITY        464287598     3,332      52,155 SH       DEFINED        4         --         --   52,155
ISHARES TR                    EQUITY        464287234     4,042     118,304 SH       DEFINED        4         --         --  118,304
ISHARES TR PUT                OPTION        464287957        16          24     PUT  DEFINED        5         --         --       24
ISHARES TR PUT                OPTION        464287955        21          42     PUT  DEFINED        5         --         --       42
ISHARES TR PUT                OPTION        464287955        28          35     PUT  DEFINED        5         --         --       35
ISHARES TR RUSSELL 2000       EQUITY        464287655     1,470      21,500 SH       SOLE           3     21,500         --       --
ISILON SYSTEMS INC            EQUITY        46432L104        99      22,343 SH       SOLE           1     22,343         --       --
ISIS PHARMACEUTICALS INC      EQUITY        464330109        10         600 SH       DEFINED        4         --         --      600
ISIS PHARMACEUTICALS INC      EQUITY        464330109        13         780 SH       DEFINED        5         --         --      780
ISIS PHARMACEUTICALS, INC.    EQUITY        464330109     1,385      82,001 SH       SOLE           1     82,001         --       --
ISLE OF CAPRI CASINOS         EQUITY        464592104       129      14,331 SH       SOLE           1     14,331         --       --
ISTAR FINANCIAL INC           EQUITY        45031U101        12       4,551 SH       SOLE           1      4,551         --       --
ITC HOLDINGS CORP             EQUITY        465685105     2,326      44,938 SH       SOLE           1     44,938         --       --
ITRON INC                     EQUITY        465741106         9         100 SH       DEFINED        5         --         --      100
ITRON INC                     EQUITY        465741106        10         111 SH       DEFINED        4         --         --      111
ITRON, INC.                   EQUITY        465741106        61         694 SH       SOLE           1        694         --       --
ITT CORP NEW                  EQUITY        450911102        11         200 SH       DEFINED        5         --         --      200
ITT CORPORATION               EQUITY        450911102     6,415     115,350 SH       SOLE           1    115,350         --       --
ITT EDUCATIONAL SERVICES,
   INC.                       EQUITY        45068B109     5,833      72,090 SH       SOLE           1     72,090         --       --
ITT EDUCATIONAL SVCS COM      EQUITY        45068B109     6,570      81,200 SH       SOLE           3     33,100               48100
IVANHOE MINES LTD             EQUITY        46579N103        30       4,997 SH       OTHER          1         --      4,997       --
IXIA                          EQUITY        45071R109       285      38,700 SH       SOLE           1     38,700         --       --
IXYS CORP.                    EQUITY        46600W106       200      21,940 SH       SOLE           1     21,940         --       --
J & J SNACK FOODS CORP        EQUITY        466032109       437      12,895 SH       SOLE           1     12,895         --       --
J CREW GROUP INC              EQUITY        46612H402     4,457     155,993 SH       SOLE           1    155,993         --       --
J.B. HUNT TRANSPORT SERVICES  EQUITY        445658107     6,230     186,760 SH       SOLE           1    186,760         --       --





                                                                                           
J.C. PENNEY CO., INC.         EQUITY        708160106     3,077      92,295 SH       SOLE           1     92,295         --       --
J0-ANN STORES INC             EQUITY        47758P307       484      23,071 SH       SOLE           1     23,071         --       --
J2 GLOBAL COMMUNICATIO        EQUITY        4.66E+209       944      40,365 SH       SOLE           1     40,365         --       --
JABIL CIRCUT, INC.            EQUITY        466313103     1,610     168,770 SH       SOLE           1    168,770         --       --
JACK IN THE BOX INC           EQUITY        466367109         1          50 SH       DEFINED        4         --         --       50
JACK IN THE BOX INC.          EQUITY        466367109     1,127      53,393 SH       SOLE           1     53,393         --       --
JACKSON HEWITT TAX SERVICE    EQUITY        468202106       397      25,899 SH       SOLE           1     25,899         --       --
JACOBS ENGINEERING GROUP,
   INC.                       EQUITY        469814107     2,610      48,059 SH       SOLE           1     48,059         --       --
JACOBS ENGR GROUP INC DEL     EQUITY        469814107        30         555 SH       DEFINED        5         --         --      555
JACOBS ENGR GROUP INC DEL     EQUITY        469814107       228       4,203 SH       DEFINED        4         --         --    4,203
JAKKS PACIFIC, INC.           EQUITY        4.70E+110       622      24,921 SH       SOLE           1     24,921         --       --
JAMES RIVER COAL CO           EQUITY        470355207       507      23,025 SH       SOLE           1     23,025         --       --
JANUS CAPITAL GROUP           EQUITY        47102X105     1,994      82,143 SH       SOLE           1     82,143         --       --
JARDEN CORP                   EQUITY        471109108        54       2,301 SH       SOLE           1      2,301         --       --
JARDEN CORP                   EQUITY        471109108         1          53 SH       DEFINED        4         --         --       53
JAVELIN PHARMACEUTICALS INC   EQUITY        471894105       116      44,658 SH       SOLE           1     44,658         --       --
JAZZ PHARMACEUTICALS INC      EQUITY        472147107        34       6,951 SH       SOLE           1      6,951         --       --
JDA SOFTWARE GROUP, INC.      EQUITY        46612K108       357      23,429 SH       SOLE           1     23,429         --       --
JDS UNIPHASE CORP             EQUITY        46612J507       739      87,199 SH       SOLE           1     87,199         --       --
JDS UNIPHASE CORP             EQUITY        46612J507       310      36,545 SH       DEFINED        5         --         --   36,545
JEFFERIES GROUP, INC.         EQUITY        472319102     6,193     276,461 SH       SOLE           1    276,461         --       --
JER INVESTORS TRUST INC       EQUITY        46614H301        14       2,881 SH       SOLE           1      2,881         --       --
JETBLUE AIRWAYS CORP          EQUITY        477143101     2,822     571,273 SH       SOLE           1    571,273         --       --
JETBLUE AIRWAYS CORP          FIXED INCOME  477143AB7         2           2 PRN      DEFINED        5         --         --        2
JETBLUE AIRWAYS CORP          EQUITY        477143101       131      26,368 SH       DEFINED        5         --         --   26,368
JINPAN INTL LTD ORD (F)       EQUITY        G5138L100     1,283      54,417 SH       SOLE           3     54,417         --       --
JM SMUCKER CO/THE NEW COM WI  EQUITY        832696405     6,396     126,182 SH       SOLE           1    126,182         --       --
JO-ANN STORES INC             EQUITY        47758P307        10         500 SH       DEFINED        5         --         --      500
JOHN BEAN TECHNOLOGIES CORP   EQUITY        477839104         7         563 SH       SOLE           1        563         --       --
JOHN BEAN TECHNOLOGIES CORP   EQUITY        477839104         7         533 SH       DEFINED        4         --         --      533
JOHN HANCOCK BK &THRIFT OPP   EQUITY        409735107         2         300 SH       DEFINED        5         --         --      300
JOHN WILEY & SONS, INC.
   CLASS A                    EQUITY        968223206     3,997      98,820 SH       SOLE           1     98,820         --       --
JOHNSON & JOHNSON             EQUITY        478160104    96,757   1,396,607 SH       SOLE           1  1,396,607         --       --
JOHNSON & JOHNSON             EQUITY        478160104       436       6,294 SH       DEFINED        4         --         --    6,294
JOHNSON & JOHNSON             EQUITY        478160104     1,222      17,636 SH       DEFINED        5         --         --   17,636
JOHNSON & JOHNSON COM         EQUITY        478160104     2,037      29,400 SH       SOLE           3     29,400         --       --
JOHNSON + JOHNSON             EQUITY        478160104    23,162     334,321 SH       SOLE           2    334,321         --       --
JOHNSON CONTROLS, INC.        EQUITY        478366107    10,312     340,002 SH       SOLE           1    340,002         --       --
JOHNSON CTLS INC              EQUITY        478366107        22         730 SH       DEFINED        5         --         --      730
JONES APPAREL GROUP, INC.     EQUITY        480074103     2,539     137,170 SH       SOLE           1    137,170         --       --





                                                                                           
JONES LANG LASALLE, INC.      EQUITY        48020Q107     4,030      92,678 SH       SOLE           1     92,678         --       --
JONES SODA CO                 EQUITY        48023P106         5       3,500 SH       DEFINED        5         --         --    3,500
JOS A BANK CLOTHIERS INC      EQUITY        480838101       557      16,558 SH       SOLE           1     16,558         --       --
JOS A BANK CLOTHIERS INC      EQUITY        480838101        35       1,040 SH       DEFINED        4         --         --    1,040
JOURNAL COMMUNICATIONS INC-A  EQUITY        481130102       187      38,311 SH       SOLE           1     38,311         --       --
JOY GLOBAL INC                EQUITY        481165108        66       1,470 SH       DEFINED        5         --         --    1,470
JOY GLOBAL INC.               EQUITY        481165108    11,367     252,047 SH       SOLE           1    252,047         --       --
JPMORGAN & CHASE & CO         EQUITY        46625H100       294       6,286 SH       DEFINED        4         --         --    6,286
JPMORGAN & CHASE & CO         EQUITY        46625H100       745      15,946 SH       DEFINED        5         --         --   15,946
JPMORGAN CHASE & CO COM       EQUITY        46625H100     1,158      24,800 SH       SOLE           3     24,800         --       --
JPMORGAN CHASE + CO           EQUITY        46625H100    32,952     705,608 SH       SOLE           2    705,608         --       --
JPMORGAN CHASE AND CO.        EQUITY        46625H100   141,693   3,035,754 SH       SOLE           1  3,035,754         --       --
JUNIPER NETWORKS INC          EQUITY        48203R104        85       4,039 SH       DEFINED        5         --         --    4,039
JUNIPER NETWORKS INC          EQUITY        48203R104       882      41,855 SH       SOLE           2     41,855         --       --
JUNIPER NETWORKS, INC.        EQUITY        48203R104     8,664     411,192 SH       SOLE           1    411,192         --       --
K SEA TRANSN PARTNERS LP      EQUITY        48268Y101         3         150 SH       DEFINED        4         --         --      150
K V PHARMACEUT [A]            EQUITY        482740206       680      29,958 SH       SOLE           1     29,958         --       --
K.FORCE INC.                  EQUITY        493732101       284      27,818 SH       SOLE           1     27,818         --       --
K12 INC                       EQUITY        48273U102       151       5,692 SH       SOLE           1      5,692         --       --
KADANT INC                    EQUITY        48282T104       289      12,702 SH       SOLE           1     12,702         --       --
KAISER ALUMINUM CORP          EQUITY        483007704       616      14,335 SH       SOLE           1     14,335         --       --
KAMAN CORP., CLASS A          EQUITY        483548103       657      23,064 SH       SOLE           1     23,064         --       --
KANSAS CITY LIFE
   INSURANCE CO.              EQUITY        484836101       194       4,142 SH       SOLE           1      4,142         --       --
KANSAS CITY SOUTHERN          EQUITY        485170302     9,235     208,173 SH       SOLE           1    208,173         --       --
KANSAS CITY SOUTHERN          EQUITY        485170302        42         950 SH       DEFINED        5         --         --      950
KANSAS CITY SOUTHERN COM NEW  EQUITY        485170302     4,560     102,800 SH       SOLE           3     44,600               58200
KAPSTONE PAPER AND PACKAGING
   CORP                       EQUITY        48562P103       104      16,270 SH       SOLE           1     16,270         --       --
KAYDON CORP                   EQUITY        486587108     5,954     132,138 SH       SOLE           2    132,138         --       --
KAYDON CORP.                  EQUITY        486587108     1,133      25,146 SH       SOLE           1     25,146         --       --
KAYNE ANDERSON ENERGY
   DEVELOPMENT CO             EQUITY        48660Q102       155       9,183 SH       SOLE           1      9,183         --       --
KAYNE ANDERSON MLP INVSMNT C  EQUITY        486606106        19         815 SH       DEFINED        5         --         --      815
KB HOME                       EQUITY        48666K109     3,122     158,616 SH       SOLE           1    158,616         --       --
KB HOME                       EQUITY        48666K109     1,803      91,600 SH       SOLE           2     91,600         --       --
KBR INC                       EQUITY        48242W106     6,038     395,448 SH       SOLE           1    395,448         --       --
KBR INC                       EQUITY        48242W106         1          68 SH       DEFINED        4         --         --       68
KBW INC                       EQUITY        482423100       784      23,799 SH       SOLE           1     23,799         --       --
KEARNY FINANCIAL CORP         EQUITY        487169104       197      16,090 SH       SOLE           1     16,090         --       --
KELLOGG CO                    EQUITY        487836108        17         300 SH       DEFINED        4         --         --      300
KELLOGG CO                    EQUITY        487836108       141       2,510 SH       DEFINED        5         --         --    2,510
KELLOGG CO                    EQUITY        487836108       344       6,138 SH       SOLE           2      6,138         --       --





                                                                                           
KELLOGG CO.                   EQUITY        487836108     8,694     154,974 SH       SOLE           1    154,974         --       --
KELLY SERVICES, INC., CLASS A EQUITY        488152208     1,637      85,883 SH       SOLE           1     85,883         --       --
KEMET CORP.                   EQUITY        488360108       104      76,231 SH       SOLE           1     76,231         --       --
KENDLE INTERNATIONAL INC      EQUITY        48880L107       529      11,821 SH       SOLE           1     11,821         --       --
KENEXA CORP                   EQUITY        488879107       324      20,520 SH       SOLE           1     20,520         --       --
KENNAMETAL, INC.              EQUITY        489170100     4,770     175,882 SH       SOLE           1    175,882         --       --
KENSEY NASH CORP              EQUITY        490057106     1,047      33,256 SH       SOLE           1     33,256         --       --
KENSEY NASH CORP COM          EQUITY        490057106     2,089      66,400 SH       SOLE           3     66,400         --       --
KEY ENERGY SERVICES INC       EQUITY        492914106        46       3,960 SH       SOLE           1      3,960         --       --
KEY TECHNOLOGY INC            EQUITY        493143101       120       5,107 SH       SOLE           1      5,107         --       --
KEYCORP                       EQUITY        493267108     2,452     205,334 SH       SOLE           1    205,334         --       --
KEYCORP NEW                   EQUITY        493267108         6         472 SH       DEFINED        5         --         --      472
KEYCORP NEW                   EQUITY        493267108        21       1,783 SH       DEFINED        4         --         --    1,783
KEYNOTE SYSTEMS INC           EQUITY        493308100       166      12,537 SH       SOLE           1     12,537         --       --
KHD HUMBOLDT WEDAG INTL LTD   EQUITY        482462108         4         200 SH       DEFINED        5         --         --      200
KIMBALL INTERNATIONAL, INC.
   CLASS B                    EQUITY        494274103       315      29,126 SH       SOLE           1     29,126         --       --
KIMBERLY CLARK CORP           EQUITY        494368103        19         293 SH       DEFINED        4         --         --      293
KIMBERLY CLARK CORP           EQUITY        494368103       117       1,800 SH       DEFINED        5         --         --    1,800
KIMBERLY CLARK CORP           EQUITY        494368103     5,266      81,221 SH       SOLE           2     81,221         --       --
KIMBERLY-CLARK CORP.          EQUITY        494368103    99,696   1,537,850 SH       SOLE           1  1,537,850         --       --
KIMCO REALTY                  EQUITY        49446R109     3,470      93,929 SH       SOLE           1     93,929         --       --
KIMCO REALTY CORP             EQUITY        49446R109         6         160 SH       DEFINED        4         --         --      160
KINDER MORGAN ENERGY PARTNER  EQUITY        494550106       159       3,060 SH       DEFINED        4         --         --    3,060
KINDER MORGAN ENERGY PARTNER  EQUITY        494550106       334       6,416 SH       DEFINED        5         --         --    6,416
KINDER MORGAN MANAGEMENT LLC  EQUITY        49455U100        10         209 SH       DEFINED        4         --         --      209
KINDRED HEALTHCARE INC        EQUITY        494580103     2,569      93,167 SH       SOLE           1     93,167         --       --
KINETIC CONCEPTS INC          EQUITY        49460W208     3,359     117,500 SH       SOLE           2    117,500         --       --
KINETIC CONSEPTS INC          EQUITY        49460W208     3,701     129,451 SH       SOLE           1    129,451         --       --
KING PHARMACEUTICALS INC      EQUITY        495582108         2         225 SH       DEFINED        4         --         --      225
KING PHARMACEUTICALS, INC.    EQUITY        495582108     1,722     179,768 SH       SOLE           1    179,768         --       --
KINROSS GOLD                  EQUITY        496902404       421      26,170 SH       OTHER          1         --     26,170       --
KINROSS GOLD CORP             EQUITY        496902404       377      23,400 SH       DEFINED        5         --         --   23,400
KIRBY CORP                    EQUITY        497266106        30         801 SH       DEFINED        4         --         --      801
KIRBY CORP.                   EQUITY        497266106     1,203      31,708 SH       SOLE           1     31,708         --       --
KITE REALTY GROUP TRUST       EQUITY        49803T102       203      18,491 SH       SOLE           1     18,491         --       --
KLA-TENCOR CORP.              EQUITY        482480100     2,539      80,322 SH       SOLE           1     80,322         --       --
KNIGHT CAPITAL GROUP INC      EQUITY        499005106     1,268      85,358 SH       SOLE           1     85,358         --       --
KNIGHT TRANSPORTATION INC     EQUITY        499064103       883      52,025 SH       SOLE           1     52,025         --       --
KNIGHTSBRIDGE TANKERS LTD     EQUITY        G5299G106       119       4,497 SH       DEFINED        4         --         --    4,497
KNOLL INC                     EQUITY        498904200       666      44,043 SH       SOLE           1     44,043         --       --





                                                                                           
KNOLOGY INC                   EQUITY        499183804       208      25,750 SH       SOLE           1     25,750         --       --
KNOT INC/THE                  EQUITY        499184109       215      25,773 SH       SOLE           1     25,773         --       --
KODIAK OIL & GAS CORP         EQUITY        50015Q100       116      77,000 SH       DEFINED        4         --         --   77,000
KOHLBERG CAPITAL CORP         EQUITY        500233101       135      15,706 SH       SOLE           1     15,706         --       --
KOHLBERG CAPITAL CORP         EQUITY        500233101        52       6,007 SH       DEFINED        4         --         --    6,007
KOHLS CORP                    EQUITY        500255104         5         100 SH       DEFINED        4         --         --      100
KOHLS CORP                    EQUITY        500255104        30         658 SH       DEFINED        5         --         --      658
KOHLS CORP                    EQUITY        500255104     2,021      43,867 SH       SOLE           2     43,867         --       --
KOHLS CORP COM                EQUITY        500255104     3,465      75,200 SH       SOLE           3     28,100               47100
KOHLS CORP.                   EQUITY        500255104     5,558     120,614 SH       SOLE           1    120,614         --       --
KONINKLIJKE PHILIPS ELECTRS   EQUITY        500472303         5         200 SH       DEFINED        4         --         --      200
KOPIN CORP                    EQUITY        500600101         1         375 SH       DEFINED        4         --         --      375
KOPIN CORP.                   EQUITY        500600101       195      62,607 SH       SOLE           1     62,607         --       --
KOPPERS HOLDINGS INC          EQUITY        50060P106       709      18,940 SH       SOLE           1     18,940         --       --
KOREA ELECTRIC PWR            EQUITY        500631106         2         200 SH       DEFINED        4         --         --      200
KOREA ELECTRIC PWR            EQUITY        500631106         3         273 SH       DEFINED        5         --         --      273
KOREA EQUITY FD INC           EQUITY        50063B104         2         300 SH       DEFINED        4         --         --      300
KOREA FD                      EQUITY        500634100        57       3,669 SH       DEFINED        5         --         --    3,669
KORN/FERRY INTERNATIONAL      EQUITY        500643200     2,674     150,076 SH       SOLE           1    150,076         --       --
KRAFT FOODS INC               EQUITY        50075N104    37,586   1,147,658 SH       SOLE           1  1,147,658         --       --
KRAFT FOODS INC               EQUITY        50075N104       155       4,723 SH       DEFINED        5         --         --    4,723
KRAFT FOODS INC               EQUITY        50075N104       225       6,871 SH       DEFINED        4         --         --    6,871
KRAFT FOODS INC               EQUITY        50075N104     8,159     249,116 SH       SOLE           2    249,116         --       --
KRATOS DEFENSE & SECURITY SO  EQUITY        50077B108         1         600 SH       DEFINED        5         --         --      600
KRISPY KREME DOUGHNU          EQUITY        501014104       169      51,085 SH       SOLE           1     51,085         --       --
KRISPY KREME DOUGHNUTS INC    EQUITY        501014104         3         975 SH       DEFINED        4         --         --      975
KROGER CO                     EQUITY        501044101         5         200 SH       DEFINED        4         --         --      200
KROGER CO                     EQUITY        501044101        35       1,273 SH       DEFINED        5         --         --    1,273
KROGER CO                     EQUITY        501044101       181       6,583 SH       SOLE           2      6,583         --       --
KROGER CO.                    EQUITY        501044101    20,228     736,108 SH       SOLE           1    736,108         --       --
K-SWISS, INC.                 EQUITY        482686102       411      23,606 SH       SOLE           1     23,606         --       --
K-TRON INTERNATIONAL INC      EQUITY        482730108       284       2,207 SH       SOLE           1      2,207         --       --
KULICKE & SOFFA INDUSTRIES    EQUITY        501242101       219      48,574 SH       SOLE           1     48,574         --       --
KVH INDS INC                  EQUITY        482738101         5         500 SH       DEFINED        4         --         --      500
L 3 COMMUNICATIONS HLDG CO    EQUITY        502424104    21,586     219,552 SH       SOLE           2    219,552         --       --
L-1 IDENTITY SOLUTIONS INC    EQUITY        50212A106       904      59,185 SH       SOLE           1     59,185         --       --
L-1 IDENTITY SOLUTIONS INC    EQUITY        50212A106        32       2,100 SH       DEFINED        5         --         --    2,100
L-3 COMMUNICATIONS HLDGS INC  EQUITY        502424104        13         130 SH       DEFINED        4         --         --      130
L-3 COMMUNICATIONS HLDGS INC  EQUITY        502424104        75         765 SH       DEFINED        5         --         --      765
L-3 COMMUNICATIONS HOLDINGS,  EQUITY        502424104     5,561      56,562 SH       SOLE           1     56,562         --       --





                                                                                           
LABARGE INC                   EQUITY        502470107       167      11,069 SH       SOLE           1     11,069         --       --
LABORATORY CORP AMER HLDGS    EQUITY        50540R409         5          65 SH       DEFINED        4         --         --       65
LABORATORY CORP AMER HLDGS    EQUITY        50540R409        14         200 SH       DEFINED        5         --         --      200
LABORATORY CRP OF AMER HLDGS  EQUITY        50540R409     3,041      43,759 SH       SOLE           1     43,759         --       --
LABRANCHE & CO. INC.          EQUITY        505447102       210      46,621 SH       SOLE           1     46,621         --       --
LACLEDE GAS CO.               EQUITY        505597104       964      19,876 SH       SOLE           1     19,876         --       --
LACLEDE GROUP INC             EQUITY        505597104         3          66 SH       DEFINED        5         --         --       66
LADENBURG THALMANN FINANCIAL  EQUITY        50575Q102       167      92,582 SH       SOLE           1     92,582         --       --
LADISH CO INC                 EQUITY        505754200       268      13,215 SH       SOLE           1     13,215         --       --
LAKELAND BANCORP INC          EQUITY        511637100       211      18,421 SH       SOLE           1     18,421         --       --
LAKELAND FINL CORP            EQUITY        511656100       239      11,101 SH       SOLE           1     11,101         --       --
LAM RESEARCH CORP             EQUITY        512807108         9         270 SH       DEFINED        5         --         --      270
LAM RESEARCH CORP.            EQUITY        512807108     9,266     293,894 SH       SOLE           1    293,894         --       --
LAMAR ADVERTISING CO          EQUITY        512815101     5,489     177,352 SH       SOLE           1    177,352         --       --
LANCASTER COLONY CORP.        EQUITY        513847103     2,400      63,739 SH       SOLE           1     63,739         --       --
LANCE, INC.                   EQUITY        514606102       559      24,613 SH       SOLE           1     24,613         --       --
LANDAMERICA FINANCIAL GROUP   EQUITY        514936103       342      14,113 SH       SOLE           1     14,113         --       --
LANDAUER, INC.                EQUITY        51476K103       614       8,444 SH       SOLE           1      8,444         --       --
LANDEC CORP                   EQUITY        514766104       173      21,055 SH       SOLE           1     21,055         --       --
LANDRY'S RESTAURANTS INC.     EQUITY        51508L103       165      10,579 SH       SOLE           1     10,579         --       --
LANDSTAR SYSTEM, INC.         EQUITY        515098101        47       1,073 SH       SOLE           1      1,073         --       --
LAS VEGAS SANDS CORP          EQUITY        517834107        14         398 SH       DEFINED        4         --         --      398
LAS VEGAS SANDS CORP          EQUITY        517834107        44       1,210 SH       DEFINED        5         --         --    1,210
LATTICE SEMICONDUCTOR CORP.   EQUITY        518415104       216     105,009 SH       SOLE           1    105,009         --       --
LAWSON PRODUCTS, INC.         EQUITY        520776105       105       3,797 SH       SOLE           1      3,797         --       --
LAWSON SOFTWARE INC           EQUITY        52078P102       801     114,657 SH       SOLE           1    114,657         --       --
LAWSON SOFTWARE INC NEW       EQUITY        52078P102     5,774     824,870 SH       SOLE           2    824,870         --       --
LAYNE CHRISTENSEN COMPANY     EQUITY        521050104       617      17,437 SH       SOLE           1     17,437         --       --
LA-Z-BOY CHAIR CO.            EQUITY        505336107       435      46,668 SH       SOLE           1     46,668         --       --
LB FOSTER CO                  EQUITY        350060109       304      10,014 SH       SOLE           1     10,014         --       --
LDK SOLAR CO LTD              EQUITY        50183L107         3          85 SH       DEFINED        5         --         --       85
LEAP WIRELESS INTL INC        EQUITY        521863308       216       5,665 SH       SOLE           1      5,665         --       --
LEAPFROG ENTERPRISES          EQUITY        52186N106       316      29,898 SH       SOLE           1     29,898         --       --
LEAR CORP                     EQUITY        521865105     2,451     233,460 SH       SOLE           1    233,460         --       --
LEAR CORP                     EQUITY        521865105         2         205 SH       DEFINED        4         --         --      205
LEARNING TREE INTERNATIONAL   EQUITY        522015106       101       8,115 SH       SOLE           1      8,115         --       --
LECG CORP                     EQUITY        523234102       187      23,201 SH       SOLE           1     23,201         --       --
LEE ENTERPRISES, INC.         EQUITY        523768109       143      40,751 SH       SOLE           1     40,751         --       --
LEGACY RESERVES LP            EQUITY        524707304         7         400 SH       DEFINED        4         --         --      400
LEGG MASON, INC.              EQUITY        524901105     2,634      69,215 SH       SOLE           1     69,215         --       --





                                                                                           
LEGGETT & PLATT INC           EQUITY        524660107         5         228 SH       DEFINED        4         --         --      228
LEGGETT & PLATT, INC.         EQUITY        524660107     1,464      67,197 SH       SOLE           1     67,197         --       --
LENDER PROCESSING SERVICES
   INC                        EQUITY        5.26E+106     5,865     192,164 SH       SOLE           1    192,164         --       --
LENNAR CORP                   EQUITY        526057104       170      11,200 SH       DEFINED        5         --         --   11,200
LENNAR CORP. COM CLASS A      EQUITY        526057104     1,034      68,041 SH       SOLE           1     68,041         --       --
LENNOX INTERNATIONAL INC      EQUITY        526107107        32         949 SH       SOLE           1        949         --       --
LEUCADIA NATIONAL CORP.       EQUITY        527288104     3,267      71,903 SH       SOLE           1     71,903         --       --
LEUCADIA NATL CORP            EQUITY        527288104         9         207 SH       DEFINED        5         --         --      207
LEUCADIA NATL CORP            EQUITY        527288104       136       3,000 SH       DEFINED        4         --         --    3,000
LEVEL 3 COMMUNICATIONS, INC.  EQUITY        52729N100       303     112,604 SH       SOLE           1    112,604         --       --
LEXICON PHARMACEUTICALS INC   EQUITY        528872104       130      72,883 SH       SOLE           1     72,883         --       --
LEXINGTON REALTY TRUST        EQUITY        529043101       811      47,069 SH       SOLE           1     47,069         --       --
LEXMARK INTERNATIONAL GROUP   EQUITY        529771107     3,919     120,329 SH       SOLE           1    120,329         --       --
LHC GROUP INC                 EQUITY        50187A107       378      13,286 SH       SOLE           1     13,286         --       --
LIBBEY INC                    EQUITY        529898108         5         585 SH       DEFINED        4         --         --      585
LIBBEY, INC.                  EQUITY        529898108       113      13,258 SH       SOLE           1     13,258         --       --
LIBERTY ALL STAR EQUITY FD    EQUITY        530158104        24       5,306 SH       DEFINED        5         --         --    5,306
LIBERTY GLOBAL INC-A          EQUITY        530555101       523      17,288 SH       SOLE           1     17,288         --       --
LIBERTY MEDIA CORP--
   ENTERTAINMENT              EQUITY        53071M500     3,554     142,582 SH       SOLE           1    142,582         --       --
LIBERTY MEDIA CORP NEW        EQUITY        53071M302         1          78 SH       DEFINED        4         --         --       78
LIBERTY MEDIA CORP NEW        EQUITY        53071M500         3         104 SH       DEFINED        5         --         --      104
LIBERTY MEDIA CORP NEW        FIXED INCOME  530718AF2         3           3 PRN      DEFINED        4         --         --        3
LIBERTY MEDIA CORP NEW        EQUITY        53071M104         3         252 SH       DEFINED        5         --         --      252
LIBERTY MEDIA CORP NEW        EQUITY        53071M104         5         393 SH       DEFINED        4         --         --      393
LIBERTY MEDIA CORP NEW        EQUITY        53071M500         8         312 SH       DEFINED        4         --         --      312
LIBERTY MEDIA HOLDING CORP    EQUITY        53071M302        50       3,774 SH       SOLE           1      3,774         --       --
LIBERTY MEDIA HOLDING CORP    EQUITY        53071M104       632      48,917 SH       SOLE           1     48,917         --       --
LIBERTY PPTY TR               EQUITY        531172104         6         150 SH       DEFINED        5         --         --      150
LIBERTY PPTY TR               EQUITY        531172104        23         607 SH       DEFINED        4         --         --      607
LIBERTY PROPERTY TRUST        EQUITY        531172104     8,078     214,551 SH       SOLE           1    214,551         --       --
LIFE PARTNERS HOLDINGS INC    EQUITY        53215T106       194       5,377 SH       SOLE           1      5,377         --       --
LIFE SCIENCES RESEARCH INC    EQUITY        532169109       285       7,925 SH       SOLE           1      7,925         --       --
LIFE SCIENCES RESH INC COM    EQUITY        532169109     1,173      33,505 SH       SOLE           3     33,505         --       --
LIFE TIME FITNESS INC         EQUITY        53217R207     3,463     110,747 SH       SOLE           1    110,747         --       --
LIFEPOINT HOSPITALS HLDG      EQUITY        53219L109     3,932     122,535 SH       SOLE           1    122,535         --       --
LIFEPOINT HOSPITALS INC       EQUITY        53219L109         7         215 SH       DEFINED        4         --         --      215
LIFEPOINT HOSPITALS INC       EQUITY        53219L109        11         345 SH       DEFINED        5         --         --      345
LIFEWAY FOODS INC             EQUITY        531914109        52       4,381 SH       SOLE           1      4,381         --       --
LIGAND PHARMACEUTICALS INC    EQUITY        53220K207       226      76,502 SH       SOLE           1     76,502         --       --
LIHIR GOLD LTD                EQUITY        532349107         2          87 SH       DEFINED        5         --         --       87





                                                                                           
LILLY ELI & CO                EQUITY        532457108        12         267 SH       DEFINED        4         --         --      267
LILLY ELI & CO                EQUITY        532457108       234       5,311 SH       DEFINED        5         --         --    5,311
LILLY ELI + CO                EQUITY        532457108     3,386      76,900 SH       SOLE           2     76,900         --       --
LIMELIGHT NETWORKS INC        EQUITY        53261M104        65      26,161 SH       SOLE           1     26,161         --       --
LIMITED BRANDS INC            EQUITY        532716107         9         510 SH       DEFINED        4         --         --      510
LIMITED BRANDS INC            EQUITY        532716107        48       2,797 SH       DEFINED        5         --         --    2,797
LIMITED BRANDS INC            EQUITY        532716107     6,367     367,600 SH       SOLE           2    367,600         --       --
LIMITED BRANDS, INC.          EQUITY        532716107     4,669     269,580 SH       SOLE           1    269,580         --       --
LIN TV CORP                   EQUITY        532774106       125      24,271 SH       SOLE           1     24,271         --       --
LINCARE HLDGS INC             EQUITY        532791100        13         446 SH       DEFINED        5         --         --      446
LINCARE HOLDINGS, INC.        EQUITY        532791100     6,173     205,071 SH       SOLE           1    205,071         --       --
LINCOLN EDUCATIONAL SERVICES  EQUITY        533535100        51       3,873 SH       SOLE           1      3,873         --       --
LINCOLN ELECTRIC HOLDINGS,
   INC                        EQUITY        533900106     6,270      98,153 SH       SOLE           1     98,153         --       --
LINCOLN NATIONAL CORP.        EQUITY        534187109     4,594     107,321 SH       SOLE           1    107,321         --       --
LINCOLN NATL CORP IND         EQUITY        534187109        47       1,105 SH       DEFINED        5         --         --    1,105
LINDSAY CORP                  EQUITY        535555106       788      10,833 SH       SOLE           1     10,833         --       --
LINDSAY CORP                  EQUITY        535555106         3          35 SH       DEFINED        5         --         --       35
LINEAR TECHNOLOGY CORP        EQUITY        535678106     3,535     115,300 SH       SOLE           2    115,300         --       --
LINEAR TECHNOLOGY CORP.       EQUITY        535678106     5,154     168,256 SH       SOLE           1    168,256         --       --
LINN ENERGY LLC               EQUITY        536020100        15       1,000 SH       DEFINED        4         --         --    1,000
LINN ENERGY LLC               EQUITY        536020100        31       2,000 SH       DEFINED        5         --         --    2,000
LIQUIDITY SERVICES INC        EQUITY        53635B107       144      13,274 SH       SOLE           1     13,274         --       --
LITTELFUSE, INC.              EQUITY        537008104       586      19,714 SH       SOLE           1     19,714         --       --
LIVE NATION                   EQUITY        538034109     1,121      68,901 SH       SOLE           1     68,901         --       --
LIVE NATION INC               EQUITY        538034109         4         271 SH       DEFINED        4         --         --      271
LIZ CLAIBORNE INC             EQUITY        539320101         2         100 SH       DEFINED        5         --         --      100
LIZ CLAIBORNE, INC.           EQUITY        539320101     2,501     152,202 SH       SOLE           1    152,202         --       --
LKQ CORP                      EQUITY        501889208        47       2,757 SH       SOLE           1      2,757         --       --
LLOYDS TSB GROUP PLC          EQUITY        539439109        63       3,765 SH       DEFINED        4         --         --    3,765
LLOYDS TSB GROUP PLC          EQUITY        539439109       254      15,176 SH       DEFINED        5         --         --   15,176
LMI AEROSPACE INC             EQUITY        502079106       159       7,878 SH       SOLE           1      7,878         --       --
LMP CAP & INCOME FD INC       EQUITY        50208A102        12       1,023 SH       DEFINED        5         --         --    1,023
LOCKHEED MARTIN CORP          EQUITY        539830109         2          15 SH       DEFINED        4         --         --       15
LOCKHEED MARTIN CORP          EQUITY        539830109       174       1,584 SH       DEFINED        5         --         --    1,584
LOCKHEED MARTIN CORP          EQUITY        539830109     3,892      35,488 SH       SOLE           2     35,488         --       --
LOCKHEED MARTIN CORP.         EQUITY        539830109    13,007     118,601 SH       SOLE           1    118,601         --       --
LODGIAN INC                   EQUITY        54021P403       116      14,843 SH       SOLE           1     14,843         --       --
LOEWS CORP                    EQUITY        540424108         3          67 SH       DEFINED        4         --         --       67
LOEWS CORP                    EQUITY        540424108        13         320 SH       DEFINED        5         --         --      320
LOEWS CORP.                   EQUITY        540424108     6,999     177,227 SH       SOLE           1    177,227         --       --





                                                                                           
LO-JACK CORPORATION           EQUITY        539451104       482      71,900 SH       SOLE           1     71,900         --       --
LONGS DRUG STORES CORP.       EQUITY        543162101     2,139      28,276 SH       SOLE           1     28,276         --       --
LOOPNET INC                   EQUITY        543524300       260      26,557 SH       SOLE           1     26,557         --       --
LORAL SPACE &
   COMMUNICATIONS LTD         EQUITY        543881106     3,030     205,270 SH       SOLE           1    205,270         --       --
LORILLARD INC                 EQUITY        544147101    10,775     151,442 SH       SOLE           1    151,442         --       --
LORILLARD INC                 EQUITY        544147101        71       1,000 SH       DEFINED        5         --         --    1,000
LORILLARD INC                 EQUITY        544147101     4,333      60,900 SH       SOLE           2     60,900         --       --
LOUISIANA PAC CORP            EQUITY        546347105        18       1,922 SH       DEFINED        4         --         --    1,922
LOUISIANA PACIFIC CORP.       EQUITY        546347105     2,787     299,704 SH       SOLE           1    299,704         --       --
LOWE'S COMPANIES, INC.        EQUITY        548661107    19,409     819,289 SH       SOLE           1    819,289         --       --
LOWES COS INC                 EQUITY        548661107        31       1,318 SH       DEFINED        4         --         --    1,318
LOWES COS INC                 EQUITY        548661107       191       8,063 SH       DEFINED        5         --         --    8,063
LSB INDUSTRIES INC            EQUITY        502160104       218      15,766 SH       SOLE           1     15,766         --       --
LSI CORP.                     EQUITY        502161102     2,249     419,622 SH       SOLE           1    419,622         --       --
LSI CORPORATION               EQUITY        502161102         4         768 SH       DEFINED        4         --         --      768
LSI CORPORATION               EQUITY        502161102        35       6,567 SH       DEFINED        5         --         --    6,567
LSI INDUSTRIES, INC.          EQUITY        50216C108       141      17,045 SH       SOLE           1     17,045         --       --
LTC PROP INC                  EQUITY        502175102     2,237      76,308 SH       SOLE           1     76,308         --       --
LTX-CREDENCE CORP             EQUITY        502403108        95      56,974 SH       SOLE           1     56,974         --       --
LUBRIZOL CORP.                EQUITY        549271104     6,719     155,741 SH       SOLE           1    155,741         --       --
LUBY'S, INC.                  EQUITY        549282101       157      19,573 SH       SOLE           1     19,573         --       --
LUFKIN INDS INC COM           EQUITY        549764108     1,068      13,435 SH       SOLE           1     13,435         --       --
LULULEMON ATHLETICA INC       EQUITY        550021109       376      16,397 SH       SOLE           1     16,397         --       --
LUMBER LIQUIDATORS INC        EQUITY        55003Q103       107       8,520 SH       SOLE           1      8,520         --       --
LUMBER LIQUIDATORS INC        EQUITY        55003Q103         2         150 SH       DEFINED        5         --         --      150
LUMINEX CORP                  EQUITY        5.50E+106       938      37,486 SH       SOLE           1     37,486         --       --
LUNDIN MINING CORP            EQUITY        550372106       160      53,851 SH       OTHER          1         --     53,851       --
LYDALL, INC.                  EQUITY        550819106       145      15,055 SH       SOLE           1     15,055         --       --
M & F WORLDWIDE CORP          EQUITY        552541104       423      10,569 SH       SOLE           1     10,569         --       --
M & T BK CORP                 EQUITY        55261F104         3          36 SH       DEFINED        5         --         --       36
M&T BANK CORP.                EQUITY        55261F104     2,845      31,877 SH       SOLE           1     31,877         --       --
M.D.C. HOLDINGS, INC.         EQUITY        552676108     3,076      84,060 SH       SOLE           1     84,060         --       --
M/I HOMES INC                 EQUITY        55305B101       290      12,723 SH       SOLE           1     12,723         --       --
MACATAWA BK CORP              EQUITY        554225102         8       1,081 SH       DEFINED        5         --         --    1,081
MACERICH CO/THE               EQUITY        554382101    10,866     170,721 SH       SOLE           1    170,721         --       --
MACK CALI RLTY CORP           EQUITY        554489104         2          50 SH       DEFINED        5         --         --       50
MACK-CALI REALTY CORP         EQUITY        554489104    11,699     345,397 SH       SOLE           1    345,397         --       --
MACQUARIE FT TR GB INF UT DI  EQUITY        55607W100        56       3,921 SH       DEFINED        4         --         --    3,921
MACQUARIE INFRASTR CO LLC     EQUITY        55608B105         4         295 SH       DEFINED        5         --         --      295
MACQUARIE INFRASTR CO LLC     EQUITY        55608B105        15       1,100 SH       DEFINED        4         --         --    1,100





                                                                                           
MACROVISION SOLUTIONS CORP    EQUITY        55611C108     4,058     263,678 SH       SOLE           1    263,678         --       --
MACROVISION SOLUTIONS CORP    EQUITY        55611C108     9,255     601,781 SH       SOLE           2    601,781         --       --
MACYS INC                     EQUITY        55616P104         2          94 SH       DEFINED        4         --         --       94
MACYS INC                     EQUITY        55616P104        47       2,634 SH       SOLE           2      2,634         --       --
MACY'S INC                    EQUITY        55616P104     4,348     241,843 SH       SOLE           1    241,843         --       --
MADDEN STEVEN LTD COM         EQUITY        556269108       823      33,200 SH       SOLE           3     33,200         --       --
MADISON STRTG SECTOR PREM FD  EQUITY        558268108       326      27,100 SH       DEFINED        5         --         --   27,100
MAGELLAN HEALTH SERVICES INC  EQUITY        559079207     1,511      36,794 SH       SOLE           1     36,794         --       --
MAGELLAN MIDSTREAM HOLDINGS   EQUITY        55907R108     1,122      65,300 SH       SOLE           1     65,300         --       --
MAGELLAN MIDSTREAM PRTNRS LP  EQUITY        559080106        26         800 SH       DEFINED        4         --         --      800
MAGMA DESIGN AUTOMATIO        EQUITY        559181102       161      39,945 SH       SOLE           1     39,945         --       --
MAGNA INTL INC A              EQUITY        559222401       152       2,967 SH       OTHER          1         --      2,967       --
MAIDENFORM BRANDS INC         EQUITY        560305104       296      20,379 SH       SOLE           1     20,379         --       --
MAINSOURCE FINANCIAL G        EQUITY        56062Y102       335      16,947 SH       SOLE           1     16,947         --       --
MANHATTAN ASSOCIATES, INC.    EQUITY        562750109       502      22,422 SH       SOLE           1     22,422         --       --
MANITOWOC CO., INC.           EQUITY        563571108     1,194      76,799 SH       SOLE           1     76,799         --       --
MANITOWOC INC                 EQUITY        563571108        15         938 SH       DEFINED        4         --         --      938
MANITOWOC INC                 EQUITY        563571108        47       3,000 SH       DEFINED        5         --         --    3,000
MANITOWOC INC COM             EQUITY        563571108     1,910     122,800 SH       SOLE           3     49,100               73700
MANNATECH INC                 EQUITY        563771104        57      14,290 SH       SOLE           1     14,290         --       --
MANNKIND CORP                 EQUITY        56400P201       181      46,765 SH       SOLE           1     46,765         --       --
MANPOWER, INC.                EQUITY        56418H100     7,879     182,553 SH       SOLE           1    182,553         --       --
MANTECH INTL CORP             EQUITY        564563104     1,106      18,656 SH       SOLE           1     18,656         --       --
MANULIFE FINANCIAL CORP       EQUITY        56501R106    14,112     392,136 SH       OTHER          1         --    392,136       --
MANULIFE FINL CORP            EQUITY        56501R106        24         666 SH       DEFINED        4         --         --      666
MANULIFE FINL CORP            EQUITY        56501R106        30         820 SH       DEFINED        5         --         --      820
MAP PHARMACEUTICALS INC       EQUITY        56509R108        72       7,091 SH       SOLE           1      7,091         --       --
MARATHON OIL CORP             EQUITY        565849106    10,725     268,987 SH       SOLE           1    268,987         --       --
MARATHON OIL CORP             EQUITY        565849106         8         199 SH       DEFINED        4         --         --      199
MARATHON OIL CORP             EQUITY        565849106        87       2,171 SH       DEFINED        5         --         --    2,171
MARATHON OIL CORP             EQUITY        565849106    14,341     359,700 SH       SOLE           2    359,700         --       --
MARCHEX INC-CLASS B           EQUITY        56624R108       223      21,581 SH       SOLE           1     21,581         --       --
MARCUS CORP                   EQUITY        566330106       295      18,374 SH       SOLE           1     18,374         --       --
MARINE PRODUCTS CORP          EQUITY        568427108        75       9,094 SH       SOLE           1      9,094         --       --
MARINEMAX INC                 EQUITY        567908108       107      14,839 SH       SOLE           1     14,839         --       --
MARINER ENERGY INC            EQUITY        56845T305        43       2,106 SH       SOLE           1      2,106         --       --
MARKEL CORP                   EQUITY        570535104       115         328 SH       SOLE           1        328         --       --
MARKEL CORP                   EQUITY        570535104        88         250 SH       DEFINED        5         --         --      250
MARKET VECTORS ETF TR         EQUITY        57060U407         2          50 SH       DEFINED        4         --         --       50
MARKET VECTORS ETF TR         EQUITY        57060U308         4          73 SH       DEFINED        5         --         --       73





                                                                                           
MARKET VECTORS ETF TR         EQUITY        57060U837         6         200 SH       DEFINED        4         --         --      200
MARKET VECTORS ETF TR         EQUITY        57060U704         8         371 SH       DEFINED        4         --         --      371
MARKET VECTORS ETF TR         EQUITY        57060U209        16         350 SH       DEFINED        4         --         --      350
MARKET VECTORS ETF TR         EQUITY        57060U605        20         550 SH       DEFINED        5         --         --      550
MARKET VECTORS ETF TR         EQUITY        57060U506        26         900 SH       DEFINED        5         --         --      900
MARKET VECTORS ETF TR         EQUITY        57060U837        32       1,075 SH       DEFINED        5         --         --    1,075
MARKET VECTORS ETF TR         EQUITY        57060U308        38         727 SH       DEFINED        4         --         --      727
MARKET VECTORS ETF TR         EQUITY        57060U407        69       1,800 SH       DEFINED        5         --         --    1,800
MARKET VECTORS ETF TR         EQUITY        57060U506       111       3,834 SH       DEFINED        4         --         --    3,834
MARKET VECTORS ETF TR         EQUITY        57060U100       216       6,394 SH       DEFINED        4         --         --    6,394
MARKET VECTORS ETF TR         EQUITY        57060U605       396      10,756 SH       DEFINED        4         --         --   10,756
MARKET VECTORS ETF TR         EQUITY        57060U100       490      14,500 SH       DEFINED        5         --         --   14,500
MARKETAXESS HOLDINGS INC      EQUITY        57060D108       202      28,124 SH       SOLE           1     28,124         --       --
MARRIOTT INTERNATIONAL, INC.  EQUITY        571903202     3,062     117,361 SH       SOLE           1    117,361         --       --
MARRIOTT INTL INC NEW         EQUITY        571903202        47       1,809 SH       DEFINED        5         --         --    1,809
MARSH & MCLENNAN COMPANIES
   INC                        EQUITY        571748102     6,812     214,482 SH       SOLE           1    214,482         --       --
MARSH & MCLENNAN COS INC      EQUITY        571748102         2          59 SH       DEFINED        4         --         --       59
MARSH & MCLENNAN COS INC      EQUITY        571748102        80       2,519 SH       DEFINED        5         --         --    2,519
MARSHALL & ILSLEY CORP        EQUITY        571837103     2,174     107,893 SH       SOLE           1    107,893         --       --
MARSHALL & ILSLEY CORP NEW    EQUITY        571837103        14         675 SH       DEFINED        5         --         --      675
MARSHALL EDWARDS INC          EQUITY        572322303        44      18,736 SH       SOLE           1     18,736         --       --
MARTEK BIOSCIENCES CORP.      EQUITY        572901106       939      29,867 SH       SOLE           1     29,867         --       --
MARTEN TRANSPORT LTD          EQUITY        573075108       271      13,868 SH       SOLE           1     13,868         --       --
MARTHA STEWART LIVING OMNIME  EQUITY        573083102         2         200 SH       DEFINED        4         --         --      200
MARTHA STEWART LIVING-CL A    EQUITY        573083102       195      22,959 SH       SOLE           1     22,959         --       --
MARTIN MARIETTA MATERIALS     EQUITY        573284106    10,602      94,682 SH       SOLE           1     94,682         --       --
MARTIN MIDSTREAM PRTNRS L P   EQUITY        573331105        35       1,715 SH       DEFINED        4         --         --    1,715
MARVEL ENTERTAINMENT INC      EQUITY        57383T103     5,314     155,649 SH       SOLE           1    155,649         --       --
MARVEL ENTMT INC              EQUITY        57383T103     5,177     151,635 SH       SOLE           2    151,635         --       --
MARVELL TECHNOLOGY GROUP L    EQUITY        G5876H105       675      72,600 SH       SOLE           2     72,600         --       --
MARVELL TECHNOLOGY GROUP LTD  EQUITY        G5876H105         2         175 SH       DEFINED        4         --         --      175
MARVELL TECHNOLOGY GROUP LTD  EQUITY        G5876H105        57       6,136 SH       DEFINED        5         --         --    6,136
MASCO CORP                    EQUITY        574599106     3,854     214,800 SH       SOLE           2    214,800         --       --
MASCO CORP.                   EQUITY        574599106     7,789     434,157 SH       SOLE           1    434,157         --       --
MASIMO CORP                   EQUITY        574795100     1,558      41,861 SH       SOLE           1     41,861         --       --
MASIMO CORP                   EQUITY        574795100       272       7,308 SH       DEFINED        4         --         --    7,308
MASSEY ENERGY COMPANY         EQUITY        576206106     2,303      64,578 SH       SOLE           1     64,578         --       --
MASSEY ENERGY CORP            EQUITY        576206106         2          70 SH       DEFINED        5         --         --       70
MASTEC, INC.                  EQUITY        576323109       520      39,111 SH       SOLE           1     39,111         --       --
MASTERCARD INC                EQUITY        57636Q104     4,764      26,865 SH       SOLE           1     26,865         --       --





                                                                                           
MASTERCARD INC                EQUITY        57636Q104        77         436 SH       DEFINED        4         --         --      436
MASTERCARD INC                EQUITY        57636Q104       322       1,815 SH       DEFINED        5         --         --    1,815
MASTERCARD INC                EQUITY        57636Q104       567       3,200 SH       SOLE           2      3,200         --       --
MATRIX SERVICE CO             EQUITY        576853105       454      23,660 SH       SOLE           1     23,660         --       --
MATRIX SVC CO COM             EQUITY        576853105     1,230      64,400 SH       SOLE           3     64,400         --       --
MATSUSHITA ELEC INDL          EQUITY        576879209         2         100 SH       DEFINED        4         --         --      100
MATTEL INC                    EQUITY        577081102        28       1,548 SH       DEFINED        4         --         --    1,548
MATTEL INC                    EQUITY        577081102     3,830     212,300 SH       SOLE           2    212,300         --       --
MATTEL, INC.                  EQUITY        577081102     2,820     156,309 SH       SOLE           1    156,309         --       --
MATTHEWS INTERNATIONAL CORP.
   CLASS A                    EQUITY        577128101     4,990      98,436 SH       SOLE           1     98,436         --       --
MATTSON TECHNOLOGY, INC.      EQUITY        577223100       212      44,801 SH       SOLE           1     44,801         --       --
MAUI LAND & PINEAPPLE CO      EQUITY        577345101       117       4,246 SH       SOLE           1      4,246         --       --
MAXIMUS, INC.                 EQUITY        577933104       625      16,964 SH       SOLE           1     16,964         --       --
MAXWELL TECHNOLOGIES INC      EQUITY        577767106         4         300 SH       DEFINED        5         --         --      300
MAXWELL TECHNOLOGIES, INC.    EQUITY        577767106       221      16,556 SH       SOLE           1     16,556         --       --
MAXYGEN                       EQUITY        577776107        97      22,831 SH       SOLE           1     22,831         --       --
MB FINANCIAL INC              EQUITY        55264U108     1,049      31,587 SH       SOLE           1     31,587         --       --
MBIA INC                      EQUITY        55262C100        11         950 SH       DEFINED        4         --         --      950
MBIA INC                      EQUITY        55262C100        26       2,200 SH       DEFINED        5         --         --    2,200
MBIA, INC                     EQUITY        55262C100       982      82,541 SH       SOLE           1     82,541         --       --
MCAFEE INC                    EQUITY        579064106    11,757     346,187 SH       SOLE           1    346,187         --       --
MCAFEE INC                    EQUITY        579064106         1          38 SH       DEFINED        5         --         --       38
MCAFEE INC                    EQUITY        579064106        15         430 SH       DEFINED        4         --         --      430
MCAFEE INC                    EQUITY        579064106     4,184     123,200 SH       SOLE           2    123,200         --       --
MCAFEE INC COM                EQUITY        579064106     4,744     139,700 SH       SOLE           3     50,300               89400
MCCLATCHY CO                  EQUITY        579489105         1         284 SH       DEFINED        5         --         --      284
MCCLATCHY COMPANY-CL          EQUITY        579489105       228      51,874 SH       SOLE           1     51,874         --       --
MCCORMICK & CO., INC.         EQUITY        579780206     1,996      51,908 SH       SOLE           1     51,908         --       --
MCDERMOTT INTERNATIONAL INC   EQUITY        580037109       118       4,608 SH       SOLE           1      4,608         --       --
MCDERMOTT INTL INC            EQUITY        580037109        23         882 SH       DEFINED        4         --         --      882
MCDONALDS CORP                EQUITY        580135101       316       5,115 SH       DEFINED        4         --         --    5,115
MCDONALDS CORP                EQUITY        580135101       797      12,915 SH       DEFINED        5         --         --   12,915
MCDONALDS CORP                EQUITY        580135101     7,589     123,000 SH       SOLE           2    123,000         --       --
MCDONALD'S CORP               EQUITY        580135101    59,852     970,047 SH       SOLE           1    970,047         --       --
MCG CAPITAL CORP              EQUITY        58047P107       449     165,175 SH       SOLE           1    165,175         --       --
MCGRATH RENTCORP              EQUITY        580589109       620      21,504 SH       SOLE           1     21,504         --       --
MCGRAW HILL COS INC           EQUITY        580645109         6         200 SH       DEFINED        5         --         --      200
MCGRAW-HILL, INC.             EQUITY        580645109     4,014     127,000 SH       SOLE           1    127,000         --       --
MCKESSON CORP                 EQUITY        58155Q103        10         187 SH       DEFINED        5         --         --      187
MCKESSON CORP                 EQUITY        58155Q103     9,298     172,800 SH       SOLE           2    172,800         --       --





                                                                                           
MCKESSON CORP.                EQUITY        58155Q103    21,910     407,436 SH       SOLE           1    407,436         --       --
MCMORAN EXPLORATION CO        EQUITY        582411104     1,166      49,339 SH       SOLE           1     49,339         --       --
MCMORAN EXPLORATION CO        EQUITY        582411104         2         100 SH       DEFINED        5         --         --      100
MCMORAN EXPLORATION CO        EQUITY        582411104     4,170     176,408 SH       SOLE           2    176,408         --       --
MDS INC                       EQUITY        55269P302       148      12,448 SH       OTHER          1         --     12,448       --
MDU RES GROUP INC             EQUITY        552690109         3         114 SH       DEFINED        5         --         --      114
MDU RES GROUP INC             EQUITY        552690109        77       2,642 SH       DEFINED        4         --         --    2,642
MDU RESOURCES GROUP, INC.     EQUITY        552690109    12,221     421,407 SH       SOLE           1    421,407         --       --
MEADOWBROOK INSURANCE GROUP
   INC                        EQUITY        58319P108       367      52,035 SH       SOLE           1     52,035         --       --
MEADWESTVACO CORP             EQUITY        583334107     1,652      70,885 SH       SOLE           1     70,885         --       --
MEASUREMENT SPECIALTIES INC   EQUITY        583421102       229      13,169 SH       SOLE           1     13,169         --       --
MECHEL                        EQUITY        583840103     2,618     153,600 SH       SOLE           1    153,600         --       --
MECHEL OAO                    EQUITY        583840103         3         140 SH       DEFINED        5         --         --      140
MEDALLION FINANCIAL CORP.     EQUITY        583928106       141      13,479 SH       SOLE           1     13,479         --       --
MEDAREX INC                   EQUITY        583916101       751     116,031 SH       SOLE           1    116,031         --       --
MEDASSETS INC                 EQUITY        584045108       284      16,577 SH       SOLE           1     16,577         --       --
MEDCATH CORP                  EQUITY        58404W109     4,141     196,940 SH       SOLE           1    196,940         --       --
MEDCO HEALTH SOLUTIONS INC    EQUITY        58405U102     8,726     193,920 SH       SOLE           1    193,920         --       --
MEDCO HEALTH SOLUTIONS INC    EQUITY        58405U102        32         716 SH       DEFINED        4         --         --      716
MEDCO HEALTH SOLUTIONS INC    EQUITY        58405U102        38         841 SH       DEFINED        5         --         --      841
MEDCO HEALTH SOLUTIONS INC    EQUITY        58405U102        64       1,430 SH       SOLE           2      1,430         --       --
MEDIA GENERAL, INC. CLASS A   EQUITY        584404107       903      72,662 SH       SOLE           1     72,662         --       --
MEDIACOM COMMUNICATI          EQUITY        58446K105       212      35,718 SH       SOLE           1     35,718         --       --
MEDICAL ACTION IND INC        EQUITY        58449L100       169      12,811 SH       SOLE           1     12,811         --       --
MEDICINES COMPANY             EQUITY        584688105     1,099      47,267 SH       SOLE           1     47,267         --       --
MEDICIS PHARMACEUTIC          EQUITY        584690309     2,681     179,794 SH       SOLE           1    179,794         --       --
MEDICIS PHARMACEUTICAL CORP   EQUITY        584690309         2         108 SH       DEFINED        4         --         --      108
MEDIS TECHNOLOGIES LTD        EQUITY        58500P107        51      28,374 SH       SOLE           1     28,374         --       --
MEDIVATION INC                EQUITY        58501N101       614      23,230 SH       SOLE           1     23,230         --       --
MEDTRONIC INC                 EQUITY        585055106       124       2,479 SH       DEFINED        5         --         --    2,479
MEDTRONIC INC                 EQUITY        585055106       132       2,636 SH       DEFINED        4         --         --    2,636
MEDTRONIC INC                 EQUITY        585055106     7,664     152,978 SH       SOLE           2    152,978         --       --
MEDTRONIC, INC.               EQUITY        585055106    51,305   1,024,043 SH       SOLE           1  1,024,043         --       --
MEMC ELECTR MATLS INC         EQUITY        552715104         4         150 SH       DEFINED        4         --         --      150
MEMC ELECTR MATLS INC         EQUITY        552715104         7         255 SH       DEFINED        5         --         --      255
MEMC ELECTR MATLS INC         EQUITY        552715104    11,815     418,089 SH       SOLE           2    418,089         --       --
MEMC ELECTRONIC MATERIALS,
   INC                        EQUITY        552715104     2,509      88,771 SH       SOLE           1     88,771         --       --
MENS WEARHOUSE INC            EQUITY        587118100         2          93 SH       DEFINED        4         --         --       93
MENS WEARHOUSE, INC.          EQUITY        587118100       997      46,919 SH       SOLE           1     46,919         --       --
MENTOR CORP.                  EQUITY        587188103       732      30,692 SH       SOLE           1     30,692         --       --





                                                                                           
MENTOR GRAPHICS CORP.         EQUITY        587200106     3,293     291,667 SH       SOLE           1    291,667         --       --
MERCADOLIBRE INC              EQUITY        58733R102       472      23,164 SH       SOLE           1     23,164         --       --
MERCANTILE BANK CORP          EQUITY        587376104         4         480 SH       DEFINED        5         --         --      480
MERCER INTL INC-SBI           EQUITY        588056101       100      27,323 SH       SOLE           1     27,323         --       --
MERCK & CO INC                EQUITY        589331107        76       2,401 SH       DEFINED        4         --         --    2,401
MERCK & CO INC                EQUITY        589331107       126       3,986 SH       DEFINED        5         --         --    3,986
MERCK & CO., INC.             EQUITY        589331107    74,447   2,358,891 SH       SOLE           1  2,358,891         --       --
MERCK + CO INC                EQUITY        589331107    12,515     396,561 SH       SOLE           2    396,561         --       --
MERCURY COMPUTER SYSTEMS INC  EQUITY        589378108       184      20,646 SH       SOLE           1     20,646         --       --
MERCURY GENERAL CORP          EQUITY        589400100     4,462      81,500 SH       SOLE           1     81,500         --       --
MEREDITH CORP                 EQUITY        589433101     2,004      71,475 SH       SOLE           1     71,475         --       --
MEREDITH CORP                 EQUITY        589433101         2          83 SH       DEFINED        4         --         --       83
MERIDIAN BIOSCIENCE INC       EQUITY        589584101     1,060      36,506 SH       SOLE           1     36,506         --       --
MERIDIAN INTERSTATE BANCORP
   INC                        EQUITY        58964Q104        97       9,540 SH       SOLE           1      9,540         --       --
MERIDIAN RESOURCE CORP        EQUITY        58977Q109       130      70,402 SH       SOLE           1     70,402         --       --
MERIT MED SYS INC             EQUITY        589889104       473      25,136 SH       SOLE           1     25,136         --       --
MERITAGE HOMES CORPORATION    EQUITY        59001A102       690      27,947 SH       SOLE           1     27,947         --       --
MERRILL LYNCH & CO INC        EQUITY        590188108    41,839   1,656,805 SH       SOLE           1  1,656,805         --       --
MERRILL LYNCH & CO INC        EQUITY        590188108        25         970 SH       DEFINED        4         --         --      970
MERRILL LYNCH & CO INC        EQUITY        590188108        41       1,630 SH       DEFINED        5         --         --    1,630
MERUELO MADDUX PROPERTIES INC EQUITY        590473104        47      38,864 SH       SOLE           1     38,864         --       --
MESA RTY TR                   EQUITY        590660106         4          69 SH       DEFINED        4         --         --       69
METABOLIX INC                 EQUITY        591018809       187      17,224 SH       SOLE           1     17,224         --       --
METABOLIX INC                 EQUITY        591018809         3         300 SH       DEFINED        4         --         --      300
METALICO INC                  EQUITY        591176102       130      21,950 SH       SOLE           1     21,950         --       --
METAVANTE TECHNOLOGIES INC    EQUITY        591407101     3,951     205,128 SH       SOLE           1    205,128         --       --
METAVANTE TECHNOLOGIES INC    EQUITY        591407101         9         450 SH       DEFINED        5         --         --      450
METHANEX CORP                 EQUITY        59151K108     1,847      94,590 SH       OTHER          1         --     94,590       --
METHODE ELECTRONICS, INC.     EQUITY        591520200       309      34,617 SH       SOLE           1     34,617         --       --
METLIFE INC                   EQUITY        59156R108         8         137 SH       DEFINED        4         --         --      137
METLIFE INC                   EQUITY        59156R108        89       1,592 SH       DEFINED        5         --         --    1,592
METLIFE INC                   EQUITY        59156R108     2,961      52,877 SH       SOLE           2     52,877         --       --
METLIFE, INC.                 EQUITY        59156R108    30,601     546,444 SH       SOLE           1    546,444         --       --
MET-PRO CORP                  EQUITY        590876306       201      13,747 SH       SOLE           1     13,747         --       --
METROPCS COMMUNICATIONS INC   EQUITY        591708102       779      55,647 SH       SOLE           1     55,647         --       --
METTLER TOLEDO INTERNATIONAL  EQUITY        592688105         3          33 SH       DEFINED        5         --         --       33
METTLER-TOLEDO INTERNATIONAL  EQUITY        592688105        69         706 SH       SOLE           1        706         --       --
MFA MTG INVTS INC             EQUITY        55272X102         5         700 SH       DEFINED        5         --         --      700
MFA MTG INVTS INC             EQUITY        55272X102     3,250     500,000 SH       SOLE           2    500,000         --       --
MFS HIGH INCOME MUN TR        EQUITY        59318D104         4       1,000 SH       DEFINED        5         --         --    1,000





                                                                                           
MFS INTER INCOME TR           EQUITY        55273C107        10       1,700 SH       DEFINED        4         --         --    1,700
MFS INTER INCOME TR           EQUITY        55273C107        25       4,300 SH       DEFINED        5         --         --    4,300
MFS MULTIMARKET INCOME TR     EQUITY        552737108        24       4,800 SH       DEFINED        4         --         --    4,800
MFS MUN INCOME TR             EQUITY        552738106         2         277 SH       DEFINED        4         --         --      277
MFS MUN INCOME TR             EQUITY        552738106        65      11,500 SH       DEFINED        5         --         --   11,500
MGE ENERGY INC                EQUITY        55277P104       715      20,085 SH       SOLE           1     20,085         --       --
MGE ENERGY INC                EQUITY        55277P104         4         100 SH       DEFINED        4         --         --      100
MGIC INVESTMENT CORP.         EQUITY        552848103       367      52,170 SH       SOLE           1     52,170         --       --
MGM MIRAGE INC                EQUITY        552953101        75       2,623 SH       SOLE           1      2,623         --       --
MICHAEL BAKER CORP            EQUITY         57149106       231       6,636 SH       SOLE           1      6,636         --       --
MICREL, INC.                  EQUITY        594793101       409      45,072 SH       SOLE           1     45,072         --       --
MICROCHIP TECHNOLOGY INC      EQUITY        595017104     1,610      54,700 SH       SOLE           2     54,700         --       --
MICROCHIP TECHNOLOGY, INC.    EQUITY        595017104     9,857     334,940 SH       SOLE           1    334,940         --       --
MICRON TECHNOLOGY INC         EQUITY        595112103         5       1,161 SH       DEFINED        5         --         --    1,161
MICRON TECHNOLOGY, INC.       EQUITY        595112103     1,272     314,066 SH       SOLE           1    314,066         --       --
MICROS SYSTEMS, INC.          EQUITY        594901100     1,977      74,003 SH       SOLE           1     74,003         --       --
MICROSEMI CORP                EQUITY        595137100     1,119      43,900 SH       SOLE           2     43,900         --       --
MICROSEMI CORP COM            EQUITY        595137100     5,058     198,500 SH       SOLE           3     85,100              113400
MICROSEMI CORP.               EQUITY        595137100     2,655     104,124 SH       SOLE           1    104,124         --       --
MICROSOFT CORP                EQUITY        594918104       668      25,029 SH       DEFINED        4         --         --   25,029
MICROSOFT CORP                EQUITY        594918104     1,016      38,051 SH       DEFINED        5         --         --   38,051
MICROSOFT CORP                EQUITY        594918104    38,646   1,447,945 SH       SOLE           2  1,447,945         --       --
MICROSOFT CORP.               EQUITY        594918104   183,695   6,888,957 SH       SOLE           1  6,888,957         --       --
MICROSTRATEGY INC             EQUITY        594972408       490       8,225 SH       SOLE           1      8,225         --       --
MICROTUNE INC                 EQUITY        59514P109       133      49,277 SH       SOLE           1     49,277         --       --
MICROVISION INC.              EQUITY        594960106       120      61,738 SH       SOLE           1     61,738         --       --
MICRUS ENDOVASCULAR CORP      EQUITY        59518V102       197      14,114 SH       SOLE           1     14,114         --       --
MID-AMERICA APT. COMMUNITIES  EQUITY        59522J103     6,431     130,863 SH       SOLE           1    130,863         --       --
MIDAS, INC.                   EQUITY        595626102       640      46,500 SH       SOLE           1     46,500         --       --
MIDCAP SPDR TR                EQUITY        595635103        75         568 SH       DEFINED        5         --         --      568
MIDCAP SPDR TR                EQUITY        595635103     1,275       9,677 SH       DEFINED        4         --         --    9,677
MIDDLEBROOK PHARMACEUTICALS
   INC                        EQUITY        596087106        49      32,534 SH       SOLE           1     32,534         --       --
MIDDLEBY CORP                 EQUITY        596278101       838      15,427 SH       SOLE           1     15,427         --       --
MIDDLEBY CORP                 EQUITY        596278101         1          26 SH       DEFINED        5         --         --       26
MIDDLESEX WATER CO            EQUITY        596680108       209      12,041 SH       SOLE           1     12,041         --       --
MIDDLESEX WATER CO            EQUITY        596680108        10         600 SH       DEFINED        4         --         --      600
MIDWAY GAMES INC.             EQUITY        598148104        25      10,430 SH       SOLE           1     10,430         --       --
MIDWEST BANC HOLDINGS INC.    EQUITY        598251106        81      20,149 SH       SOLE           1     20,149         --       --
MILLER HERMAN INC             EQUITY        600544100        11         433 SH       DEFINED        5         --         --      433
MILLICOM INTL CELLULAR S A    EQUITY        L6388F110         7         100 SH       DEFINED        5         --         --      100





                                                                                           
MILLIPORE CORP.               EQUITY        601073109     3,228      46,913 SH       SOLE           1     46,913         --       --
MINAS BUENAVENTURA-SPON ADR   EQUITY        204448104    21,482     938,721 SH       SOLE           1    938,721         --       --
MINDRAY MEDICAL INTERNATIONAL
   LTD                        EQUITY        602675100    20,815     617,100 SH       SOLE           1    617,100         --       --
MINDRAY MEDICAL INTL LTD      EQUITY        602675100        21         615 SH       DEFINED        4         --         --      615
MINDRAY MEDICAL INTL LTD      EQUITY        602675100       145       4,296 SH       DEFINED        5         --         --    4,296
MINE SAFETY APPLIANCES CO.    EQUITY        602720104     3,643      95,578 SH       SOLE           1     95,578         --       --
MINEFINDERS LTD               EQUITY        602900102         4         491 SH       DEFINED        5         --         --      491
MINERALS TECHNOLOGIES, INC.   EQUITY        603158106     3,560      59,965 SH       SOLE           1     59,965         --       --
MIPS TECHNOLOGIES INC         EQUITY        604567107       140      40,200 SH       SOLE           1     40,200         --       --
MIRANT CORP                   EQUITY        60467R100     8,249     441,254 SH       SOLE           1    441,254         --       --
MIRANT CORP NEW               EQUITY        60467R118         1         302 SH       DEFINED        4         --         --      302
MISSION WEST PROPERTIES       EQUITY        605203108       174      17,996 SH       SOLE           1     17,996         --       --
MITCHAM INDS INC              EQUITY        606501104     1,078     106,871 SH       SOLE           2    106,871         --       --
MITCHAM INDUSTRIES INC        EQUITY        606501104        90       8,891 SH       SOLE           1      8,891         --       --
MITSUBISHI UFJ FINL GROUP IN  EQUITY        606822104         3         315 SH       DEFINED        5         --         --      315
MITSUBISHI UFJ FINL GROUP IN  EQUITY        606822104         3         338 SH       DEFINED        4         --         --      338
MKS INSTRUMENTS, INC.         EQUITY        55306N104       903      45,279 SH       SOLE           1     45,279         --       --
MOBILE MINI INC.              EQUITY        60740F105       610      31,502 SH       SOLE           1     31,502         --       --
MOBILE TELESYSTEMS OJSC       EQUITY        607409109        11         200 SH       DEFINED        4         --         --      200
MOBILE TELESYSTEMS-SP ADR     EQUITY        607409109    10,629     194,580 SH       SOLE           1    194,580         --       --
MODINE MANUFACTURING CO.      EQUITY        607828100     1,484     102,482 SH       SOLE           1    102,482         --       --
MOHAWK INDUSTRIES, INC.       EQUITY        608190104     8,696     129,043 SH       SOLE           1    129,043         --       --
MOLECULAR INSIGHT
   PHARMACEUTICALS INC        EQUITY        60852M104       123      16,046 SH       SOLE           1     16,046         --       --
MOLEX, INC.                   EQUITY        608554101     1,315      58,542 SH       SOLE           1     58,542         --       --
MOLINA HEALTHCARE INC         EQUITY        60855R100       409      13,182 SH       SOLE           1     13,182         --       --
MOLSON COORS BREWING CO       EQUITY        60871R209    34,379     735,731 SH       SOLE           1    735,731         --       --
MOLSON COORS BREWING CO       EQUITY        60871R209         8         179 SH       DEFINED        4         --         --      179
MOMENTA PHARMACEUTICALS INC   EQUITY        60877T100       292      22,272 SH       SOLE           1     22,272         --       --
MONARCH CASINO & RESOR        EQUITY        609027107       119      10,403 SH       SOLE           1     10,403         --       --
MONOGRAM BIOSCIENCES INC      EQUITY        60975U108         3       4,350 SH       DEFINED        5         --         --    4,350
MONOLITHIC POWER SYSTEMS INC  EQUITY        609839105       413      23,740 SH       SOLE           1     23,740         --       --
MONOLITHIC PWR SYS INC        EQUITY        609839105        37       2,150 SH       DEFINED        5         --         --    2,150
MONOLITHIC PWR SYS INC        EQUITY        609839105       684      39,400 SH       SOLE           2     39,400         --       --
MONOTYPE IMAGING HOLDINGS INC EQUITY        61022P100       152      13,671 SH       SOLE           1     13,671         --       --
MONRO MUFFLER BRAKE IN        EQUITY        610236101       341      14,777 SH       SOLE           1     14,777         --       --
MONSANTO CO                   EQUITY        61166W101    42,260     426,983 SH       SOLE           1    426,983         --       --
MONSANTO CO NEW               EQUITY        61166W101        66         666 SH       DEFINED        5         --         --      666
MONSANTO CO NEW               EQUITY        61166W101       122       1,231 SH       DEFINED        4         --         --    1,231
MONSANTO CO NEW               EQUITY        61166W101    21,125     213,425 SH       SOLE           2    213,425         --       --
MONSTER WORLDWIDE INC         EQUITY        611742107       836      56,130 SH       SOLE           1     56,130         --       --





                                                                                           
MONSTER WORLDWIDE INC         EQUITY        611742107        13         900 SH       DEFINED        5         --         --      900
MONTPELIER RE HOLDINGS LTD    EQUITY        G62185106         3         200 SH       DEFINED        5         --         --      200
MOODYS CORP                   EQUITY        615369105        88       2,591 SH       DEFINED        5         --         --    2,591
MOODY'S CORP.                 EQUITY        615369105     2,725      80,145 SH       SOLE           1     80,145         --       --
MOOG INC.                     EQUITY        615394202     1,660      38,718 SH       SOLE           1     38,718         --       --
MORGAN STANLEY                EQUITY        617446448    23,218   1,009,488 SH       SOLE           1  1,009,488         --       --
MORGAN STANLEY                EQUITY        61745P668         4         350 SH       DEFINED        4         --         --      350
MORGAN STANLEY                EQUITY        61745P437         4         552 SH       DEFINED        5         --         --      552
MORGAN STANLEY                EQUITY        61745P866         6         550 SH       DEFINED        4         --         --      550
MORGAN STANLEY                EQUITY        61745P429        11       1,750 SH       DEFINED        5         --         --    1,750
MORGAN STANLEY                EQUITY        617446448        28       1,228 SH       DEFINED        4         --         --    1,228
MORGAN STANLEY                EQUITY        617446448        51       2,224 SH       SOLE           2      2,224         --       --
MORGAN STANLEY                EQUITY        617446448        72       3,126 SH       DEFINED        5         --         --    3,126
MORGAN STANLEY CHINA A SH FD  EQUITY        617468103       177       6,132 SH       DEFINED        5         --         --    6,132
MORGAN STANLEY EMER MKTS DEB  EQUITY        61744H105        13       1,780 SH       DEFINED        5         --         --    1,780
MORGAN STANLEY EMERG MKT DOM  EQUITY        617477104         6         500 SH       DEFINED        5         --         --      500
MORGAN STANLEY GBL OPP BOND   EQUITY        61744R103         7       1,400 SH       DEFINED        5         --         --    1,400
MORGAN STANLEY HIGH YIELD FD  EQUITY        61744M104         3         777 SH       DEFINED        5         --         --      777
MORGAN STANLEY INDIA INVS FD  EQUITY        61745C105         4         220 SH       DEFINED        5         --         --      220
MORGANS HOTEL GROUP CO        EQUITY        61748W108       269      24,614 SH       SOLE           1     24,614         --       --
MORNINGSTAR INC               EQUITY        617700109        18         328 SH       SOLE           1        328         --       --
MORNINGSTAR INC               EQUITY        617700109        11         200 SH       DEFINED        5         --         --      200
MOSAIC CO                     EQUITY        61945A107        31         450 SH       DEFINED        4         --         --      450
MOSAIC CO                     EQUITY        61945A107        38         552 SH       DEFINED        5         --         --      552
MOSAIC CO/THE                 EQUITY        61945A107     5,674      83,416 SH       SOLE           1     83,416         --       --
MOTOROLA INC                  EQUITY        620076109        13       1,808 SH       DEFINED        4         --         --    1,808
MOTOROLA INC                  EQUITY        620076109       315      44,122 SH       DEFINED        5         --         --   44,122
MOTOROLA, INC.                EQUITY        620076109    17,598   2,464,759 SH       SOLE           1  2,464,759         --       --
MOVADO GROUP, INC.            EQUITY        624580106       324      14,510 SH       SOLE           1     14,510         --       --
MOVE INC                      EQUITY        62458M108       247     116,464 SH       SOLE           1    116,464         --       --
MPS GROUP INC                 EQUITY        553409103     2,985     296,124 SH       SOLE           1    296,124         --       --
MRV COMMUNICATIONS, INC.      EQUITY        553477100       165     142,662 SH       SOLE           1    142,662         --       --
MSC INDL DIRECT INC           EQUITY        553530106         8         181 SH       DEFINED        4         --         --      181
MSC INDUSTRIAL DIRECT CO.     EQUITY        553530106     5,300     115,049 SH       SOLE           1    115,049         --       --
MSC SOFTWARE CORPORATION      EQUITY        553531104       438      40,898 SH       SOLE           1     40,898         --       --
MSCI INC                      EQUITY        55354G100        22         896 SH       SOLE           1        896         --       --
MSCI INC                      EQUITY        55354G100         3         135 SH       DEFINED        5         --         --      135
MTS SYSTEMS CORP.             EQUITY        553777103       674      15,955 SH       SOLE           1     15,955         --       --
MUELLER INDS INC              EQUITY        624756102         2         100 SH       DEFINED        4         --         --      100
MUELLER INDUSTRIES, INC.      EQUITY        624756102       776      33,719 SH       SOLE           1     33,719         --       --





                                                                                           
MUELLER WATER PRODUCTS INC    EQUITY        624758207        12       1,862 SH       SOLE           1      1,862         --       --
MUELLER WATER PRODUCTS INC    EQUITY        624758108       940     104,672 SH       SOLE           1    104,672         --       --
MULTI-COLOR CORP              EQUITY        625383104       233       9,735 SH       SOLE           1      9,735         --       --
MULTI-FINELINE ELECTRONIX IN  EQUITY        62541B101       116       7,876 SH       SOLE           1      7,876         --       --
MURPHY OIL CORP.              EQUITY        626717102    20,181     314,871 SH       SOLE           1    314,871         --       --
MVC CAPITAL INC               EQUITY        553829102       338      22,149 SH       SOLE           1     22,149         --       --
MWI VETERINARY SUPPLY INC     EQUITY        55402X105       367       9,347 SH       SOLE           1      9,347         --       --
MWI VETERINARY SUPPLY INC     EQUITY        55402X105        12         300 SH       DEFINED        5         --         --      300
MYERS INDUSTRIES, INC.        EQUITY        628464109       324      25,691 SH       SOLE           1     25,691         --       --
MYLAN INC                     FIXED INCOME  628530206    16,991      20,530 PRN      SOLE           1     20,530         --       --
MYLAN INC                     EQUITY        628530107        41       3,550 SH       DEFINED        5         --         --    3,550
MYLAN INC                     EQUITY        628530107       293      25,634 SH       DEFINED        4         --         --   25,634
MYLAN INC                     EQUITY        628530107    18,800   1,646,192 SH       SOLE           2  1,646,192         --       --
MYLAN INC.                    EQUITY        628530107     1,409     123,405 SH       SOLE           1    123,405         --       --
MYRIAD GENETICS INC           EQUITY        62855J104     2,633      40,572 SH       SOLE           1     40,572         --       --
MYRIAD GENETICS INC           EQUITY        62855J104       187       2,877 SH       DEFINED        5         --         --    2,877
NABI BIOPHARMACEUTICALS       EQUITY        629519109       221      47,335 SH       SOLE           1     47,335         --       --
NABORS INDS INC               FIXED INCOME  629568AP1         3           3 PRN      DEFINED        5         --         --        3
NABORS INDUSTRIES LTD         EQUITY        G6359F103         8         337 SH       DEFINED        5         --         --      337
NABORS INDUSTRIES LTD         EQUITY        G6359F103        11         450 SH       DEFINED        4         --         --      450
NACCO INDUSTRIES, INC.
   CLASS A                    EQUITY        629579103       511       5,405 SH       SOLE           1      5,405         --       --
NALCO HOLDING CO              EQUITY        62985Q101        56       3,015 SH       SOLE           1      3,015         --       --
NALCO HOLDING COMPANY         EQUITY        62985Q101         3         155 SH       DEFINED        5         --         --      155
NANOGEN INC                   EQUITY        630075109         1       5,000 SH       DEFINED        5         --         --    5,000
NANOSPHERE INC                EQUITY        63009F105       100      11,703 SH       SOLE           1     11,703         --       --
NARA BANCORP INC              EQUITY        63080P105       235      20,815 SH       SOLE           1     20,815         --       --
NASB FINL INC                 EQUITY        628968109        91       3,093 SH       SOLE           1      3,093         --       --
NASDAQ OMX GROUP INC          EQUITY        631103108        12         380 SH       DEFINED        4         --         --      380
NASDAQ OMX GROUP/THE          EQUITY        631103108       109       3,582 SH       SOLE           1      3,582         --       --
NASHFINCH CO.                 EQUITY        631158102       501      11,594 SH       SOLE           1     11,594         --       --
NATCO GROUP INC               EQUITY        63227W203       730      18,175 SH       SOLE           1     18,175         --       --
NATIONAL BEVERAGE CORP.       EQUITY        635017106        87       9,759 SH       SOLE           1      9,759         --       --
NATIONAL BK GREECE S A        EQUITY        633643408        10       1,251 SH       DEFINED        4         --         --    1,251
NATIONAL CINEMEDIA INC        EQUITY        635309107       423      38,296 SH       SOLE           1     38,296         --       --
NATIONAL CITY CORP            EQUITY        635405103         2       1,000 SH       DEFINED        5         --         --    1,000
NATIONAL CITY CORP            EQUITY        635405103         2       1,050 SH       DEFINED        4         --         --    1,050
NATIONAL CITY CORP.           EQUITY        635405103       865     494,077 SH       SOLE           1    494,077         --       --
NATIONAL COAL CORP            EQUITY        632381208       132      25,033 SH       SOLE           1     25,033         --       --
NATIONAL FINANCIAL PARTNERS   EQUITY        63607P208       539      35,930 SH       SOLE           1     35,930         --       --
NATIONAL FINL PARTNERS CORP   EQUITY        63607P208         3         200 SH       DEFINED        4         --         --      200





                                                                                           
NATIONAL FUEL GAS CO N J      EQUITY        636180101       100       2,380 SH       DEFINED        5         --         --    2,380
NATIONAL FUEL GAS CO.         EQUITY        636180101     7,900     187,301 SH       SOLE           1    187,301         --       --
NATIONAL GRID PLC             EQUITY        636274300        14         213 SH       DEFINED        4         --         --      213
NATIONAL HEALTHCARE CORP      EQUITY        635906100       363       7,703 SH       SOLE           1      7,703         --       --
NATIONAL INSTRS CORP          EQUITY        636518102         6         200 SH       DEFINED        4         --         --      200
NATIONAL INSTRUMENTS CORP.    EQUITY        636518102     3,883     129,553 SH       SOLE           1    129,553         --       --
NATIONAL INTERSTATE CORP      EQUITY        63654U100       134       5,576 SH       SOLE           1      5,576         --       --
NATIONAL OILWELL VARCO INC    EQUITY        637071101    17,192     342,265 SH       SOLE           1    342,265         --       --
NATIONAL OILWELL VARCO INC    EQUITY        637071101        40         793 SH       DEFINED        5         --         --      793
NATIONAL OILWELL VARCO INC    EQUITY        637071101        80       1,601 SH       DEFINED        4         --         --    1,601
NATIONAL OILWELL VARCO INC    EQUITY        637071101     1,221      24,300 SH       SOLE           2     24,300         --       --
NATIONAL PENN BANCSHARES INC  EQUITY        637138108       111       7,588 SH       DEFINED        4         --         --    7,588
NATIONAL PENN BANCSHARES,
   INC.                       EQUITY        637138108     1,081      72,241 SH       SOLE           1     72,241         --       --
NATIONAL PRESTO INDUSTRIES    EQUITY        637215104       304       4,075 SH       SOLE           1      4,075         --       --
NATIONAL RESEARCH CORP        EQUITY        637372103        47       1,552 SH       SOLE           1      1,552         --       --
NATIONAL RETAIL PROPERTIES I  EQUITY        637417106       785      32,785 SH       DEFINED        4         --         --   32,785
NATIONAL RETAIL PROPERTIES
   INC                        EQUITY        637417106    13,119     547,755 SH       SOLE           1    547,755         --       --
NATIONAL SEMICONDUCTOR CORP   EQUITY        637640103         3         202 SH       DEFINED        4         --         --      202
NATIONAL SEMICONDUCTOR CORP.  EQUITY        637640103     2,517     146,280 SH       SOLE           1    146,280         --       --
NATIONAL WESTERN LIFE INS.
   CO. CLASS A                EQUITY        638522102       496       2,060 SH       SOLE           1      2,060         --       --
NATIONWIDE FINANCIAL SERVICES EQUITY        638612101        77       1,563 SH       SOLE           1      1,563         --       --
NATIONWIDE HEALTH PPTYS INC   EQUITY        638620104        47       1,300 SH       DEFINED        5         --         --    1,300
NATIONWIDE HEALTH PROPERTIES  EQUITY        638620104    20,651     573,955 SH       SOLE           1    573,955         --       --
NATL BK OF GREECE -ADR        FIXED INCOME  633643507     1,600      80,000 PRN      SOLE           1     80,000         --       --
NATURAL GAS SERVICES GROUP
   INC                        EQUITY        63886Q109       193      11,020 SH       SOLE           1     11,020         --       --
NATURAL RESOURCE PARTNERS L   EQUITY        63900P103        15         600 SH       DEFINED        4         --         --      600
NATUS MEDICAL INC             EQUITY        639050103     1,744      76,979 SH       SOLE           1     76,979         --       --
NATUS MEDICAL INC DEL COM     EQUITY        639050103     2,416     106,600 SH       SOLE           3    106,600         --       --
NAUTILUS INC                  EQUITY        63910B102        95      20,679 SH       SOLE           1     20,679         --       --
NAVIGANT CONSULTING CO.       EQUITY        63935N107     2,966     149,109 SH       SOLE           1    149,109         --       --
NAVIGATORS GROUP INC          EQUITY        638904102       640      11,979 SH       SOLE           1     11,979         --       --
NAVIOS MARITIME HOLDINGS INC  EQUITY        Y62196103        96      18,800 SH       DEFINED        5         --         --   18,800
NBT BANCORP INC               EQUITY        628778102       135       4,500 SH       DEFINED        4         --         --    4,500
NBT BANCORP, INC.             EQUITY        628778102       909      29,190 SH       SOLE           1     29,190         --       --
NBTY INC                      EQUITY        628782104     2,840      96,200 SH       SOLE           2     96,200         --       --
NBTY, INC.                    EQUITY        628782104     3,680     124,648 SH       SOLE           1    124,648         --       --
NCI BUILDING SYS INC          EQUITY        628852105         9         279 SH       DEFINED        5         --         --      279
NCI BUILDING SYSTEMS, INC.    EQUITY        628852105       570      17,952 SH       SOLE           1     17,952         --       --
NCI INC                       EQUITY        62886K104       168       5,901 SH       SOLE           1      5,901         --       --
NCR CORP NEW                  EQUITY        6.29E+112         6         282 SH       DEFINED        5         --         --      282





                                                                                           
NCR CORP.                     EQUITY        6.29E+112     8,252     374,232 SH       SOLE           1    374,232         --       --
NECTAR THERAPEUTICS           EQUITY        640268108       302      84,228 SH       SOLE           1     84,228         --       --
NEENAH PAPER INC              EQUITY        640079109       262      13,243 SH       SOLE           1     13,243         --       --
NEKTAR THERAPEUTICS           FIXED INCOME  640268AH1     2,673   5,000,000 PRN      SOLE           1  5,000,000         --       --
NELNET INC-CL A               EQUITY        64031N108       225      15,874 SH       SOLE           1     15,874         --       --
NEOGEN CORP                   EQUITY        640491106       370      13,133 SH       SOLE           1     13,133         --       --
NESS TECHNOLOGIES INC         EQUITY        64104X108     1,186     103,521 SH       SOLE           1    103,521         --       --
NESS TECHNOLOGIES INC COM     EQUITY        64104X108     1,895     165,200 SH       SOLE           3    165,200         --       --
NET 1 UEPS TECHNOLOGIES INC   EQUITY        64107N206       913      40,868 SH       SOLE           1     40,868         --       --
NET SERVICOS DE COMUNICACAO   EQUITY        64109T201         6         676 SH       DEFINED        4         --         --      676
NETAPP INC                    EQUITY        64110D104     3,168     173,945 SH       SOLE           1    173,945         --       --
NETAPP INC                    EQUITY        64110D104         8         426 SH       DEFINED        5         --         --      426
NETAPP INC COM                EQUITY        64110D104     2,993     164,200 SH       SOLE           3     61,400              102800
NETEZZA CORP                  EQUITY        64111N101       391      35,910 SH       SOLE           1     35,910         --       --
NETFLIX.COM INC               EQUITY        64110L106     4,164     134,763 SH       SOLE           1    134,763         --       --
NETGEAR INC                   EQUITY        64111Q104       483      32,179 SH       SOLE           1     32,179         --       --
NETGEAR INC                   EQUITY        64111Q104       538      35,880 SH       DEFINED        4         --         --   35,880
NETLOGIC MICROSYSTEMS INC     EQUITY        64118B100       471      15,556 SH       SOLE           1     15,556         --       --
NETLOGIC MICROSYSTEMS INC     EQUITY        64118B100        49       1,623 SH       DEFINED        5         --         --    1,623
NETSCOUT SYSTEMS INC          EQUITY        64115T104       284      26,735 SH       SOLE           1     26,735         --       --
NETSUITE INC                  EQUITY        64118Q107       116       6,450 SH       SOLE           1      6,450         --       --
NETSUITE INC                  EQUITY        64118Q107         2          95 SH       DEFINED        5         --         --       95
NEUBERGER BERMAN INTER MUNI   EQUITY        64124P101         2         150 SH       DEFINED        4         --         --      150
NEUROCRINE BIOSCIENCES, INC.  EQUITY        64125C109       164      34,872 SH       SOLE           1     34,872         --       --
NEUSTAR INC-CLASS A           EQUITY        64126X201     4,533     227,900 SH       SOLE           1    227,900         --       --
NEUTRAL TANDEM INC            EQUITY        64128B108       282      15,114 SH       SOLE           1     15,114         --       --
NEW AMER HIGH INCOME FD INC   EQUITY        641876107       192     166,789 SH       DEFINED        5         --         --  166,789
NEW JERSEY RESOURCES CORP.    EQUITY        646025106     1,366      38,055 SH       SOLE           1     38,055         --       --
NEW ORIENTAL ED & TECH GRP I  EQUITY        647581107         3          45 SH       DEFINED        5         --         --       45
NEW ORIENTAL ENERGY & CHEM C  EQUITY        64758A107         2       1,000 SH       DEFINED        5         --         --    1,000
NEW YORK & CO                 EQUITY        649295102       201      21,071 SH       SOLE           1     21,071         --       --
NEW YORK CMNTY BANCORP INC    EQUITY        649445103        12         700 SH       DEFINED        5         --         --      700
NEW YORK CMNTY BANCORP INC    EQUITY        649445103        14         806 SH       DEFINED        4         --         --      806
NEW YORK COMMUNITY BANCORP
   INC                        EQUITY        649445103    16,874   1,005,003 SH       SOLE           1  1,005,003         --       --
NEW YORK TIMES CO. CLASS  A   EQUITY        650111107       703      49,217 SH       SOLE           1     49,217         --       --
NEWALLIANCE BANCSHARES INC    EQUITY        650203102     1,483      98,669 SH       SOLE           1     98,669         --       --
NEWCASTLE INVESTMENT CORP     EQUITY        65105M108        12       1,867 SH       SOLE           1      1,867         --       --
NEWCASTLE INVT CORP           EQUITY        65105M108         2         300 SH       DEFINED        5         --         --      300
NEWCASTLE INVT CORP           EQUITY        65105M108        21       3,300 SH       DEFINED        4         --         --    3,300
NEWELL RUBBERMAID INC         EQUITY        651229106         1          75 SH       DEFINED        4         --         --       75





                                                                                           
NEWELL RUBBERMAID INC         EQUITY        651229106     1,288      74,600 SH       SOLE           2     74,600         --       --
NEWELL RUBBERMAID, INC.       EQUITY        651229106     1,986     115,070 SH       SOLE           1    115,070         --       --
NEWFIELD EXPL CO              EQUITY        651290108        16         500 SH       DEFINED        4         --         --      500
NEWFIELD EXPLORATION          EQUITY        651290108    10,302     322,042 SH       SOLE           1    322,042         --       --
NEWMARKET CORP                EQUITY        651587107     1,742      33,148 SH       SOLE           1     33,148         --       --
NEWMARKET CORP COM            EQUITY        651587107       589      11,200 SH       SOLE           3     11,200         --       --
NEWMONT MINING CORP           EQUITY        651639106        16         414 SH       DEFINED        4         --         --      414
NEWMONT MINING CORP           EQUITY        651639106       129       3,331 SH       DEFINED        5         --         --    3,331
NEWMONT MINING CORP HLDG CO   EQUITY        651639106     6,675     172,219 SH       SOLE           1    172,219         --       --
NEWPARK RESOURCES, INC.       EQUITY        651718504       597      81,739 SH       SOLE           1     81,739         --       --
NEWPORT CORP                  EQUITY        651824104       353      32,781 SH       SOLE           1     32,781         --       --
NEWS CORP                     EQUITY        6.52E+108    37,934   3,163,839 SH       SOLE           1  3,163,839         --       --
NEWS CORP                     EQUITY        6.52E+108         2         200 SH       DEFINED        4         --         --      200
NEWS CORP                     EQUITY        6.52E+207         3         250 SH       DEFINED        5         --         --      250
NEWS CORP                     EQUITY        6.52E+108        26       2,130 SH       DEFINED        5         --         --    2,130
NEWS CORP                     EQUITY        65248E104     1,689     140,845 SH       SOLE           2    140,845         --       --
NEWSTAR FINANCIAL INC         EQUITY        65251F105       178      21,709 SH       SOLE           1     21,709         --       --
NEWTEK BUSINESS SERVICES INC  EQUITY        652526104       615   1,280,683 SH       SOLE           1  1,280,683         --       --
NEXEN INC                     EQUITY        65334H102     5,253     226,269 SH       OTHER          1         --    226,269       --
NEXTWAVE WIRELESS INC         EQUITY        65337Y102        26      43,972 SH       SOLE           1     43,972         --       --
NFJ DIVID INT & PREM STRTGY   EQUITY        65337H109        18       1,098 SH       DEFINED        5         --         --    1,098
NFJ DIVID INT & PREM STRTGY   EQUITY        65337H109        85       5,219 SH       DEFINED        4         --         --    5,219
NGP CAPITAL RESOURCES CO      EQUITY        62912R107       287      19,720 SH       SOLE           1     19,720         --       --
NIC INC                       EQUITY        62914B100       249      36,200 SH       SOLE           1     36,200         --       --
NIC INC                       EQUITY        62914B100        14       2,000 SH       DEFINED        5         --         --    2,000
NIC INC COM                   EQUITY        62914B100       867     125,600 SH       SOLE           3    125,600         --       --
NICHOLAS APPLEGATE CV&INC FD  EQUITY        65370G109         4         494 SH       DEFINED        5         --         --      494
NICHOLAS APPLEGATE CV&INC FD  EQUITY        65370G109        35       4,622 SH       DEFINED        4         --         --    4,622
NICHOLAS-APPLEGATE CV & INC   EQUITY        65370F101       160      19,857 SH       DEFINED        5         --         --   19,857
NICHOLAS-APPLEGATE CV & INC   EQUITY        65370F101       549      67,932 SH       DEFINED        4         --         --   67,932
NICHOLAS-APPLGT INTL & PRM S  EQUITY        65370C108         7         500 SH       DEFINED        4         --         --      500
NICOR INC                     EQUITY        654086107        11         248 SH       DEFINED        5         --         --      248
NICOR, INC.                   EQUITY        654086107     7,410     167,086 SH       SOLE           1    167,086         --       --
NIGHTHAWK RADIOLOGY HLDGS IN  EQUITY        65411N105       270      37,400 SH       DEFINED        5         --         --   37,400
NIGHTHAWK RADIOLOGY HOLDINGS
   INC                        EQUITY        65411N105       153      21,108 SH       SOLE           1     21,108         --       --
NII HLDGS INC                 EQUITY        62913F201        36         939 SH       DEFINED        5         --         --      939
NII HLDGS INC                 EQUITY        62913F201    14,096     371,737 SH       SOLE           2    371,737         --       --
NII HOLDINGS INC-CL B         EQUITY        62913F201       455      11,996 SH       SOLE           1     11,996         --       --
NIKE INC                      EQUITY        654106103        41         608 SH       DEFINED        4         --         --      608
NIKE INC                      EQUITY        654106103        56         830 SH       DEFINED        5         --         --      830





                                                                                           
NIKE, INC. CLASS  B           EQUITY        654106103    21,478     321,044 SH       SOLE           1    321,044         --       --
NIPPON TELEG & TEL CORP       EQUITY        654624105         2          96 SH       DEFINED        4         --         --       96
NISOURCE INC                  EQUITY        65473P105         7         450 SH       DEFINED        4         --         --      450
NISOURCE INC                  EQUITY        65473P105         7         500 SH       DEFINED        5         --         --      500
NISOURCE, INC.                EQUITY        65473P105     6,672     452,061 SH       SOLE           1    452,061         --       --
NITROMED INC                  EQUITY        654798503        60     133,346 SH       SOLE           1    133,346         --       --
NL INDS INC                   EQUITY        629156407        30       2,900 SH       DEFINED        4         --         --    2,900
NL INDUSTRIES, INC.           EQUITY        629156407        63       6,175 SH       SOLE           1      6,175         --       --
NN INC                        EQUITY        629337106       187      14,487 SH       SOLE           1     14,487         --       --
NOBLE CORPORATION             EQUITY        G65422100        81       1,842 SH       DEFINED        4         --         --    1,842
NOBLE CORPORATION             EQUITY        G65422100       149       3,386 SH       DEFINED        5         --         --    3,386
NOBLE ENERGY INC              EQUITY        655044105         8         138 SH       DEFINED        5         --         --      138
NOBLE ENERGYINC               EQUITY        655044105    10,276     184,857 SH       SOLE           1    184,857         --       --
NOKIA CORP                    EQUITY        654902204        62       3,300 SH       DEFINED        5         --         --    3,300
NOKIA CORP                    EQUITY        654902204        96       5,163 SH       DEFINED        4         --         --    5,163
NOKIA CORP                    EQUITY        654902204       216      11,600 SH       SOLE           2     11,600         --       --
NORDIC AMERICAN TANKER SHIPP  EQUITY        G65773106        12         375 SH       DEFINED        4         --         --      375
NORDIC AMERICAN TANKER SHIPP  EQUITY        G65773106       115       3,600 SH       DEFINED        5         --         --    3,600
NORDSON CORP.                 EQUITY        655663102     5,302     107,910 SH       SOLE           1    107,910         --       --
NORDSTROM INC                 EQUITY        655664100         7         228 SH       DEFINED        4         --         --      228
NORDSTROM INC                 EQUITY        655664100       150       5,202 SH       DEFINED        5         --         --    5,202
NORDSTROM, INC.               EQUITY        655664100     1,836      63,718 SH       SOLE           1     63,718         --       --
NORFOLK SOUTHERN CORP         EQUITY        655844108    20,284     306,358 SH       SOLE           1    306,358         --       --
NORFOLK SOUTHERN CORP         EQUITY        655844108        15         222 SH       DEFINED        5         --         --      222
NORFOLK SOUTHERN CORP         EQUITY        655844108        28         427 SH       DEFINED        4         --         --      427
NORTEL NETWORKS CORP          EQUITY        656568508        38      17,646 SH       OTHER          1         --     17,646       --
NORTEL NETWORKS CORP NEW      EQUITY        656568508         2         783 SH       SOLE           2        783         --       --
NORTEL NETWORKS CORP NEW      EQUITY        656568508         3       1,401 SH       DEFINED        5         --         --    1,401
NORTH AMERN GALVANZNG COM     EQUITY        65686Y109     1,519     297,933 SH       SOLE           3    297,933         --       --
NORTH AMERN PALLADIUM LTD     EQUITY        656912102         3       1,500 SH       DEFINED        5         --         --    1,500
NORTHEAST UTILITIES           EQUITY        664397106     9,171     357,563 SH       SOLE           1    357,563         --       --
NORTHEAST UTILS               EQUITY        664397106         3         105 SH       DEFINED        5         --         --      105
NORTHEAST UTILS               EQUITY        664397106       231       9,000 SH       SOLE           2      9,000         --       --
NORTHERN OIL & GAS INC NEV    EQUITY        665531109        50       6,100 SH       DEFINED        4         --         --    6,100
NORTHERN OIL AND GAS INC      EQUITY        665531109       157      19,355 SH       SOLE           1     19,355         --       --
NORTHERN TR CORP              EQUITY        665859104         2          34 SH       DEFINED        4         --         --       34
NORTHERN TRUST CORP           EQUITY        665859104       253       3,500 SH       SOLE           2      3,500         --       --
NORTHERN TRUST CORP.          EQUITY        665859104    11,961     162,712 SH       SOLE           1    162,712         --       --
NORTHFIELD BANCORP INC        EQUITY        66611L105       217      17,851 SH       SOLE           1     17,851         --       --
NORTHFIELD BANCORP INC NEW    EQUITY        66611L105        44       3,600 SH       DEFINED        5         --         --    3,600





                                                                                           
NORTHGATE MINERALS CORP       EQUITY        666416102         1         800 SH       DEFINED        5         --         --      800
NORTHROP GRUMMAN CORP         EQUITY        666807102        66       1,087 SH       DEFINED        5         --         --    1,087
NORTHROP GRUMMAN CORP.        EQUITY        666807102    16,240     268,250 SH       SOLE           1    268,250         --       --
NORTHSTAR RLTY FIN CORP       EQUITY        66704R100         2         220 SH       DEFINED        5         --         --      220
NORTHSTAR RLTY FIN CORP       EQUITY        66704R100        14       1,793 SH       DEFINED        4         --         --    1,793
NORTHWEST AIRLINES CORP       EQUITY        667280408        75       8,259 SH       SOLE           1      8,259         --       --
NORTHWEST AIRLS CORP          EQUITY        667280408         9         986 SH       DEFINED        4         --         --      986
NORTHWEST BANCORP INC.        EQUITY        667328108       428      15,483 SH       SOLE           1     15,483         --       --
NORTHWEST NAT GAS CO          EQUITY        667655104       231       4,450 SH       DEFINED        4         --         --    4,450
NORTHWEST NATURAL GAS CO.     EQUITY        667655104     1,247      23,975 SH       SOLE           1     23,975         --       --
NORTHWEST PIPE CO             EQUITY        667746101       363       8,323 SH       SOLE           1      8,323         --       --
NORTHWESTERN CORP             EQUITY        668074305       890      35,425 SH       SOLE           1     35,425         --       --
NOVA CHEMICALS CORP           EQUITY        66977W109     1,061      48,242 SH       OTHER          1         --     48,242       --
NOVARTIS A G                  EQUITY        66987V109        34         650 SH       DEFINED        4         --         --      650
NOVARTIS A G                  EQUITY        66987V109       109       2,058 SH       DEFINED        5         --         --    2,058
NOVATEL WIRELESS INC          EQUITY        66987M604       175      28,762 SH       SOLE           1     28,762         --       --
NOVAVAX INC                   EQUITY        670002104       153      52,664 SH       SOLE           1     52,664         --       --
NOVELL, INC .                 EQUITY        670006105       718     139,952 SH       SOLE           1    139,952         --       --
NOVELLUS SYS INC              EQUITY        670008101         8         400 SH       DEFINED        5         --         --      400
NOVELLUS SYSTEMS, INC.        EQUITY        670008101       793      40,415 SH       SOLE           1     40,415         --       --
NOVEN PHARMACEUTICALS, INC.   EQUITY        670009109       264      22,532 SH       SOLE           1     22,532         --       --
NOVO-NORDISK A S              EQUITY        670100205         3          60 SH       DEFINED        5         --         --       60
NPS  PHARMACEUTICALS INC.     EQUITY        62936P103       308      43,139 SH       SOLE           1     43,139         --       --
NRG ENERGY INC                EQUITY        629377508     7,425     299,993 SH       SOLE           1    299,993         --       --
NRG ENERGY INC                EQUITY        629377508         6         223 SH       DEFINED        5         --         --      223
NSTAR                         EQUITY        6.70E+111    13,676     408,230 SH       SOLE           1    408,230         --       --
NTELOS HOLDINGS CORP          EQUITY        67020Q107       731      27,178 SH       SOLE           1     27,178         --       --
NTN BUZZTIME INC              EQUITY        629410309        10      45,639 SH       SOLE           1     45,639         --       --
NU SKIN ENTERPRISES, INC.
   CLASS A                    EQUITY        67018T105       730      45,031 SH       SOLE           1     45,031         --       --
NUANCE COMMUNICATIONS INC     EQUITY        67020Y100       744      61,000 SH       SOLE           2     61,000         --       --
NUCOR CORP                    EQUITY        670346105         8         192 SH       DEFINED        4         --         --      192
NUCOR CORP                    EQUITY        670346105       124       3,144 SH       DEFINED        5         --         --    3,144
NUCOR CORP.                   EQUITY        670346105    15,236     385,732 SH       SOLE           1    385,732         --       --
NUSTAR ENERGY LP              EQUITY        67058H102     2,039      48,000 SH       SOLE           1     48,000         --       --
NUSTAR ENERGY LP              EQUITY        67058H102        21         500 SH       DEFINED        5         --         --      500
NUSTAR ENERGY LP              EQUITY        67058H102       122       2,867 SH       DEFINED        4         --         --    2,867
NUTRI SYS INC NEW             EQUITY        67069D108         2         124 SH       DEFINED        4         --         --      124
NUTRI SYS INC NEW             EQUITY        67069D108         4         235 SH       DEFINED        5         --         --      235
NUTRI/SYSTEM INC              EQUITY        67069D108       493      27,818 SH       SOLE           1     27,818         --       --
NUTRITION 21 INC              EQUITY        67069V108         3      10,000 SH       DEFINED        4         --         --   10,000





                                                                                           
NUVASIVE INC                  EQUITY        670704105     1,595      32,339 SH       SOLE           1     32,339         --       --
NUVEEN ARIZ DIVID ADVANTAGE   EQUITY        67071P107        17       1,470 SH       DEFINED        5         --         --    1,470
NUVEEN CA DIV ADV MUNI FD 3   EQUITY        67070Y109        14       1,340 SH       DEFINED        5         --         --    1,340
NUVEEN CA DIVIDEND ADV MUN F  EQUITY        67066Y105        29       2,651 SH       DEFINED        4         --         --    2,651
NUVEEN CA INVT QUALITY MUN F  EQUITY        67062A101        29       2,631 SH       DEFINED        4         --         --    2,631
NUVEEN CALIF MUN VALUE FD     EQUITY        67062C107        15       1,630 SH       DEFINED        4         --         --    1,630
NUVEEN CALIF QUALITY INCM MU  EQUITY        670985100        28       2,490 SH       DEFINED        5         --         --    2,490
NUVEEN CONN PREM INCOME MUN   EQUITY        67060D107        11         900 SH       DEFINED        5         --         --      900
NUVEEN CORE EQUITY ALPHA FUN  EQUITY        67090X107         6         500 SH       DEFINED        5         --         --      500
NUVEEN DIV ADVANTAGE MUN FD   EQUITY        67070F100        21       1,760 SH       DEFINED        4         --         --    1,760
NUVEEN DIVERSIFIED DIV INCM   EQUITY        6706EP105        23       2,539 SH       DEFINED        5         --         --    2,539
NUVEEN EQUITY PREM ADV FD     EQUITY        6706ET107         6         500 SH       DEFINED        5         --         --      500
NUVEEN EQUITY PREM INCOME FD  EQUITY        6706ER101        60       4,728 SH       DEFINED        5         --         --    4,728
NUVEEN FLOATING RATE INCOME   EQUITY        67072T108         3         400 SH       DEFINED        5         --         --      400
NUVEEN FLTNG RTE INCM OPP FD  EQUITY        6706EN100         4         500 SH       DEFINED        4         --         --      500
NUVEEN GA DIV ADV MUN FD 2    EQUITY        67072B107         8         733 SH       DEFINED        5         --         --      733
NUVEEN GBL VL OPPORTUNITIES   EQUITY        6706EH103        15       1,168 SH       DEFINED        5         --         --    1,168
NUVEEN GLB GOVT ENHANCED IN   EQUITY        67073C104        20       1,399 SH       DEFINED        5         --         --    1,399
NUVEEN INSD MUN OPPORTUNITY   EQUITY        670984103        19       1,800 SH       DEFINED        4         --         --    1,800
NUVEEN INSD PREM INCOME MUN   EQUITY        6706D8104        24       2,500 SH       DEFINED        4         --         --    2,500
NUVEEN INSD PREM INCOME MUN   EQUITY        6706D8104        27       2,802 SH       DEFINED        5         --         --    2,802
NUVEEN INVT QUALITY MUN FD I  EQUITY        6.71E+107        15       1,400 SH       DEFINED        4         --         --    1,400
NUVEEN MULT CURR ST GV INCM   EQUITY        67090N109        11         793 SH       DEFINED        5         --         --      793
NUVEEN MULTI STRAT INC & GR   EQUITY        67073B106         6       1,027 SH       DEFINED        5         --         --    1,027
NUVEEN MULTI STRAT INC & GR   EQUITY        67073B106        44       7,300 SH       DEFINED        4         --         --    7,300
NUVEEN MULTI STRAT INC GR FD  EQUITY        67073D102        24       3,957 SH       DEFINED        5         --         --    3,957
NUVEEN MUN VALUE FD INC       EQUITY        670928100         4         466 SH       DEFINED        5         --         --      466
NUVEEN MUN VALUE FD INC       EQUITY        670928100        10       1,070 SH       DEFINED        4         --         --    1,070
NUVEEN N C DIV ADV FD 2       EQUITY        67071D104       105       8,166 SH       DEFINED        4         --         --    8,166
NUVEEN N C PREM INCOME MUN F  EQUITY        67060P100        97       8,735 SH       DEFINED        4         --         --    8,735
NUVEEN NC DIV ADV MUN FD 3    EQUITY        67072D103       127       9,727 SH       DEFINED        4         --         --    9,727
NUVEEN NC DIVID ADVANTAGE MU  EQUITY        67069N106       163      10,743 SH       DEFINED        4         --         --   10,743
NUVEEN OHIO QUALITY INCOME M  EQUITY        670980101         6         519 SH       DEFINED        4         --         --      519
NUVEEN PERFORMANCE PLUS MUN   EQUITY        67062P108         4         400 SH       DEFINED        4         --         --      400
NUVEEN PREM INCOME MUN FD     EQUITY        67062T100         4         325 SH       DEFINED        4         --         --      325
NUVEEN PREM INCOME MUN FD 2   EQUITY        67063W102         4         415 SH       DEFINED        4         --         --      415
NUVEEN PREMIER INSD MUN INCO  EQUITY        670987106       329      31,650 SH       DEFINED        4         --         --   31,650
NUVEEN QUALITY INCOME MUN FD  EQUITY        670977107        52       4,800 SH       DEFINED        5         --         --    4,800
NUVEEN QUALITY PFD INCOME FD  EQUITY        67072C105         8       1,300 SH       DEFINED        4         --         --    1,300
NUVEEN QUALITY PFD INCOME FD  EQUITY        67071S101        24       4,356 SH       DEFINED        5         --         --    4,356





                                                                                           
NUVEEN SELECT QUALITY MUN FD  EQUITY        670973106        19       1,650 SH       DEFINED        5         --         --    1,650
NUVEEN SELECT TAX FREE INCM   EQUITY        67063X100         2         189 SH       DEFINED        4         --         --      189
NUVEEN SELECT TAX FREE INCM   EQUITY        67062F100        17       1,330 SH       DEFINED        5         --         --    1,330
NUVEEN SR INCOME FD           EQUITY        67067Y104        28       5,800 SH       DEFINED        5         --         --    5,800
NUVEEN TAX ADV FLTG RATE FUN  EQUITY        6706EV102         2         333 SH       DEFINED        5         --         --      333
NVE CORP                      EQUITY        629445206       119       4,203 SH       SOLE           1      4,203         --       --
NVE CORP                      EQUITY        629445206         6         200 SH       DEFINED        5         --         --      200
NVIDIA CORP                   EQUITY        67066G104     4,201     392,222 SH       SOLE           1    392,222         --       --
NVIDIA CORP                   EQUITY        67066G104        35       3,285 SH       DEFINED        5         --         --    3,285
NVIDIA CORP                   EQUITY        67066G104       525      49,000 SH       SOLE           2     49,000         --       --
NVIDIA CORP CALL              OPTION        67066G904         2          50     CALL DEFINED        5         --         --       50
NVR, INC.                     EQUITY        62944T105     7,171      12,536 SH       SOLE           1     12,536         --       --
NXSTAGE MEDICAL INC           EQUITY        67072V103        99      23,521 SH       SOLE           1     23,521         --       --
NYMAGIC, INC.                 EQUITY        629484106       102       4,035 SH       SOLE           1      4,035         --       --
NYSE EURONEXT                 EQUITY        629491101     5,410     138,085 SH       SOLE           1    138,085         --       --
NYSE EURONEXT                 EQUITY        629491101       138       3,525 SH       DEFINED        5         --         --    3,525
NYSE EURONEXT                 EQUITY        629491101       151       3,858 SH       DEFINED        4         --         --    3,858
O REILLY AUTOMOTIVE INC       EQUITY        686091109        52       1,925 SH       DEFINED        5         --         --    1,925
OBAGI MEDICAL PRODUCTS INC    EQUITY        67423R108       160      16,096 SH       SOLE           1     16,096         --       --
OCCIDENTAL PETE CORP          EQUITY        674599105     2,452      34,800 SH       SOLE           2     34,800         --       --
OCCIDENTAL PETE CORP DEL      EQUITY        674599105        89       1,258 SH       DEFINED        4         --         --    1,258
OCCIDENTAL PETE CORP DEL      EQUITY        674599105       288       4,093 SH       DEFINED        5         --         --    4,093
OCCIDENTAL PETROLEUM CORP.    EQUITY        674599105    31,729     450,379 SH       SOLE           1    450,379         --       --
OCEANEERING INTERNATIONAL,
   INC                        EQUITY        675232102     6,890     129,222 SH       SOLE           1    129,222         --       --
OCEANEERING INTL INC          EQUITY        675232102        19         350 SH       DEFINED        5         --         --      350
OCEANFIRST FINANCIAL CORP     EQUITY        675234108       144       8,021 SH       SOLE           1      8,021         --       --
OCEANFREIGHT INC              EQUITY        Y64202107         1         100 SH       DEFINED        5         --         --      100
OCEANFREIGHT INC              EQUITY        Y64202107        50       3,693 SH       DEFINED        4         --         --    3,693
O'CHARLEY'S INC.              EQUITY        670823103       144      16,440 SH       SOLE           1     16,440         --       --
OCULUS INNOVATIVE SCIENCES I  EQUITY        67575P108         5       2,500 SH       DEFINED        4         --         --    2,500
OCWEN FINANCIAL CORP          EQUITY        675746309       260      32,323 SH       SOLE           1     32,323         --       --
ODYSSEY HEALTHCARE INC        EQUITY        67611V101       303      29,721 SH       SOLE           1     29,721         --       --
ODYSSEY MARINE EXPLORATION    EQUITY        676118102       198      43,552 SH       SOLE           1     43,552         --       --
ODYSSEY MARINE EXPLORATION I  EQUITY        676118102        12       2,748 SH       DEFINED        5         --         --    2,748
ODYSSEY RE HLDGS CORP         EQUITY        67612W108       964      22,013 SH       SOLE           1     22,013         --       --
OFFICE DEPOT INC              EQUITY        676220106       167      28,706 SH       DEFINED        5         --         --   28,706
OFFICE DEPOT, INC.            EQUITY        676220106       661     113,585 SH       SOLE           1    113,585         --       --
OFFICEMAX INC                 EQUITY        67622P101       940     105,689 SH       SOLE           1    105,689         --       --
OGE ENERGY CORP.              EQUITY        670837103     6,550     212,121 SH       SOLE           1    212,121         --       --
OIL DRI CORP AMER             EQUITY        677864100         4         250 SH       DEFINED        4         --         --      250





                                                                                           
OIL STATES INTERNATIONAL INC  EQUITY        678026105        44       1,234 SH       SOLE           1      1,234         --       --
OIL SVC HOLDRS TR             EQUITY        678002106        15         100 SH       DEFINED        4         --         --      100
OILSANDS QUEST INC            EQUITY        678046103       478     159,721 SH       SOLE           1    159,721         --       --
OLD DOMINION FREIGHT LINE     EQUITY        679580100     1,223      43,254 SH       SOLE           1     43,254         --       --
OLD MUTUAL CLAYMORE LNG SHT   EQUITY        68003N103        15       1,500 SH       DEFINED        5         --         --    1,500
OLD NATL BANCORP              EQUITY        680033107     1,205      60,187 SH       SOLE           1     60,187         --       --
OLD REPUBLIC INTL CORP.       EQUITY        680223104     6,759     530,106 SH       SOLE           1    530,106         --       --
OLD SECOND BANCORP INC        EQUITY        680277100       236      12,473 SH       SOLE           1     12,473         --       --
OLIN CORP COM PAR $1          EQUITY        680665205     1,114      57,400 SH       SOLE           3     57,400         --       --
OLIN CORP.                    EQUITY        680665205     5,529     285,023 SH       SOLE           1    285,023         --       --
OLYMPIC STEEL INC             EQUITY        68162K106       243       8,224 SH       SOLE           1      8,224         --       --
OM GROUP INC                  EQUITY        670872100       625      27,763 SH       SOLE           1     27,763         --       --
OM GROUP INC                  EQUITY        670872100         1          50 SH       DEFINED        4         --         --       50
OMEGA FLEX INC                EQUITY        682095104        64       2,824 SH       SOLE           1      2,824         --       --
OMEGA HEALTHCARE INVESTORS    EQUITY        681936100     1,353      68,805 SH       SOLE           1     68,805         --       --
OMEGA HEALTHCARE INVS INC     EQUITY        681936100         8         400 SH       DEFINED        5         --         --      400
OMEGA NAVIGATION ENTERPRISES  EQUITY        Y6476R105         8         650 SH       DEFINED        5         --         --      650
OMEGA NAVIGATION ENTERPRISES  EQUITY        Y6476R105        36       2,813 SH       DEFINED        4         --         --    2,813
OMEGA PROTEIN CORP            EQUITY        68210P107       196      16,665 SH       SOLE           1     16,665         --       --
OMNICARE INC                  FIXED INCOME  681904AL2         1           2 PRN      DEFINED        5         --         --        2
OMNICARE INC COM              EQUITY        681904108     4,687     162,900 SH       SOLE           3     59,800              103100
OMNICARE, INC.                EQUITY        681904108     6,885     239,303 SH       SOLE           1    239,303         --       --
OMNICELL INC                  EQUITY        68213N109       372      28,297 SH       SOLE           1     28,297         --       --
OMNICOM GROUP INC             EQUITY        681919106         1          36 SH       DEFINED        5         --         --       36
OMNICOM GROUP INC             EQUITY        681919106         6         152 SH       DEFINED        4         --         --      152
OMNICOM GROUP, INC.           EQUITY        681919106    12,440     322,606 SH       SOLE           1    322,606         --       --
OMNITURE INC                  EQUITY        68212S109     1,039      56,699 SH       SOLE           1     56,699         --       --
OMNITURE INC                  EQUITY        68212S109         7         400 SH       DEFINED        5         --         --      400
OMNIVISION TECHNOLOGIE        EQUITY        682128103       529      46,448 SH       SOLE           1     46,448         --       --
OMRIX BIOPHARMACEUTICALS INC  EQUITY        681989109       233      12,972 SH       SOLE           1     12,972         --       --
ON ASSIGNMENT INC             EQUITY        682159108       253      32,143 SH       SOLE           1     32,143         --       --
ON ASSIGNMENT INC             EQUITY        682159108       777      98,608 SH       DEFINED        4         --         --   98,608
ON SEMICONDUCTOR CORP         EQUITY        682189105       622      92,000 SH       SOLE           2     92,000         --       --
ON SEMICONDUCTOR CORPORATION  EQUITY        682189105        55       8,072 SH       SOLE           1      8,072         --       --
ONEOK INC NEW                 EQUITY        682680103        21         607 SH       DEFINED        5         --         --      607
ONEOK PARTNERS LP             EQUITY        68268N103        20         400 SH       DEFINED        5         --         --      400
ONEOK PARTNERS LP             EQUITY        68268N103        36         700 SH       DEFINED        4         --         --      700
ONEOK, INC.                   EQUITY        682680103     8,262     240,171 SH       SOLE           1    240,171         --       --
ONLINE RESOURCES CORP         EQUITY        68273G101       204      26,160 SH       SOLE           1     26,160         --       --
ONYX PHARMACEUTICALS INC      EQUITY        683399109     1,828      50,523 SH       SOLE           1     50,523         --       --





                                                                                           
OPEN JT STK CO-VIMPEL COMMUN  EQUITY        68370R109         3         150 SH       DEFINED        5         --         --      150
OPEN TEXT CORP                EQUITY        683715106     1,138      34,267 SH       OTHER          1         --     34,267       --
OPEN TEXT CORP                EQUITY        683715106         5         134 SH       DEFINED        4         --         --      134
OPKO HEALTH INC               EQUITY        68375N103        76      43,555 SH       SOLE           1     43,555         --       --
OPLINK COMMUNICATIONS INC     EQUITY        68375Q403       227      18,775 SH       SOLE           1     18,775         --       --
OPNET TECHNOLOGIES            EQUITY        683757108       146      11,960 SH       SOLE           1     11,960         --       --
OPNEXT INC                    EQUITY        68375V105        80      17,307 SH       SOLE           1     17,307         --       --
OPTIMER PHARM INC COM         EQUITY        68401H104       750      94,400 SH       SOLE           3     94,400         --       --
OPTIMER PHARMACEUTICALS INC   EQUITY        68401H104       186      23,347 SH       SOLE           1     23,347         --       --
OPTIONSXPRESS HLDGS INC       EQUITY        684010101        18         910 SH       DEFINED        5         --         --      910
OPTIONSXPRESS HOLDINGS INC    EQUITY        684010101       766      38,489 SH       SOLE           1     38,489         --       --
ORACLE CORP                   EQUITY        68389X105       277      13,618 SH       DEFINED        5         --         --   13,618
ORACLE CORP                   EQUITY        68389X105       405      19,963 SH       DEFINED        4         --         --   19,963
ORACLE CORP                   EQUITY        68389X105    19,605     965,303 SH       SOLE           2    965,303         --       --
ORACLE CORP.                  EQUITY        68389X105    85,584   4,215,568 SH       SOLE           1  4,215,568         --       --
ORASURE TECHNOLOGIES INC      EQUITY        68554V108       208      42,520 SH       SOLE           1     42,520         --       --
ORBCOMM INC                   EQUITY        68555P100       140      28,693 SH       SOLE           1     28,693         --       --
ORBITAL SCIENCES CORP         FIXED INCOME  685564AN6         2           2 PRN      DEFINED        5         --         --        2
ORBITAL SCIENCES CORP         EQUITY        685564106        55       2,300 SH       DEFINED        5         --         --    2,300
ORBITAL SCIENCES CORP.        EQUITY        685564106     1,681      70,149 SH       SOLE           1     70,149         --       --
ORBITZ WORLDWIDE INC          EQUITY        68557K109       195      33,217 SH       SOLE           1     33,217         --       --
O'REILLY AUTOMOTIVE, INC.     EQUITY        686091109     8,231     307,588 SH       SOLE           1    307,588         --       --
OREXIGEN THERAPEUTICS INC     EQUITY        686164104       196      18,186 SH       SOLE           1     18,186         --       --
ORIENTAL FINANCIAL GROUP      EQUITY        68618W100       394      22,047 SH       SOLE           1     22,047         --       --
ORIGIN AGRITECH LIMITED       EQUITY        G67828106        27       5,000 SH       DEFINED        5         --         --    5,000
ORION ENERGY SYSTEMS INC      EQUITY        686275108        45       8,143 SH       SOLE           1      8,143         --       --
ORION ENERGY SYSTEMS INC      EQUITY        686275108        10       1,800 SH       DEFINED        4         --         --    1,800
ORION MARINE GROUP INC        EQUITY        68628V308       205      19,574 SH       SOLE           1     19,574         --       --
ORITANI FINANCIAL CORP        EQUITY        686323106       198      11,777 SH       SOLE           1     11,777         --       --
ORIX CORP                     EQUITY        686330101         1          20 SH       DEFINED        4         --         --       20
ORLEANS HOMEBUILDERS INC      EQUITY        686588104       172      42,550 SH       DEFINED        5         --         --   42,550
ORMAT TECHNOLOGIES INC        EQUITY        686688102       592      16,287 SH       SOLE           1     16,287         --       --
ORMAT TECHNOLOGIES INC        EQUITY        686688102         9         250 SH       DEFINED        5         --         --      250
ORMAT TECHNOLOGIES INC        EQUITY        686688102        26         720 SH       DEFINED        4         --         --      720
ORTHOVITA INC                 EQUITY        68750U102       156      60,092 SH       SOLE           1     60,092         --       --
OSCIENT PHARMACEUTICALS       FIXED INCOME  68812RAC9     1,430   7,628,000 PRN      SOLE           1  7,628,000         --       --
OSCIENT PHARMACEUTICALS CORP  EQUITY        68812R303        79      74,221 SH       SOLE           1     74,221         --       --
OSHKOSH CORP                  EQUITY        688239201         1          84 SH       DEFINED        5         --         --       84
OSHKOSH CORP CL B             EQUITY        688239201     2,274     172,825 SH       SOLE           1    172,825         --       --
OSI PHARMACEUTICALS           EQUITY        671040103     3,568      72,390 SH       SOLE           1     72,390         --       --





                                                                                           
OSI PHARMACEUTICALS COM       EQUITY        671040103       542      11,000 SH       SOLE           3     11,000         --       --
OSI SYSTEMS INC               EQUITY        671044105       335      14,278 SH       SOLE           1     14,278         --       --
OSI SYSTEMS INC               EQUITY        671044105         4         187 SH       DEFINED        5         --         --      187
OSIRIS THERAPEUTICS INC       EQUITY        68827R108       261      13,550 SH       SOLE           1     13,550         --       --
OSIRIS THERAPEUTICS INC       EQUITY        68827R108        19       1,000 SH       DEFINED        5         --         --    1,000
OTELCO INC                    EQUITY        688823202         3         200 SH       DEFINED        5         --         --      200
OTELCO INC                    EQUITY        688823202         7         525 SH       DEFINED        4         --         --      525
OTTER TAIL CORP               EQUITY        689648103         6         200 SH       DEFINED        5         --         --      200
OTTER TAIL CORP               EQUITY        689648103        92       3,000 SH       DEFINED        4         --         --    3,000
OTTER TAIL POWER CO.          EQUITY        689648103       840      27,320 SH       SOLE           1     27,320         --       --
OUTDOOR CHANNEL HOLDINGS INC  EQUITY        690027206       128      14,601 SH       SOLE           1     14,601         --       --
OVERSEAS SHIPHOLDING GROUP    EQUITY        690368105     3,623      62,127 SH       SOLE           1     62,127         --       --
OVERSTOCK.COM                 EQUITY        690370101       278      13,990 SH       SOLE           1     13,990         --       --
OWENS & MINOR INC NEW         EQUITY        690732102         2          35 SH       DEFINED        4         --         --       35
OWENS & MINOR INC NEW         EQUITY        690732102         3          62 SH       DEFINED        5         --         --       62
OWENS & MINOR, INC.           EQUITY        690732102     1,813      37,374 SH       SOLE           1     37,374         --       --
OWENS CORNING INC             EQUITY        690742101     7,235     302,582 SH       SOLE           1    302,582         --       --
OWENS CORNING NEW             EQUITY        690742101         4         171 SH       DEFINED        5         --         --      171
OWENS ILL INC                 EQUITY        690768403        10         339 SH       DEFINED        4         --         --      339
OWENS-ILLINOIS INC            EQUITY        690768403     3,597     122,357 SH       SOLE           1    122,357         --       --
OXFORD INDS INC.              EQUITY        691497309       334      12,912 SH       SOLE           1     12,912         --       --
OYO GEOSPACE CORP             EQUITY        671074102       145       3,699 SH       SOLE           1      3,699         --       --
P G & E CORP.                 EQUITY        69331C108    13,142     350,922 SH       SOLE           1    350,922         --       --
P. F. CHANGS CHINA BISTRO
   INC.                       EQUITY        69333Y108       518      21,988 SH       SOLE           1     21,988         --       --
PACCAR INC                    EQUITY        693718108        20         523 SH       DEFINED        5         --         --      523
PACCAR, INC                   EQUITY        693718108     8,616     225,606 SH       SOLE           1    225,606         --       --
PACER INTERNATIONAL INC       EQUITY        69373H106       520      31,546 SH       SOLE           1     31,546         --       --
PACER INTL INC TENN           EQUITY        69373H106         8         512 SH       DEFINED        5         --         --      512
PACHOLDER HIGH YIELD FD INC   EQUITY        693742108         3         445 SH       DEFINED        4         --         --      445
PACHOLDER HIGH YIELD FD INC   EQUITY        693742108        87      13,556 SH       DEFINED        5         --         --   13,556
PACIFIC CAPITAL BANCORP       EQUITY        69404P101       866      41,954 SH       SOLE           1     41,954         --       --
PACIFIC CONTINENTAL CORP      EQUITY        69412V108       142       9,678 SH       SOLE           1      9,678         --       --
PACIFIC ETHANOL INC           EQUITY        69423U107        56      40,132 SH       SOLE           1     40,132         --       --
PACIFIC SUNWEAR OF CALIFORNIA EQUITY        694873100     1,433     213,262 SH       SOLE           1    213,262         --       --
PACKAGING CORP AMER COM       EQUITY        695156109     3,859     166,500 SH       SOLE           3     68,400               98100
PACKAGING CORP OF AMERICA     EQUITY        695156109    12,429     536,205 SH       SOLE           1    536,205         --       --
PACTIV CORP                   EQUITY        695257105         5         197 SH       DEFINED        5         --         --      197
PACTIV CORP                   EQUITY        695257105         8         333 SH       DEFINED        4         --         --      333
PACTIV CORPORATION            EQUITY        695257105     2,005      80,741 SH       SOLE           1     80,741         --       --
PACWEST BANCORP               EQUITY        695263103     2,302      77,760 SH       SOLE           1     77,760         --       --





                                                                                           
PAETEC HOLDING CORP           EQUITY        695459107       240     112,378 SH       SOLE           1    112,378         --       --
PAIN THERAPEUTICS INC         EQUITY        69562K100       304      31,192 SH       SOLE           1     31,192         --       --
PALL CORP                     EQUITY        696429307     1,644      47,817 SH       SOLE           1     47,817         --       --
PALL CORP                     EQUITY        696429307        25         735 SH       DEFINED        5         --         --      735
PALM HARBOR HOMES, INC        EQUITY        696639103        89       8,980 SH       SOLE           1      8,980         --       --
PALM INC                      EQUITY        696643105     2,043     343,435 SH       SOLE           1    343,435         --       --
PALM INC NEW                  EQUITY        696643105         6       1,000 SH       DEFINED        5         --         --    1,000
PALOMAR MED TECHNOLOGIES INC  EQUITY        697529303         2         176 SH       DEFINED        4         --         --      176
PALOMAR MEDICAL TECHNOLOGIES  EQUITY        697529303       224      16,562 SH       SOLE           1     16,562         --       --
PAN AMERICAN SILVER CORP      EQUITY        697900108        58       2,667 SH       OTHER          1         --      2,667       --
PAN AMERICAN SILVER CORP      EQUITY        697900108        10         441 SH       DEFINED        5         --         --      441
PAN AMERICAN SILVER CORP      EQUITY        697900108     8,670     390,000 SH       SOLE           2    390,000         --       --
PANERA BREAD CO               EQUITY        69840W108        25         500 SH       DEFINED        5         --         --      500
PANERA BREAD CO               EQUITY        69840W108        93       1,822 SH       DEFINED        4         --         --    1,822
PANERA BREAD CO CL A          EQUITY        69840W108     6,877     135,100 SH       SOLE           3     65,500               69600
PANERA BREAD COMPANY CL A     EQUITY        69840W108     1,300      25,540 SH       SOLE           1     25,540         --       --
PANHANDLE OIL AND GAS INC     EQUITY        698477106       191       6,682 SH       SOLE           1      6,682         --       --
PANHANDLE OIL AND GAS INC     EQUITY        698477106         6         207 SH       DEFINED        4         --         --      207
PANTRY INC                    EQUITY        698657103       430      20,159 SH       SOLE           1     20,159         --       --
PAPA JOHNS INTERNATIONAL, INC EQUITY        698813102       541      19,887 SH       SOLE           1     19,887         --       --
PAR PHARMACEUTICAL COMPANIES,
   INC                        EQUITY        69888P106       386      31,425 SH       SOLE           1     31,425         --       --
PARAGON SHIPPING INC          EQUITY        69913R309         6         700 SH       DEFINED        5         --         --      700
PARAGON SHIPPING INC          EQUITY        69913R309     2,327     273,145 SH       SOLE           2    273,145         --       --
PARALLEL PETROLEUM CORP       EQUITY        699157103       355      37,637 SH       SOLE           1     37,637         --       --
PARAMETRIC TECHNOLOGY CORP    EQUITY        699173209     6,736     365,898 SH       SOLE           1    365,898         --       --
PAREXEL INTERNATIONAL CORP.   EQUITY        699462107     2,211      77,054 SH       SOLE           1     77,054         --       --
PAREXEL INTL CORP COM         EQUITY        699462107       396      13,800 SH       SOLE           3     13,800         --       --
PARK ELECTROCHEMICAL CORP     EQUITY        700416209         2          65 SH       DEFINED        5         --         --       65
PARK ELECTROCHEMICAL CORP.    EQUITY        700416209       449      18,525 SH       SOLE           1     18,525         --       --
PARK NATIONAL CORP.           EQUITY        700658107       784      10,052 SH       SOLE           1     10,052         --       --
PARK NATL CORP                EQUITY        700658107       152       1,954 SH       DEFINED        5         --         --    1,954
PARKER DRILLING CO.           EQUITY        701081101       823     102,675 SH       SOLE           1    102,675         --       --
PARKER HANNIFIN CORP          EQUITY        701094104        13         252 SH       DEFINED        5         --         --      252
PARKER HANNIFIN CORP.         EQUITY        701094104     5,000      94,336 SH       SOLE           1     94,336         --       --
PARKERVISION INC              EQUITY        701354102       209      20,857 SH       SOLE           1     20,857         --       --
PARK-OHIO HOLDINGS CORP       EQUITY        700666100       133       7,414 SH       SOLE           1      7,414         --       --
PARKWAY PPTYS INC             EQUITY        70159Q104        23         611 SH       DEFINED        4         --         --      611
PATRIOT CAPITAL FUNDING INC   EQUITY        70335Y104       120      18,790 SH       SOLE           1     18,790         --       --
PATRIOT CAPITAL FUNDING INC   EQUITY        70335Y104        19       3,000 SH       DEFINED        5         --         --    3,000
PATRIOT COAL CORP             EQUITY        70336T104     4,220     145,275 SH       SOLE           1    145,275         --       --





                                                                                           
PATRIOT COAL CORP             EQUITY        70336T104         4         128 SH       DEFINED        4         --         --      128
PATRIOT COAL CORP             EQUITY        70336T104        65       2,224 SH       DEFINED        5         --         --    2,224
PATRIOT TRANSPORTATION
   HOLDING INC                EQUITY        70337B102       114       1,441 SH       SOLE           1      1,441         --       --
PATTERSON COS INC             EQUITY        703395103    62,233   2,048,999 SH       SOLE           1  2,048,999         --       --
PATTERSON UTI ENERGY INC      EQUITY        703481101        18         903 SH       DEFINED        5         --         --      903
PATTERSON UTI ENERGY INC      EQUITY        703481101     4,446     222,100 SH       SOLE           2    222,100         --       --
PATTERSON-UTI ENERGY INC      EQUITY        703481101     7,200     359,823 SH       SOLE           1    359,823         --       --
PAYCHEX INC                   EQUITY        704326107        27         805 SH       DEFINED        5         --         --      805
PAYCHEX INC                   EQUITY        704326107       153       4,618 SH       DEFINED        4         --         --    4,618
PAYCHEX INC                   EQUITY        704326107     2,121      64,200 SH       SOLE           2     64,200         --       --
PAYCHEX, INC.                 EQUITY        704326107     4,805     145,523 SH       SOLE           1    145,523         --       --
PC CONNECTION INC             EQUITY        69318J100        58       8,612 SH       SOLE           1      8,612         --       --
PC MALL INC                   EQUITY        69323K100        69      10,036 SH       SOLE           1     10,036         --       --
PC-TEL  INC.                  EQUITY        69325Q105       162      17,419 SH       SOLE           1     17,419         --       --
PDL BIOPHARMA INC             EQUITY        69329Y104     3,515     378,817 SH       SOLE           1    378,817         --       --
PEABODY ENERGY CORP           EQUITY        704549104    27,380     609,134 SH       SOLE           1    609,134         --       --
PEABODY ENERGY CORP           EQUITY        704549104         3          75 SH       DEFINED        5         --         --       75
PEABODY ENERGY CORP           EQUITY        704549104        23         506 SH       DEFINED        4         --         --      506
PEABODY ENERGY CORP           EQUITY        704549104       950      21,100 SH       SOLE           2     21,100         --       --
PEAPACK-GLADSTONE FINL        EQUITY        704699107       252       7,534 SH       SOLE           1      7,534         --       --
PEARSON PLC                   EQUITY        705015105         2         180 SH       DEFINED        4         --         --      180
PEDIATRIX MEDICAL GROUP       EQUITY        705324101        57       1,052 SH       SOLE           1      1,052         --       --
PEETS COFFEE & TEA INC        EQUITY        705560100       355      12,741 SH       SOLE           1     12,741         --       --
PEETS COFFEE & TEA INC        EQUITY        705560100       430      15,400 SH       DEFINED        5         --         --   15,400
PEGASYSTEMS INC               EQUITY        705573103       169      13,088 SH       SOLE           1     13,088         --       --
PENFORD CORP                  EQUITY        707051108       180      10,194 SH       SOLE           1     10,194         --       --
PENGROWTH ENERGY TR           EQUITY        706902509       218      14,598 SH       DEFINED        5         --         --   14,598
PENGROWTH ENERGY TR           EQUITY        706902509       218      14,611 SH       DEFINED        4         --         --   14,611
PENGROWTH ENERGY TRUST        EQUITY        706902509     2,052     137,484 SH       OTHER          1         --    137,484       --
PENN NATIONAL GAMING, INC.    EQUITY        707569109        40       1,509 SH       SOLE           1      1,509         --       --
PENN VA RESOURCES PARTNERS L  EQUITY        707884102         2         100 SH       DEFINED        4         --         --      100
PENN VIRGINIA CORPORATION     EQUITY        707882106     2,020      37,800 SH       SOLE           1     37,800         --       --
PENN WEST ENERGY TR           EQUITY        707885109       218       9,056 SH       DEFINED        5         --         --    9,056
PENN WEST ENERGY TR           EQUITY        707885109       759      31,474 SH       DEFINED        4         --         --   31,474
PENN WEST ENERGY TRUST        EQUITY        707885109       371      16,306 SH       OTHER          1         --     16,306       --
PENNANTPARK INVESTMENT CORP   EQUITY        708062104       141      19,123 SH       SOLE           1     19,123         --       --
PENNEY J C INC                EQUITY        708160106        21         628 SH       DEFINED        5         --         --      628
PENNSYLVANIA COMMERCE BANCRP  EQUITY        708677109       140       4,701 SH       SOLE           1      4,701         --       --
PENNSYLVANIA REAL ESTATE INV. EQUITY        709102107     3,086     163,710 SH       SOLE           1    163,710         --       --
PENNSYLVANIA RL ESTATE INVT   EQUITY        709102107         3         150 SH       DEFINED        5         --         --      150





                                                                                           
PENSKE AUTO GROUP INC         EQUITY        70959W103        16       1,379 SH       SOLE           1      1,379         --       --
PENSON WORLDWIDE INC          EQUITY        709600100       212      15,257 SH       SOLE           1     15,257         --       --
PENTAIR INC.                  EQUITY        709631105     7,864     227,470 SH       SOLE           1    227,470         --       --
PEOPLES BANCORP INC           EQUITY        709789101       203       9,348 SH       SOLE           1      9,348         --       --
PEOPLES UNITED FINANCIAL INC  EQUITY        712704105        34       1,785 SH       DEFINED        4         --         --    1,785
PEOPLE'S UNITED FINANCIAL INC EQUITY        712704105       215      11,272 SH       SOLE           1     11,272         --       --
PEOPLESUPPORT INC             EQUITY        712714302       203      17,290 SH       SOLE           1     17,290         --       --
PEOPLESUPPORT INC             EQUITY        712714302        25       2,106 SH       DEFINED        4         --         --    2,106
PEP BOYS-MANNY, MOE & JACK    EQUITY        713278109       237      38,297 SH       SOLE           1     38,297         --       --
PEPCO HOLDINGS INC            EQUITY        713291102     8,017     349,923 SH       SOLE           1    349,923         --       --
PEPCO HOLDINGS INC            EQUITY        713291102        35       1,529 SH       DEFINED        4         --         --    1,529
PEPSI BOTTLING                EQUITY        713409100    13,084     448,551 SH       SOLE           1    448,551         --       --
PEPSIAMERICAS INC             EQUITY        71343P200     2,732     131,863 SH       SOLE           1    131,863         --       --
PEPSIAMERICAS INC             EQUITY        71343P200        21       1,000 SH       DEFINED        4         --         --    1,000
PEPSICO INC                   EQUITY        713448108       287       4,023 SH       DEFINED        4         --         --    4,023
PEPSICO INC                   EQUITY        713448108       325       4,566 SH       DEFINED        5         --         --    4,566
PEPSICO INC                   EQUITY        713448108    38,575     541,248 SH       SOLE           2    541,248         --       --
PEPSICO, INC.                 EQUITY        713448108    57,862     811,875 SH       SOLE           1    811,875         --       --
PERDIGAO S A                  EQUITY        71361V303        12         300 SH       DEFINED        5         --         --      300
PERFICIENT INC                EQUITY        71375U101       193      29,018 SH       SOLE           1     29,018         --       --
PERICOM SEMICONDUCTOR CORP    EQUITY        713831105       211      20,023 SH       SOLE           1     20,023         --       --
PERINI CORP                   EQUITY        713839108       637      24,708 SH       SOLE           1     24,708         --       --
PERKINELMER INC.              EQUITY        714046109     1,211      48,492 SH       SOLE           1     48,492         --       --
PERMA-FIX ENVIRONMENTAL SVCS  EQUITY        714157104        31      15,000 SH       DEFINED        4         --         --   15,000
PERMIAN BASIN RTY TR          EQUITY        714236106        68       2,910 SH       DEFINED        5         --         --    2,910
PERMIAN BASIN RTY TR          EQUITY        714236106       454      19,554 SH       DEFINED        4         --         --   19,554
PEROT SYSTEM CORP.            EQUITY        714265105     1,363      78,577 SH       SOLE           1     78,577         --       --
PERRIGO CO.                   EQUITY        714290103     6,830     177,585 SH       SOLE           1    177,585         --       --
PERRY ELLIS INTERNATIONAL     EQUITY        288853104       166      11,057 SH       SOLE           1     11,057         --       --
PETMED EXPRESS INC            EQUITY        716382106       338      21,540 SH       SOLE           1     21,540         --       --
PETMED EXPRESS INC            EQUITY        716382106         2         150 SH       DEFINED        5         --         --      150
PETRO-CANADA                  EQUITY        7.16E+106     6,643     199,614 SH       OTHER          1         --    199,614       --
PETRO-CDA                     EQUITY        7.16E+106         2          60 SH       DEFINED        5         --         --       60
PETROCHINA CO LTD             EQUITY        7.16E+104         5          50 SH       DEFINED        5         --         --       50
PETROHAWK ENERGY CORP         EQUITY        716495106       115       5,300 SH       SOLE           1      5,300         --       --
PETROHAWK ENERGY CORP         EQUITY        716495106        24       1,100 SH       DEFINED        5         --         --    1,100
PETROLEO BRASILEIRO S.A. ADR  EQUITY        71654V408   180,346   4,182,270 SH       SOLE           1  4,182,270         --       --
PETROLEO BRASILEIRO SA        EQUITY        71654V101     3,376      94,213 SH       SOLE           1     94,213         --       --
PETROLEO BRASILEIRO SA PETRO  EQUITY        71654V101         2          42 SH       DEFINED        4         --         --       42
PETROLEO BRASILEIRO SA PETRO  EQUITY        71654V408       128       2,902 SH       DEFINED        4         --         --    2,902





                                                                                           
PETROLEO BRASILEIRO SA PETRO  EQUITY        71654V408       223       5,069 SH       DEFINED        5         --         --    5,069
PETROLEUM DEVELOPMENT CORP    EQUITY        716578109       599      13,498 SH       SOLE           1     13,498         --       --
PETROQUEST ENERGY INC         EQUITY        716748108       605      39,424 SH       SOLE           1     39,424         --       --
PETROQUEST ENERGY INC         EQUITY        716748108         8         500 SH       DEFINED        5         --         --      500
PETROQUEST ENERGY INC         EQUITY        716748108     6,932     451,626 SH       SOLE           2    451,626         --       --
PETSMART, INC                 EQUITY        716768106     7,318     296,280 SH       SOLE           1    296,280         --       --
PFIZER INC                    EQUITY        717081103       458      24,858 SH       DEFINED        4         --         --   24,858
PFIZER INC                    EQUITY        717081103       917      49,733 SH       DEFINED        5         --         --   49,733
PFIZER INC                    EQUITY        717081103    17,243     935,097 SH       SOLE           2    935,097         --       --
PFIZER, INC.                  EQUITY        717081103    75,625   4,101,127 SH       SOLE           1  4,101,127         --       --
PG&E CORP                     EQUITY        69331C108         1          40 SH       DEFINED        5         --         --       40
PG&E CORP                     EQUITY        69331C108        33         885 SH       DEFINED        4         --         --      885
PG+E CORP                     EQUITY        69331C108     4,947     132,092 SH       SOLE           2    132,092         --       --
PHARMACEUTICAL HLDRS TR       EQUITY        71712A206         7         100 SH       DEFINED        5         --         --      100
PHARMACEUTICAL PRODUCT
   DEVELOPMENT                EQUITY        717124101    11,249     272,174 SH       SOLE           1    272,174         --       --
PHARMANET DEVELOPMENT GROUP
   INC                        EQUITY        717148100       126      17,541 SH       SOLE           1     17,541         --       --
PHARMASSET INC                EQUITY        71715N106       305      15,266 SH       SOLE           1     15,266         --       --
PHARMERICA CORP               EQUITY        71714F104       622      27,665 SH       SOLE           1     27,665         --       --
PHASE FORWARD INC             EQUITY        71721R406       815      38,904 SH       SOLE           1     38,904         --       --
PHH CORP                      EQUITY        693320202       654      49,222 SH       SOLE           1     49,222         --       --
PHI INC                       EQUITY        69336T205       459      12,416 SH       SOLE           1     12,416         --       --
PHILADELPHIA CONS. HLDG. CO.  EQUITY        717528103     8,959     153,166 SH       SOLE           1    153,166         --       --
PHILIP MORRIS INTERNATIONAL
   INC                        EQUITY        718172109    53,216   1,106,355 SH       SOLE           1  1,106,355         --       --
PHILIP MORRIS INTL INC        EQUITY        718172109       384       7,974 SH       DEFINED        5         --         --    7,974
PHILIP MORRIS INTL INC        EQUITY        718172109       524      10,884 SH       DEFINED        4         --         --   10,884
PHILIP MORRIS INTL ORD SHR    EQUITY        718172109    11,486     238,800 SH       SOLE           2    238,800         --       --
PHILLIPS VAN HEUSEN CP COM    EQUITY        718592108     4,625     122,000 SH       SOLE           3     53,000               69000
PHILLIPS-VAN HEUSEN CORP.     EQUITY        718592108     5,293     139,632 SH       SOLE           1    139,632         --       --
PHOENIX COMPANIES INC         EQUITY        7.19E+113       961     103,993 SH       SOLE           1    103,993         --       --
PHOENIX TECHNOLOGIES, LTD.    EQUITY        719153108       200      24,971 SH       SOLE           1     24,971         --       --
PHOTON DYNAMICS               EQUITY        719364101       248      16,114 SH       SOLE           1     16,114         --       --
PHOTRONICS INC.               EQUITY        719405102        71      38,017 SH       SOLE           1     38,017         --       --
PICO HOLDINGS INC             EQUITY        693366205       542      14,715 SH       SOLE           1     14,715         --       --
PIEDMONT NAT GAS INC          EQUITY        720186105         2          77 SH       DEFINED        5         --         --       77
PIEDMONT NATURAL GAS CO.,
   INC.                       EQUITY        720186105     2,134      66,759 SH       SOLE           1     66,759         --       --
PIER 1 IMPORTS INC            EQUITY        720279108        14       3,300 SH       DEFINED        5         --         --    3,300
PIER 1 IMPORTS, INC.          EQUITY        720279108       334      80,813 SH       SOLE           1     80,813         --       --
PIKE ELECTRIC CORP            EQUITY        721283109       226      15,348 SH       SOLE           1     15,348         --       --
PILGRIMS PRIDE CORP           EQUITY        721467108        19       7,721 SH       DEFINED        4         --         --    7,721
PILGRIMS PRIDE CORP           EQUITY        721467108        31      12,500 SH       SOLE           2     12,500         --       --





                                                                                           
PILGRIMS PRIDE CORP.          EQUITY        721467108       102      41,035 SH       SOLE           1     41,035         --       --
PIMCO CORPORATE INCOME FD     EQUITY        72200U100         5         565 SH       DEFINED        4         --         --      565
PIMCO CORPORATE INCOME FD     EQUITY        72200U100        95      10,100 SH       DEFINED        5         --         --   10,100
PIMCO CORPORATE OPP FD        EQUITY        72201B101        52       5,104 SH       DEFINED        5         --         --    5,104
PIMCO CORPORATE OPP FD        EQUITY        72201B101       116      11,451 SH       DEFINED        4         --         --   11,451
PIMCO FLOATING RATE INCOME F  EQUITY        72201H108        22       2,155 SH       DEFINED        5         --         --    2,155
PIMCO FLOATING RATE INCOME F  EQUITY        72201H108        35       3,500 SH       DEFINED        4         --         --    3,500
PIMCO FLOATING RATE STRTGY F  EQUITY        72201J104         5         500 SH       DEFINED        5         --         --      500
PIMCO FLOATING RATE STRTGY F  EQUITY        72201J104        19       2,000 SH       DEFINED        4         --         --    2,000
PIMCO GLOBAL STOCKSPLS INCM   EQUITY        722011103         6         400 SH       DEFINED        5         --         --      400
PIMCO HIGH INCOME FD          EQUITY        722014107        79       9,285 SH       DEFINED        5         --         --    9,285
PIMCO HIGH INCOME FD          EQUITY        722014107       453      52,993 SH       DEFINED        4         --         --   52,993
PIMCO STRATEGIC GBL GOV FD I  EQUITY        72200X104        29       3,000 SH       DEFINED        5         --         --    3,000
PIMCO STRATEGIC GBL GOV FD I  EQUITY        72200X104        32       3,306 SH       DEFINED        4         --         --    3,306
PINNACLE FINANCIAL PARTNERS   EQUITY        72346Q104       633      20,574 SH       SOLE           1     20,574         --       --
PINNACLE WEST CAPITAL CORP.   EQUITY        723484101     1,433      41,648 SH       SOLE           1     41,648         --       --
PIONEER DRILLING CO           EQUITY        723655106         4         300 SH       DEFINED        4         --         --      300
PIONEER DRILLING COMPANY      EQUITY        723655106       602      45,262 SH       SOLE           1     45,262         --       --
PIONEER FLOATING RATE TR      EQUITY        72369J102         7         720 SH       DEFINED        4         --         --      720
PIONEER HIGH INCOME TR        EQUITY        72369H106         5         487 SH       DEFINED        4         --         --      487
PIONEER HIGH INCOME TR        EQUITY        72369H106       108      10,472 SH       DEFINED        5         --         --   10,472
PIONEER MUN & EQUITY INCOME   EQUITY        723761102         4         361 SH       DEFINED        5         --         --      361
PIONEER MUN HIGH INCOME TR    EQUITY        723763108        51       5,000 SH       DEFINED        5         --         --    5,000
PIONEER NAT RES CO            EQUITY        723787107         3          54 SH       DEFINED        4         --         --       54
PIONEER NATURAL RESOURCES
   CORP                       EQUITY        723787107     2,536      48,504 SH       SOLE           1     48,504         --       --
PIPER JAFFRAY COS             EQUITY        724078100       737      17,048 SH       SOLE           1     17,048         --       --
PITNEY BOWES, INC.            EQUITY        724479100    23,793     715,377 SH       SOLE           1    715,377         --       --
PLAINS ALL AMER PIPELINE LP   EQUITY        726503105     2,179      55,000 SH       SOLE           1     55,000         --       --
PLAINS ALL AMERN PIPELINE L   EQUITY        726503105       115       2,900 SH       DEFINED        4         --         --    2,900
PLAINS EXPL + PRODTN CO       EQUITY        726505100     1,737      49,400 SH       SOLE           2     49,400         --       --
PLAINS EXPLORATION & PRODUCT  EQUITY        726505100     8,657     246,215 SH       SOLE           1    246,215         --       --
PLANTRONICS, INC.             EQUITY        727493108     3,499     155,380 SH       SOLE           1    155,380         --       --
PLAYBOY ENTERPRISES, INC.     EQUITY        728117300        76      19,357 SH       SOLE           1     19,357         --       --
PLEXUS CORP.                  EQUITY        729132100       751      36,269 SH       SOLE           1     36,269         --       --
PLUG POWER INC                EQUITY        72919P103        71      72,714 SH       SOLE           1     72,714         --       --
PLUM CREEK TIMBER CO INC      EQUITY        729251108     3,474      69,685 SH       SOLE           1     69,685         --       --
PLUM CREEK TIMBER CO INC      EQUITY        729251108        80       1,612 SH       DEFINED        4         --         --    1,612
PLUM CREEK TIMBER CO INC      EQUITY        729251108       264       5,286 SH       DEFINED        5         --         --    5,286
PLX TECHNOLOGY, INC.          EQUITY        693417107       131      25,546 SH       SOLE           1     25,546         --       --
PMA CAPITAL CORP.             EQUITY        693419202       259      28,980 SH       SOLE           1     28,980         --       --





                                                                                           
PMC-SIERRA INC                EQUITY        69344F106       795     107,177 SH       DEFINED        4         --         --  107,177
PMC-SIERRA, INC.              EQUITY        69344F106     1,476     198,680 SH       SOLE           1    198,680         --       --
PMFG INC                      EQUITY        69345P103       170      11,806 SH       SOLE           1     11,806         --       --
PMFG INC                      EQUITY        69345P103         9         600 SH       DEFINED        5         --         --      600
PMI GROUP, INC.               EQUITY        69344M101       709     240,312 SH       SOLE           1    240,312         --       --
PNC FINANCIAL SERVICES        EQUITY        693475105    12,522     167,628 SH       SOLE           1    167,628         --       --
PNC FINL SVCS GROUP INC       EQUITY        693475105         8         108 SH       DEFINED        5         --         --      108
PNC FINL SVCS GROUP INC       EQUITY        693475105        86       1,150 SH       DEFINED        4         --         --    1,150
PNC FINL SVCS GROUP INC       EQUITY        693475105       595       7,970 SH       SOLE           2      7,970         --       --
PNM RES INC                   EQUITY        69349H107         2         181 SH       DEFINED        5         --         --      181
PNM RESOURCES INC             EQUITY        69349H107     2,717     265,337 SH       SOLE           1    265,337         --       --
POKERTEK INC                  EQUITY        730864105         2         700 SH       DEFINED        5         --         --      700
POLARIS INDS INC              EQUITY        731068102        48       1,060 SH       DEFINED        5         --         --    1,060
POLARIS INDUSTRIES, INC.      EQUITY        731068102     1,362      29,943 SH       SOLE           1     29,943         --       --
POLO RALPH LAUREN CO          EQUITY        731572103     3,809      57,163 SH       SOLE           1     57,163         --       --
POLO RALPH LAUREN CORP        EQUITY        731572103        12         183 SH       DEFINED        5         --         --      183
POLO RALPH LAUREN CORP        EQUITY        731572103        80       1,200 SH       SOLE           2      1,200         --       --
POLYCOM INC COM               EQUITY        73172K104       451      19,500 SH       SOLE           3     19,500         --       --
POLYCOM, INC.                 EQUITY        73172K104     7,136     308,516 SH       SOLE           1    308,516         --       --
POLYONE CORPORATION           EQUITY        73179P106       547      84,852 SH       SOLE           1     84,852         --       --
POLYPORE INTERNATIONAL INC    EQUITY        73179V103       311      14,460 SH       SOLE           1     14,460         --       --
POOL CORP                     EQUITY        73278L105     1,017      43,472 SH       SOLE           1     43,472         --       --
POOL CORP                     EQUITY        73278L105     4,662     199,848 SH       SOLE           2    199,848         --       --
POOL CORPORATION              EQUITY        73278L105         2         100 SH       DEFINED        5         --         --      100
POPULAR INC                   EQUITY        733174106        81       9,516 SH       SOLE           1      9,516         --       --
PORTFOLIO RECOVERY ASS COM    EQUITY        73640Q105     3,394      69,800 SH       SOLE           3     69,800         --       --
PORTFOLIO RECOVERY ASSOCIATE  EQUITY        73640Q105     1,962      40,015 SH       SOLE           1     40,015         --       --
PORTFOLIO RECOVERY ASSOCS     EQUITY        73640Q105     1,697      34,890 SH       SOLE           2     34,890         --       --
PORTFOLIO RECOVERY ASSOCS IN  EQUITY        73640Q105        13         275 SH       DEFINED        4         --         --      275
PORTLAND GENERAL ELECTRIC CO  EQUITY        736508847     1,344      56,814 SH       SOLE           1     56,814         --       --
POSCO                         EQUITY        693483109         3          30 SH       DEFINED        5         --         --       30
POSCO                         EQUITY        693483109        11         117 SH       DEFINED        4         --         --      117
POTASH CORP OF SASKATCHEWAN   EQUITY        73755L107     8,837      68,349 SH       OTHER          1         --     68,349       --
POTASH CORP SASK INC          EQUITY        73755L107        90         682 SH       DEFINED        5         --         --      682
POTASH CORP SASK INC          EQUITY        73755L107       101         763 SH       DEFINED        4         --         --      763
POTLATCH CORP                 EQUITY        737630103     3,733      80,473 SH       SOLE           1     80,473         --       --
POTLATCH CORP NEW             EQUITY        737630103        19         400 SH       DEFINED        5         --         --      400
POWELL INDUSTRIES INC         EQUITY        739128106       275       6,720 SH       SOLE           1      6,720         --       --
POWER INTEGRATIONS, INC.      EQUITY        739276103       668      27,633 SH       SOLE           1     27,633         --       --
POWER-ONE , INC.              EQUITY        739308104        93      67,716 SH       SOLE           1     67,716         --       --





                                                                                           
POWERSECURE INTERNATIONAL INC EQUITY        73936N105        93      15,356 SH       SOLE           1     15,356         --       --
POWERSHARES ACTIVE MNG ETF T  EQUITY        73935B201        30       1,493 SH       DEFINED        5         --         --    1,493
POWERSHARES DB CMDTY IDX TRA  EQUITY        73935S105        86       2,531 SH       DEFINED        4         --         --    2,531
POWERSHARES DB CMDTY IDX TRA  EQUITY        73935S105       472      13,927 SH       DEFINED        5         --         --   13,927
POWERSHARES DB G10 CURCY HAR  EQUITY        73935Y102         4         147 SH       DEFINED        5         --         --      147
POWERSHARES DB G10 CURCY HAR  EQUITY        73935Y102       279      11,505 SH       DEFINED        4         --         --   11,505
POWERSHARES ETF TR II         EQUITY        73937B308         3         160 SH       DEFINED        5         --         --      160
POWERSHARES ETF TR II         EQUITY        73937B100        34       1,797 SH       DEFINED        4         --         --    1,797
POWERSHARES ETF TRUST         EQUITY        73935X658         2         100 SH       DEFINED        5         --         --      100
POWERSHARES ETF TRUST         EQUITY        73935X435         2         100 SH       DEFINED        5         --         --      100
POWERSHARES ETF TRUST         EQUITY        73935X179         2          95 SH       DEFINED        4         --         --       95
POWERSHARES ETF TRUST         EQUITY        73935X278         3         100 SH       DEFINED        4         --         --      100
POWERSHARES ETF TRUST         EQUITY        73935X690         3         200 SH       DEFINED        5         --         --      200
POWERSHARES ETF TRUST         EQUITY        73935X591         5         277 SH       DEFINED        5         --         --      277
POWERSHARES ETF TRUST         EQUITY        73935X856         5         300 SH       DEFINED        5         --         --      300
POWERSHARES ETF TRUST         EQUITY        73935X476         6         134 SH       DEFINED        4         --         --      134
POWERSHARES ETF TRUST         EQUITY        73935X781         7         500 SH       DEFINED        5         --         --      500
POWERSHARES ETF TRUST         EQUITY        73935X682         9         642 SH       DEFINED        5         --         --      642
POWERSHARES ETF TRUST         EQUITY        73935X229         9         686 SH       DEFINED        5         --         --      686
POWERSHARES ETF TRUST         EQUITY        73935X633        10         800 SH       DEFINED        5         --         --      800
POWERSHARES ETF TRUST         EQUITY        73935X179        10         435 SH       DEFINED        5         --         --      435
POWERSHARES ETF TRUST         EQUITY        73935X302        12       1,054 SH       DEFINED        5         --         --    1,054
POWERSHARES ETF TRUST         EQUITY        73935X716        12         800 SH       DEFINED        5         --         --      800
POWERSHARES ETF TRUST         EQUITY        73935X708        13         755 SH       DEFINED        5         --         --      755
POWERSHARES ETF TRUST         EQUITY        73935X237        15         500 SH       DEFINED        5         --         --      500
POWERSHARES ETF TRUST         EQUITY        73935X732        17       1,100 SH       DEFINED        5         --         --    1,100
POWERSHARES ETF TRUST         EQUITY        73935X484        18         410 SH       DEFINED        4         --         --      410
POWERSHARES ETF TRUST         EQUITY        73935X393        19         741 SH       DEFINED        4         --         --      741
POWERSHARES ETF TRUST         EQUITY        73935X690        23       1,370 SH       DEFINED        4         --         --    1,370
POWERSHARES ETF TRUST         EQUITY        73935X104        25         610 SH       DEFINED        4         --         --      610
POWERSHARES ETF TRUST         EQUITY        73935X732        25       1,676 SH       DEFINED        4         --         --    1,676
POWERSHARES ETF TRUST         EQUITY        73935X104        26         636 SH       DEFINED        5         --         --      636
POWERSHARES ETF TRUST         EQUITY        73935X609        30       2,031 SH       DEFINED        5         --         --    2,031
POWERSHARES ETF TRUST         EQUITY        73935X401        32       1,663 SH       DEFINED        5         --         --    1,663
POWERSHARES ETF TRUST         EQUITY        73935X716        35       2,324 SH       DEFINED        4         --         --    2,324
POWERSHARES ETF TRUST         EQUITY        73935X583        37         806 SH       DEFINED        4         --         --      806
POWERSHARES ETF TRUST         EQUITY        73935X674        40       1,897 SH       DEFINED        4         --         --    1,897
POWERSHARES ETF TRUST         EQUITY        73935X880        43       3,012 SH       DEFINED        5         --         --    3,012
POWERSHARES ETF TRUST         EQUITY        73935X658        57       2,752 SH       DEFINED        4         --         --    2,752
POWERSHARES ETF TRUST         EQUITY        73935X807        58       3,268 SH       DEFINED        5         --         --    3,268





                                                                                           
POWERSHARES ETF TRUST         EQUITY        73935X625        75       3,470 SH       DEFINED        5         --         --    3,470
POWERSHARES ETF TRUST         EQUITY        73935X856        76       4,221 SH       DEFINED        4         --         --    4,221
POWERSHARES ETF TRUST         EQUITY        73935X336        96       4,700 SH       DEFINED        5         --         --    4,700
POWERSHARES ETF TRUST         EQUITY        73935X625        98       4,500 SH       DEFINED        4         --         --    4,500
POWERSHARES ETF TRUST         EQUITY        73935X278       115       4,500 SH       DEFINED        5         --         --    4,500
POWERSHARES ETF TRUST         EQUITY        73935X500       123       8,275 SH       DEFINED        5         --         --    8,275
POWERSHARES ETF TRUST         EQUITY        73935X781       138      10,520 SH       DEFINED        4         --         --   10,520
POWERSHARES ETF TRUST         EQUITY        73935X575       173       9,380 SH       DEFINED        5         --         --    9,380
POWERSHARES ETF TRUST         EQUITY        73935X351       204       8,110 SH       DEFINED        4         --         --    8,110
POWERSHARES ETF TRUST         EQUITY        73935X500       240      16,178 SH       DEFINED        4         --         --   16,178
POWERSHARES ETF TRUST         EQUITY        73935X567       249       5,648 SH       DEFINED        4         --         --    5,648
POWERSHARES ETF TRUST         EQUITY        73935X682       271      19,840 SH       DEFINED        4         --         --   19,840
POWERSHARES ETF TRUST         EQUITY        73935X807       554      31,021 SH       DEFINED        4         --         --   31,021
POWERSHARES ETF TRUST         EQUITY        73935X575       660      35,885 SH       DEFINED        4         --         --   35,885
POWERSHARES ETF TRUST         EQUITY        73935X161       721      32,772 SH       DEFINED        4         --         --   32,772
POWERSHARES ETF TRUST         EQUITY        73935X468     1,672      75,099 SH       DEFINED        4         --         --   75,099
POWERSHARES ETF TRUST         EQUITY        73935X153     3,180     163,757 SH       DEFINED        5         --         --  163,757
POWERSHARES ETF TRUST II      EQUITY        73936Q207        20       1,450 SH       DEFINED        5         --         --    1,450
POWERSHARES ETF TRUST II      EQUITY        73936Q504        20       1,661 SH       DEFINED        4         --         --    1,661
POWERSHARES ETF TRUST II      EQUITY        73936Q603        80       4,150 SH       DEFINED        5         --         --    4,150
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T763         3         150 SH       DEFINED        4         --         --      150
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T615         5         240 SH       DEFINED        4         --         --      240
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T573         9         400 SH       DEFINED        5         --         --      400
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T698        11         330 SH       DEFINED        4         --         --      330
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T573        24       1,090 SH       DEFINED        4         --         --    1,090
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T425        25       1,493 SH       DEFINED        5         --         --    1,493
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T623        31       1,884 SH       DEFINED        5         --         --    1,884
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T615        79       4,100 SH       DEFINED        5         --         --    4,100
POWERSHARES GLOBAL ETF TRUST  EQUITY        73936T623       375      22,725 SH       DEFINED        4         --         --   22,725
POWERSHARES INDIA ETF TR      EQUITY        73935L100         2         128 SH       DEFINED        4         --         --      128
POWERSHARES INDIA ETF TR      EQUITY        73935L100        30       1,798 SH       DEFINED        5         --         --    1,798
POWERSHARES QQQ               EQUITY        73935A104     8,255     210,760 SH       SOLE           1    210,760         --       --
POWERSHARES QQQ TRUST         EQUITY        73935A104       506      13,011 SH       DEFINED        5         --         --   13,011
POWERSHARES QQQ TRUST         EQUITY        73935A104     4,126     106,032 SH       DEFINED        4         --         --  106,032
POWERSHARES QQQ TRUST CALL    OPTION        73935A904         5          30     CALL DEFINED        4         --         --       30
POWERSHARES QQQ TRUST PUT     OPTION        73935A954         5           8     PUT  DEFINED        5         --         --        8
POWERSHS DB MULTI SECT COMM   EQUITY        73936B101         2          58 SH       DEFINED        4         --         --       58
POWERSHS DB MULTI SECT COMM   EQUITY        73936B705         9         467 SH       DEFINED        5         --         --      467
POWERSHS DB MULTI SECT COMM   EQUITY        73936B101         9         235 SH       DEFINED        5         --         --      235
POWERSHS DB MULTI SECT COMM   EQUITY        73936B200        31       1,049 SH       DEFINED        5         --         --    1,049





                                                                                           
POWERSHS DB MULTI SECT COMM   EQUITY        73936B408       126       4,184 SH       DEFINED        5         --         --    4,184
POWERSHS DB MULTI SECT COMM   EQUITY        73936B408     1,713      56,702 SH       DEFINED        4         --         --   56,702
POWERSHS DB US DOLLAR INDEX   EQUITY        73936D107        89       3,650 SH       DEFINED        4         --         --    3,650
POWERSHS DB US DOLLAR INDEX   EQUITY        73936D107       135       5,505 SH       DEFINED        5         --         --    5,505
POWERWAVE TECHNOLOGIES INC    EQUITY        739363109       474     119,609 SH       SOLE           1    119,609         --       --
POWERWAVE TECHNOLOGIES INC    EQUITY        739363109         3         777 SH       DEFINED        5         --         --      777
POWERWAVE TECHNOLOGIES INC    EQUITY        739363109        12       3,000 SH       DEFINED        4         --         --    3,000
POZEN INC.                    EQUITY        73941U102       248      23,638 SH       SOLE           1     23,638         --       --
PPG INDS INC                  EQUITY        693506107        35         600 SH       DEFINED        4         --         --      600
PPG INDUSTRIES, INC.          EQUITY        693506107     3,990      68,408 SH       SOLE           1     68,408         --       --
PPL CORP                      EQUITY        69351T106        37       1,000 SH       DEFINED        5         --         --    1,000
PPL CORP                      EQUITY        69351T106       264       7,123 SH       DEFINED        4         --         --    7,123
PPL CORPORATION               EQUITY        69351T106     5,586     150,880 SH       SOLE           1    150,880         --       --
PRAXAIR INC                   EQUITY        74005P104        26         360 SH       DEFINED        4         --         --      360
PRAXAIR INC                   EQUITY        74005P104       131       1,824 SH       DEFINED        5         --         --    1,824
PRAXAIR INC                   EQUITY        74005P104       455       6,338 SH       SOLE           2      6,338         --       --
PRAXAIR, INC.                 EQUITY        74005P104    19,071     265,837 SH       SOLE           1    265,837         --       --
PRECISION CASTPARTS CORP      EQUITY        740189105         3          33 SH       DEFINED        5         --         --       33
PRECISION CASTPARTS CORP      EQUITY        740189105        67         855 SH       DEFINED        4         --         --      855
PRECISION CASTPARTS CORP.     EQUITY        740189105    13,464     170,910 SH       SOLE           1    170,910         --       --
PRECISION CASTPARTS CP COM    EQUITY        740189105     2,623      33,300 SH       SOLE           3      7,900               25400
PRECISION DRILLING TRUST      EQUITY        740215108        31       1,887 SH       OTHER          1         --      1,887       --
PREFORMED LINE PRODUCTS CO    EQUITY        740444104       143       2,451 SH       SOLE           1      2,451         --       --
PREMIERE GLOBAL SERVICES INC  EQUITY        740585104       790      56,222 SH       SOLE           1     56,222         --       --
PREMIERWEST BANCORP           EQUITY        740921101       147      17,537 SH       SOLE           1     17,537         --       --
PREPAID LEGAL SERVICES, INC.  EQUITY        740065107       299       7,251 SH       SOLE           1      7,251         --       --
PRESIDENTIAL LIFE CORP.       EQUITY        740884101       311      19,662 SH       SOLE           1     19,662         --       --
PRESSTEK INC                  EQUITY        741113104       141      25,036 SH       SOLE           1     25,036         --       --
PRESSTEK INC                  EQUITY        741113104        23       4,000 SH       DEFINED        5         --         --    4,000
PRESTIGE BRANDS HOLDINGS INC  EQUITY        74112D101       272      30,634 SH       SOLE           1     30,634         --       --
PRG-SCHULTZ INTERNATIONAL INC EQUITY        69357C503       122      13,605 SH       SOLE           1     13,605         --       --
PRICE T ROWE GROUP INC        EQUITY        74144T108        40         754 SH       DEFINED        5         --         --      754
PRICE T ROWE GROUP INC        EQUITY        74144T108       245       4,561 SH       DEFINED        4         --         --    4,561
PRICELINE.COM INC             EQUITY        741503403     6,087      88,984 SH       SOLE           1     88,984         --       --
PRICESMART INC                EQUITY        741511109       219      13,094 SH       SOLE           1     13,094         --       --
PRIDE INTERNATIONAL           EQUITY        74153Q102    14,057     474,745 SH       SOLE           1    474,745         --       --
PRIDE INTL INC DEL            EQUITY        74153Q102        75       2,538 SH       DEFINED        4         --         --    2,538
PRIMEDIA INC                  EQUITY        74157K846        55      22,818 SH       SOLE           1     22,818         --       --
PRIMEENERGY CORP              EQUITY        7.42E+108        62         836 SH       SOLE           1        836         --       --
PRINCETON REVIEW INC          EQUITY        742352107        96      12,122 SH       SOLE           1     12,122         --       --





                                                                                           
PRINCIPAL FINANCIAL GROUP     EQUITY        74251V102    11,200     257,527 SH       SOLE           1    257,527         --       --
PRINCIPAL FINANCIAL GROUP IN  EQUITY        74251V102        15         348 SH       DEFINED        5         --         --      348
PRINCIPAL FINANCIAL GROUP IN  EQUITY        74251V102        43       1,000 SH       DEFINED        4         --         --    1,000
PRIVATEBANCORP INC            EQUITY        742962103       820      19,528 SH       SOLE           1     19,528         --       --
PROASSURANCE CORPORATION      EQUITY        74267C106     1,631      29,122 SH       SOLE           1     29,122         --       --
PROCTER & GAMBLE CO           EQUITY        742718109     1,111      15,936 SH       DEFINED        4         --         --   15,936
PROCTER & GAMBLE CO           EQUITY        742718109     1,117      16,022 SH       DEFINED        5         --         --   16,022
PROCTER & GAMBLE CO.          EQUITY        742718109   112,555   1,615,074 SH       SOLE           1  1,615,074         --       --
PROCTER AND GAMBLE CO         EQUITY        742718109    46,079     661,200 SH       SOLE           2    661,200         --       --
PROGENICS PHARMACEUTICALS     EQUITY        743187106       322      24,252 SH       SOLE           1     24,252         --       --
PROGRESS ENERGY INC           EQUITY        743263105        37         848 SH       DEFINED        4         --         --      848
PROGRESS ENERGY INC           EQUITY        743263105       246       5,711 SH       DEFINED        5         --         --    5,711
PROGRESS ENERGY INC           EQUITY        743263105       295       6,834 SH       SOLE           2      6,834         --       --
PROGRESS ENERGY INC.          EQUITY        743263105     4,701     109,003 SH       SOLE           1    109,003         --       --
PROGRESS SOFTWARE CORP.       EQUITY        743312100       983      37,743 SH       SOLE           1     37,743         --       --
PROGRESSIVE CORP OHIO         EQUITY        743315103        25       1,445 SH       DEFINED        5         --         --    1,445
PROGRESSIVE CORP OHIO         EQUITY        743315103        42       2,410 SH       DEFINED        4         --         --    2,410
PROGRESSIVE CORP.             EQUITY        743315103     4,778     274,620 SH       SOLE           1    274,620         --       --
PROLOGIS                      EQUITY        743410102    14,308     346,681 SH       SOLE           1    346,681         --       --
PROLOGIS                      EQUITY        743410102        22         528 SH       DEFINED        5         --         --      528
PROS HOLDINGS INC             EQUITY        74346Y103       110      11,676 SH       SOLE           1     11,676         --       --
PROSHARES TR                  EQUITY        74347R107         1          25 SH       DEFINED        5         --         --       25
PROSHARES TR                  EQUITY        74347R800         2          25 SH       DEFINED        5         --         --       25
PROSHARES TR                  EQUITY        74347R644         2          24 SH       DEFINED        5         --         --       24
PROSHARES TR                  EQUITY        74347R321         2          25 SH       DEFINED        5         --         --       25
PROSHARES TR                  EQUITY        74347R768         3          60 SH       DEFINED        4         --         --       60
PROSHARES TR                  EQUITY        74347R578         4          50 SH       DEFINED        5         --         --       50
PROSHARES TR                  EQUITY        74347R826         4          54 SH       DEFINED        4         --         --       54
PROSHARES TR                  EQUITY        74347R800         5          68 SH       DEFINED        4         --         --       68
PROSHARES TR                  EQUITY        74347R636         5          50 SH       DEFINED        5         --         --       50
PROSHARES TR                  EQUITY        74347R628         5          50 SH       DEFINED        4         --         --       50
PROSHARES TR                  EQUITY        74347R875         5          94 SH       DEFINED        4         --         --       94
PROSHARES TR                  EQUITY        74347R305         5         100 SH       DEFINED        5         --         --      100
PROSHARES TR                  EQUITY        74347R636         8          75 SH       DEFINED        4         --         --       75
PROSHARES TR                  EQUITY        74347R842        13         300 SH       DEFINED        5         --         --      300
PROSHARES TR                  EQUITY        74347R628        14         143 SH       DEFINED        5         --         --      143
PROSHARES TR                  EQUITY        74347R719        17         280 SH       DEFINED        4         --         --      280
PROSHARES TR                  EQUITY        74347R206        21         400 SH       DEFINED        5         --         --      400
PROSHARES TR                  EQUITY        74347R883        25         350 SH       DEFINED        5         --         --      350
PROSHARES TR                  EQUITY        74347R743        27       1,550 SH       DEFINED        5         --         --    1,550





                                                                                           
PROSHARES TR                  EQUITY        74347R503        33         450 SH       DEFINED        5         --         --      450
PROSHARES TR                  EQUITY        74347R511        41       1,130 SH       DEFINED        4         --         --    1,130
PROSHARES TR                  EQUITY        74347R503        43         594 SH       DEFINED        4         --         --      594
PROSHARES TR                  EQUITY        74347R818        55       1,162 SH       DEFINED        4         --         --    1,162
PROSHARES TR                  EQUITY        74347R701        66         950 SH       DEFINED        5         --         --      950
PROSHARES TR                  EQUITY        74347R867        68       1,100 SH       DEFINED        5         --         --    1,100
PROSHARES TR                  EQUITY        74347R305       266       5,007 SH       DEFINED        4         --         --    5,007
PROSHARES TR                  EQUITY        74347R297       723      11,602 SH       DEFINED        4         --         --   11,602
PROSHARES TR                  EQUITY        74347R867       734      11,928 SH       DEFINED        4         --         --   11,928
PROSHARES TR                  EQUITY        74347R842       911      20,650 SH       DEFINED        4         --         --   20,650
PROSHARES TR                  EQUITY        74347R883       921      13,101 SH       DEFINED        4         --         --   13,101
PROSHARES TR                  EQUITY        74347R107     1,022      20,759 SH       DEFINED        4         --         --   20,759
PROSHARES TR                  EQUITY        74347R206     1,182      22,565 SH       DEFINED        4         --         --   22,565
PROSHARES TR                  EQUITY        74347R743     2,473     140,973 SH       DEFINED        4         --         --  140,973
PROSHARES TR ULTRA FINL PRO   EQUITY        74347R743     1,247      71,100 SH       SOLE           3     71,100         --       --
PROSPECT CAPITAL CORP         EQUITY        74348T102       306      23,844 SH       SOLE           1     23,844         --       --
PROSPECT CAPITAL CORPORATION  EQUITY        74348T102        22       1,722 SH       DEFINED        5         --         --    1,722
PROSPECT CAPITAL CORPORATION  EQUITY        74348T102       206      16,103 SH       DEFINED        4         --         --   16,103
PROSPERITY BANCSHARES INC     EQUITY        743606105     1,269      35,622 SH       SOLE           1     35,622         --       --
PROTALIX BIOTHERAPEUTICS INC  EQUITY        74365A101        22       9,779 SH       SOLE           1      9,779         --       --
PROTECTION ONE INC            EQUITY        743663403        50       5,628 SH       SOLE           1      5,628         --       --
PROTECTIVE LIFE CORP          EQUITY        743674103       110       3,845 SH       DEFINED        4         --         --    3,845
PROTECTIVE LIFE CORP COM      EQUITY        743674103     4,578     160,586 SH       SOLE           1    160,586         --       --
PROVIDENCE SERVICE CORP       EQUITY        743815102       108      11,062 SH       SOLE           1     11,062         --       --
PROVIDENCE SVC CORP           EQUITY        743815102       941      96,042 SH       SOLE           2     96,042         --       --
PROVIDENT BANKSHARES CORP.    EQUITY        743859100       305      30,086 SH       SOLE           1     30,086         --       --
PROVIDENT ENERGY TR           EQUITY        74386K104       191      21,261 SH       DEFINED        5         --         --   21,261
PROVIDENT ENERGY TR           EQUITY        74386K104       671      74,686 SH       DEFINED        4         --         --   74,686
PROVIDENT ENERGY TRUST        EQUITY        74386K104        37       4,194 SH       OTHER          1         --      4,194       --
PROVIDENT FINANCIAL SERVICES  EQUITY        74386T105       896      54,255 SH       SOLE           1     54,255         --       --
PROVIDENT NEW YORK BANCORP    EQUITY        744028101       484      36,521 SH       SOLE           1     36,521         --       --
PRUDENTIAL FINANCIAL INC      EQUITY        744320102    14,865     206,452 SH       SOLE           1    206,452         --       --
PRUDENTIAL FINL INC           EQUITY        744320102         8         109 SH       DEFINED        5         --         --      109
PRUDENTIAL FINL INC           EQUITY        744320102        82       1,137 SH       DEFINED        4         --         --    1,137
PRUDENTIAL FINL INC           EQUITY        744320102       396       5,500 SH       SOLE           2      5,500         --       --
PRUDENTIAL PLC                EQUITY        74435K204         1          56 SH       DEFINED        4         --         --       56
PS BUSINESS PARKS INC         EQUITY        69360J107     1,411      24,502 SH       SOLE           1     24,502         --       --
PSEG ENERGY HOLDINGS          EQUITY        744573106     9,360     285,453 SH       SOLE           1    285,453         --       --
PSS WORLD MED INC COM         EQUITY        69366A100       460      23,600 SH       SOLE           3     23,600         --       --
PSS WORLD MEDICAL, INC        EQUITY        69366A100     1,947      99,992 SH       SOLE           1     99,992         --       --





                                                                                           
PSYCHIATRIC SOLUTIONS INC     EQUITY        74439H108     6,699     176,579 SH       SOLE           1    176,579         --       --
PSYCHIATRIC SOLUTIONS INC     EQUITY        74439H108         3          67 SH       DEFINED        4         --         --       67
PT INDOSAT TBK                EQUITY        744383100        21         635 SH       DEFINED        5         --         --      635
PUBLIC STORAGE                EQUITY        74460D729         3         100 SH       DEFINED        4         --         --      100
PUBLIC STORAGE                EQUITY        74460D109        57         578 SH       DEFINED        5         --         --      578
PUBLIC STORAGE                EQUITY        74460D109       172       1,735 SH       DEFINED        4         --         --    1,735
PUBLIC STORAGE                EQUITY        74460D109    10,060     101,604 SH       SOLE           1    101,604         --       --
PUBLIC SVC ENTERPRISE GROUP   EQUITY        744573106       175       5,343 SH       DEFINED        4         --         --    5,343
PUBLIC SVC ENTERPRISE GROUP   EQUITY        744573106       262       8,002 SH       DEFINED        5         --         --    8,002
PUGET ENEGY INC.              EQUITY        745310102    13,314     498,643 SH       SOLE           1    498,643         --       --
PUGET ENERGY INC NEW          EQUITY        745310102        13         504 SH       DEFINED        4         --         --      504
PUGET ENERGY INC NEW          EQUITY        745310102        95       3,569 SH       DEFINED        5         --         --    3,569
PULTE HOMES INC               EQUITY        745867101         2         122 SH       DEFINED        4         --         --      122
PULTE HOMES INC               EQUITY        745867101        99       7,100 SH       DEFINED        5         --         --    7,100
PULTE HOMES INC.              EQUITY        745867101     3,612     258,533 SH       SOLE           1    258,533         --       --
PUTMAN HIGH INCOME SEC FUND   EQUITY        746779107        18       3,050 SH       DEFINED        4         --         --    3,050
PUTNAM MANAGED MUN INCOM TR   EQUITY        746823103        12       1,874 SH       DEFINED        5         --         --    1,874
PUTNAM PREMIER INCOME TR      EQUITY        746853100        17       3,100 SH       DEFINED        4         --         --    3,100
PZENA INVESTMENT MANAGEMENT
   INC                        EQUITY        74731Q103        53       5,583 SH       SOLE           1      5,583         --       --
QAD INC                       EQUITY        74727D108        78      11,291 SH       SOLE           1     11,291         --       --
QIAO XING UNIVERSAL TELEPHON  EQUITY        G7303A109         2         900 SH       DEFINED        4         --         --      900
QIAO XING UNIVERSAL TELEPHON  EQUITY        G7303A109       169      68,400 SH       DEFINED        5         --         --   68,400
QLOGIC CORP                   EQUITY        747277101         3         200 SH       DEFINED        5         --         --      200
QLOGIC CORP COM               EQUITY        747277101     4,622     300,900 SH       SOLE           3    131,000              169900
QLOGIC CORP.                  EQUITY        747277101     5,095     331,934 SH       SOLE           1    331,934         --       --
QUAKER CHEM CORP COM          EQUITY        747316107       265       9,320 SH       SOLE           1      9,320         --       --
QUALCOMM INC                  EQUITY        747525103        72       1,682 SH       DEFINED        4         --         --    1,682
QUALCOMM INC                  EQUITY        747525103       133       3,104 SH       DEFINED        5         --         --    3,104
QUALCOMM INC                  EQUITY        747525103    21,323     496,231 SH       SOLE           2    496,231         --       --
QUALCOMM, INC.                EQUITY        747525103    60,980   1,419,130 SH       SOLE           1  1,419,130         --       --
QUALITY SYSTEMS INC           EQUITY        747582104       671      15,934 SH       SOLE           1     15,934         --       --
QUANEX BUILDING PRODUCTS CORP EQUITY        747619104       513      33,694 SH       SOLE           1     33,694         --       --
QUANTA SERVICES INC           EQUITY        7.48E+106    26,801     992,479 SH       SOLE           1    992,479         --       --
QUANTA SVCS INC               EQUITY        7.48E+106         3         105 SH       DEFINED        4         --         --      105
QUANTA SVCS INC               EQUITY        7.48E+106       129       4,768 SH       DEFINED        5         --         --    4,768
QUANTUM CORP DLT & STORAGE    EQUITY        747906204       196     186,519 SH       SOLE           1    186,519         --       --
QUANTUM FUEL SYSTEMS
   TECHNOLOGY                 EQUITY        7.48E+113        97      74,894 SH       SOLE           1     74,894         --       --
QUEST DIAGNOSTICS INC         EQUITY        74834L100        25         475 SH       DEFINED        5         --         --      475
QUEST DIAGNOSTICS INC         EQUITY        74834L100        41         800 SH       DEFINED        4         --         --      800
QUEST DIAGNOSTICS INC         EQUITY        74834L100       262       5,074 SH       SOLE           2      5,074         --       --





                                                                                           
QUEST DIAGNOSTICS, INC.       EQUITY        74834L100     3,224      62,404 SH       SOLE           1     62,404         --       --
QUEST RESOURCE CORP           EQUITY        748349305        66      25,005 SH       SOLE           1     25,005         --       --
QUEST SOFTWARE INC            EQUITY        74834T103       834      65,749 SH       SOLE           1     65,749         --       --
QUESTAR CORP                  EQUITY        748356102         6         154 SH       DEFINED        4         --         --      154
QUESTAR CORP.                 EQUITY        748356102    11,149     272,470 SH       SOLE           1    272,470         --       --
QUESTCOR PHARMACEUTICALS INC  EQUITY        74835Y101     1,294     174,924 SH       SOLE           1    174,924         --       --
QUESTCOR PHARMACEUTICL COM    EQUITY        74835Y101     2,084     283,600 SH       SOLE           3    283,600         --       --
QUICKLOGIC CORP               EQUITY        74837P108         4       4,000 SH       DEFINED        5         --         --    4,000
QUICKSILVER RESOURCES INC     EQUITY        74837R104     5,080     258,807 SH       SOLE           1    258,807         --       --
QUICKSILVER RESOURCES INC     EQUITY        74837R104         5         250 SH       DEFINED        5         --         --      250
QUICKSILVER RESOURCES INC     EQUITY        74837R104        20       1,000 SH       DEFINED        4         --         --    1,000
QUICKSILVER, INC.             EQUITY        74838C106       657     114,518 SH       SOLE           1    114,518         --       --
QUIDEL CORPORATION            EQUITY        74838J101       421      25,644 SH       SOLE           1     25,644         --       --
QUIKSILVER INC                EQUITY        74838C106         6       1,048 SH       DEFINED        5         --         --    1,048
QWEST COMMUNICATIONS
   INTERNATIONAL INC          EQUITY        749121109     3,944   1,221,113 SH       SOLE           1  1,221,113         --       --
R. R. DONNELLEY AND SONS CO.  EQUITY        257867101     6,777     276,267 SH       SOLE           1    276,267         --       --
R.H. DONNELLEY CORP.          EQUITY        74955W307       124      62,437 SH       SOLE           1     62,437         --       --
RACKABLE SYSTEMS INC          EQUITY        750077109       264      26,897 SH       SOLE           1     26,897         --       --
RADIAN GROUP, INC.            EQUITY        750236101       368      73,000 SH       SOLE           1     73,000         --       --
RADIANT SYSTEMS, INC.         EQUITY        75025N102       218      25,094 SH       SOLE           1     25,094         --       --
RADIOSHACK CORP               EQUITY        750438103         3         182 SH       DEFINED        5         --         --      182
RADIOSHACK CORP               EQUITY        750438103         6         332 SH       DEFINED        4         --         --      332
RADIOSHACK CORP.              EQUITY        750438103       929      53,735 SH       SOLE           1     53,735         --       --
RADISYS CORP.                 EQUITY        750459109       175      20,359 SH       SOLE           1     20,359         --       --
RADNET INC                    EQUITY        750491102        78      19,359 SH       SOLE           1     19,359         --       --
RAIT FINANCIAL TRUST          EQUITY        749227104       310      56,421 SH       SOLE           1     56,421         --       --
RAIT FINANCIAL TRUST          EQUITY        749227104         8       1,397 SH       DEFINED        4         --         --    1,397
RAIT FINANCIAL TRUST          EQUITY        749227104        21       3,800 SH       DEFINED        5         --         --    3,800
RALCORP HLDGS INC NEW         EQUITY        751028101         4          55 SH       DEFINED        5         --         --       55
RALCORP HOLDINGS, INC.        EQUITY        751028101    10,175     150,945 SH       SOLE           1    150,945         --       --
RAM ENERGY RESOURCES INC      EQUITY        75130P109       123      42,540 SH       SOLE           1     42,540         --       --
RAMBUS INC DEL                EQUITY        750917106        13       1,050 SH       DEFINED        5         --         --    1,050
RAMBUS INC DEL CALL           OPTION        750917906         1           5     CALL DEFINED        5         --         --        5
RAMBUS INC.                   EQUITY        750917106        27       2,125 SH       SOLE           1      2,125         --       --
RAMTRON INTL CORP             EQUITY        751907304       324     117,725 SH       DEFINED        4         --         --  117,725
RAMTRON INTL CORP COM NEW     EQUITY        751907304       814     295,900 SH       SOLE           3    295,900         --       --
RANDGOLD RES LTD              EQUITY        752344309        21         500 SH       DEFINED        5         --         --      500
RANDGOLD RES LTD CALL         OPTION        752344909         4          10     CALL DEFINED        5         --         --       10
RANGE RES CORP                EQUITY        75281A109         1          30 SH       DEFINED        4         --         --       30
RANGE RESOURCES CORP          EQUITY        75281A109     2,635      61,469 SH       SOLE           1     61,469         --       --





                                                                                           
RASER TECHNOLOGIES INC        EQUITY        754055101       349      41,032 SH       SOLE           1     41,032         --       --
RAVEN INDUSTRIES INC          EQUITY        754212108       573      14,560 SH       SOLE           1     14,560         --       --
RAYMOND JAMES FINANCIAL, INC. EQUITY        754730109     7,279     220,724 SH       SOLE           1    220,724         --       --
RAYONIER INC                  EQUITY        754907103         4          75 SH       DEFINED        4         --         --       75
RAYONIER INC                  EQUITY        754907103        61       1,294 SH       DEFINED        5         --         --    1,294
RAYONIER, INC.                EQUITY        754907103     8,554     180,656 SH       SOLE           1    180,656         --       --
RAYTHEON CO                   OPTION        755111119         7         423     CALL SOLE           1        423         --       --
RAYTHEON CO                   EQUITY        755111507        51         947 SH       DEFINED        4         --         --      947
RAYTHEON CO                   EQUITY        755111507        85       1,582 SH       DEFINED        5         --         --    1,582
RAYTHEON CO                   EQUITY        755111507     4,399      82,218 SH       SOLE           2     82,218         --       --
RAYTHEON CO.                  EQUITY        755111507    18,598     347,556 SH       SOLE           1    347,556         --       --
RBC BEARINGS INC              EQUITY        75524B104       662      19,814 SH       SOLE           1     19,814         --       --
RC2 CORP                      EQUITY        749388104       317      15,877 SH       SOLE           1     15,877         --       --
RCN CORP                      EQUITY        749361200       436      35,468 SH       SOLE           1     35,468         --       --
REALNETWORKS, INC.            EQUITY        75605L104       418      82,300 SH       SOLE           1     82,300         --       --
REALTY INCOME CORP            EQUITY        756109104        61       2,391 SH       DEFINED        5         --         --    2,391
REALTY INCOME CORP            EQUITY        756109104       378      14,785 SH       DEFINED        4         --         --   14,785
RED HAT INC                   EQUITY        756577102         4         266 SH       DEFINED        5         --         --      266
RED HAT INC COM               EQUITY        756577102     3,092     205,200 SH       SOLE           3     76,500              128700
RED HAT, INC.                 EQUITY        756577102        58       3,880 SH       SOLE           1      3,880         --       --
RED LION HOTELS CORP          EQUITY        756764106         2         300 SH       DEFINED        4         --         --      300
RED ROBIN GOURMET BURGERS     EQUITY        75689M101       411      15,334 SH       SOLE           1     15,334         --       --
REDDY ICE HOLDINGS INC        EQUITY        75734R105        59      16,214 SH       SOLE           1     16,214         --       --
REDWOOD TR INC                EQUITY        758075402         2         100 SH       DEFINED        5         --         --      100
REDWOOD TRUST, INC.           EQUITY        758075402     4,804     221,091 SH       SOLE           1    221,091         --       --
REGAL ENTMT GROUP             EQUITY        758766109        43       2,702 SH       SOLE           1      2,702         --       --
REGAL ENTMT GROUP             EQUITY        758766109     3,651     231,400 SH       SOLE           2    231,400         --       --
REGAL-BELOIT CORP.            EQUITY        758750103     1,243      29,226 SH       SOLE           1     29,226         --       --
REGENERON PHARMACEUTICALS
   INC.                       EQUITY        75886F107     1,232      56,380 SH       SOLE           1     56,380         --       --
REGIONS FINANCIAL CORP        EQUITY        7591EP100     6,237     649,731 SH       SOLE           1    649,731         --       --
REGIONS FINANCIAL CORP NEW    EQUITY        7591EP100        10       1,080 SH       DEFINED        4         --         --    1,080
REGIS CORP MINN               EQUITY        758932107         3         100 SH       DEFINED        4         --         --      100
REGIS CORP.                   EQUITY        758932107     3,762     136,785 SH       SOLE           1    136,785         --       --
REHAB CARE GROUP              EQUITY        759148109       296      16,378 SH       SOLE           1     16,378         --       --
REINSURANCE GROUP AMER INC    EQUITY        759351505         5         107 SH       DEFINED        5         --         --      107
REINSURANCE GROUP AMER INC    EQUITY        759351406        51         950 SH       DEFINED        5         --         --      950
REINSURANCE GROUP OF AMERICA
   INC                        EQUITY        759351406        55       1,027 SH       SOLE           1      1,027         --       --
RELIANCE STEEL & ALUMINIUM
   CO.                        EQUITY        759509102     5,766     151,863 SH       SOLE           1    151,863         --       --
RELIANT ENERGY INC            EQUITY        75952B105     3,363     457,527 SH       SOLE           1    457,527         --       --
RELIANT ENERGY INC            EQUITY        75952B105         3         383 SH       DEFINED        4         --         --      383





                                                                                           
RELIANT ENERGY INC            EQUITY        75952B105         7         922 SH       DEFINED        5         --         --      922
RENAISSANCE LEARNING, INC.    EQUITY        75968L105       110       8,715 SH       SOLE           1      8,715         --       --
RENAISSANCERE HOLDINGS LTD    EQUITY        G7496G103        60       1,150 SH       DEFINED        5         --         --    1,150
RENASANT CORP                 EQUITY        7.60E+111       403      19,103 SH       SOLE           1     19,103         --       --
RENESOLA LTD                  EQUITY        75971T103         2         230 SH       DEFINED        5         --         --      230
RENT A CTR INC NEW            EQUITY        76009N100         3         150 SH       DEFINED        4         --         --      150
RENT A CTR INC NEW            EQUITY        76009N100     9,158     411,019 SH       SOLE           2    411,019         --       --
RENT-A-CENTER INC             EQUITY        76009N100     4,717     211,712 SH       SOLE           1    211,712         --       --
RENTECH INC                   EQUITY        760112102       200     150,465 SH       SOLE           1    150,465         --       --
RENTECH INC                   EQUITY        760112102         7       5,000 SH       DEFINED        5         --         --    5,000
REPLIGEN CORP                 EQUITY        759916109       133      28,187 SH       SOLE           1     28,187         --       --
REPUBLIC AIRWAYS HOLDINGS IN  EQUITY        760276105       322      31,715 SH       SOLE           1     31,715         --       --
REPUBLIC BANCORP, INC.        EQUITY        760281204       243       8,387 SH       SOLE           1      8,387         --       --
REPUBLIC SERVICES IN          EQUITY        760759100    10,610     353,906 SH       SOLE           1    353,906         --       --
REPUBLIC SVCS INC             EQUITY        760759100         5         161 SH       DEFINED        5         --         --      161
RES-CARE INC                  EQUITY        760943100       410      22,585 SH       SOLE           1     22,585         --       --
RESEARCH IN MOTION LTD        EQUITY        760975102     8,470     125,579 SH       OTHER          1         --    125,579       --
RESEARCH IN MOTION LTD        EQUITY        760975102       104       1,527 SH       DEFINED        5         --         --    1,527
RESEARCH IN MOTION LTD        EQUITY        760975102       585       8,570 SH       DEFINED        4         --         --    8,570
RESEARCH IN MOTION LTD        EQUITY        760975102     6,739      98,665 SH       SOLE           2     98,665         --       --
RESMED INC                    EQUITY        761152107     7,433     172,872 SH       SOLE           1    172,872         --       --
RESOURCE AMERICA, INC.        EQUITY        761195205        82       8,908 SH       SOLE           1      8,908         --       --
RESOURCE CAPITAL CORP         EQUITY        76120W302       117      19,299 SH       SOLE           1     19,299         --       --
RESOURCES GLOBAL
   PROFESSIONALS              EQUITY        76122Q105       932      41,364 SH       SOLE           1     41,364         --       --
RETAIL VENTURES INC           EQUITY        76128Y102       102      26,230 SH       SOLE           1     26,230         --       --
REX ENERGY CORP               EQUITY        761565100       241      15,272 SH       SOLE           1     15,272         --       --
REX ENERGY CORPORATION        EQUITY        761565100         5         300 SH       DEFINED        4         --         --      300
REX STORES CORP               EQUITY        761624105        87       7,562 SH       SOLE           1      7,562         --       --
REXAHN PHARMACEUTICALS INC    EQUITY        761640101        34      26,501 SH       SOLE           1     26,501         --       --
REYNOLDS AMERICAN INC         EQUITY        761713106    10,283     211,493 SH       SOLE           1    211,493         --       --
REYNOLDS AMERICAN INC         EQUITY        761713106        60       1,236 SH       DEFINED        5         --         --    1,236
REYNOLDS AMERN INC            EQUITY        761713106     3,894      80,100 SH       SOLE           2     80,100         --       --
RF MICRO DEVICES INC          EQUITY        749941100     2,427     831,316 SH       SOLE           1    831,316         --       --
RF MICRODEVICES INC           EQUITY        749941100       410     140,300 SH       DEFINED        4         --         --  140,300
RF MONOLITHICS INC COM(OXFORD
   PTNRS LP)                  EQUITY        74955F106         3       4,973 SH       SOLE           1      4,973         --       --
RICK'S CABARET INTERNATIONAL
   INC                        EQUITY        765641303        58       5,927 SH       SOLE           1      5,927         --       --
RIGEL PHARMACEUTICALS INC     EQUITY        766559603       775      33,170 SH       SOLE           1     33,170         --       --
RIGHTNOW TECHNOLOGIES INC     EQUITY        76657R106       318      25,332 SH       SOLE           1     25,332         --       --
RIMAGE CORP                   EQUITY        766721104       120       8,749 SH       SOLE           1      8,749         --       --
RIO TINTO PLC                 EQUITY        767204100         6          25 SH       DEFINED        4         --         --       25





                                                                                           
RIO TINTO PLC                 EQUITY        767204100        17          70 SH       DEFINED        5         --         --       70
RISKMETRICS GROUP INC         EQUITY        767735103       382      19,499 SH       SOLE           1     19,499         --       --
RITCHIE BROS AUCTIONEERS INC  EQUITY        767744105        40       1,656 SH       OTHER          1         --      1,656       --
RITE AID CORP                 EQUITY        767754104        14      17,211 SH       SOLE           1     17,211         --       --
RITE AID CORP                 EQUITY        767754104         3       3,200 SH       DEFINED        5         --         --    3,200
RIVERBED TECHNOLOGY INC       EQUITY        768573107       638      50,997 SH       SOLE           1     50,997         --       --
RIVERVIEW BANCORP INC         EQUITY        769397100         3         500 SH       DEFINED        5         --         --      500
RIVIERA HOLDINGS CORP         EQUITY        769627100        67       9,144 SH       SOLE           1      9,144         --       --
RLI CORP                      EQUITY        749607107        57         920 SH       DEFINED        5         --         --      920
RLI CORP.                     EQUITY        749607107     1,052      16,937 SH       SOLE           1     16,937         --       --
RMK HIGH INCOME FD INC        EQUITY        74963B105        27      25,414 SH       DEFINED        5         --         --   25,414
ROBBINS & MYERS, INC.         EQUITY        770196103       788      25,486 SH       SOLE           1     25,486         --       --
ROBERT HALF INTERNATIONAL
   INC.                       EQUITY        770323103     1,529      61,769 SH       SOLE           1     61,769         --       --
ROCHESTER MED CORP            EQUITY        771497104         1         100 SH       DEFINED        5         --         --      100
ROCK-TENN CO., CLASS A        EQUITY        772739207     1,385      34,638 SH       SOLE           1     34,638         --       --
ROCKVILLE FINANCIAL INC       EQUITY        774186100       123       8,063 SH       SOLE           1      8,063         --       --
ROCKWELL AUTOMATION INC       EQUITY        773903109     7,160     191,743 SH       SOLE           1    191,743         --       --
ROCKWELL AUTOMATION INC       EQUITY        773903109         4         100 SH       DEFINED        5         --         --      100
ROCKWELL COLLINS INC          EQUITY        774341101     3,260      67,780 SH       SOLE           1     67,780         --       --
ROCKWOOD HOLDINGS INC         EQUITY        774415103       972      37,876 SH       SOLE           1     37,876         --       --
ROFIN-SINAR TECHNOLOGIES INC  EQUITY        775043102       826      26,988 SH       SOLE           1     26,988         --       --
ROGERS COMMUNICATIONS INC     EQUITY        775109200     3,376     104,034 SH       OTHER          1         --    104,034       --
ROGERS CORP.                  EQUITY        775133101       603      16,309 SH       SOLE           1     16,309         --       --
ROHM & HAAS CO                EQUITY        775371107         7         100 SH       DEFINED        4         --         --      100
ROHM AND HAAS CO.             EQUITY        775371107    15,739     224,842 SH       SOLE           1    224,842         --       --
ROLLINS, INC.                 EQUITY        775711104     2,495     131,428 SH       SOLE           1    131,428         --       --
ROMA FINANCIAL CORP           EQUITY        77581P109       119       7,956 SH       SOLE           1      7,956         --       --
ROPER INDUSTRIES, INC.        EQUITY        776696106    11,678     205,019 SH       SOLE           1    205,019         --       --
ROSETTA RESOURCES INC         EQUITY        777779307       858      46,732 SH       SOLE           1     46,732         --       --
ROSS STORES INC               EQUITY        778296103        11         300 SH       DEFINED        5         --         --      300
ROSS STORES, INC.             EQUITY        778296103    11,418     310,187 SH       SOLE           1    310,187         --       --
ROWAN COMPANIES, INC.         EQUITY        779382100     2,753      90,115 SH       SOLE           1     90,115         --       --
ROWAN COS INC                 EQUITY        779382100        29         949 SH       DEFINED        5         --         --      949
ROYAL BANK OF CANADA          EQUITY        780087102    16,767     353,139 SH       OTHER          1         --    353,139       --
ROYAL BANK OF SCOTLAND GROUP
   PLC                        FIXED INCOME  780097804     1,170      90,000 PRN      SOLE           1     90,000         --       --
ROYAL BANK OF SCOTLAND GROUP
   PLC                        FIXED INCOME  780097747     1,402     166,900 PRN      SOLE           1    166,900         --       --
ROYAL BANK OF SCOTLAND GROUP
   PLC                        FIXED INCOME  780097713     3,750     375,000 PRN      SOLE           1    375,000         --       --
ROYAL BK OF SCOT PERP         FIXED INCOME  780097770       531      55,000 PRN      SOLE           1     55,000         --       --
ROYAL BK SCOTLAND GROUP PLC   EQUITY        780097713         2         200 SH       DEFINED        4         --         --      200
ROYAL BK SCOTLAND GROUP PLC   EQUITY        780097713         3         300 SH       DEFINED        5         --         --      300





                                                                                           
ROYAL BK SCOTLAND GROUP PLC   EQUITY        780097788         4         425 SH       DEFINED        4         --         --      425
ROYAL BK SCOTLAND GROUP PLC   EQUITY        780097788       131      14,355 SH       DEFINED        5         --         --   14,355
ROYAL BK SCOTLAND GROUP PLC   EQUITY        780097796       190      20,506 SH       DEFINED        5         --         --   20,506
ROYAL CARIBBEAN CRUISES LT    EQUITY        V7780T103        48       2,300 SH       SOLE           2      2,300         --       --
ROYAL DUTCH SHELL PLC         EQUITY        780259206         8         139 SH       DEFINED        4         --         --      139
ROYAL DUTCH SHELL PLC         EQUITY        780259107        25         430 SH       DEFINED        5         --         --      430
ROYAL DUTCH SHELL PLC         EQUITY        780259107        30         517 SH       DEFINED        4         --         --      517
ROYAL DUTCH SHELL PLC         EQUITY        780259206        46         775 SH       DEFINED        5         --         --      775
ROYAL GOLD INC                EQUITY        780287108       956      26,585 SH       SOLE           1     26,585         --       --
ROYAL GOLD INC                EQUITY        780287108         5         150 SH       DEFINED        5         --         --      150
ROYCE MICRO-CAP TR INC        EQUITY        780915104         7         783 SH       DEFINED        4         --         --      783
ROYCE VALUE TR INC            EQUITY        780910105         1         110 SH       DEFINED        5         --         --      110
ROYCE VALUE TR INC            EQUITY        780910105        22       1,659 SH       DEFINED        4         --         --    1,659
RPC                           EQUITY        749660106       371      26,402 SH       SOLE           1     26,402         --       --
RPM INTERNATIONAL INC.        EQUITY        749685103     5,810     300,428 SH       SOLE           1    300,428         --       --
RPM INTL INC                  EQUITY        749685103       111       5,733 SH       DEFINED        4         --         --    5,733
RRSAT GLOBAL COMM SHS (F)     EQUITY        M8183P102     1,081      86,200 SH       SOLE           3     86,200         --       --
RSC HOLDINGS INC              EQUITY        74972L102       492      43,319 SH       SOLE           1     43,319         --       --
RSC HOLDINGS INC              EQUITY        74972L102        15       1,338 SH       DEFINED        4         --         --    1,338
RTI BIOLOGICS INC             EQUITY        74975N105       456      48,845 SH       SOLE           1     48,845         --       --
RTI INTERNATIONAL METALS,
   INC.                       EQUITY        74973W107       409      20,913 SH       SOLE           1     20,913         --       --
RUBICON TECHNOLOGY INC        EQUITY        78112T107        87      12,024 SH       SOLE           1     12,024         --       --
RUBY TUESDAY, INC.            EQUITY        781182100       272      46,937 SH       SOLE           1     46,937         --       --
RUDDICK CORP.                 EQUITY        781258108     4,119     126,941 SH       SOLE           1    126,941         --       --
RUDOLPH TECHNOLOGIES INC.     EQUITY        781270103       234      27,894 SH       SOLE           1     27,894         --       --
RUSH ENTERPRISES INC-CL A     EQUITY        781846209       392      30,603 SH       SOLE           1     30,603         --       --
RUSS BERRIE AND CO., INC.     EQUITY        782233100       117      15,215 SH       SOLE           1     15,215         --       --
RUTH'S HOSPITALITY GROUP INC  EQUITY        783332109        72      18,239 SH       SOLE           1     18,239         --       --
RXI PHARMACEUTICALS CORP      EQUITY        74978T109         2         299 SH       DEFINED        5         --         --      299
RXI PHARMACEUTICALS CORP      EQUITY        74978T109         8       1,000 SH       DEFINED        4         --         --    1,000
RYANAIR HLDGS PLC             EQUITY        783513104        29       1,301 SH       DEFINED        5         --         --    1,301
RYANAIR HOLDINGS PLC-SP ADR   EQUITY        783513104       207       9,229 SH       SOLE           1      9,229         --       --
RYDER SYSTEM, INC.            EQUITY        783549108     3,180      51,286 SH       SOLE           1     51,286         --       --
RYDEX ETF TRUST               EQUITY        78355W767         3          25 SH       DEFINED        5         --         --       25
RYDEX ETF TRUST               EQUITY        78355W403        13         425 SH       DEFINED        5         --         --      425
RYDEX ETF TRUST               EQUITY        78355W841        50         992 SH       DEFINED        4         --         --      992
RYDEX ETF TRUST               EQUITY        78355W205        77         869 SH       DEFINED        5         --         --      869
RYDEX ETF TRUST               EQUITY        78355W106       115       3,032 SH       DEFINED        5         --         --    3,032
RYDEX ETF TRUST               EQUITY        78355W106     1,600      42,196 SH       DEFINED        4         --         --   42,196
RYLAND GROUP                  EQUITY        783764103     3,581     135,018 SH       SOLE           1    135,018         --       --





                                                                                           
RYLAND GROUP INC              EQUITY        783764103     1,347      50,800 SH       SOLE           2     50,800         --       --
S J W CORP COM                EQUITY        784305104       359      11,963 SH       SOLE           1     11,963         --       --
S&P 500 DEPOSITORY RECEIPT    EQUITY        78462F103   117,516   1,013,511 SH       SOLE           1  1,013,511         --       --
S&T BANCORP, INC.             EQUITY        783859101       811      21,610 SH       SOLE           1     21,610         --       --
S.Y. BANCORP INC              EQUITY        785060104       375      12,236 SH       SOLE           1     12,236         --       --
S1 CORPORATION                EQUITY        78463B101       276      44,981 SH       SOLE           1     44,981         --       --
SABINE ROYALTY TR             EQUITY        785688102         9         154 SH       DEFINED        5         --         --      154
SABINE ROYALTY TR             EQUITY        785688102       243       4,341 SH       DEFINED        4         --         --    4,341
SADIA S A                     EQUITY        786326108         4         400 SH       DEFINED        4         --         --      400
SAFEGUARD SCIENTIFICS, INC.   EQUITY        786449108       138     110,311 SH       SOLE           1    110,311         --       --
SAFETY INSURANCE GROUP INC    EQUITY        78648T100       533      14,794 SH       SOLE           1     14,794         --       --
SAFEWAY INC                   EQUITY        786514208    21,005     885,548 SH       SOLE           1    885,548         --       --
SAFEWAY INC                   EQUITY        786514208         6         240 SH       DEFINED        4         --         --      240
SAIA INC                      EQUITY        78709Y105       162      12,207 SH       SOLE           1     12,207         --       --
SAIC INC                      EQUITY        78390X101    10,505     519,302 SH       SOLE           1    519,302         --       --
SAIC INC                      EQUITY        78390X101         5         250 SH       DEFINED        5         --         --      250
SAIC INC                      EQUITY        78390X101         6         300 SH       DEFINED        4         --         --      300
SAKS INC                      EQUITY        79377W108     3,017     326,188 SH       SOLE           1    326,188         --       --
SAKS INC                      EQUITY        79377W108         3         350 SH       DEFINED        4         --         --      350
SALARY.COM INC                EQUITY        794006106       715     174,841 SH       SOLE           1    174,841         --       --
SALESFORCE COM INC            EQUITY        79466L302       895      18,490 SH       SOLE           2     18,490         --       --
SALESFORCE.COM INC            EQUITY        79466L302     1,984      40,998 SH       SOLE           1     40,998         --       --
SALESFORCE.COM INC.           EQUITY        79466L302     2,647      54,700 SH       SOLE           3     21,600               33100
SALIX PHARMACEUTICALS         EQUITY        795435106       279      43,508 SH       SOLE           1     43,508         --       --
SALLY BEAUTY CO INC           EQUITY        7.95E+108       738      85,808 SH       SOLE           1     85,808         --       --
SAN JUAN BASIN RTY TR         EQUITY        798241105        21         560 SH       DEFINED        5         --         --      560
SAN JUAN BASIN RTY TR         EQUITY        798241105        54       1,418 SH       DEFINED        4         --         --    1,418
SANDERS MORRIS HARRIS GRP IN  EQUITY        80000Q104       154      17,661 SH       SOLE           1     17,661         --       --
SANDERSON FARMS INC           EQUITY        800013104     1,319      35,900 SH       SOLE           2     35,900         --       --
SANDERSON FARMS INC CALL      OPTION        800013904         3           5     CALL DEFINED        4         --         --        5
SANDERSON FARMS, INC.         EQUITY        800013104       677      18,439 SH       SOLE           1     18,439         --       --
SANDISK CORP                  EQUITY        80004C101         2         100 SH       DEFINED        5         --         --      100
SANDISK CORP.                 EQUITY        80004C101     1,986     101,635 SH       SOLE           1    101,635         --       --
SANDRIDGE ENERGY INC          EQUITY        80007P307        42       2,119 SH       SOLE           1      2,119         --       --
SANDRIDGE ENERGY INC          EQUITY        80007P307        13         666 SH       DEFINED        4         --         --      666
SANDY SPRING BANCORP, INC.    EQUITY        800363103       337      14,983 SH       SOLE           1     14,983         --       --
SANGAMO BIOSCIENCES INC       EQUITY        800677106       257      33,351 SH       SOLE           1     33,351         --       --
SANGAMO BIOSCIENCES INC       EQUITY        800677106         4         580 SH       DEFINED        5         --         --      580
SANGAMO BIOSCIENCES INC       EQUITY        800677106         8       1,100 SH       DEFINED        4         --         --    1,100
SANMINA-- SCI CORP            EQUITY        800907107       676     482,960 SH       SOLE           1    482,960         --       --





                                                                                           
SANMINA SCI CORP              EQUITY        800907107         1       1,000 SH       DEFINED        5         --         --    1,000
SANOFI AVENTIS                EQUITY        80105N105         2          66 SH       DEFINED        4         --         --       66
SANOFI AVENTIS                EQUITY        80105N105        12         358 SH       DEFINED        5         --         --      358
SANTANDER BANCORP             EQUITY        802809103        43       3,979 SH       SOLE           1      3,979         --       --
SAPIENT CORP.                 EQUITY        803062108       595      79,898 SH       SOLE           1     79,898         --       --
SARA LEE CORP                 EQUITY        803111103        18       1,440 SH       DEFINED        4         --         --    1,440
SARA LEE CORP                 EQUITY        803111103       105       8,332 SH       DEFINED        5         --         --    8,332
SARA LEE CORP.                EQUITY        803111103     3,788     299,957 SH       SOLE           1    299,957         --       --
SASOL LTD                     EQUITY        803866300        20         461 SH       DEFINED        5         --         --      461
SAUER-DANFOSS INC.            EQUITY        804137107       249      10,073 SH       SOLE           1     10,073         --       --
SAVIENT PHARMACEUTICALS INC   EQUITY        80517Q100       736      49,301 SH       SOLE           1     49,301         --       --
SAVVIS INC                    EQUITY        805423308       461      34,217 SH       SOLE           1     34,217         --       --
SBA COMMUNICATIONS
   CORPORATION                EQUITY        78388J106        57       2,211 SH       SOLE           1      2,211         --       --
SCANA CORP                    EQUITY        80589M102    10,504     269,828 SH       SOLE           1    269,828         --       --
SCANA CORP NEW                EQUITY        80589M102         6         165 SH       DEFINED        5         --         --      165
SCANA CORP NEW                EQUITY        80589M102         7         167 SH       DEFINED        4         --         --      167
SCANSOFT INC                  EQUITY        67020Y100        43       3,508 SH       SOLE           1      3,508         --       --
SCANSOURCE INC                EQUITY        806037107       688      23,896 SH       SOLE           1     23,896         --       --
SCBT FINANCIAL CORP           EQUITY        78401V102       344       9,295 SH       SOLE           1      9,295         --       --
SCHAWK, INC.                  EQUITY        806373106       207      13,665 SH       SOLE           1     13,665         --       --
SCHEIN HENRY INC              EQUITY        806407102         8         150 SH       DEFINED        5         --         --      150
SCHERING PLOUGH CORP          EQUITY        806605101         7         375 SH       DEFINED        4         --         --      375
SCHERING PLOUGH CORP          EQUITY        806605101        54       2,902 SH       DEFINED        5         --         --    2,902
SCHERING PLOUGH CORP          EQUITY        806605101       249      13,500 SH       SOLE           2     13,500         --       --
SCHERING-PLOUGH CORP.         EQUITY        806605101    17,961     972,466 SH       SOLE           1    972,466         --       --
SCHIFF NUTRITION
   INTERNATIONAL INC          EQUITY        806693107        58       8,467 SH       SOLE           1      8,467         --       --
SCHLUMBERGER LTD              EQUITY        806857108        71         907 SH       DEFINED        4         --         --      907
SCHLUMBERGER LTD              EQUITY        806857108       252       3,223 SH       DEFINED        5         --         --    3,223
SCHLUMBERGER LTD              EQUITY        806857108    23,977     307,044 SH       SOLE           2    307,044         --       --
SCHLUMBERGER, LTD.            EQUITY        806857108    58,572     750,054 SH       SOLE           1    750,054         --       --
SCHNITZER STL INDS            EQUITY        806882106        27         694 SH       SOLE           1        694         --       --
SCHOLASTIC CORP.              EQUITY        807066105     2,108      81,982 SH       SOLE           1     81,982         --       --
SCHOOL SPECIALTY, INC.        EQUITY        807863105       533      17,097 SH       SOLE           1     17,097         --       --
SCHULMAN, A. INC.             EQUITY        808194104       488      24,654 SH       SOLE           1     24,654         --       --
SCHWAB CHARLES CORP           EQUITY        808513105     9,391     361,200 SH       SOLE           2    361,200         --       --
SCHWAB CHARLES CORP NEW       EQUITY        808513105        11         420 SH       DEFINED        5         --         --      420
SCHWAB CHARLES CP NEW COM     EQUITY        808513105     1,674      64,400 SH       SOLE           3     64,400         --       --
SCHWEITZER-MAUDUIT INC.       EQUITY        808541106       270      14,219 SH       SOLE           1     14,219         --       --
SCIELE PHARMA INC             EQUITY        808627103     2,120      68,777 SH       SOLE           1     68,777         --       --
SCIENTIFIC GAMES CORP         EQUITY        80874P109     9,938     431,695 SH       SOLE           2    431,695         --       --





                                                                                           
SCIENTIFIC GAMES CORP A       EQUITY        80874P109     3,416     148,514 SH       SOLE           1    148,514         --       --
SCOTTS MIRACLE GRO CO         EQUITY        810186106         2         100 SH       DEFINED        5         --         --      100
SCOTTS MIRACLE-GRO CO.        EQUITY        810186106     2,345      99,205 SH       SOLE           1     99,205         --       --
SCRIPPS NETWORKS INTERACTIVE  EQUITY        811065101     1,371      37,748 SH       SOLE           1     37,748         --       --
SEABOARD CORP.                EQUITY        811543107       386         307 SH       SOLE           1        307         --       --
SEABRIGHT INSURANCE HOLDINGS  EQUITY        811656107       252      19,334 SH       SOLE           1     19,334         --       --
SEACHANGE INTERNATIONAL, INC. EQUITY        811699107       273      28,017 SH       SOLE           1     28,017         --       --
SEACOAST BANKING CORP FL      EQUITY        811707306       146      13,446 SH       SOLE           1     13,446         --       --
SEACOR HOLDINGS INC           EQUITY        811904101       459       5,813 SH       SOLE           1      5,813         --       --
SEAGATE TECHNOLOGY            EQUITY        G7945J104         2         150 SH       DEFINED        4         --         --      150
SEAGATE TECHNOLOGY            EQUITY        G7945J104         4         293 SH       DEFINED        5         --         --      293
SEALED AIR CORP               EQUITY        81211K100     1,444      65,650 SH       SOLE           1     65,650         --       --
SEALED AIR CORP NEW           EQUITY        81211K100         9         420 SH       DEFINED        5         --         --      420
SEALY CORP                    EQUITY        812139301       259      40,134 SH       SOLE           1     40,134         --       --
SEARS HLDGS CORP              EQUITY        812350106         5          50 SH       DEFINED        4         --         --       50
SEARS HLDGS CORP PUT          OPTION        812350956         1           4     PUT  DEFINED        5         --         --        4
SEARS HOLDINGS CORP           EQUITY        812350106     2,800      30,148 SH       SOLE           1     30,148         --       --
SEASPAN CORP                  EQUITY        Y75638109        13         700 SH       DEFINED        4         --         --      700
SEASPAN CORP                  EQUITY        Y75638109        13         700 SH       DEFINED        5         --         --      700
SEATTLE GENETICS INC WA       EQUITY        812578102       590      55,133 SH       SOLE           1     55,133         --       --
SECURE COMPUTING CORP         EQUITY        813705100       880     160,037 SH       SOLE           1    160,037         --       --
SECURITY BANK CORP            EQUITY        814047106         5       1,300 SH       DEFINED        4         --         --    1,300
SEI INVESTMENTS CO.           EQUITY        784117103     7,133     321,448 SH       SOLE           1    321,448         --       --
SELECT SECTOR SPDR TR         EQUITY        81369Y407         4         161 SH       DEFINED        5         --         --      161
SELECT SECTOR SPDR TR         EQUITY        81369Y803        19         973 SH       DEFINED        5         --         --      973
SELECT SECTOR SPDR TR         EQUITY        81369Y704        32       1,034 SH       DEFINED        5         --         --    1,034
SELECT SECTOR SPDR TR         EQUITY        81369Y100        35       1,036 SH       DEFINED        5         --         --    1,036
SELECT SECTOR SPDR TR         EQUITY        81369Y605        45       2,253 SH       DEFINED        5         --         --    2,253
SELECT SECTOR SPDR TR         EQUITY        81369Y100        48       1,431 SH       DEFINED        4         --         --    1,431
SELECT SECTOR SPDR TR         EQUITY        81369Y209        50       1,654 SH       DEFINED        5         --         --    1,654
SELECT SECTOR SPDR TR         EQUITY        81369Y886        89       2,675 SH       DEFINED        4         --         --    2,675
SELECT SECTOR SPDR TR         EQUITY        81369Y308        92       3,350 SH       DEFINED        5         --         --    3,350
SELECT SECTOR SPDR TR         EQUITY        81369Y704        95       3,087 SH       DEFINED        4         --         --    3,087
SELECT SECTOR SPDR TR         EQUITY        81369Y209       130       4,321 SH       DEFINED        4         --         --    4,321
SELECT SECTOR SPDR TR         EQUITY        81369Y886       146       4,401 SH       DEFINED        5         --         --    4,401
SELECT SECTOR SPDR TR         EQUITY        81369Y506       198       3,131 SH       DEFINED        4         --         --    3,131
SELECT SECTOR SPDR TR         EQUITY        81369Y803       298      15,016 SH       DEFINED        4         --         --   15,016
SELECT SECTOR SPDR TR         EQUITY        81369Y605       341      17,140 SH       DEFINED        4         --         --   17,140
SELECT SECTOR SPDR TR         EQUITY        81369Y506       959      15,150 SH       DEFINED        5         --         --   15,150
SELECT SECTOR SPDR TR         EQUITY        81369Y308     1,832      66,364 SH       DEFINED        4         --         --   66,364





                                                                                           
SELECTIVE INS GROUP INC       EQUITY        816300107     2,837     123,799 SH       SOLE           2    123,799         --       --
SELECTIVE INSURANCE GROUP,
   INC                        EQUITY        816300107     1,163      48,453 SH       SOLE           1     48,453         --       --
SEMICONDUCTOR HLDRS TR        EQUITY        816636203         5         200 SH       DEFINED        5         --         --      200
SEMITOOL, INC.                EQUITY        816909105       167      20,470 SH       SOLE           1     20,470         --       --
SEMPRA ENERGY                 EQUITY        816851109     5,177     102,577 SH       SOLE           1    102,577         --       --
SEMPRA ENERGY                 EQUITY        816851109        17         330 SH       DEFINED        4         --         --      330
SEMPRA ENERGY                 EQUITY        816851109        20         406 SH       DEFINED        5         --         --      406
SEMTECH CORP                  EQUITY        816850101         9         646 SH       DEFINED        5         --         --      646
SEMTECH CORP                  EQUITY        816850101        12         848 SH       DEFINED        4         --         --      848
SEMTECH CORP.                 EQUITY        816850101     2,734     195,828 SH       SOLE           1    195,828         --       --
SENIOR HOUSING PROP TRUST     EQUITY        81721M109     2,478     103,994 SH       SOLE           1    103,994         --       --
SENIOR HSG PPTYS TR           EQUITY        81721M109         6         250 SH       DEFINED        5         --         --      250
SENORX INC                    EQUITY        81724W104     2,938     625,000 SH       SOLE           1    625,000         --       --
SENSIENT TECHNOLOGIES CORP.   EQUITY        81725T100     4,306     153,062 SH       SOLE           1    153,062         --       --
SEPRACOR INC                  EQUITY        817315104         7         375 SH       DEFINED        5         --         --      375
SEPRACOR, INC.                EQUITY        817315104     4,539     248,994 SH       SOLE           1    248,994         --       --
SEQUENOM INC                  EQUITY        817337405     1,953      73,349 SH       SOLE           1     73,349         --       --
SEQUENOM INC COM NEW          EQUITY        817337405       314      11,800 SH       SOLE           3     11,800         --       --
SERVICE CORP INTERNATIONAL    EQUITY        817565104     4,939     590,742 SH       SOLE           1    590,742         --       --
SHAW COMMUNICATIONS INC       EQUITY        82028K200         2         100 SH       DEFINED        4         --         --      100
SHAW COMMUNICATIONS INC-- B   EQUITY        82028K200    10,723     531,256 SH       OTHER          1         --    531,256       --
SHAW GROUP INC                EQUITY        820280105     5,866     190,887 SH       SOLE           1    190,887         --       --
SHAW GROUP INC                EQUITY        820280105         6         200 SH       DEFINED        4         --         --      200
SHAW GROUP INC                EQUITY        820280105         8         250 SH       DEFINED        5         --         --      250
SHENANDOAH TELECOMMUNI        EQUITY        82312B106       473      21,451 SH       SOLE           1     21,451         --       --
SHENGDATECH INC               EQUITY        823213103       192      27,352 SH       SOLE           1     27,352         --       --
SHERWIN WILLIAMS CO           EQUITY        824348106     2,475      43,300 SH       SOLE           2     43,300         --       --
SHERWIN-WILLIAMS CO.          EQUITY        824348106     2,260      39,535 SH       SOLE           1     39,535         --       --
SHINHAN FINANCIAL GROUP CO L  EQUITY        824596100        14         200 SH       DEFINED        4         --         --      200
SHIP FINANCE INTERNATIONAL L  EQUITY        G81075106         1          56 SH       DEFINED        4         --         --       56
SHIP FINANCE INTERNATIONAL L  EQUITY        G81075106        55       2,536 SH       DEFINED        5         --         --    2,536
SHOE CARNIVAL INC             EQUITY        824889109       132       8,049 SH       SOLE           1      8,049         --       --
SHORE BANCSHARES INC          EQUITY        825107105       196       7,620 SH       SOLE           1      7,620         --       --
SHORETEL INC                  EQUITY        825211105       226      39,302 SH       SOLE           1     39,302         --       --
SHUFFLE MASTER, INC.          EQUITY        825549108       244      48,017 SH       SOLE           1     48,017         --       --
SHUTTERFLY INC                EQUITY        82568P304       172      17,856 SH       SOLE           1     17,856         --       --
SI INTERNATIONAL INC          EQUITY        78427V102       362      12,044 SH       SOLE           1     12,044         --       --
SIEMENS A G                   EQUITY        826197501        13         140 SH       DEFINED        4         --         --      140
SIEMENS A G                   EQUITY        826197501        18         191 SH       DEFINED        5         --         --      191
SIERRA BANCORP                EQUITY        82620P102       138       6,742 SH       SOLE           1      6,742         --       --





                                                                                           
SIERRA PACIFIC RESOURCES      EQUITY        826428104     5,138     536,352 SH       SOLE           1    536,352         --       --
SIERRA WIRELESS INC           EQUITY        826516106         3         350 SH       DEFINED        5         --         --      350
SIGMA ALDRICH CORP            EQUITY        826552101        25         484 SH       DEFINED        5         --         --      484
SIGMA ALDRICH CORP.           EQUITY        826552101     2,978      56,825 SH       SOLE           1     56,825         --       --
SIGMA DESIGNS INC             EQUITY        826565103       344      24,173 SH       SOLE           1     24,173         --       --
SIGMA DESIGNS INC             EQUITY        826565103         3         200 SH       DEFINED        4         --         --      200
SIGMA DESIGNS INC             EQUITY        826565103        11         800 SH       DEFINED        5         --         --      800
SIGNATURE BANK                EQUITY        82669G104       947      27,079 SH       SOLE           1     27,079         --       --
SILGAN HOLDINGS, INC.         EQUITY        827048109     1,169      22,911 SH       SOLE           1     22,911         --       --
SILICON IMAGE  INC            EQUITY        82705T102       356      66,744 SH       SOLE           1     66,744         --       --
SILICON IMAGE INC             EQUITY        82705T102         4         750 SH       DEFINED        4         --         --      750
SILICON IMAGE INC             EQUITY        82705T102         5         900 SH       DEFINED        5         --         --      900
SILICON LABORATORIES INC      EQUITY        826919102     3,582     116,691 SH       SOLE           1    116,691         --       --
SILICON MOTION TECHNOLOGY CO  EQUITY        82706C108         4         900 SH       DEFINED        4         --         --      900
SILICON STORAGE TECHNOLOGY    EQUITY        827057100       248      75,882 SH       SOLE           1     75,882         --       --
SILVER STD RES INC            EQUITY        82823L106         2         115 SH       DEFINED        5         --         --      115
SILVER WHEATON CORP           EQUITY        828336107         4         539 SH       OTHER          1         --        539       --
SILVER WHEATON CORP           EQUITY        828336107        11       1,407 SH       DEFINED        5         --         --    1,407
SIMCERE PHARMACEUTICAL GROUP  EQUITY        82859P104         3         295 SH       DEFINED        5         --         --      295
SIMMONS FIRST NATIONAL CORP.  EQUITY        828730200       437      12,696 SH       SOLE           1     12,696         --       --
SIMON PPTY GROUP INC NEW      EQUITY        828806109        14         140 SH       DEFINED        4         --         --      140
SIMON PROPERTY GROUP INC      EQUITY        828806109    24,083     248,280 SH       SOLE           1    248,280         --       --
SIMPSON MANUFACTURING CO.     EQUITY        829073105       917      33,839 SH       SOLE           1     33,839         --       --
SIMS GROUP LTD                EQUITY        829160100         5         205 SH       DEFINED        5         --         --      205
SINCLAIR BROADCAST GROUP,
   INC.                       EQUITY        829226109       241      47,724 SH       SOLE           1     47,724         --       --
SIRF TECHNOLOGY HLDGS INC     EQUITY        82967H101         1         700 SH       DEFINED        4         --         --      700
SIRF TECHNOLOGY HLDGS INC     EQUITY        82967H101        10       7,000 SH       DEFINED        5         --         --    7,000
SIRF TECHNOLOGY HOLDINGS INC  EQUITY        82967H101        82      55,047 SH       SOLE           1     55,047         --       --
SIRIUS XM RADIO INC           EQUITY        82967N108       369     635,585 SH       SOLE           1    635,585         --       --
SIRIUS XM RADIO INC           EQUITY        82967N108        10      16,910 SH       DEFINED        4         --         --   16,910
SIRIUS XM RADIO INC           EQUITY        82967N108       131     230,620 SH       DEFINED        5         --         --  230,620
SIRONA DENTAL SYS INC         EQUITY        82966C103     2,712     116,490 SH       SOLE           2    116,490         --       --
SIRONA DENTAL SYSTEMS INC     EQUITY        82966C103       357      15,319 SH       SOLE           1     15,319         --       --
SIRONA DENTAL SYSTEMS INC     EQUITY        82966C103         3         150 SH       DEFINED        5         --         --      150
SIX FLAGS, INC                EQUITY        83001P109        46      66,017 SH       SOLE           1     66,017         --       --
SK TELECOM LTD                EQUITY        78440P108         3         155 SH       DEFINED        5         --         --      155
SKECHERS U S A INC            EQUITY        830566105        34       2,000 SH       DEFINED        5         --         --    2,000
SKECHERS USA INC. CL-A        EQUITY        830566105       503      29,860 SH       SOLE           1     29,860         --       --
SKILLED HEALTHCARE GROUP INC  EQUITY        83066R107       252      15,878 SH       SOLE           1     15,878         --       --
SKYLINE CORP.                 EQUITY        830830105       164       6,191 SH       SOLE           1      6,191         --       --





                                                                                           
SKYWEST INC                   EQUITY        830879102       849      53,069 SH       SOLE           1     53,069         --       --
SKYWEST INC                   EQUITY        830879102         5         283 SH       DEFINED        5         --         --      283
SKYWORKS SOLUTIONS INC        EQUITY        83088M102     1,239     148,071 SH       SOLE           1    148,071         --       --
SKYWORKS SOLUTIONS INC        EQUITY        83088M102       188      22,525 SH       DEFINED        5         --         --   22,525
SL GREEN REALTY CORP          EQUITY        78440X101     3,031      46,780 SH       SOLE           1     46,780         --       --
SLM CORP                      EQUITY        78442P106     2,272     184,118 SH       SOLE           1    184,118         --       --
SLM CORP                      EQUITY        78442P106         2         200 SH       DEFINED        4         --         --      200
SLM CORP                      EQUITY        78442P106        26       2,075 SH       DEFINED        5         --         --    2,075
SMALL CAP PREM & DIV INCM FD  EQUITY        83165P101        33       2,570 SH       DEFINED        5         --         --    2,570
SMART BALANCE INC             EQUITY        83169Y108       375      57,038 SH       SOLE           1     57,038         --       --
SMART BALANCE INC             EQUITY        83169Y108     2,775     423,000 SH       SOLE           2    423,000         --       --
SMITH & NEPHEW PLC            EQUITY        83175M205        12         220 SH       DEFINED        5         --         --      220
SMITH & WESSON HLDG CORP      EQUITY        831756101         2         500 SH       DEFINED        5         --         --      500
SMITH & WESSON HOLDING CORP   EQUITY        831756101       127      34,083 SH       SOLE           1     34,083         --       --
SMITH A O                     EQUITY        831865209        13         340 SH       DEFINED        5         --         --      340
SMITH INTERNATIONAL, INC.     EQUITY        832110100     7,982     136,122 SH       SOLE           1    136,122         --       --
SMITH INTL INC                EQUITY        832110100         7         120 SH       DEFINED        5         --         --      120
SMITH INTL INC                EQUITY        832110100        40         679 SH       DEFINED        4         --         --      679
SMITH MICRN SOFTWARE COM      EQUITY        832154108     2,435     343,000 SH       SOLE           3    343,000         --       --
SMITH MICRO SOFTWARE INC      EQUITY        832154108     1,362     191,505 SH       SOLE           1    191,505         --       --
SMITH, A.O. CORP.             EQUITY        831865209       711      18,152 SH       SOLE           1     18,152         --       --
SMITHFIELD FOODS INC          EQUITY        832248108     4,273     269,050 SH       SOLE           1    269,050         --       --
SMITHFIELD FOODS INC          EQUITY        832248108         3         185 SH       DEFINED        5         --         --      185
SMITHTOWN BANCORP INC         EQUITY        832449102       200       8,926 SH       SOLE           1      8,926         --       --
SMUCKER J M CO                EQUITY        832696405         6         118 SH       DEFINED        4         --         --      118
SMUCKER J M CO                EQUITY        832696405        54       1,066 SH       DEFINED        5         --         --    1,066
SMURFIT STONE CONTAINER CO    EQUITY        832727101       940     200,000 SH       SOLE           2    200,000         --       --
SMURFIT-STONE CONTAINER CORP  EQUITY        832727101         2         505 SH       DEFINED        5         --         --      505
SMURFIT-STONE CONTAINER CORP. EQUITY        832727101        40       8,663 SH       SOLE           1      8,663         --       --
SNAP-ON, INC.                 EQUITY        833034101     1,263      23,992 SH       SOLE           1     23,992         --       --
SOCIEDAD QUIMICA MINERA DE C  EQUITY        833635105         4         165 SH       DEFINED        5         --         --      165
SOHU.COM INC                  EQUITY        83408W103       275       4,944 SH       SOLE           1      4,944         --       --
SOLARFUN POWER HOLDINGS CO L  EQUITY        83415U108         2         200 SH       DEFINED        4         --         --      200
SOLARFUN POWER HOLDINGS CO L  EQUITY        83415U108         9         900 SH       DEFINED        5         --         --      900
SOLERA HOLDINGS INC           EQUITY        83421A104     1,347      46,892 SH       SOLE           1     46,892         --       --
SOLUTIA INC                   EQUITY        834376501     1,201      85,820 SH       SOLE           1     85,820         --       --
SOMANETICS CORP               EQUITY        834445405       239      10,904 SH       SOLE           1     10,904         --       --
SONIC AUTOMOTIVE INC          EQUITY        83545G102       200      23,664 SH       SOLE           1     23,664         --       --
SONIC CORP                    EQUITY        835451105        17       1,135 SH       DEFINED        4         --         --    1,135
SONIC CORP                    EQUITY        835451105        25       1,720 SH       DEFINED        5         --         --    1,720





                                                                                           
SONIC CORP.                   EQUITY        835451105       795      54,477 SH       SOLE           1     54,477         --       --
SONIC SOLUTIONS               EQUITY        835460106        89      20,115 SH       SOLE           1     20,115         --       --
SONICWALL INC                 EQUITY        835470105       255      48,598 SH       SOLE           1     48,598         --       --
SONICWALL INC                 EQUITY        835470105         5       1,000 SH       DEFINED        5         --         --    1,000
SONOCO PRODS CO               EQUITY        835495102        34       1,162 SH       DEFINED        5         --         --    1,162
SONOCO PRODUCTS CO.           EQUITY        835495102     6,790     228,773 SH       SOLE           1    228,773         --       --
SONOSIGHT, INC.               EQUITY        83568G104       480      15,297 SH       SOLE           1     15,297         --       --
SONOSITE INC                  EQUITY        83568G104         9         300 SH       DEFINED        5         --         --      300
SONUS NETWORKS INC            EQUITY        835916107       536     185,454 SH       SOLE           1    185,454         --       --
SONY CORP                     EQUITY        835699307         3         100 SH       DEFINED        5         --         --      100
SONY CORP                     EQUITY        835699307         7         222 SH       DEFINED        4         --         --      222
SOTHEBYS                      EQUITY        835898107         6         301 SH       DEFINED        5         --         --      301
SOTHEBY'S                     EQUITY        835898107     4,288     213,780 SH       SOLE           1    213,780         --       --
SOURCEFIRE INC                EQUITY        83616T108       132      18,168 SH       SOLE           1     18,168         --       --
SOUTH FINANCIAL GROUP INC.    EQUITY        837841105       519      66,043 SH       SOLE           1     66,043         --       --
SOUTH FINL GROUP INC          EQUITY        837841105         2         300 SH       DEFINED        4         --         --      300
SOUTH JERSEY INDS INC         EQUITY        838518108        84       2,345 SH       DEFINED        4         --         --    2,345
SOUTH JERSEY INDS INC         EQUITY        838518108     1,609      45,084 SH       SOLE           2     45,084         --       --
SOUTH JERSEY INDUSTRIES, INC. EQUITY        838518108       963      26,984 SH       SOLE           1     26,984         --       --
SOUTHERN CO                   EQUITY        842587107    11,088     294,202 SH       SOLE           1    294,202         --       --
SOUTHERN CO                   EQUITY        842587107       165       4,366 SH       DEFINED        5         --         --    4,366
SOUTHERN CO                   EQUITY        842587107       746      19,781 SH       DEFINED        4         --         --   19,781
SOUTHERN CO                   EQUITY        842587107     5,868     155,700 SH       SOLE           2    155,700         --       --
SOUTHERN COPPER CORP          EQUITY        84265V105     7,799     408,762 SH       SOLE           1    408,762         --       --
SOUTHERN COPPER CORP          EQUITY        84265V105         6         291 SH       DEFINED        4         --         --      291
SOUTHERN COPPER CORP          EQUITY        84265V105        49       2,550 SH       DEFINED        5         --         --    2,550
SOUTHERN COPPER CORP DEL      EQUITY        84265V105     2,288     119,900 SH       SOLE           2    119,900         --       --
SOUTHERN UNION CO.            EQUITY        844030106        76       3,665 SH       SOLE           1      3,665         --       --
SOUTHSIDE BANCSHARES INC      EQUITY        84470P109       277      11,012 SH       SOLE           1     11,012         --       --
SOUTHWEST AIRLINES CO.        EQUITY        844741108    15,939   1,098,451 SH       SOLE           1  1,098,451         --       --
SOUTHWEST AIRLS CO            EQUITY        844741108        35       2,401 SH       DEFINED        5         --         --    2,401
SOUTHWEST AIRLS CO            EQUITY        844741108       228      15,722 SH       DEFINED        4         --         --   15,722
SOUTHWEST BANCORP INC         EQUITY        844767103       236      13,185 SH       SOLE           1     13,185         --       --
SOUTHWEST GAS CORP            EQUITY        844895102     1,190      39,325 SH       SOLE           1     39,325         --       --
SOUTHWEST GAS CORP            EQUITY        844895102         5         149 SH       DEFINED        5         --         --      149
SOUTHWEST WTR CO              EQUITY        845331107       281      22,208 SH       SOLE           1     22,208         --       --
SOUTHWEST WTR CO              EQUITY        845331107         9         700 SH       DEFINED        5         --         --      700
SOUTHWEST WTR CO              EQUITY        845331107        18       1,400 SH       DEFINED        4         --         --    1,400
SOUTHWESTERN ENERGY CO        EQUITY        845467109       132       4,322 SH       DEFINED        5         --         --    4,322
SOUTHWESTERN ENERGY CO.       EQUITY        845467109     4,119     134,884 SH       SOLE           1    134,884         --       --





                                                                                           
SOVEREIGN BANCORP INC         EQUITY        845905108        13       3,412 SH       DEFINED        4         --         --    3,412
SOVEREIGN BANCORP INC         EQUITY        845905108        23       5,714 SH       DEFINED        5         --         --    5,714
SOVEREIGN BANCORP, INC.       EQUITY        845905108       878     222,153 SH       SOLE           1    222,153         --       --
SPAIN FD                      EQUITY        846330108         2         300 SH       DEFINED        4         --         --      300
SPAIN FD                      EQUITY        846330108         4         600 SH       DEFINED        5         --         --      600
SPANSION INC                  EQUITY        84649R101       176     115,761 SH       SOLE           1    115,761         --       --
SPARTAN MOTORS INC            EQUITY        846819100        93      29,415 SH       SOLE           1     29,415         --       --
SPARTAN STORES INC            EQUITY        846822104       495      19,908 SH       SOLE           1     19,908         --       --
SPARTAN STORES INC            EQUITY        846822104         5         200 SH       DEFINED        5         --         --      200
SPARTECH CORP.                EQUITY        847220209       275      27,737 SH       SOLE           1     27,737         --       --
SPDR GOLD TR                  EQUITY        78463V107     1,676      19,700 SH       SOLE           2     19,700         --       --
SPDR GOLD TRUST               EQUITY        78463V107       612       7,196 SH       DEFINED        5         --         --    7,196
SPDR GOLD TRUST               EQUITY        78463V107     1,690      19,869 SH       DEFINED        4         --         --   19,869
SPDR INDEX SHS FDS            EQUITY        78463X863         1          37 SH       DEFINED        5         --         --       37
SPDR INDEX SHS FDS            EQUITY        78463X871         3         108 SH       DEFINED        5         --         --      108
SPDR INDEX SHS FDS            EQUITY        78463X707         3          50 SH       DEFINED        5         --         --       50
SPDR INDEX SHS FDS            EQUITY        78463X822         4         100 SH       DEFINED        5         --         --      100
SPDR INDEX SHS FDS            EQUITY        78463X848         9         300 SH       DEFINED        5         --         --      300
SPDR INDEX SHS FDS            EQUITY        78463X798        10         500 SH       DEFINED        5         --         --      500
SPDR INDEX SHS FDS            EQUITY        78463X103        22         600 SH       DEFINED        5         --         --      600
SPDR INDEX SHS FDS            EQUITY        78463X822        26         701 SH       DEFINED        4         --         --      701
SPDR INDEX SHS FDS            EQUITY        78463X863       293       7,686 SH       DEFINED        4         --         --    7,686
SPDR INDEX SHS FDS            EQUITY        78463X848       297       9,933 SH       DEFINED        4         --         --    9,933
SPDR SER TR                   EQUITY        78464A698     3,550     100,000 SH       SOLE           2    100,000         --       --
SPDR SERIES TRUST             EQUITY        78464A508         1          23 SH       DEFINED        5         --         --       23
SPDR SERIES TRUST             EQUITY        78464A409         2          43 SH       DEFINED        5         --         --       43
SPDR SERIES TRUST             EQUITY        78464A417         4         108 SH       DEFINED        5         --         --      108
SPDR SERIES TRUST             EQUITY        78464A821         5         100 SH       DEFINED        4         --         --      100
SPDR SERIES TRUST             EQUITY        78464A888         6         325 SH       DEFINED        5         --         --      325
SPDR SERIES TRUST             EQUITY        78464A409         8         175 SH       DEFINED        4         --         --      175
SPDR SERIES TRUST             EQUITY        78464A607         9         132 SH       DEFINED        5         --         --      132
SPDR SERIES TRUST             EQUITY        78464A755        16         339 SH       DEFINED        5         --         --      339
SPDR SERIES TRUST             EQUITY        78464A672        18         327 SH       DEFINED        5         --         --      327
SPDR SERIES TRUST             EQUITY        78464A805        22         250 SH       DEFINED        4         --         --      250
SPDR SERIES TRUST             EQUITY        78464A870        37         610 SH       DEFINED        5         --         --      610
SPDR SERIES TRUST             EQUITY        78464A771        42       1,062 SH       DEFINED        4         --         --    1,062
SPDR SERIES TRUST             EQUITY        78464A417        93       2,378 SH       DEFINED        4         --         --    2,378
SPDR SERIES TRUST             EQUITY        78464A516       133       2,566 SH       DEFINED        5         --         --    2,566
SPDR SERIES TRUST             EQUITY        78464A607       192       2,839 SH       DEFINED        4         --         --    2,839
SPDR SERIES TRUST             EQUITY        78464A755       372       7,923 SH       DEFINED        4         --         --    7,923





                                                                                           
SPDR SERIES TRUST             EQUITY        78464A797       382      11,368 SH       DEFINED        5         --         --   11,368
SPDR SERIES TRUST             EQUITY        78464A870       386       6,412 SH       DEFINED        4         --         --    6,412
SPDR SERIES TRUST             EQUITY        78464A656       439       9,005 SH       DEFINED        4         --         --    9,005
SPDR SERIES TRUST             EQUITY        78464A698     1,684      47,429 SH       DEFINED        5         --         --   47,429
SPDR TR                       EQUITY        78462F103       389       3,356 SH       DEFINED        5         --         --    3,356
SPDR TR                       EQUITY        78462F103       979       8,442 SH       DEFINED        4         --         --    8,442
SPDR TR PUT                   OPTION        78462F953         2           3     PUT  DEFINED        5         --         --        3
SPECTRA ENERGY CORP           EQUITY        847560109    14,399     605,021 SH       SOLE           1    605,021         --       --
SPECTRA ENERGY CORP           EQUITY        847560109        84       3,540 SH       DEFINED        4         --         --    3,540
SPECTRA ENERGY CORP           EQUITY        847560109       130       5,479 SH       DEFINED        5         --         --    5,479
SPECTRANETICS CORP            EQUITY        84760C107       133      28,720 SH       SOLE           1     28,720         --       --
SPECTRUM BRANDS INC           EQUITY        84762L105       126      90,731 SH       SOLE           1     90,731         --       --
SPEEDWAY MOTORSPORTS          EQUITY        847788106       241      12,358 SH       SOLE           1     12,358         --       --
SPHERION CORPORATION          EQUITY        848420105       242      49,792 SH       SOLE           1     49,792         --       --
SPIRIT AEROSYSTEMS HLDGS INC  EQUITY        848574109        18       1,100 SH       DEFINED        5         --         --    1,100
SPIRIT AEROSYSTEMS HOLDINGS
   INC                        EQUITY        848574109        57       3,544 SH       SOLE           1      3,544         --       --
SPRINT NEXTEL CORP            EQUITY        852061100    10,891   1,785,375 SH       SOLE           1  1,785,375         --       --
SPRINT NEXTEL CORP            EQUITY        852061100         1         194 SH       DEFINED        4         --         --      194
SPRINT NEXTEL CORP            EQUITY        852061100        14       2,296 SH       DEFINED        5         --         --    2,296
SPRINT NEXTEL CORP            EQUITY        852061100        26       4,254 SH       SOLE           2      4,254         --       --
SPSS, INC.                    EQUITY        78462K102       477      16,237 SH       SOLE           1     16,237         --       --
SPX CORP.                     EQUITY        784635104    44,084     573,200 SH       SOLE           1    573,200         --       --
SRA INTERNATIONAL CL A        EQUITY        78464R105     3,054     134,955 SH       SOLE           1    134,955         --       --
ST JOE CO                     EQUITY        790148100     1,020      26,100 SH       SOLE           2     26,100         --       --
ST JUDE MED INC               EQUITY        790849103         6         135 SH       DEFINED        4         --         --      135
ST JUDE MED INC               EQUITY        790849103        15         350 SH       DEFINED        5         --         --      350
ST JUDE MED INC               EQUITY        790849103       188       4,331 SH       SOLE           2      4,331         --       --
ST JUDE MED INC COM           EQUITY        790849103     8,828     203,000 SH       SOLE           3     81,900              121100
ST JUDE MEDICAL, INC.         EQUITY        790849103    28,303     650,783 SH       SOLE           1    650,783         --       --
ST. MARY LAND & EXPLORATION   EQUITY        792228108        62       1,740 SH       SOLE           1      1,740         --       --
STAGE STORES INC              EQUITY        85254C305       476      34,879 SH       SOLE           1     34,879         --       --
STAMPS.COM INC                EQUITY        852857200       154      13,206 SH       SOLE           1     13,206         --       --
STANCORP FINANCIAL GROUP,
   INC.                       EQUITY        852891100     6,144     118,158 SH       SOLE           1    118,158         --       --
STANDARD MICROSYSTEMS CORP.   EQUITY        853626109       511      20,443 SH       SOLE           1     20,443         --       --
STANDARD PAC CORP NEW         EQUITY        85375C101     3,962     807,000 SH       SOLE           2    807,000         --       --
STANDARD PARKING CORP         EQUITY        853790103       175       7,890 SH       SOLE           1      7,890         --       --
STANDARD REGISTER CO.         EQUITY        853887107       132      13,439 SH       SOLE           1     13,439         --       --
STANDARD-PACIFIC CORP         EQUITY        85375C101       325      66,283 SH       SOLE           1     66,283         --       --
STANDEX INTERNATIONAL CORP.   EQUITY        854231107       317      11,408 SH       SOLE           1     11,408         --       --
STANLEY INC                   EQUITY        854532108       296       8,015 SH       SOLE           1      8,015         --       --





                                                                                           
STANLEY WKS                   EQUITY        854616109         7         172 SH       DEFINED        4         --         --      172
STANLEY WORKS                 EQUITY        854616109     4,618     110,632 SH       SOLE           1    110,632         --       --
STANTEC INC                   EQUITY        85472N109       177       7,498 SH       OTHER          1         --      7,498       --
STAPLES INC                   EQUITY        855030102         2          75 SH       DEFINED        4         --         --       75
STAPLES INC                   EQUITY        855030102         3         118 SH       DEFINED        5         --         --      118
STAPLES INC                   EQUITY        855030102    21,466     954,045 SH       SOLE           2    954,045         --       --
STAPLES, INC.                 EQUITY        855030102     6,628     294,695 SH       SOLE           1    294,695         --       --
STAR BULK CARRIERS CORP       EQUITY        Y8162K105     1,970     281,366 SH       SOLE           2    281,366         --       --
STAR SCIENTIFIC INC           EQUITY        85517P101       213      59,798 SH       SOLE           1     59,798         --       --
STARBUCKS CORP                EQUITY        855244109        42       2,807 SH       DEFINED        4         --         --    2,807
STARBUCKS CORP                EQUITY        855244109       392      26,394 SH       DEFINED        5         --         --   26,394
STARBUCKS CORP.               EQUITY        855244109     5,064     340,985 SH       SOLE           1    340,985         --       --
STARENT NETWORKS CORP         EQUITY        85528P108       349      26,990 SH       SOLE           1     26,990         --       --
STARWOOD HOTELS & RESORTS
   WORLDWIDE INC              EQUITY        85590A401     2,093      74,363 SH       SOLE           1     74,363         --       --
STATE AUTO FINANCIAL CORP.    EQUITY        855707105       383      12,850 SH       SOLE           1     12,850         --       --
STATE BANCORP INC             EQUITY        855716106       194      12,991 SH       SOLE           1     12,991         --       --
STATE STR CORP                EQUITY        857477103         2          35 SH       DEFINED        4         --         --       35
STATE STR CORP                EQUITY        857477103        16         280 SH       DEFINED        5         --         --      280
STATE STREET CORP.            EQUITY        857477103    30,765     540,880 SH       SOLE           1    540,880         --       --
STATOILHYDRO ASA              EQUITY        85771P102        17         700 SH       DEFINED        5         --         --      700
STEALTHGAS INC                EQUITY        Y81669106     1,585     117,184 SH       SOLE           2    117,184         --       --
STEC INC                      EQUITY        784774101       215      27,861 SH       SOLE           1     27,861         --       --
STEC INC                      EQUITY        784774101        85      11,000 SH       DEFINED        5         --         --   11,000
STEEL DYNAMICS INC            EQUITY        858119100        21       1,200 SH       DEFINED        4         --         --    1,200
STEEL DYNAMICS INC            EQUITY        858119100        34       2,000 SH       DEFINED        5         --         --    2,000
STEEL DYNAMICS, INC.          EQUITY        858119100     7,173     420,709 SH       SOLE           1    420,709         --       --
STEELCASE INC                 EQUITY        858155203         7         650 SH       DEFINED        4         --         --      650
STEELCASE INC                 EQUITY        858155203     1,379     128,300 SH       SOLE           2    128,300         --       --
STEELCASE INC-CL A            EQUITY        858155203        23       2,099 SH       SOLE           1      2,099         --       --
STEIN MART INC                EQUITY        858375108        24       6,114 SH       DEFINED        4         --         --    6,114
STEIN MART, INC.              EQUITY        858375108        90      22,915 SH       SOLE           1     22,915         --       --
STEINWAY MUSICAL INSTRUMENTS  EQUITY        858495104     4,896     172,895 SH       SOLE           1    172,895         --       --
STELLARONE CORP               EQUITY        85856G100       408      20,592 SH       SOLE           1     20,592         --       --
STEPAN CO COM                 EQUITY        858586100     1,222      22,400 SH       SOLE           3     22,400         --       --
STEPAN CO.                    EQUITY        858586100       314       5,753 SH       SOLE           1      5,753         --       --
STEREOTAXIS INC               EQUITY        85916J102       150      24,777 SH       SOLE           1     24,777         --       --
STERICYCLE, INC.              EQUITY        858912108    11,776     200,139 SH       SOLE           1    200,139         --       --
STERIS CORP COM               EQUITY        859152100     7,027     186,988 SH       SOLE           1    186,988         --       --
STERLING BANCORP              EQUITY        859158107       236      16,328 SH       SOLE           1     16,328         --       --
STERLING BANCSHARES, INC.     EQUITY        858907108       710      66,524 SH       SOLE           1     66,524         --       --





                                                                                           
STERLING CONSTRUCTION CO INC  EQUITY        859241101       170      10,464 SH       SOLE           1     10,464         --       --
STERLING CONSTRUCTION CO INC  EQUITY        859241101         3         200 SH       DEFINED        4         --         --      200
STERLING FINL CORP WAS        EQUITY        859319105       676      47,093 SH       SOLE           1     47,093         --       --
STEVEN MADDEN, LTD.           EQUITY        556269108       401      16,090 SH       SOLE           1     16,090         --       --
STEWART ENTERPRISES, INC.     EQUITY        860370105       598      76,083 SH       SOLE           1     76,083         --       --
STEWART INFORMATION SERVICES
   COM                        EQUITY        860372101       463      15,554 SH       SOLE           1     15,554         --       --
STIFEL FINANCIAL CORP         EQUITY        860630102     1,068      21,401 SH       SOLE           1     21,401         --       --
STILLWATER MINING CO.         EQUITY        86074Q102       208      35,873 SH       SOLE           1     35,873         --       --
STONE ENERGY CORP             EQUITY        861642106     1,216      28,715 SH       SOLE           1     28,715         --       --
STONERIDGE, INC.              EQUITY        86183P102       149      13,277 SH       SOLE           1     13,277         --       --
STRATASYS INC                 EQUITY        862685104       329      18,798 SH       SOLE           1     18,798         --       --
STRATEGIC GLOBAL INCOME FD    EQUITY        862719101        27       2,828 SH       DEFINED        4         --         --    2,828
STRATEGIC HOTELS & RESORTS
   INC                        EQUITY        86272T106       511      67,686 SH       SOLE           1     67,686         --       --
STRATUS PROPERTIES INC        EQUITY        863167201       142       5,628 SH       SOLE           1      5,628         --       --
STRAYER ED INC                EQUITY        863236105       846       4,226 SH       DEFINED        4         --         --    4,226
STRAYER ED INC COM            EQUITY        863236105     7,730      38,600 SH       SOLE           3     17,800               20800
STRAYER EDUCATION, INC        EQUITY        863236105     7,728      38,590 SH       SOLE           1     38,590         --       --
STRYKER CORP                  EQUITY        863667101        30         474 SH       DEFINED        4         --         --      474
STRYKER CORP                  EQUITY        863667101       195       3,131 SH       DEFINED        5         --         --    3,131
STRYKER CORP.                 EQUITY        863667101     9,337     149,878 SH       SOLE           1    149,878         --       --
STUDENT LOAN CORP.            EQUITY        863902102        12         134 SH       SOLE           1        134         --       --
SUBURBAN PROPANE PARTNERS L   EQUITY        864482104        13         400 SH       DEFINED        5         --         --      400
SUBURBAN PROPANE PARTNERS L   EQUITY        864482104        18         550 SH       DEFINED        4         --         --      550
SUCAMPO PHARMACEUTICALS INC   EQUITY        864909106        71       8,295 SH       SOLE           1      8,295         --       --
SUCCESSFACTORS INC            EQUITY        864596101       242      22,075 SH       SOLE           1     22,075         --       --
SUFFOLK BANCORP               EQUITY        864739107       344       8,733 SH       SOLE           1      8,733         --       --
SULPHCO INC                   EQUITY        865378103        97      48,324 SH       SOLE           1     48,324         --       --
SUN BANCORP INC               EQUITY        86663B102       187      13,244 SH       SOLE           1     13,244         --       --
SUN HEALTHCARE GROUP INC--
   W/I                        EQUITY        866933401       574      39,150 SH       SOLE           1     39,150         --       --
SUN HYDRAULICS CORP           EQUITY        866942105       276      10,580 SH       SOLE           1     10,580         --       --
SUN LIFE FINANCIAL INC        EQUITY        866796105     2,549      72,947 SH       OTHER          1         --     72,947       --
SUN LIFE FINL INC             EQUITY        866796105        15         435 SH       DEFINED        4         --         --      435
SUN MICROSYSTEMS INC          EQUITY        866810203     2,521     331,228 SH       SOLE           1    331,228         --       --
SUN MICROSYSTEMS INC          EQUITY        866810203         5         639 SH       DEFINED        5         --         --      639
SUNAIR SERVICES CORP          EQUITY        867017105         2         872 SH       DEFINED        5         --         --      872
SUNAMERICA FCSED ALPHA GRW F  EQUITY        867037103        28       2,200 SH       DEFINED        4         --         --    2,200
SUNCOR ENERGY INC             EQUITY        867229106        27         650 SH       DEFINED        4         --         --      650
SUNCOR ENERGY INC             EQUITY        867229106       831      19,709 SH       DEFINED        5         --         --   19,709
SUNCOR ENERGY INC.            EQUITY        867229106    18,117     438,489 SH       OTHER          1         --    438,489       --
SUNOCO INC                    EQUITY        86764P109     1,655      46,517 SH       SOLE           1     46,517         --       --





                                                                                           
SUNOCO LOGISTICS PRTNRS L P   EQUITY        86764L108        12         268 SH       DEFINED        5         --         --      268
SUNOCO LOGISTICS PRTNRS L P   EQUITY        86764L108        14         324 SH       DEFINED        4         --         --      324
SUNOPTA INC                   EQUITY        8676EP108         1         200 SH       DEFINED        5         --         --      200
SUNOPTA INC                   EQUITY        8676EP108        12       2,000 SH       DEFINED        4         --         --    2,000
SUNPOWER CORP                 EQUITY        867652109        47         660 SH       DEFINED        5         --         --      660
SUNPOWER CORP                 EQUITY        867652109        54         767 SH       DEFINED        4         --         --      767
SUNPOWER CORP PUT             OPTION        867652959         1           4     PUT  DEFINED        5         --         --        4
SUNPOWER CORP-CLASS A         EQUITY        867652109        59         820 SH       SOLE           1        820         --       --
SUNRISE SENIOR LIVING INC     EQUITY        86768K106       563      40,801 SH       SOLE           1     40,801         --       --
SUNRISE SENIOR LIVING INC     EQUITY        86768K106        16       1,125 SH       DEFINED        5         --         --    1,125
SUNSTONE HOTEL INVESTORS INC  EQUITY        867892101       630      46,677 SH       SOLE           1     46,677         --       --
SUNTECH PWR HLDGS CO LTD      EQUITY        86800C104        15         425 SH       DEFINED        5         --         --      425
SUNTECH PWR HLDGS CO LTD      EQUITY        86800C104       127       3,530 SH       DEFINED        4         --         --    3,530
SUNTRUST BANKS, INC.          EQUITY        867914103    12,960     288,059 SH       SOLE           1    288,059         --       --
SUNTRUST BKS INC              EQUITY        867914103       107       2,370 SH       SOLE           2      2,370         --       --
SUPER MICRO COMPUTER INC      EQUITY        86800U104       181      20,072 SH       SOLE           1     20,072         --       --
SUPERIOR ENERGY SERVICES,
   INC.                       EQUITY        868157108     6,752     216,835 SH       SOLE           1    216,835         --       --
SUPERIOR ENERGY SVCS INC      EQUITY        868157108         5         175 SH       DEFINED        4         --         --      175
SUPERIOR ENERGY SVCS INC      EQUITY        868157108        32       1,028 SH       DEFINED        5         --         --    1,028
SUPERIOR INDUSTRIES INTL,
   INC.                       EQUITY        868168105       401      20,918 SH       SOLE           1     20,918         --       --
SUPERIOR WELL SERVICES INC    EQUITY        86837X105       379      15,029 SH       SOLE           1     15,029         --       --
SUPERTEX INC                  EQUITY        868532102       284      10,071 SH       SOLE           1     10,071         --       --
SUPERVALU INC                 EQUITY        868536103         1          48 SH       DEFINED        5         --         --       48
SUPERVALU INC                 EQUITY        868536103        54       2,500 SH       DEFINED        4         --         --    2,500
SUPERVALU, INC.               EQUITY        868536103     6,946     320,115 SH       SOLE           1    320,115         --       --
SUPPORTSOFT INC               EQUITY        868587106       126      41,995 SH       SOLE           1     41,995         --       --
SURMODICS INC                 EQUITY        868873100       442      14,018 SH       SOLE           1     14,018         --       --
SUSQUEHANNA BANCSHARES, INC.  EQUITY        869099101     1,561      78,145 SH       SOLE           1     78,145         --       --
SUSSER HOLDINGS CORP          EQUITY        869233106       106       7,062 SH       SOLE           1      7,062         --       --
SUTOR TECHNOLOGY GROUP LTD    EQUITY        869362103        23       6,911 SH       SOLE           1      6,911         --       --
SVB FINANCIAL GROUP           EQUITY        78486Q101     5,893     100,892 SH       SOLE           1    100,892         --       --
SWIFT ENERGY CO.              EQUITY        870738101     1,073      27,746 SH       SOLE           1     27,746         --       --
SWISS FRANC            CAP    EQUITY              CHF       168     189,177 SH       SOLE           2    189,177         --       --
SWITCH & DATA FACILITIES CO
   INC                        EQUITY        871043105     5,558     444,618 SH       SOLE           1    444,618         --       --
SWS GROUP INC                 EQUITY        78503N107       445      22,092 SH       SOLE           1     22,092         --       --
SYBASE, INC.                  EQUITY        871130100     7,791     254,426 SH       SOLE           1    254,426         --       --
SYCAMORE NETWORKS, INC        EQUITY        871206108       562     173,962 SH       SOLE           1    173,962         --       --
SYKES ENTERPRISES, INC.       EQUITY        871237103       659      30,007 SH       SOLE           1     30,007         --       --
SYMANTEC CORP                 EQUITY        871503108        11         550 SH       DEFINED        4         --         --      550
SYMANTEC CORP.                EQUITY        871503108     9,031     462,200 SH       SOLE           1    462,200         --       --





                                                                                           
SYMMETRICOM, INC.             EQUITY        871543104       208      41,734 SH       SOLE           1     41,734         --       --
SYMMETRY MEDICAL INC          EQUITY        871546206       599      32,274 SH       SOLE           1     32,274         --       --
SYMS CORP                     EQUITY        871551107        80       6,025 SH       SOLE           1      6,025         --       --
SYMX TECHNOLOGIES INC.        EQUITY        87155S108       302      30,524 SH       SOLE           1     30,524         --       --
SYNAPTICS INC                 EQUITY        87157D109       934      30,903 SH       SOLE           1     30,903         --       --
SYNAPTICS INC                 EQUITY        87157D109       959      31,718 SH       DEFINED        4         --         --   31,718
SYNAPTICS INC                 EQUITY        87157D109     1,833      60,650 SH       SOLE           2     60,650         --       --
SYNCHRONOSS TECHNOLOGIES INC  EQUITY        87157B103       187      19,916 SH       SOLE           1     19,916         --       --
SYNCHRONOSS TECHNOLOGIES INC  EQUITY        87157B103         7         714 SH       DEFINED        5         --         --      714
SYNCHRONOSS TECHNOLOGIES INC  EQUITY        87157B103        11       1,200 SH       DEFINED        4         --         --    1,200
SYNERON MEDICAL LTD           EQUITY        M87245102         2         125 SH       DEFINED        5         --         --      125
SYNGENTA AG                   EQUITY        87160A100        19         443 SH       DEFINED        5         --         --      443
SYNGENTA AG                   EQUITY        87160A100        42       1,004 SH       DEFINED        4         --         --    1,004
SYNIVERSE HOLDINGS INC        EQUITY        87163F106       775      46,659 SH       SOLE           1     46,659         --       --
SYNNEX CORP                   EQUITY        87162W100       353      15,792 SH       SOLE           1     15,792         --       --
SYNOPSYS INC                  EQUITY        871607107         6         300 SH       DEFINED        4         --         --      300
SYNOPSYS INC                  EQUITY        871607107         9         450 SH       DEFINED        5         --         --      450
SYNOPSYS INC.                 EQUITY        871607107     6,614     331,524 SH       SOLE           1    331,524         --       --
SYNOVIS LIFE TECHNOLOGIES INC EQUITY        87162G105       212      11,305 SH       SOLE           1     11,305         --       --
SYNOVUS FINANCIAL CORP.       EQUITY        87161C105     6,679     645,292 SH       SOLE           1    645,292         --       --
SYNOVUS FINL CORP             EQUITY        87161C105         6         626 SH       DEFINED        4         --         --      626
SYNOVUS FINL CORP             EQUITY        87161C105       240      23,220 SH       DEFINED        5         --         --   23,220
SYNTA PHARMACEUTICALS         EQUITY        87162T206     9,314   1,222,272 SH       SOLE           1  1,222,272         --       --
SYNTEL, INC.                  EQUITY        87162H103       287      11,704 SH       SOLE           1     11,704         --       --
SYNTHESIS ENERGY SYSTEMS INC  EQUITY        871628103       111      23,008 SH       SOLE           1     23,008         --       --
SYNTROLEUM CORP               EQUITY        871630109         2       2,000 SH       DEFINED        4         --         --    2,000
SYNUTRA INTERNATIONAL INC     EQUITY        87164C102       188       9,411 SH       SOLE           1      9,411         --       --
SYSCO CORP                    EQUITY        871829107        22         708 SH       DEFINED        4         --         --      708
SYSCO CORP                    EQUITY        871829107        77       2,484 SH       DEFINED        5         --         --    2,484
SYSCO CORP                    EQUITY        871829107     2,215      71,860 SH       SOLE           2     71,860         --       --
SYSCO CORP.                   EQUITY        871829107    12,026     390,061 SH       SOLE           1    390,061         --       --
SYSTEMAX INC                  EQUITY        871851101       141      10,006 SH       SOLE           1     10,006         --       --
T ROWE PRICE GROUP INC.       EQUITY        74144T108     5,887     102,840 SH       SOLE           1    102,840         --       --
T-3 ENERGY SERVICES INC       EQUITY        8.73E+111       421      11,344 SH       SOLE           1     11,344         --       --
TAIWAN SEMICONDUCTOR MFG LTD  EQUITY        874039100        44       4,679 SH       DEFINED        4         --         --    4,679
TAIWAN SEMICONDUCTOR MFG LTD  EQUITY        874039100        48       5,156 SH       DEFINED        5         --         --    5,156
TAKE-TWO INTERACTIVE SOFTWARE EQUITY        874054109     1,143      69,848 SH       SOLE           1     69,848         --       --
TAL INTERNATIONAL GROUP INC   EQUITY        874083108       274      13,184 SH       SOLE           1     13,184         --       --
TALBOTS INC                   EQUITY        874161102       291      22,179 SH       SOLE           1     22,179         --       --
TALEO CORP-CLASS A            EQUITY        87424N104       471      23,693 SH       SOLE           1     23,693         --       --





                                                                                           
TALISMAN ENERGY INC           EQUITY        8.74E+107         9         600 SH       DEFINED        4         --         --      600
TALISMAN ENERGY INC.          EQUITY        8.74E+107     4,822     341,527 SH       OTHER          1         --    341,527       --
TANGER FACTORY OUTLET CTRS    EQUITY        875465106     1,255      28,663 SH       SOLE           1     28,663         --       --
TANZANIAN ROYALTY EXPLORATION
   CORP                       EQUITY        87600U104        59      22,708 SH       OTHER          1         --     22,708       --
TARGA RESOURCES PARTNERS LP   EQUITY        87611X105         3         200 SH       DEFINED        5         --         --      200
TARGACEPT INC                 EQUITY        87611R306        96      16,454 SH       SOLE           1     16,454         --       --
TARGET CORP                   EQUITY        8.76E+110        30         603 SH       DEFINED        5         --         --      603
TARGET CORP                   EQUITY        8.76E+110        40         822 SH       DEFINED        4         --         --      822
TARGET CORP                   EQUITY        87612E106    14,251     290,538 SH       SOLE           2    290,538         --       --
TARGET CORPORATION            EQUITY        8.76E+110    20,924     426,589 SH       SOLE           1    426,589         --       --
TASER INTERNATIONAL INC       EQUITY        87651B104       406      56,801 SH       SOLE           1     56,801         --       --
TASER INTL INC                EQUITY        87651B104         1         200 SH       DEFINED        4         --         --      200
TASER INTL INC                EQUITY        87651B104       459      64,200 SH       DEFINED        5         --         --   64,200
TATA MTRS LTD                 EQUITY        876568502         3         330 SH       DEFINED        5         --         --      330
TAUBMAN CENTERS, INC.         EQUITY        876664103    10,457     209,133 SH       SOLE           1    209,133         --       --
TC PIPELINES LP               EQUITY        87233Q108         6         200 SH       DEFINED        5         --         --      200
TC PIPELINES LP               EQUITY        87233Q108       140       4,530 SH       DEFINED        4         --         --    4,530
TCF FINANCIAL CORP.           EQUITY        872275102     4,780     265,583 SH       SOLE           1    265,583         --       --
TCF FINL CORP                 EQUITY        872275102         8         425 SH       DEFINED        5         --         --      425
TCF FINL CORP COM             EQUITY        872275102     4,311     239,500 SH       SOLE           3     89,400              150100
TD AMERITRADE HLDG CORP       EQUITY        87236Y108       268      16,100 SH       DEFINED        5         --         --   16,100
TD AMERITRADE HLDG CP COM     EQUITY        87236Y108     2,545     157,100 SH       SOLE           3     62,600               94500
TD AMERITRADE HOLDING CORP    EQUITY        87236Y108     3,191     192,405 SH       SOLE           1    192,405         --       --
TEAM INC                      EQUITY        878155100       607      16,793 SH       SOLE           1     16,793         --       --
TEAM INC                      EQUITY        878155100         8         223 SH       DEFINED        5         --         --      223
TECH DATA CORP                EQUITY        878237106         1          41 SH       DEFINED        5         --         --       41
TECH DATA CORP.               EQUITY        878237106     3,469     116,189 SH       SOLE           1    116,189         --       --
TECHE CORP.                   EQUITY        878377100     6,375      88,486 SH       SOLE           1     88,486         --       --
TECHNE CORP                   EQUITY        878377100        29         400 SH       DEFINED        4         --         --      400
TECHNITROL INC                EQUITY        878555101         4         300 SH       DEFINED        4         --         --      300
TECHNITROL, INC.              EQUITY        878555101       551      37,242 SH       SOLE           1     37,242         --       --
TECHTARGET INC                EQUITY        87874R100        88      12,627 SH       SOLE           1     12,627         --       --
TECHWELL INC                  EQUITY        87874D101       132      13,928 SH       SOLE           1     13,928         --       --
TECK COMINCO LTD              EQUITY        878742204     2,586      90,987 SH       OTHER          1         --     90,987       --
TECK COMINCO LTD              EQUITY        878742204         9         300 SH       DEFINED        5         --         --      300
TECO ENERGY INC               EQUITY        872375100         2         100 SH       DEFINED        5         --         --      100
TECO ENERGY INC               EQUITY        872375100        13         820 SH       DEFINED        4         --         --      820
TECO ENERGY, INC.             EQUITY        872375100     1,384      87,962 SH       SOLE           1     87,962         --       --
TECUMSEH PRODUCTS CO. CLASS A EQUITY        878895200       372      14,835 SH       SOLE           1     14,835         --       --
TEJON RANCH CO.               EQUITY        879080109       375      10,102 SH       SOLE           1     10,102         --       --





                                                                                           
TEKELEC                       EQUITY        879101103       829      59,281 SH       SOLE           1     59,281         --       --
TEKELEC                       EQUITY        879101103         6         400 SH       DEFINED        4         --         --      400
TELECOM CORP NEW ZEALAND LTD  EQUITY        879278208        13       1,422 SH       DEFINED        5         --         --    1,422
TELECOMMUNICATION SYSTEMS INC EQUITY        87929J103       212      30,542 SH       SOLE           1     30,542         --       --
TELEDYNE TECHOLOGIES INC      EQUITY        879360105     1,841      32,205 SH       SOLE           1     32,205         --       --
TELEFLEX INC.                 EQUITY        879369106     5,799      91,341 SH       SOLE           1     91,341         --       --
TELEFONICA S A                EQUITY        879382208         4          50 SH       DEFINED        4         --         --       50
TELEFONOS DE MEXICO S A B     EQUITY        879403707        75       3,000 SH       DEFINED        5         --         --    3,000
TELEFONOS DE MEXICO S A B     EQUITY        879403780       105       4,088 SH       DEFINED        5         --         --    4,088
TELEPHONE AND DATA SYSTEMS    EQUITY        879433100     9,982     279,223 SH       SOLE           1    279,223         --       --
TELETECH HOLDINGS             EQUITY        879939106       442      35,525 SH       SOLE           1     35,525         --       --
TELLABS INC                   EQUITY        879664100         4       1,006 SH       DEFINED        5         --         --    1,006
TELLABS, INC.                 EQUITY        879664100       665     164,160 SH       SOLE           1    164,160         --       --
TELMEX INTERNACIONAL SAB DE   EQUITY        879690204        38       3,000 SH       DEFINED        5         --         --    3,000
TELMEX INTERNACIONAL SAB DE   EQUITY        879690105        53       4,088 SH       DEFINED        5         --         --    4,088
TELUS CORPORATION-NON VOTE    EQUITY        87971M202       256       7,151 SH       OTHER          1         --      7,151       --
TEMPLE INLAND INC             EQUITY        879868107     4,299     281,746 SH       SOLE           2    281,746         --       --
TEMPLE-INLAND INC.            EQUITY        879868107     3,728     244,296 SH       SOLE           1    244,296         --       --
TEMPLETON DRAGON FD INC       EQUITY        88018T101         7         346 SH       DEFINED        4         --         --      346
TEMPLETON DRAGON FD INC       EQUITY        88018T101        15         750 SH       DEFINED        5         --         --      750
TEMPLETON EMERG MKTS INCOME   EQUITY        880192109        12       1,150 SH       DEFINED        4         --         --    1,150
TEMPLETON EMERG MKTS INCOME   EQUITY        880192109        44       4,038 SH       DEFINED        5         --         --    4,038
TEMPLETON GLOBAL INCOME FD    EQUITY        880198106        28       3,500 SH       DEFINED        5         --         --    3,500
TEMPLETON GLOBAL INCOME FD    EQUITY        880198106     2,224     281,574 SH       DEFINED        4         --         --  281,574
TEMPUR PEDIC INTL INC         EQUITY        88023U101         1         100 SH       DEFINED        5         --         --      100
TEMPUR PEDIC INTL INC         EQUITY        88023U101         3         250 SH       DEFINED        4         --         --      250
TEMPUR-PEDIC INTERNATIONAL
   INC                        EQUITY        88023U101       799      67,953 SH       SOLE           1     67,953         --       --
TENARIS SA                    EQUITY        88031M109     8,079     210,757 SH       SOLE           1    210,757         --       --
TENET HEALTHCARE CORP         EQUITY        88033G100         1         269 SH       DEFINED        5         --         --      269
TENET HEALTHCARE CORP.        EQUITY        88033G100     3,074     553,846 SH       SOLE           1    553,846         --       --
TENNANT CO.                   EQUITY        880345103       518      15,114 SH       SOLE           1     15,114         --       --
TENNECO INC                   EQUITY        880349105       451      42,393 SH       SOLE           1     42,393         --       --
TENNECO INC                   EQUITY        880349105         5         500 SH       DEFINED        5         --         --      500
TEPPCO PARTNERS L P           EQUITY        872384102        28       1,070 SH       DEFINED        4         --         --    1,070
TEPPCO PARTNERS L P           EQUITY        872384102        49       1,871 SH       DEFINED        5         --         --    1,871
TERADATA CORP                 EQUITY        88076W103     1,409      72,269 SH       SOLE           1     72,269         --       --
TERADYNE, INC.                EQUITY        880770102       534      68,402 SH       SOLE           1     68,402         --       --
TERCICA INC                   EQUITY        88078L105     1,300     145,450 SH       SOLE           1    145,450         --       --
TEREX CORP NEW                EQUITY        880779103       308      10,080 SH       DEFINED        4         --         --   10,080
TEREX CORP NEW                EQUITY        880779103       503      16,469 SH       DEFINED        5         --         --   16,469





                                                                                           
TEREX CORP.                   EQUITY        880779103     1,208      39,581 SH       SOLE           1     39,581         --       --
TERRA INDUSTRIES, INC.        EQUITY        880915103     6,542     222,508 SH       SOLE           1    222,508         --       --
TERREMARK WORLDWIDE COM NEW   EQUITY        881448203       868     126,300 SH       SOLE           3    126,300         --       --
TERREMARK WORLDWIDE INC       EQUITY        881448203       330      47,970 SH       SOLE           1     47,970         --       --
TERRESTAR CORP                EQUITY        881451108        52      52,765 SH       SOLE           1     52,765         --       --
TESORO CORP                   EQUITY        881609101       924      56,045 SH       SOLE           1     56,045         --       --
TESORO CORP                   EQUITY        881609101        10         600 SH       DEFINED        4         --         --      600
TESORO CORP                   EQUITY        881609101        68       4,100 SH       DEFINED        5         --         --    4,100
TESSERA TECHNOLOGIES INC      EQUITY        88164L100       719      43,976 SH       SOLE           1     43,976         --       --
TETRA TECH INC NEW            EQUITY        88162G103        18         750 SH       DEFINED        5         --         --      750
TETRA TECH, INC.              EQUITY        88162G103     1,290      53,475 SH       SOLE           1     53,475         --       --
TETRA TECHNOLOGIES INC DEL    EQUITY        88162F105         7         500 SH       DEFINED        5         --         --      500
TETRA TECHNOLOGIES INC DEL    EQUITY        88162F105        14       1,000 SH       DEFINED        4         --         --    1,000
TETRA TECHNOLOGIES, INC.      EQUITY        88162F105        21       1,518 SH       SOLE           1      1,518         --       --
TEVA PHARMACEUTICAL ADR       EQUITY        881624209    62,784   1,371,897 SH       SOLE           1  1,371,897         --       --
TEVA PHARMACEUTICAL INDS L    EQUITY        881624209       678      14,800 SH       SOLE           2     14,800         --       --
TEVA PHARMACEUTICAL INDS LTD  EQUITY        881624209        39         847 SH       DEFINED        4         --         --      847
TEVA PHARMACEUTICAL INDS LTD  EQUITY        881624209       154       3,354 SH       DEFINED        5         --         --    3,354
TEXAS CAPITAL BANCSHARES INC  EQUITY        88224Q107       443      21,762 SH       SOLE           1     21,762         --       --
TEXAS INDUSTRIES, INC.        EQUITY        882491103       867      21,229 SH       SOLE           1     21,229         --       --
TEXAS INSTRS INC              EQUITY        882508104        44       2,056 SH       DEFINED        4         --         --    2,056
TEXAS INSTRS INC              EQUITY        882508104       116       5,413 SH       DEFINED        5         --         --    5,413
TEXAS INSTRS INC              EQUITY        882508104     2,375     110,485 SH       SOLE           2    110,485         --       --
TEXAS INSTRUMENTS, INC.       EQUITY        882508104    10,638     494,805 SH       SOLE           1    494,805         --       --
TEXAS ROADHOUSE INC-CLASS A   EQUITY        882681109       429      47,670 SH       SOLE           1     47,670         --       --
TEXTRON FINANCIAL CORP        EQUITY        883203101     2,904      99,167 SH       SOLE           1     99,167         --       --
TEXTRON INC                   EQUITY        883203101        75       2,566 SH       DEFINED        5         --         --    2,566
TEXTRON INC                   EQUITY        883203101     2,351      80,300 SH       SOLE           2     80,300         --       --
TFS FINANCIAL CORP            EQUITY        87240R107        44       3,522 SH       SOLE           1      3,522         --       --
THE HERSHEY COMPANY           EQUITY        427866108     3,730      94,346 SH       SOLE           1     94,346         --       --
THE ST JOE COMPANY            EQUITY        790148100        81       2,081 SH       SOLE           1      2,081         --       --
THE STEAK N SHAKE COMPANY     EQUITY        857873103       226      26,057 SH       SOLE           1     26,057         --       --
THERAVANCE INC                EQUITY        88338T104     1,481     118,754 SH       SOLE           1    118,754         --       --
THERMADYNE HOLDINGS CORP      EQUITY        883435307       203      12,117 SH       SOLE           1     12,117         --       --
THERMO FISHER CORP            EQUITY        883556102    63,683   1,158,614 SH       SOLE           1  1,158,614         --       --
THERMO FISHER SCIENTIFIC I    EQUITY        883556102    21,532     391,482 SH       SOLE           2    391,482         --       --
THERMO FISHER SCIENTIFIC INC  EQUITY        883556102         8         150 SH       DEFINED        4         --         --      150
THERMO FISHER SCIENTIFIC INC  EQUITY        883556102        57       1,033 SH       DEFINED        5         --         --    1,033
THESTREET COM                 EQUITY        88368Q103         1         200 SH       DEFINED        5         --         --      200
THESTREET.COM INC.            EQUITY        88368Q103        98      16,526 SH       SOLE           1     16,526         --       --





                                                                                           
THINKORSWIM GROUP INC         EQUITY        88409C105       393      47,147 SH       SOLE           1     47,147         --       --
THOMAS & BETTS CORP.          EQUITY        884315102     5,179     132,568 SH       SOLE           1    132,568         --       --
THOMAS PROPERTIES GROUP INC   EQUITY        884453101       217      21,646 SH       SOLE           1     21,646         --       --
THOMAS WEISEL PARTNERS GROUP
   INC                        EQUITY        884481102       484      55,273 SH       SOLE           1     55,273         --       --
THOMPSON CREEK METALS CO INC  EQUITY        884768102     1,253     135,923 SH       OTHER          1         --    135,923       --
THOMSON REUTERS CORP          EQUITY        884903105       231       8,483 SH       OTHER          1         --      8,483       --
THOR INDS INC                 EQUITY        885160101       142       5,719 SH       DEFINED        4         --         --    5,719
THOR INDUSTRIES, INC.         EQUITY        885160101     2,034      81,963 SH       SOLE           1     81,963         --       --
THORATEC CORP                 EQUITY        885175307       891      33,927 SH       DEFINED        4         --         --   33,927
THORATEC LABORATORIES CORP.   EQUITY        885175307     1,300      49,520 SH       SOLE           1     49,520         --       --
THQ INC                       EQUITY        872443403       730      60,571 SH       SOLE           1     60,571         --       --
TIBCO SOFTWARE INC            EQUITY        88632Q103     1,240     169,399 SH       SOLE           1    169,399         --       --
TICKETMASTER                  EQUITY        88633P302        48       4,499 SH       SOLE           1      4,499         --       --
TICKETMASTER                  EQUITY        88633P302     4,518     421,056 SH       SOLE           2    421,056         --       --
TIDEWATER INC                 EQUITY        886423102         1          25 SH       DEFINED        4         --         --       25
TIDEWATER INC                 EQUITY        886423102        13         228 SH       DEFINED        5         --         --      228
TIDEWATER, INC.               EQUITY        886423102     6,559     118,488 SH       SOLE           1    118,488         --       --
TIERONE CORP                  EQUITY        88650R108         2         400 SH       DEFINED        5         --         --      400
TIFFANY & CO NEW              EQUITY        886547108        39       1,107 SH       DEFINED        5         --         --    1,107
TIFFANY & CO.                 EQUITY        886547108     2,032      57,211 SH       SOLE           1     57,211         --       --
TIFFANY + CO NEW              EQUITY        886547108        36       1,000 SH       SOLE           2      1,000         --       --
TIM HORTONS INC               EQUITY        88706M103        23         790 SH       DEFINED        5         --         --      790
TIM HORTONS INC-- CAD         EQUITY        88706M103     2,330      79,831 SH       OTHER          1         --     79,831       --
TIMBERLAND CO                 EQUITY        887100105       142       8,164 SH       DEFINED        4         --         --    8,164
TIMBERLAND COMPANY            EQUITY        887100105     2,610     150,269 SH       SOLE           1    150,269         --       --
TIME WARNER CABLE INC         EQUITY        88732J108     7,789     321,869 SH       SOLE           1    321,869         --       --
TIME WARNER INC               EQUITY        887317105    41,468   3,163,047 SH       SOLE           1  3,163,047         --       --
TIME WARNER INC               EQUITY        887317105         9         715 SH       DEFINED        4         --         --      715
TIME WARNER INC               EQUITY        887317105       125       9,563 SH       DEFINED        5         --         --    9,563
TIME WARNER INC NEW           EQUITY        887317105    27,768   2,118,103 SH       SOLE           2  2,118,103         --       --
TIMKEN CO.                    EQUITY        887389104     5,532     195,140 SH       SOLE           1    195,140         --       --
TITAN INTERNATIONAL INC       EQUITY        88830M102       665      31,183 SH       SOLE           1     31,183         --       --
TITAN MACHINERY INC           EQUITY        88830R101       138       6,641 SH       SOLE           1      6,641         --       --
TITANIUM METALS CORPORATION   EQUITY        888339207       389      34,331 SH       SOLE           1     34,331         --       --
TIVO INC                      EQUITY        888706108       679      92,697 SH       SOLE           1     92,697         --       --
TJX COMPANIES, INC.           EQUITY        872540109    24,056     788,218 SH       SOLE           1    788,218         --       --
TJX COS INC NEW               EQUITY        872540109        19         614 SH       DEFINED        5         --         --      614
TNS INC                       EQUITY        872960109       431      22,262 SH       SOLE           1     22,262         --       --
TOLL BROTHERS, INC.           EQUITY        889478103     7,555     299,462 SH       SOLE           1    299,462         --       --
TOMOTHERAPY INC               EQUITY        890088107       170      37,307 SH       SOLE           1     37,307         --       --





                                                                                           
TOMPKINS FINANCIAL CORP       EQUITY        890110109       265       5,253 SH       SOLE           1      5,253         --       --
TOOTSIE ROLL INDUSTRIES, INC. EQUITY        890516107     2,317      80,138 SH       SOLE           1     80,138         --       --
TORCHMARK CORP.               EQUITY        891027104     6,866     114,824 SH       SOLE           1    114,824         --       --
TOREADOR RESOURCES CORP       EQUITY        891050106       138      15,345 SH       SOLE           1     15,345         --       --
TORO CO.                      EQUITY        891092108        63       1,533 SH       SOLE           1      1,533         --       --
TORONTO DOMINION BK           EQUITY        891160509     8,932     148,200 SH       OTHER          1         --    148,200       --
TORONTO DOMINION BK ONT       EQUITY        891160509        28         455 SH       DEFINED        5         --         --      455
TORTOISE ENERGY INFRSTRCTR C  EQUITY        89147L100         7         300 SH       DEFINED        5         --         --      300
TOTAL S A                     EQUITY        8.92E+113         7         118 SH       DEFINED        4         --         --      118
TOTAL S A                     EQUITY        8.92E+113        33         545 SH       DEFINED        5         --         --      545
TOTAL SYS SVCS INC            EQUITY        891906109       151       9,205 SH       DEFINED        4         --         --    9,205
TOTAL SYSTEM SERVICE          EQUITY        891906109     1,690     103,038 SH       SOLE           1    103,038         --       --
TOWER GROUP INC               EQUITY        891777104       440      18,400 SH       SOLE           1     18,400         --       --
TOWN SPORTS INTERNATIONAL
   HOLDINGS INC               EQUITY        89214A102        97      15,877 SH       SOLE           1     15,877         --       --
TOWNEBANK/PORTSMOUTH VA       EQUITY        89214P109       421      18,840 SH       SOLE           1     18,840         --       --
TOYOTA MOTOR CORP             EQUITY        892331307        20         232 SH       DEFINED        5         --         --      232
TOYOTA MOTOR CORP             EQUITY        892331307        32         374 SH       DEFINED        4         --         --      374
TRACTOR SUPPLY CO             EQUITY        892356106     1,275      30,288 SH       SOLE           1     30,288         --       --
TRADESTATION GROUP INC        EQUITY        89267P105       273      29,165 SH       SOLE           1     29,165         --       --
TRANS1 INC                    EQUITY        89385X105       110      11,072 SH       SOLE           1     11,072         --       --
TRANSACT TECHNOLOGIES COM     EQUITY        892918103     1,848     232,200 SH       SOLE           3    232,200         --       --
TRANSALTA CORP                EQUITY        89346D107       218       8,107 SH       OTHER          1         --      8,107       --
TRANSATLANTIC HLDGS INC       EQUITY        893521104 2,124,686  39,092,662 SH       SOLE           1 22,144,499         --       --
TRANSATLANTIC HLDGS INC       EQUITY        893521104         2          35 SH       DEFINED        4         --         --       35
TRANSATLANTIC HLDGS INC       EQUITY        893521104         5          96 SH       DEFINED        5         --         --       96
TRANSCANADA CORP              EQUITY        89353D107     1,922      53,538 SH       OTHER          1         --     53,538       --
TRANSCANADA CORP              EQUITY        89353D107        20         550 SH       DEFINED        4         --         --      550
TRANSCANADA CORP              EQUITY        89353D107        50       1,384 SH       DEFINED        5         --         --    1,384
TRANSCEND SERVICES INC COM
   NEW                        EQUITY        893929208     1,136     108,400 SH       SOLE           3    108,400         --       --
TRANSCONTINENTAL RLTY INVS    EQUITY        893617209         2         222 SH       DEFINED        4         --         --      222
TRANSDIGM GROUP INC           EQUITY        893641100     1,034      30,199 SH       SOLE           1     30,199         --       --
TRANSMERIDIAN EXPLORATION INC EQUITY        89376N108        33     110,065 SH       SOLE           1    110,065         --       --
TRANSMETA CORP/DELAWARE       EQUITY        89376R208       179      11,008 SH       SOLE           1     11,008         --       --
TRANSOCEAN INC                EQUITY        G90073100    20,398     185,709 SH       SOLE           2    185,709         --       --
TRANSOCEAN INC NEW            EQUITY        G90073100        99         902 SH       DEFINED        4         --         --      902
TRANSOCEAN INC NEW            EQUITY        G90073100       193       1,759 SH       DEFINED        5         --         --    1,759
TRAVELERS COMPANIES INC       EQUITY        8.94E+113         2          44 SH       DEFINED        5         --         --       44
TRAVELERS COMPANIES INC       EQUITY        8.94E+113        10         231 SH       DEFINED        4         --         --      231
TRAVELERS COS INC/THE         EQUITY        8.94E+113    45,500   1,007,806 SH       SOLE           1  1,007,806         --       --
TREDEGAR CORP.                EQUITY        894650100       389      21,852 SH       SOLE           1     21,852         --       --





                                                                                           
TREE.COM INC                  EQUITY        894675107         4         750 SH       SOLE           1        750         --       --
TREEHOUSE FOODS INC           EQUITY        89469A104       843      28,374 SH       SOLE           1     28,374         --       --
TREEHOUSE FOODS INC           EQUITY        89469A104         1          34 SH       DEFINED        4         --         --       34
TREEHOUSE FOODS INC           EQUITY        89469A104     1,657      55,800 SH       SOLE           2     55,800         --       --
TREX COMPANY, INC.            EQUITY        89531P105       250      13,781 SH       SOLE           1     13,781         --       --
TRI CONTL CORP                EQUITY        895436103        67       4,620 SH       DEFINED        5         --         --    4,620
TRICO BANCSHARES              EQUITY        896095106       269      12,589 SH       SOLE           1     12,589         --       --
TRICO MARINE SERVICES INC     EQUITY        896106200     3,989     202,444 SH       SOLE           1    202,444         --       --
TRIDENT MICROSYSTEMS INC      EQUITY        895919108       132      55,365 SH       SOLE           1     55,365         --       --
TRIDENT MICROSYSTEMS INC      EQUITY        895919108         2         800 SH       DEFINED        4         --         --      800
TRIMAS CORP                   EQUITY        896215209        87      13,282 SH       SOLE           1     13,282         --       --
TRIMBLE NAVIGATION LTD.       EQUITY        896239100     7,171     276,570 SH       SOLE           1    276,570         --       --
TRINITY INDS INC              EQUITY        896522109        23         900 SH       DEFINED        4         --         --      900
TRINITY INDS INC              EQUITY        896522109        34       1,335 SH       DEFINED        5         --         --    1,335
TRINITY INDUSTRIES, INC.      EQUITY        896522109     4,836     187,941 SH       SOLE           1    187,941         --       --
TRIPLE-S MANAGEMENT CORP      EQUITY        896749108       211      12,954 SH       SOLE           1     12,954         --       --
TRIPLE-S MGMT CORP            EQUITY        896749108         3         200 SH       DEFINED        5         --         --      200
TRIQUINT SEMICONDUCTOR, INC.  EQUITY        89674K103       629     130,325 SH       SOLE           1    130,325         --       --
TRIUMPH GROUP, INC.           EQUITY        896818101       687      15,028 SH       SOLE           1     15,028         --       --
TRI-VALLEY CORP               EQUITY        895735108       129      20,345 SH       SOLE           1     20,345         --       --
TRUE RELIGION APPAREL COM     EQUITY        89784N104     3,301     127,700 SH       SOLE           3    127,700         --       --
TRUE RELIGION APPAREL INC     EQUITY        89784N104     1,973      76,034 SH       SOLE           1     76,034         --       --
TRUEBLUE INC                  EQUITY        89785X101       650      40,248 SH       SOLE           1     40,248         --       --
TRUSTCO BANK CORP. NY         EQUITY        898349105       839      68,864 SH       SOLE           1     68,864         --       --
TRUSTMARK CORP.               EQUITY        898402102       962      45,010 SH       SOLE           1     45,010         --       --
TRW AUTOMOTIVE HOLDINGS CORP  EQUITY        87264S106        27       1,700 SH       SOLE           1      1,700         --       --
TTM TECHONOLOGIES             EQUITY        87305R109       386      38,838 SH       SOLE           1     38,838         --       --
TUESDAY MORNING CORP          EQUITY        899035505        45      10,900 SH       DEFINED        5         --         --   10,900
TUESDAY MORNING CORPORATION   EQUITY        899035505       113      27,474 SH       SOLE           1     27,474         --       --
TUPPERWARE BRANDS CORP        EQUITY        899896104         6         200 SH       DEFINED        5         --         --      200
TUPPERWARE BRANDS CORP.       EQUITY        899896104     5,449     197,217 SH       SOLE           1    197,217         --       --
TURBOCHEF TECHNOLOGIES INC    EQUITY        900006206       131      21,419 SH       SOLE           1     21,419         --       --
TURKCELL ILETISIM HIZMETLERI  EQUITY        900111204         3         200 SH       DEFINED        5         --         --      200
TW TELECOM INC                EQUITY        87311L104     1,387     133,394 SH       SOLE           1    133,394         --       --
TWEEN BRANDS INC              EQUITY        901166108       221      22,599 SH       SOLE           1     22,599         --       --
TWEEN BRANDS INC              EQUITY        901166108     7,243     739,867 SH       SOLE           2    739,867         --       --
TWIN DISC INC                 EQUITY        901476101       108       7,904 SH       SOLE           1      7,904         --       --
TXCO RESOURCES INC            EQUITY        87311M102       320      31,881 SH       SOLE           1     31,881         --       --
TYCO ELECTRONICS LTD          EQUITY        G9144P105        27         959 SH       DEFINED        4         --         --      959
TYCO ELECTRONICS LTD          EQUITY        G9144P105       226       8,171 SH       DEFINED        5         --         --    8,171





                                                                                           
TYCO ELECTRONICS LTD          EQUITY        G9144P105     2,453      88,700 SH       SOLE           2     88,700         --       --
TYCO INTL LTD BERMUDA         EQUITY        G9143X208        28         796 SH       DEFINED        5         --         --      796
TYCO INTL LTD BERMUDA         EQUITY        G9143X208        43       1,226 SH       DEFINED        4         --         --    1,226
TYLER TECHNOLOGIES INC        EQUITY        902252105       525      34,593 SH       SOLE           1     34,593         --       --
TYSON FOODS INC               EQUITY        902494103        17       1,463 SH       DEFINED        5         --         --    1,463
TYSON FOODS INC (DEL)         EQUITY        902494103     3,361     281,500 SH       SOLE           2    281,500         --       --
TYSON FOODS, INC. CLASS A     EQUITY        902494103     1,471     123,232 SH       SOLE           1    123,232         --       --
U S G CORP                    EQUITY        903293405         9         333 SH       DEFINED        4         --         --      333
U S G CORP                    EQUITY        903293405       210       8,200 SH       DEFINED        5         --         --    8,200
U S GEOTHERMAL INC            EQUITY        90338S102         2       1,000 SH       DEFINED        5         --         --    1,000
U.S. BANCORP, INC.            EQUITY        902973304    34,831     966,999 SH       SOLE           1    966,999         --       --
UAL CORP                      EQUITY        902549807     1,190     135,582 SH       SOLE           1    135,582         --       --
UBS AG                        EQUITY        H89231338        32       1,806 SH       DEFINED        5         --         --    1,806
UBS AG                        EQUITY        H89231338        33       1,865 SH       DEFINED        4         --         --    1,865
UCBH HOLDINGS INC             EQUITY        90262T308       671     100,258 SH       SOLE           1    100,258         --       --
UGI CORP.                     EQUITY        902681105        91       3,516 SH       SOLE           1      3,516         --       --
UIL HLDG CORP                 EQUITY        902748102         6         166 SH       DEFINED        5         --         --      166
UIL HOLDINGS CORP.            EQUITY        902748102       787      22,928 SH       SOLE           1     22,928         --       --
ULTA SALON COSMETICS &
   FRAGRANCE INC              EQUITY        90384S303       769      57,920 SH       SOLE           1     57,920         --       --
ULTA SALON, COSMETICS &
   FRAGRA                     EQUITY        90384S303     1,857     139,800 SH       SOLE           3    139,800         --       --
ULTIMATE SOFTWARE GROUP INC   EQUITY        90385D107       604      22,367 SH       SOLE           1     22,367         --       --
ULTRA CLEAN HOLDINGS          EQUITY        90385V107        89      17,636 SH       SOLE           1     17,636         --       --
ULTRA PETE CORP               EQUITY        903914109     1,206      21,800 SH       SOLE           2     21,800         --       --
ULTRA PETROLEUM CORP          EQUITY        903914109        11         200 SH       DEFINED        5         --         --      200
ULTRALIFE BATTERIES INC       EQUITY        903899102        89      11,398 SH       SOLE           1     11,398         --       --
ULTRATECH , INC.              EQUITY        904034105       259      21,302 SH       SOLE           1     21,302         --       --
UMB FINANCIAL CORP.           EQUITY        902788108     1,528      28,195 SH       SOLE           1     28,195         --       --
UMPQUA HLDGS CORP             EQUITY        904214103        15       1,000 SH       DEFINED        5         --         --    1,000
UMPQUA HOLDINGS CORP          EQUITY        904214103       819      54,660 SH       SOLE           1     54,660         --       --
UNDER ARMOUR INC              EQUITY        904311107         8         250 SH       DEFINED        5         --         --      250
UNDER ARMOUR INC              EQUITY        904311107        13         400 SH       DEFINED        4         --         --      400
UNDER ARMOUR INC CL A         EQUITY        904311107     4,186     131,800 SH       SOLE           3     49,200               82600
UNDER ARMOUR INC-CLASS A      EQUITY        904311107     3,575     112,550 SH       SOLE           1    112,550         --       --
UNIBANCO-- SPONSORED GDR      EQUITY        9.05E+111    45,281     459,709 SH       SOLE           1    459,709         --       --
UNICA CORP                    EQUITY        904583101        99      12,673 SH       SOLE           1     12,673         --       --
UNIFI, INC.                   EQUITY        904677101       198      40,968 SH       SOLE           1     40,968         --       --
UNIFIRST CORP.                EQUITY        904708104       563      13,061 SH       SOLE           1     13,061         --       --
UNILEVER N V                  EQUITY        904784709        14         483 SH       DEFINED        5         --         --      483
UNILEVER N V                  EQUITY        904784709        15         519 SH       DEFINED        4         --         --      519
UNILEVER PLC                  EQUITY        904767704         8         292 SH       DEFINED        4         --         --      292





                                                                                           
UNILEVER PLC                  EQUITY        904767704        47       1,736 SH       DEFINED        5         --         --    1,736
UNION BANKSHARES CORP         EQUITY        905399101       298      12,320 SH       SOLE           1     12,320         --       --
UNION DRILLING INC            EQUITY        90653P105       135      12,745 SH       SOLE           1     12,745         --       --
UNION PAC CORP                EQUITY        907818108        32         456 SH       DEFINED        5         --         --      456
UNION PAC CORP                EQUITY        907818108       112       1,568 SH       DEFINED        4         --         --    1,568
UNION PAC CORP                EQUITY        907818108       527       7,400 SH       SOLE           2      7,400         --       --
UNION PACIFIC CORP            EQUITY        907818108    15,002     210,825 SH       SOLE           1    210,825         --       --
UNIONBANCAL CORP              EQUITY        908906100     2,698      36,812 SH       SOLE           1     36,812         --       --
UNIONBANCAL CORP              EQUITY        908906100         1          19 SH       DEFINED        4         --         --       19
UNISOURCE ENERGY CORP         EQUITY        909205106         1          43 SH       DEFINED        5         --         --       43
UNISOURCE ENERGY CORP         EQUITY        909205106         4         140 SH       DEFINED        4         --         --      140
UNISOURCE ENERGY CORP.        EQUITY        909205106       913      31,283 SH       SOLE           1     31,283         --       --
UNISYS CORP.                  EQUITY        909214108       401     145,748 SH       SOLE           1    145,748         --       --
UNIT CORP.                    EQUITY        909218109       243       4,884 SH       SOLE           1      4,884         --       --
UNITED AMERICA INDEMNITY LTD  EQUITY        90933T109       237      16,811 SH       SOLE           1     16,811         --       --
UNITED BANKSHARES INC. WV     EQUITY        909907107     1,165      34,419 SH       SOLE           1     34,419         --       --
UNITED CAPITAL CORPORATION    EQUITY        909912107        43       1,618 SH       SOLE           1      1,618         --       --
UNITED CMNTY BKS BLAIR        EQUITY        90984P105       495      36,911 SH       SOLE           1     36,911         --       --
UNITED CMNTY BKS BLAIRSVLE G  EQUITY        90984P105        17       1,300 SH       DEFINED        4         --         --    1,300
UNITED COMMUNITY FINANCIAL CO EQUITY        909839102       115      23,893 SH       SOLE           1     23,893         --       --
UNITED FINANCIAL BANCORP INC  EQUITY        91030T109       240      16,203 SH       SOLE           1     16,203         --       --
UNITED FIRE & CASUALTY CO.    EQUITY        910331107       592      20,704 SH       SOLE           1     20,704         --       --
UNITED MICROELECTRONICS CORP  EQUITY        910873405         1         692 SH       DEFINED        4         --         --      692
UNITED NAT FOODS INC          EQUITY        911163103         4         164 SH       DEFINED        5         --         --      164
UNITED NATURAL FOODS, INC.    EQUITY        911163103       972      38,985 SH       SOLE           1     38,985         --       --
UNITED ONLINE INC             EQUITY        911268100       660      70,117 SH       SOLE           1     70,117         --       --
UNITED PARCEL SERVICE
   CLASS-B                    EQUITY        911312106    33,537     533,265 SH       SOLE           1    533,265         --       --
UNITED PARCEL SERVICE INC     EQUITY        911312106        87       1,385 SH       DEFINED        5         --         --    1,385
UNITED PARCEL SERVICE INC     EQUITY        911312106     1,716      27,288 SH       DEFINED        4         --         --   27,288
UNITED PARCEL SVC INC         EQUITY        911312106       248       3,951 SH       SOLE           2      3,951         --       --
UNITED RENTALS INC            EQUITY        911363109         4         275 SH       DEFINED        4         --         --      275
UNITED RENTALS, INC.          EQUITY        911363109     2,080     136,508 SH       SOLE           1    136,508         --       --
UNITED SECURITY BANCSHARES    EQUITY        911460103       116       7,603 SH       SOLE           1      7,603         --       --
UNITED STATES CELLULAR CORP   EQUITY        911684108         5         100 SH       DEFINED        5         --         --      100
UNITED STATES LIME & MINERALS
   INC                        EQUITY        911922102        62       1,618 SH       SOLE           1      1,618         --       --
UNITED STATES NATL GAS FUND   EQUITY        912318102       307       9,200 SH       DEFINED        5         --         --    9,200
UNITED STATES NATL GAS FUND   EQUITY        912318102       656      19,697 SH       DEFINED        4         --         --   19,697
UNITED STATES OIL FUND LP     EQUITY        91232N108        20         249 SH       DEFINED        4         --         --      249
UNITED STATES OIL FUND LP     EQUITY        91232N108       115       1,400 SH       DEFINED        5         --         --    1,400
UNITED STATES STEEL CORP      EQUITY        912909108     5,097      65,676 SH       SOLE           1     65,676         --       --





                                                                                           
UNITED STATES STL CORP NEW    EQUITY        912909108         2          30 SH       DEFINED        5         --         --       30
UNITED STATES STL CORP NEW    EQUITY        912909108        18         227 SH       DEFINED        4         --         --      227
UNITED STATIONERS, INC.       EQUITY        913004107     1,020      21,274 SH       SOLE           1     21,274         --       --
UNITED TECHNOLOGIES CORP      EQUITY        913017109       105       1,745 SH       DEFINED        5         --         --    1,745
UNITED TECHNOLOGIES CORP      EQUITY        913017109       867      14,440 SH       DEFINED        4         --         --   14,440
UNITED TECHNOLOGIES CORP      EQUITY        913017109    37,275     620,635 SH       SOLE           2    620,635         --       --
UNITED TECHNOLOGIES CORP.     EQUITY        913017109    71,635   1,193,406 SH       SOLE           1  1,193,406         --       --
UNITED THERAPEUTIC DEL COM    EQUITY        91307C102       684       6,500 SH       SOLE           3      6,500         --       --
UNITED THERAPEUTICS CORP.     EQUITY        91307C102     8,871      84,270 SH       SOLE           1     84,270         --       --
UNITEDHEALTH GROUP INC        EQUITY        91324P102    15,055     592,962 SH       SOLE           1    592,962         --       --
UNITEDHEALTH GROUP INC        EQUITY        91324P102        21         819 SH       DEFINED        4         --         --      819
UNITEDHEALTH GROUP INC        EQUITY        91324P102       152       5,982 SH       DEFINED        5         --         --    5,982
UNITEDHEALTH GROUP INC        EQUITY        91324P102    22,314     878,867 SH       SOLE           2    878,867         --       --
UNITRIN, INC.                 EQUITY        913275103     2,836     113,694 SH       SOLE           1    113,694         --       --
UNIVERSAL AMER FINANCIAL CORP EQUITY        913377107       437      35,833 SH       SOLE           1     35,833         --       --
UNIVERSAL CORP.               EQUITY        913456109     8,963     182,585 SH       SOLE           1    182,585         --       --
UNIVERSAL DISPLAY CORP        EQUITY        91347P105         1         100 SH       DEFINED        5         --         --      100
UNIVERSAL DISPLAY CORP.       EQUITY        91347P105       290      26,364 SH       SOLE           1     26,364         --       --
UNIVERSAL ELECTRONICS INC.    EQUITY        913483103       321      12,832 SH       SOLE           1     12,832         --       --
UNIVERSAL ELECTRS INC         EQUITY        913483103         2         100 SH       DEFINED        4         --         --      100
UNIVERSAL FOREST PRODUCTS,
   INC                        EQUITY        913543104       529      15,129 SH       SOLE           1     15,129         --       --
UNIVERSAL FST PRODS INC       EQUITY        913543104         8         233 SH       DEFINED        5         --         --      233
UNIVERSAL HEALTH RLTY INCO    EQUITY        91359E105     3,390      87,146 SH       SOLE           2     87,146         --       --
UNIVERSAL HEALTH SERVICES-- B EQUITY        913903100     6,550     116,898 SH       SOLE           1    116,898         --       --
UNIVERSAL STAINLESS & ALLOY   EQUITY        913837100       155       6,079 SH       SOLE           1      6,079         --       --
UNIVERSAL TECHNICAL INSTITUT  EQUITY        913915104       333      19,540 SH       SOLE           1     19,540         --       --
UNIVERSAL TRUCKLOAD SERVICES  EQUITY        91388P105       132       5,402 SH       SOLE           1      5,402         --       --
UNIVEST CORP OF PENNSYLVANIA  EQUITY        915271100       433      11,721 SH       SOLE           1     11,721         --       --
UNUM GROUP                    EQUITY        91529Y106     3,609     143,794 SH       SOLE           1    143,794         --       --
UNUM GROUP                    EQUITY        91529Y106         8         300 SH       DEFINED        4         --         --      300
UNUM GROUP                    EQUITY        91529Y106         8         300 SH       DEFINED        5         --         --      300
URANIUM RESOURCES INC         EQUITY        916901507        75      44,660 SH       SOLE           1     44,660         --       --
URBAN OUTFITTERS INC          EQUITY        917047102        25         800 SH       DEFINED        5         --         --      800
URBAN OUTFITTERS INC COM      EQUITY        917047102     6,919     217,100 SH       SOLE           3     82,700              134400
URBAN OUTFITTERS, INC.        EQUITY        917047102     8,290     260,211 SH       SOLE           1    260,211         --       --
UROLOGIX INC                  EQUITY        917273104         1         950 SH       DEFINED        4         --         --      950
URS CORP NEW                  EQUITY        903236107         7         200 SH       DEFINED        5         --         --      200
URS CORP.                     EQUITY        903236107     7,113     193,982 SH       SOLE           1    193,982         --       --
US AIRWAYS GROUP INC          EQUITY        90341W108       624     103,473 SH       SOLE           1    103,473         --       --
US BANCORP DEL                EQUITY        902973304       157       4,354 SH       DEFINED        4         --         --    4,354





                                                                                           
US BANCORP DEL                EQUITY        902973304       252       6,997 SH       DEFINED        5         --         --    6,997
US BANCORP DEL                EQUITY        902973304    11,059     307,015 SH       SOLE           2    307,015         --       --
US BANCORP DEL COM NEW        EQUITY        902973304     1,131      31,400 SH       SOLE           3     31,400         --       --
US CELLULAR                   EQUITY        911684108        22         473 SH       SOLE           1        473         --       --
US CONCRETE INC               EQUITY        90333L102       162      36,075 SH       SOLE           1     36,075         --       --
US GEOTHERMAL INC             EQUITY        90338S102       100      56,285 SH       SOLE           1     56,285         --       --
US GLOBAL INVESTORS INC       EQUITY        902952100       107      11,467 SH       SOLE           1     11,467         --       --
US PHYSICAL THERAPY INC       EQUITY        90337L108       187      10,768 SH       SOLE           1     10,768         --       --
USA MOBILITY INC              EQUITY        90341G103       232      21,164 SH       SOLE           1     21,164         --       --
USA MOBILITY INC              EQUITY        90341G103         3         297 SH       DEFINED        4         --         --      297
USANA HEALTH SCIENCES INC     EQUITY        90328M107       254       6,337 SH       SOLE           1      6,337         --       --
USEC INC                      EQUITY        9.03E+112        16       3,000 SH       DEFINED        4         --         --    3,000
USEC INC                      EQUITY        9.03E+112        92      17,000 SH       DEFINED        5         --         --   17,000
USEC, INC                     EQUITY        9.03E+112       547     101,178 SH       SOLE           1    101,178         --       --
USG CORP.                     EQUITY        903293405        45       1,777 SH       SOLE           1      1,777         --       --
UST INC                       EQUITY        902911106        14         208 SH       DEFINED        5         --         --      208
UST INC                       EQUITY        902911106     6,734     101,200 SH       SOLE           2    101,200         --       --
UST INC.                      EQUITY        902911106    15,367     230,938 SH       SOLE           1    230,938         --       --
UTSTARCOM INC                 EQUITY        918076100       340     100,509 SH       SOLE           1    100,509         --       --
V F CORP                      EQUITY        918204108        11         143 SH       DEFINED        5         --         --      143
V. F. CORP.                   EQUITY        918204108     2,814      36,400 SH       SOLE           1     36,400         --       --
VAALCO ENERGY INC             EQUITY        91851C201       368      53,834 SH       SOLE           1     53,834         --       --
VAALCO ENERGY INC             EQUITY        91851C201         3         400 SH       DEFINED        5         --         --      400
VAIL RESORTS, INC.            EQUITY        91879Q109       994      28,429 SH       SOLE           1     28,429         --       --
VALANCE TECHNOLOGY, INC       EQUITY        918914102       167      45,931 SH       SOLE           1     45,931         --       --
VALASSIS COMMUNICATIONS, INC. EQUITY        918866104     1,318     152,210 SH       SOLE           1    152,210         --       --
VALEANT PHARMACEUTICALS INTE  EQUITY        91911X104     5,383     262,972 SH       SOLE           1    262,972         --       --
VALEANT PHARMACEUTICALS INTL  EQUITY        91911X104         5         244 SH       DEFINED        4         --         --      244
VALERO ENERGY CORP            EQUITY        91913Y100       108       3,567 SH       SOLE           2      3,567         --       --
VALERO ENERGY CORP NEW        EQUITY        91913Y100       207       6,824 SH       DEFINED        4         --         --    6,824
VALERO ENERGY CORP NEW        EQUITY        91913Y100       324      10,699 SH       DEFINED        5         --         --   10,699
VALERO ENERGY CORP.           EQUITY        91913Y100     6,989     230,660 SH       SOLE           1    230,660         --       --
VALHI INC                     EQUITY        918905100         3         170 SH       SOLE           1        170         --       --
VALIDUS HOLDINGS LTD          EQUITY        G9319H102     4,643     199,696 SH       SOLE           2    199,696         --       --
VALLEY NATIONAL BANC          EQUITY        919794107        95       4,531 SH       SOLE           1      4,531         --       --
VALMONT INDUSTRIES, INC.      EQUITY        920253101        32         385 SH       SOLE           1        385         --       --
VALSPAR CORP.                 EQUITY        920355104     5,115     229,492 SH       SOLE           1    229,492         --       --
VALUE LINE, INC.              EQUITY        920437100        40       1,223 SH       SOLE           1      1,223         --       --
VALUECLICK INC                EQUITY        92046N102         7         697 SH       DEFINED        5         --         --      697
VALUECLICK INC.               EQUITY        92046N102     3,007     293,929 SH       SOLE           1    293,929         --       --





                                                                                           
VAN KAMPEN DYNAMIC CR OPPORT  EQUITY        921166104        28       2,600 SH       DEFINED        5         --         --    2,600
VAN KAMPEN OHIO QUALITY MUN   EQUITY        920923109        11         756 SH       DEFINED        4         --         --      756
VAN KAMPEN PA VALUE MUN INCO  EQUITY        92112T108        67       5,886 SH       DEFINED        5         --         --    5,886
VAN KAMPEN SENIOR INCOME TR   EQUITY        920961109         1         325 SH       DEFINED        4         --         --      325
VAN KAMPEN SENIOR INCOME TR   EQUITY        920961109         4       1,075 SH       DEFINED        5         --         --    1,075
VANGUARD BD INDEX FD INC      EQUITY        921937819        24         325 SH       DEFINED        4         --         --      325
VANGUARD BD INDEX FD INC      EQUITY        921937819        40         552 SH       DEFINED        5         --         --      552
VANGUARD BD INDEX FD INC      EQUITY        921937835        67         884 SH       DEFINED        4         --         --      884
VANGUARD BD INDEX FD INC      EQUITY        921937827       117       1,516 SH       DEFINED        5         --         --    1,516
VANGUARD BD INDEX FD INC      EQUITY        921937835       861      11,387 SH       DEFINED        5         --         --   11,387
VANGUARD EUROPEAN ETF         EQUITY        922042874    21,502     402,880 SH       SOLE           1    402,880         --       --
VANGUARD INDEX FDS            EQUITY        922908512         3          57 SH       DEFINED        5         --         --       57
VANGUARD INDEX FDS            EQUITY        922908538         3          56 SH       DEFINED        5         --         --       56
VANGUARD INDEX FDS            EQUITY        922908652         8         186 SH       DEFINED        4         --         --      186
VANGUARD INDEX FDS            EQUITY        922908652         9         200 SH       DEFINED        5         --         --      200
VANGUARD INDEX FDS            EQUITY        922908553        20         323 SH       DEFINED        4         --         --      323
VANGUARD INDEX FDS            EQUITY        922908769        20         345 SH       DEFINED        4         --         --      345
VANGUARD INDEX FDS            EQUITY        922908553        21         338 SH       DEFINED        5         --         --      338
VANGUARD INDEX FDS            EQUITY        922908629        28         473 SH       DEFINED        4         --         --      473
VANGUARD INDEX FDS            EQUITY        922908637        32         600 SH       DEFINED        5         --         --      600
VANGUARD INDEX FDS            EQUITY        922908629        32         538 SH       DEFINED        5         --         --      538
VANGUARD INDEX FDS            EQUITY        922908751        34         573 SH       DEFINED        5         --         --      573
VANGUARD INDEX FDS            EQUITY        922908637        48         912 SH       DEFINED        4         --         --      912
VANGUARD INDEX FDS            EQUITY        922908744        91       1,730 SH       DEFINED        5         --         --    1,730
VANGUARD INDEX FDS            EQUITY        922908736        96       1,846 SH       DEFINED        5         --         --    1,846
VANGUARD INDEX FDS            EQUITY        922908744        99       1,888 SH       DEFINED        4         --         --    1,888
VANGUARD INDEX FDS            EQUITY        922908736       135       2,593 SH       DEFINED        4         --         --    2,593
VANGUARD INDEX FDS            EQUITY        922908769       192       3,298 SH       DEFINED        5         --         --    3,298
VANGUARD INDEX FDS            EQUITY        922908751     1,513      25,360 SH       DEFINED        4         --         --   25,360
VANGUARD INTL EQUITY INDEX F  EQUITY        922042866         5          90 SH       DEFINED        4         --         --       90
VANGUARD INTL EQUITY INDEX F  EQUITY        922042874         6         110 SH       DEFINED        5         --         --      110
VANGUARD INTL EQUITY INDEX F  EQUITY        922042858        30         860 SH       DEFINED        5         --         --      860
VANGUARD INTL EQUITY INDEX F  EQUITY        922042858        34         984 SH       DEFINED        4         --         --      984
VANGUARD INTL EQUITY INDEX F  EQUITY        922042775       101       2,374 SH       DEFINED        4         --         --    2,374
VANGUARD INTL EQUITY INDEX F  EQUITY        922042775       168       3,960 SH       DEFINED        5         --         --    3,960
VANGUARD SPECIALIZED PORTFOL  EQUITY        921908844         9         186 SH       DEFINED        4         --         --      186
VANGUARD TAX-MANAGED FD       EQUITY        921943858        30         848 SH       DEFINED        5         --         --      848
VANGUARD TAX-MANAGED FD       EQUITY        921943858        88       2,514 SH       DEFINED        4         --         --    2,514
VANGUARD WORLD FDS            EQUITY        92204A702         7         157 SH       DEFINED        4         --         --      157
VANGUARD WORLD FDS            EQUITY        92204A306         9          95 SH       DEFINED        4         --         --       95





                                                                                           
VANGUARD WORLD FDS            EQUITY        92204A884        22         403 SH       DEFINED        4         --         --      403
VANGUARD WORLD FDS            EQUITY        92204A207        28         405 SH       DEFINED        4         --         --      405
VANGUARD WORLD FDS            EQUITY        92204A504       181       3,365 SH       DEFINED        4         --         --    3,365
VARIAN INC                    EQUITY        922206107         4         100 SH       DEFINED        4         --         --      100
VARIAN MED SYS INC            EQUITY        92220P105        66       1,160 SH       DEFINED        5         --         --    1,160
VARIAN MED SYS INC            EQUITY        92220P105       112       1,954 SH       DEFINED        4         --         --    1,954
VARIAN MED SYS INC COM        EQUITY        92220P105     6,056     106,000 SH       SOLE           3     44,900               61100
VARIAN MEDICAL SYSTEMS INC    EQUITY        92220P105     2,807      49,141 SH       SOLE           1     49,141         --       --
VARIAN SEMICONDUCTOR
   EQUIPMENT                  EQUITY        922207105        38       1,509 SH       SOLE           1      1,509         --       --
VARIAN SEMICONDUCTOR EQUIPMN  EQUITY        922207105        43       1,710 SH       DEFINED        5         --         --    1,710
VARIAN, INC.                  EQUITY        922206107     4,008      93,429 SH       SOLE           1     93,429         --       --
VASCO DATA SEC INTL INC       EQUITY        92230Y104        22       2,120 SH       DEFINED        5         --         --    2,120
VASCO DATA SECURITY INTL      EQUITY        92230Y104       252      24,332 SH       SOLE           1     24,332         --       --
VCA ANTECH INC                EQUITY        918194101     5,680     193,016 SH       SOLE           1    193,016         --       --
VCA ANTECH INC                EQUITY        918194101         3         100 SH       DEFINED        4         --         --      100
VCA ANTECH INC                EQUITY        918194101        11         375 SH       DEFINED        5         --         --      375
VCA ANTECH INC                EQUITY        918194101     1,818      61,700 SH       SOLE           2     61,700         --       --
VECTOR GROUP LTD              EQUITY        92240M108         2         110 SH       DEFINED        5         --         --      110
VECTOR GROUP LTD              EQUITY        92240M108        71       4,035 SH       DEFINED        4         --         --    4,035
VECTOR GROUP LTD              EQUITY        92240M108     5,324     301,468 SH       SOLE           2    301,468         --       --
VECTOR GROUP LTD.             EQUITY        92240M108       528      29,913 SH       SOLE           1     29,913         --       --
VECTREN CORP                  EQUITY        92240G101    13,784     494,938 SH       SOLE           1    494,938         --       --
VEECO INSTRUMENTS, INC.       EQUITY        922417100       430      29,013 SH       SOLE           1     29,013         --       --
VENOCO INC                    EQUITY        92275P307       240      18,439 SH       SOLE           1     18,439         --       --
VENTAS INC                    EQUITY        92276F100    15,528     314,208 SH       SOLE           1    314,208         --       --
VEOLIA ENVIRONNEMENT          EQUITY        92334N103         7         170 SH       DEFINED        4         --         --      170
VEOLIA ENVIRONNEMENT          EQUITY        92334N103        62       1,496 SH       DEFINED        5         --         --    1,496
VERASUN ENERGY CORP           EQUITY        92336G106       292      93,440 SH       SOLE           1     93,440         --       --
VERIFONE HOLDINGS INC         EQUITY        92342Y109     1,027      62,114 SH       SOLE           1     62,114         --       --
VERIGY LTD                    EQUITY        Y93691106         1          72 SH       DEFINED        5         --         --       72
VERISIGN INC                  EQUITY        9.23E+106         3         100 SH       DEFINED        5         --         --      100
VERISIGN, INC.                EQUITY        9.23E+106     3,834     147,027 SH       SOLE           1    147,027         --       --
VERIZON COMMUNICATIONS        EQUITY        92343V104    94,270   2,938,534 SH       SOLE           1  2,938,534         --       --
VERIZON COMMUNICATIONS        EQUITY        92343V104    16,759     522,252 SH       SOLE           2    522,252         --       --
VERIZON COMMUNICATIONS INC    EQUITY        92343V104       174       5,436 SH       DEFINED        4         --         --    5,436
VERIZON COMMUNICATIONS INC    EQUITY        92343V104       799      24,888 SH       DEFINED        5         --         --   24,888
VERSO PAPER CORP              EQUITY        92531L108        34      12,707 SH       SOLE           1     12,707         --       --
VERTEX PHARMACEUTICALS INC    EQUITY        92532F100         6         191 SH       DEFINED        5         --         --      191
VERTEX PHARMACEUTICALS, INC.  EQUITY        92532F100    11,586     348,554 SH       SOLE           1    348,554         --       --
VIACOM INC NEW                EQUITY        92553P102         2         100 SH       DEFINED        5         --         --      100





                                                                                           
VIACOM INC NEW                EQUITY        92553P201         3         108 SH       DEFINED        4         --         --      108
VIACOM INC NEW                EQUITY        92553P201        16         642 SH       DEFINED        5         --         --      642
VIACOM INC-CLASS B            EQUITY        92553P201     6,762     272,237 SH       SOLE           1    272,237         --       --
VIAD CORP                     EQUITY        92552R406       543      18,844 SH       SOLE           1     18,844         --       --
VIASAT, INC.                  EQUITY        92552V100       545      23,056 SH       SOLE           1     23,056         --       --
VICOR CORP.                   EQUITY        925815102       157      17,610 SH       SOLE           1     17,610         --       --
VIEWPOINT FINANCIAL GROUP     EQUITY        926727108       175      10,025 SH       SOLE           1     10,025         --       --
VIGNETTE CORPORATION          EQUITY        926734401       242      22,538 SH       SOLE           1     22,538         --       --
VILLAGE SUPER MARKET          EQUITY        927107409       138       2,899 SH       SOLE           1      2,899         --       --
VIMPEL-COMMUNICATIONS         EQUITY        68370R109       936      52,300 SH       SOLE           1     52,300         --       --
VIRGIN MEDIA INC              EQUITY        92769L101       227      28,807 SH       SOLE           1     28,807         --       --
VIRGIN MOBILE USA INC         EQUITY        92769R108        81      27,550 SH       SOLE           1     27,550         --       --
VIROPHARMA INC                EQUITY        928241108       837      63,599 SH       SOLE           1     63,599         --       --
VIRTUAL RADIOLOGIC CORP       EQUITY        92826B104        51       6,340 SH       SOLE           1      6,340         --       --
VIRTUSA CORP                  EQUITY        92827P102        52       7,997 SH       SOLE           1      7,997         --       --
VISA INC                      EQUITY        92826C839       209       3,402 SH       DEFINED        4         --         --    3,402
VISA INC                      EQUITY        92826C839       841      13,700 SH       DEFINED        5         --         --   13,700
VISA INC                      EQUITY        92826C839    23,031     375,158 SH       SOLE           2    375,158         --       --
VISA INC-CLASS A SHARES       EQUITY        92826C839     1,151      18,748 SH       SOLE           1     18,748         --       --
VISHAY INTERTECHNOLOGY INC    EQUITY        928298108         2         230 SH       DEFINED        5         --         --      230
VISHAY INTERTECHNOLOGY INC    EQUITY        928298108         9       1,323 SH       DEFINED        4         --         --    1,323
VISHAY INTERTECHNOLOGY, INC.  EQUITY        928298108     2,831     427,710 SH       SOLE           1    427,710         --       --
VISIONCHINA MEDIA INC         EQUITY        92833U103         2         129 SH       DEFINED        5         --         --      129
VISION-SCIENCES INC           EQUITY        927912105        61      15,239 SH       SOLE           1     15,239         --       --
VISTAPRINT LTD                EQUITY        G93762204         5         159 SH       SOLE           2        159         --       --
VISTEON CORP                  EQUITY        92839U107         1         627 SH       DEFINED        5         --         --      627
VISTEON CORP.                 EQUITY        92839U107       275     118,745 SH       SOLE           1    118,745         --       --
VITAL IMAGES INC              EQUITY        92846N104       217      14,457 SH       SOLE           1     14,457         --       --
VITAL SIGNS, INC.             EQUITY        928469105     1,464      19,799 SH       SOLE           1     19,799         --       --
VIVUS INC.                    EQUITY        928551100       500      62,850 SH       SOLE           1     62,850         --       --
VMWARE INC                    EQUITY        928563402         8         300 SH       DEFINED        4         --         --      300
VNUS MED TECNOLOGIES COM      EQUITY        928566108     3,160     151,000 SH       SOLE           3    151,000         --       --
VNUS MEDICAL TECHNOLOGIES     EQUITY        928566108       903      43,105 SH       SOLE           1     43,105         --       --
VOCUS INC                     EQUITY        92858J108     1,421      41,855 SH       SOLE           1     41,855         --       --
VOCUS INC COM                 EQUITY        92858J108     2,204      64,895 SH       SOLE           3     64,895         --       --
VODAFONE GROUP PLC NEW        EQUITY        92857W209        13         566 SH       DEFINED        5         --         --      566
VODAFONE GROUP PLC NEW        EQUITY        92857W209        51       2,314 SH       DEFINED        4         --         --    2,314
VOLCANO CORP                  EQUITY        928645100       743      42,934 SH       SOLE           1     42,934         --       --
VOLCANO CORPORATION           EQUITY        928645100         2         100 SH       DEFINED        4         --         --      100
VOLCOM INC                    EQUITY        92864N101       286      16,541 SH       SOLE           1     16,541         --       --





                                                                                           
VOLT INFORMATION SCIENCES
   INC.                       EQUITY        928703107       103      11,472 SH       SOLE           1     11,472         --       --
VOLTERRA SEMICONDUCTOR CORP   EQUITY        928708106       293      23,091 SH       SOLE           1     23,091         --       --
VONAGE HOLDINGS CORP          EQUITY        92886T201        47      46,612 SH       SOLE           1     46,612         --       --
VORNADO REALTY TRUST          EQUITY        929042109     5,185      57,006 SH       SOLE           1     57,006         --       --
VORNADO RLTY TR               EQUITY        929042109        10         110 SH       DEFINED        4         --         --      110
VSE CORP                      EQUITY        918284100       123       3,637 SH       SOLE           1      3,637         --       --
VULCAN MATERIALS CO.          EQUITY        929160109     3,374      45,294 SH       SOLE           1     45,294         --       --
VULCAN MATLS CO               EQUITY        929160109         1          20 SH       DEFINED        4         --         --       20
VULCAN MATLS CO               EQUITY        929160109       190       2,554 SH       DEFINED        5         --         --    2,554
W HOLDING COMPANY INC.        EQUITY        929251106        56     103,570 SH       SOLE           1    103,570         --       --
W P CAREY & CO LLC            EQUITY        92930Y107        20         771 SH       DEFINED        4         --         --      771
W&T OFFSHORE INC              EQUITY        92922P106        17         614 SH       SOLE           1        614         --       --
W. R. BERKLEY CORP.           EQUITY         84423102     7,586     322,134 SH       SOLE           1    322,134         --       --
W. W. GRAINGER, INC.          EQUITY        384802104     3,639      41,839 SH       SOLE           1     41,839         --       --
WABASH NATIONAL CORP.         EQUITY        929566107       263      27,873 SH       SOLE           1     27,873         --       --
WABCO HLDGS INC               EQUITY        92927K102        17         472 SH       DEFINED        5         --         --      472
WABCO HOLDINGS INC            EQUITY        92927K102        47       1,335 SH       SOLE           1      1,335         --       --
WABTEC                        EQUITY        929740108     7,878     153,776 SH       SOLE           1    153,776         --       --
WABTEC CORP                   EQUITY        929740108         5         100 SH       DEFINED        5         --         --      100
WABTEC CORP                   EQUITY        929740108       934      18,237 SH       DEFINED        4         --         --   18,237
WACHOVIA CORP                 EQUITY        929903102     3,607   1,030,688 SH       SOLE           1  1,030,688         --       --
WACHOVIA CORP NEW             EQUITY        929903102        35       9,857 SH       DEFINED        4         --         --    9,857
WACHOVIA CORP NEW             EQUITY        929903102        76      21,689 SH       DEFINED        5         --         --   21,689
WADDELL & REED FINANCIAL,
   INC.                       EQUITY        930059100     4,848     195,864 SH       SOLE           1    195,864         --       --
WAL MART STORES INC           EQUITY        931142103       330       5,513 SH       DEFINED        4         --         --    5,513
WAL MART STORES INC           EQUITY        931142103       544       9,081 SH       DEFINED        5         --         --    9,081
WAL MART STORES INC           EQUITY        931142103    10,262     171,342 SH       SOLE           2    171,342         --       --
WALGREEN CO                   EQUITY        931422109        60       1,951 SH       SOLE           2      1,951         --       --
WALGREEN CO                   EQUITY        931422109       209       6,752 SH       DEFINED        5         --         --    6,752
WALGREEN CO                   EQUITY        931422109       477      15,408 SH       DEFINED        4         --         --   15,408
WALGREEN CO.                  EQUITY        931422109    16,902     545,927 SH       SOLE           1    545,927         --       --
WAL-MART STORES INC           EQUITY        931142103   125,479   2,095,378 SH       SOLE           1  2,095,378         --       --
WALT DISNEY                   EQUITY        254687106    83,620   2,725,413 SH       SOLE           1  2,725,413         --       --
WALTER INDS INC               EQUITY        93317Q105         4          88 SH       DEFINED        4         --         --       88
WALTER INDS INC               EQUITY        93317Q105         7         150 SH       DEFINED        5         --         --      150
WALTER INDUSTRIES, INC.       EQUITY        93317Q105       107       2,261 SH       SOLE           1      2,261         --       --
WARNACO GROUP INC             EQUITY        934390402     6,597     145,661 SH       SOLE           1    145,661         --       --
WARNER MUSIC GROUP CORP       EQUITY        934550104        13       1,703 SH       SOLE           1      1,703         --       --
WARREN RES INC                EQUITY        93564A100        22       2,184 SH       DEFINED        5         --         --    2,184
WARREN RESOURCES INC          EQUITY        93564A100       529      52,998 SH       SOLE           1     52,998         --       --





                                                                                           
WASHINGTON FEDERAL I          EQUITY        938824109     3,726     201,973 SH       SOLE           1    201,973         --       --
WASHINGTON MUT INC            EQUITY        939322103        11     128,172 SH       DEFINED        5         --         --  128,172
WASHINGTON POST CO. CLASS B   EQUITY        939640108     1,360       2,442 SH       SOLE           1      2,442         --       --
WASHINGTON REAL ESTATE INV.   EQUITY        939653101     1,645      44,900 SH       SOLE           1     44,900         --       --
WASHINGTON REAL ESTATE INVT   EQUITY        939653101        19         515 SH       DEFINED        4         --         --      515
WASHINGTON TRUST BANCORP,
   INC.                       EQUITY        940610108       271      10,418 SH       SOLE           1     10,418         --       --
WASTE CONNECTIONS, INC.       EQUITY        941053100     2,069      60,317 SH       SOLE           1     60,317         --       --
WASTE MANAGEMENT, INC.        EQUITY        94106L109     5,901     187,388 SH       SOLE           1    187,388         --       --
WASTE MGMT INC DEL            EQUITY        94106L109        15         472 SH       DEFINED        4         --         --      472
WASTE MGMT INC DEL            EQUITY        94106L109        38       1,213 SH       DEFINED        5         --         --    1,213
WASTE MGMT INC DEL            EQUITY        94106L109     9,179     291,500 SH       SOLE           2    291,500         --       --
WASTE SERVICES INC            EQUITY        941075202       160      21,552 SH       SOLE           1     21,552         --       --
WATERS CORP                   EQUITY        941848103        15         258 SH       DEFINED        4         --         --      258
WATERS CORP                   EQUITY        941848103        46         790 SH       DEFINED        5         --         --      790
WATERS CORP.                  EQUITY        941848103    15,045     258,589 SH       SOLE           1    258,589         --       --
WATERSTONE FINANCIAL INC      EQUITY        941888109        62       6,296 SH       SOLE           1      6,296         --       --
WATSCO, INC.                  EQUITY        942622200     7,537     149,893 SH       SOLE           1    149,893         --       --
WATSON PHARMACEUTICALS INC    FIXED INCOME  942683AC7         3           3 PRN      DEFINED        4         --         --        3
WATSON PHARMACEUTICALS INC    EQUITY        942683103         4         150 SH       DEFINED        5         --         --      150
WATSON PHARMACEUTICALS, INC   EQUITY        942683103     2,994     105,046 SH       SOLE           1    105,046         --       --
WATSON WYATT WORLDWIDE INC    EQUITY        942712100     1,928      38,766 SH       SOLE           1     38,766         --       --
WATTS WATER TECHNOLOGIES INC  EQUITY        942749102         7         250 SH       DEFINED        5         --         --      250
WATTS WATER TECHNOLOGIES
   INC., CLASS A              EQUITY        942749102       726      26,556 SH       SOLE           1     26,556         --       --
WAUSAU PAPER CORP.            EQUITY        943315101       407      40,211 SH       SOLE           1     40,211         --       --
WD-40 CO.                     EQUITY        929236107       537      14,955 SH       SOLE           1     14,955         --       --
WEATHERFORD INTERNATIONAL     EQUITY        G95089101     1,239      49,300 SH       SOLE           2     49,300         --       --
WEATHERFORD INTERNATIONAL LT  EQUITY        G95089101         1          40 SH       DEFINED        4         --         --       40
WEATHERFORD INTERNATIONAL LT  EQUITY        G95089101        25       1,000 SH       DEFINED        5         --         --    1,000
WEBMD HEALTH CORP             EQUITY        94770V102        10         333 SH       DEFINED        4         --         --      333
WEBMD HEALTH CORP-CLASS A     EQUITY        94770V102        13         439 SH       SOLE           1        439         --       --
WEBSENSE INC                  EQUITY        947684106     2,125      95,041 SH       SOLE           1     95,041         --       --
WEBSENSE INC                  EQUITY        947684106       650      29,100 SH       SOLE           3     29,100         --       --
WEBSITE PROS INC              EQUITY        94769V105       135      25,077 SH       SOLE           1     25,077         --       --
WEBSTER FINANCIAL CORP.       EQUITY        947890109     3,159     125,090 SH       SOLE           1    125,090         --       --
WEBSTER FINL CORP CONN        EQUITY        947890109       762      30,174 SH       DEFINED        5         --         --   30,174
WEIGHT WATCHERS INTL INC      EQUITY        948626106       853      23,316 SH       SOLE           1     23,316         --       --
WEINGARTEN REALTY INVESTORS   EQUITY        948741103     6,129     171,818 SH       SOLE           1    171,818         --       --
WEINGARTEN RLTY INVS          EQUITY        948741103        10         285 SH       DEFINED        4         --         --      285
WEIS MARKETS INC              EQUITY        948849104       360      10,010 SH       SOLE           1     10,010         --       --
WELLCARE HEALTH PLANS INC     EQUITY        94946T106     3,436      95,449 SH       SOLE           1     95,449         --       --





                                                                                           
WELLCARE HEALTH PLANS INC     EQUITY        94946T106         5         140 SH       DEFINED        5         --         --      140
WELLPOINT INC                 EQUITY        94973V107    17,820     381,020 SH       SOLE           1    381,020         --       --
WELLPOINT INC                 EQUITY        94973V107         2          48 SH       DEFINED        5         --         --       48
WELLPOINT INC                 EQUITY        94973V107        23         500 SH       DEFINED        4         --         --      500
WELLS FARGO & CO NEW          EQUITY        949746101        60       1,591 SH       DEFINED        4         --         --    1,591
WELLS FARGO & CO NEW          EQUITY        949746101       614      16,369 SH       DEFINED        5         --         --   16,369
WELLS FARGO + CO NEW          EQUITY        949746101    11,180     297,885 SH       SOLE           2    297,885         --       --
WELLS FARGO CO.               EQUITY        949746101    62,986   1,678,294 SH       SOLE           1  1,678,294         --       --
WENDY'S INTERNATIONAL, INC.   EQUITY        950590109    18,597     968,100 SH       SOLE           1    968,100         --       --
WERNER ENTERPRISES INC COM    EQUITY        950755108       306      14,100 SH       SOLE           3     14,100         --       --
WERNER ENTERPRISES, INC.      EQUITY        950755108     3,504     161,157 SH       SOLE           1    161,157         --       --
WESBANCO, INC.                EQUITY        950810101       658      24,180 SH       SOLE           1     24,180         --       --
WESCO FINANCIAL CORP          EQUITY        950817106        16          45 SH       SOLE           1         45         --       --
WESCO INTERNATIONAL, INC.     EQUITY        95082P105        32       1,009 SH       SOLE           1      1,009         --       --
WEST BANCORPORATION           EQUITY        95123P106       214      15,797 SH       SOLE           1     15,797         --       --
WEST COAST BANCORP            EQUITY        952145100       209      14,244 SH       SOLE           1     14,244         --       --
WEST PHARMACEUTICAL SERVICES  EQUITY        955306105     1,434      29,375 SH       SOLE           1     29,375         --       --
WESTAMERICA BANKCORPORATION   EQUITY        957090103     5,505      92,037 SH       SOLE           1     92,037         --       --
WESTAR ENERGY                 EQUITY        95709T100     7,834     340,021 SH       SOLE           1    340,021         --       --
WESTAR ENERGY INC             EQUITY        95709T100        10         453 SH       DEFINED        5         --         --      453
WESTAR ENERGY INC             EQUITY        95709T100        23       1,000 SH       DEFINED        4         --         --    1,000
WESTERN ALLIANCE BANCORP      EQUITY        957638109       268      17,310 SH       SOLE           1     17,310         --       --
WESTERN ASSET 2008 WW DLR GO  EQUITY        95766W103        23       2,268 SH       DEFINED        5         --         --    2,268
WESTERN ASSET CLYM INFL OPP   EQUITY        95766R104        42       4,000 SH       DEFINED        5         --         --    4,000
WESTERN ASSET CLYM INFL OPP   EQUITY        95766R104       168      16,096 SH       DEFINED        4         --         --   16,096
WESTERN ASSET EMRG MKT DEBT   EQUITY        95766A101        11         832 SH       DEFINED        5         --         --      832
WESTERN ASSET EMRG MKT DEBT   EQUITY        95766A101        13       1,019 SH       DEFINED        4         --         --    1,019
WESTERN ASSET EMRG MKT INCM   EQUITY        95766F100         4         400 SH       DEFINED        5         --         --      400
WESTERN ASSET EMRG MKT INCM   EQUITY        9.58E+107         8         926 SH       DEFINED        5         --         --      926
WESTERN ASSET EMRG MKT INCM   EQUITY        9.58E+107       302      32,917 SH       DEFINED        4         --         --   32,917
WESTERN ASSET GLB HI INCOME   EQUITY        95766B109        22       2,680 SH       DEFINED        5         --         --    2,680
WESTERN ASSET HIGH INCM FD I  EQUITY        95766H106        15       2,200 SH       DEFINED        5         --         --    2,200
WESTERN ASSET HIGH INCM FD I  EQUITY        95766J102        67       9,498 SH       DEFINED        4         --         --    9,498
WESTERN ASSET HIGH INCM FD I  EQUITY        95766J102       252      35,595 SH       DEFINED        5         --         --   35,595
WESTERN ASSET HIGH INCM OPP   EQUITY        95766K109         9       2,172 SH       DEFINED        5         --         --    2,172
WESTERN ASSET INFL MGMT FD I  EQUITY        95766U107       140       9,728 SH       DEFINED        4         --         --    9,728
WESTERN ASSET PREMIER BD FD   EQUITY        957664105        18       2,000 SH       DEFINED        5         --         --    2,000
WESTERN ASSET WORLDWIDE INCO  EQUITY        957668106        14       1,400 SH       DEFINED        5         --         --    1,400
WESTERN ASSETT MGD HI INCM F  EQUITY        95766L107         7       1,500 SH       DEFINED        4         --         --    1,500
WESTERN ASST MN PRT FD INC    EQUITY        95766P108        38       3,665 SH       DEFINED        5         --         --    3,665





                                                                                           
WESTERN ASST MNG MUN FD INC   EQUITY        95766M105        34       3,656 SH       DEFINED        5         --         --    3,656
WESTERN AST EMRG MKT FLT RT   EQUITY        95766C107         4         300 SH       DEFINED        4         --         --      300
WESTERN AST EMRG MKT FLT RT   EQUITY        95766C107         6         400 SH       DEFINED        5         --         --      400
WESTERN DIGITAL CORP          EQUITY        958102105         6         267 SH       DEFINED        5         --         --      267
WESTERN DIGITAL CORP          EQUITY        958102105        35       1,641 SH       DEFINED        4         --         --    1,641
WESTERN DIGITIAL CORP.        EQUITY        958102105    10,799     506,505 SH       SOLE           1    506,505         --       --
WESTERN REFINING INC          EQUITY        959319104       274      27,099 SH       SOLE           1     27,099         --       --
WESTERN REFNG INC             EQUITY        959319104        67       6,600 SH       DEFINED        5         --         --    6,600
WESTERN UN CO                 EQUITY        959802109         2         100 SH       DEFINED        4         --         --      100
WESTERN UN CO                 EQUITY        959802109        17         700 SH       DEFINED        5         --         --      700
WESTERN UN CO                 EQUITY        959802109       143       5,800 SH       SOLE           2      5,800         --       --
WESTERN UNION CO/THE          EQUITY        959802109     9,320     377,776 SH       SOLE           1    377,776         --       --
WESTFIELD FINANCIAL INC       EQUITY        96008P104       295      28,757 SH       SOLE           1     28,757         --       --
WESTLAKE CHEMICAL CORP        EQUITY        960413102       366      17,395 SH       SOLE           1     17,395         --       --
WESTMORELAND COAL CO          EQUITY        960878106       136       8,622 SH       SOLE           1      8,622         --       --
WESTPAC BKG CORP              EQUITY        961214301        65         700 SH       DEFINED        4         --         --      700
WESTPORT INNOVATIONS COM
   NEW (                      EQUITY        960908309       503      55,000 SH       SOLE           3     55,000         --       --
WESTWOOD HLDGS GROUP COM      EQUITY        961765104       841      17,750 SH       SOLE           3     17,750         --       --
WESTWOOD HOLDINGS GROUP INC   EQUITY        961765104       232       4,902 SH       SOLE           1      4,902         --       --
WESTWOOD ONE, INC.            EQUITY        961815107        35      64,484 SH       SOLE           1     64,484         --       --
WET SEAL INC CL A             EQUITY        961840105       896     246,700 SH       SOLE           3    246,700         --       --
WET SEAL, INC.                EQUITY        961840105       728     200,628 SH       SOLE           1    200,628         --       --
WEYCO GROUP INC               EQUITY        962149100       220       6,578 SH       SOLE           1      6,578         --       --
WEYERHAEUSER CO               EQUITY        962166104        12         200 SH       DEFINED        5         --         --      200
WEYERHAEUSER CO.              EQUITY        962166104     5,324      87,889 SH       SOLE           1     87,889         --       --
WGL HOLDINGS INC.             EQUITY        92924F106     9,020     277,975 SH       SOLE           1    277,975         --       --
WHIRLPOOL CORP                EQUITY        963320106        42         527 SH       DEFINED        4         --         --      527
WHIRLPOOL CORP                EQUITY        963320106        49         613 SH       DEFINED        5         --         --      613
WHIRLPOOL CORP                EQUITY        963320106     1,649      20,800 SH       SOLE           2     20,800         --       --
WHIRLPOOL CORP.               EQUITY        963320106     2,457      30,986 SH       SOLE           1     30,986         --       --
WHITING PETROLEUM CORP        EQUITY        966387102        61         861 SH       SOLE           1        861         --       --
WHITNEY HOLDING CORP.         EQUITY        966612103        53       2,172 SH       SOLE           1      2,172         --       --
WHOLE FOODS MARKET I          EQUITY        966837106     1,261      63,113 SH       SOLE           1     63,113         --       --
WHOLE FOODS MKT INC           EQUITY        966837106         4         200 SH       DEFINED        4         --         --      200
WHOLE FOODS MKT INC           EQUITY        966837106       138       6,866 SH       DEFINED        5         --         --    6,866
WILLBROS GROUP INC            EQUITY        969199108       935      35,286 SH       SOLE           1     35,286         --       --
WILLIAMS COMPANIES, INC.      EQUITY        969457100    19,511     824,978 SH       SOLE           1    824,978         --       --
WILLIAMS COS INC DEL          EQUITY        969457100         7         311 SH       DEFINED        5         --         --      311
WILLIAMS COS INC DEL          EQUITY        969457100        16         675 SH       DEFINED        4         --         --      675
WILLIAMS-SONOMA, INC.         EQUITY        969904101     3,222     199,113 SH       SOLE           1    199,113         --       --





                                                                                           
WILMINGTON TRUST CORP         EQUITY        971807102     4,465     154,879 SH       SOLE           1    154,879         --       --
WILSHIRE BANCORP INC          EQUITY        97186T108       212      17,473 SH       SOLE           1     17,473         --       --
WIMM-BILL-DANN FOODS OJSC     EQUITY        97263M109       402       6,000 SH       SOLE           1      6,000         --       --
WIND RIVER SYSTEMS INC.       EQUITY        973149107     2,224     222,573 SH       SOLE           1    222,573         --       --
WINDSTREAM CORP               EQUITY        97381W104    16,082   1,469,983 SH       SOLE           1  1,469,983         --       --
WINDSTREAM CORP               EQUITY        97381W104        32       2,907 SH       DEFINED        5         --         --    2,907
WINDSTREAM CORP               EQUITY        97381W104        33       3,027 SH       DEFINED        4         --         --    3,027
WINDSTREAM CORP               EQUITY        97381W104     3,973     363,200 SH       SOLE           2    363,200         --       --
WINN DIXIE STORES INC         EQUITY        974280307        88       6,300 SH       DEFINED        5         --         --    6,300
WINN-DIXIE STORES INC         EQUITY        974280307       683      49,155 SH       SOLE           1     49,155         --       --
WINNEBAGO INDUSTRIES, INC.    EQUITY        974637100       342      26,506 SH       SOLE           1     26,506         --       --
WINTRUST FINANCIAL CORP       EQUITY        97650W108       640      21,485 SH       SOLE           1     21,485         --       --
WIPRO LTD                     EQUITY        97651M109         4         400 SH       DEFINED        5         --         --      400
WISCONSIN ENERGY CORP.        EQUITY        976657106    12,078     268,993 SH       SOLE           1    268,993         --       --
WISDOMTREE TRUST              EQUITY        97717W828         1          20 SH       DEFINED        5         --         --       20
WISDOMTREE TRUST              EQUITY        97717W844         4          96 SH       DEFINED        4         --         --       96
WISDOMTREE TRUST              EQUITY        97717W315         4         100 SH       DEFINED        4         --         --      100
WISDOMTREE TRUST              EQUITY        97717W604         5         112 SH       DEFINED        4         --         --      112
WISDOMTREE TRUST              EQUITY        97717W794        10         200 SH       DEFINED        5         --         --      200
WISDOMTREE TRUST              EQUITY        97717W703        14         275 SH       DEFINED        4         --         --      275
WISDOMTREE TRUST              EQUITY        97717W828        21         350 SH       DEFINED        4         --         --      350
WISDOMTREE TRUST              EQUITY        97717W786        81       1,600 SH       DEFINED        5         --         --    1,600
WISDOMTREE TRUST              EQUITY        97717W810       119       2,300 SH       DEFINED        5         --         --    2,300
WIZZARD SOFTWARE CORP NEW     EQUITY        97750V109         1       1,100 SH       DEFINED        5         --         --    1,100
WM. WRIGLEY JR. CO.           EQUITY        982526105    22,298     280,829 SH       SOLE           1    280,829         --       --
WMS INDS INC                  EQUITY        929297109         6         200 SH       DEFINED        5         --         --      200
WMS INDUSTRIES INC.           EQUITY        929297109     1,219      39,874 SH       SOLE           1     39,874         --       --
WOLVERINE WORLD WIDE INC      EQUITY        978097103         3         103 SH       DEFINED        5         --         --      103
WOLVERINE WORLD WIDE INC      EQUITY        978097103         9         330 SH       DEFINED        4         --         --      330
WOLVERINE WORLD WIDE, INC.    EQUITY        978097103     1,197      45,220 SH       SOLE           1     45,220         --       --
WONDER AUTO TECHNOLOGY INC    EQUITY        978166106        86      13,336 SH       SOLE           1     13,336         --       --
WOODWARD GOVERNOR CO.         EQUITY        980745103     1,882      53,354 SH       SOLE           1     53,354         --       --
WORLD ACCEPTANCE CORP         EQUITY        981419104     5,282     146,721 SH       SOLE           2    146,721         --       --
WORLD ACCEPTANCE CORP.        EQUITY        981419104       536      14,879 SH       SOLE           1     14,879         --       --
WORLD FUEL SERVICES CORP.     EQUITY        981475106     1,124      48,800 SH       SOLE           2     48,800         --       --
WORLD FUEL SVCS CORP          EQUITY        981475106       602      26,146 SH       SOLE           1     26,146         --       --
WORLD WRESTLING ENTMNT        EQUITY        98156Q108     3,658     236,580 SH       SOLE           1    236,580         --       --
WORLD WRESTLING ENTMT INC     EQUITY        98156Q108         4         250 SH       DEFINED        4         --         --      250
WORLD WRESTLING ENTMT INC     EQUITY        98156Q108        39       2,500 SH       DEFINED        5         --         --    2,500
WORTHINGTON INDUSTRIES, INC.  EQUITY        981811102     2,899     194,046 SH       SOLE           1    194,046         --       --





                                                                                           
WRIGHT EXPRESS CORP           EQUITY        98233Q105     1,053      35,273 SH       SOLE           1     35,273         --       --
WRIGHT MED GROUP INC          EQUITY        98235T107     2,111      69,577 SH       SOLE           1     69,577         --       --
WRIGHT MED GROUP INC COM      EQUITY        98235T107       587      19,300 SH       SOLE           3     19,300         --       --
WRIGLEY WM JR CO              EQUITY        982526105        19         237 SH       DEFINED        4         --         --      237
WRIGLEY WM JR CO              EQUITY        982526105        57         718 SH       DEFINED        5         --         --      718
WSFS FINANCIAL CORP           EQUITY        929328102       314       5,575 SH       SOLE           1      5,575         --       --
WYETH                         EQUITY        983024100    36,059     976,138 SH       SOLE           1    976,138         --       --
WYETH                         FIXED INCOME  983024AD2         3           3 PRN      DEFINED        4         --         --        3
WYETH                         EQUITY        983024100        53       1,448 SH       DEFINED        5         --         --    1,448
WYETH                         EQUITY        983024100       153       4,150 SH       DEFINED        4         --         --    4,150
WYETH                         EQUITY        983024100     3,698     100,100 SH       SOLE           2    100,100         --       --
WYNDHAM WORLDWIDE CORP        EQUITY        98310W108     1,153      73,420 SH       SOLE           1     73,420         --       --
WYNDHAM WORLDWIDE CORP        EQUITY        98310W108         2          98 SH       DEFINED        4         --         --       98
WYNDHAM WORLDWIDE CORP        EQUITY        98310W108         4         286 SH       DEFINED        5         --         --      286
WYNN RESORTS LTD              EQUITY        983134107       587       7,195 SH       SOLE           1      7,195         --       --
XCEL ENERGY INC               EQUITY        98389B100        20       1,014 SH       DEFINED        4         --         --    1,014
XCEL ENERGY INC               EQUITY        98389B100     1,082      54,120 SH       DEFINED        5         --         --   54,120
XCEL ENERGY INC               EQUITY        98389B100     5,389     269,600 SH       SOLE           2    269,600         --       --
XCEL STATES POWER-MINES       EQUITY        98389B100     7,080     354,190 SH       SOLE           1    354,190         --       --
XENOPORT INC                  EQUITY        98411C100     1,108      22,847 SH       SOLE           1     22,847         --       --
XERIUM TECHNOLOGIES INC       EQUITY        98416J100       121      18,825 SH       SOLE           1     18,825         --       --
XEROX CORP                    EQUITY        984121103         2         189 SH       DEFINED        4         --         --      189
XEROX CORP                    EQUITY        984121103        10         900 SH       DEFINED        5         --         --      900
XEROX CORP.                   EQUITY        984121103     4,125     357,774 SH       SOLE           1    357,774         --       --
XILINX INC                    EQUITY        983919101         2         100 SH       DEFINED        4         --         --      100
XILINX, INC.                  EQUITY        983919101     6,384     272,367 SH       SOLE           1    272,367         --       --
XL CAP LTD                    EQUITY        G98255105         6         360 SH       DEFINED        4         --         --      360
XTO ENERGY CORP COM           EQUITY        98385X106     4,526      97,300 SH       SOLE           3     36,200               61100
XTO ENERGY INC                EQUITY        98385X106    45,872     986,673 SH       SOLE           1    986,673         --       --
XTO ENERGY INC                EQUITY        98385X106        26         558 SH       DEFINED        4         --         --      558
XTO ENERGY INC                EQUITY        98385X106        84       1,802 SH       DEFINED        5         --         --    1,802
XTO ENERGY INC                EQUITY        98385X106    25,331     544,520 SH       SOLE           2    544,520         --       --
XYRATEX LTD                   EQUITY        G98268108        11       1,000 SH       DEFINED        5         --         --    1,000
YADKIN VY BK & TR ELKIN N C   EQUITY        984314104       179      10,398 SH       SOLE           1     10,398         --       --
YAHOO INC                     EQUITY        984332106         7         380 SH       DEFINED        4         --         --      380
YAHOO INC                     EQUITY        984332106        43       2,477 SH       DEFINED        5         --         --    2,477
YAHOO INC                     EQUITY        984332106       104       5,993 SH       SOLE           2      5,993         --       --
YAHOO!, INC.                  EQUITY        984332106    11,613     671,652 SH       SOLE           1    671,652         --       --
YAMANA GOLD INC               EQUITY        98462Y100       951     115,647 SH       OTHER          1         --    115,647       --
YAMANA GOLD INC               EQUITY        98462Y100       146      17,554 SH       DEFINED        5         --         --   17,554





                                                                                           
YANZHOU COAL MNG CO LTD       EQUITY        984846105         3         240 SH       DEFINED        5         --         --      240
YINGLI GREEN ENERGY HLDG CO   EQUITY        98584B103       129      11,700 SH       DEFINED        4         --         --   11,700
YPF SOCIEDAD ANONIMA          EQUITY        984245100         5          94 SH       DEFINED        4         --         --       94
YRC WORLDWIDE INC             EQUITY        984249102     2,171     181,519 SH       SOLE           1    181,519         --       --
YRC WORLDWIDE INC             EQUITY        984249102         4         375 SH       DEFINED        4         --         --      375
YRC WORLDWIDE INC             EQUITY        984249102        12       1,000 SH       DEFINED        5         --         --    1,000
YUCHENG TECH LTD COM (F)      EQUITY        G98777108     1,246     122,800 SH       SOLE           3    122,800         --       --
YUM BRANDS INC                EQUITY        988498101        10         308 SH       DEFINED        4         --         --      308
YUM BRANDS INC                EQUITY        988498101       211       6,466 SH       DEFINED        5         --         --    6,466
YUM! BRANDS INC               EQUITY        988498101     8,249     252,974 SH       SOLE           1    252,974         --       --
ZALE CORP.                    EQUITY        988858106       807      32,294 SH       SOLE           1     32,294         --       --
ZEBRA TECHNOLOGIES CORP.
   CLASS A                    EQUITY        989207105     4,147     149,181 SH       SOLE           1    149,181         --       --
ZENITH NATIONAL INSURANCE
   CORP                       EQUITY        989390109     1,237      33,749 SH       SOLE           1     33,749         --       --
ZEP INC                       EQUITY        98944B108       335      18,976 SH       SOLE           1     18,976         --       --
ZHONE TECHNOLOGIES INC NEW    EQUITY        98950P108        12      65,000 SH       DEFINED        5         --         --   65,000
ZHONGPIN INC                  EQUITY        98952K107       180      16,741 SH       SOLE           1     16,741         --       --
ZIMMER HLDGS INC              EQUITY        98956P102        22         338 SH       DEFINED        4         --         --      338
ZIMMER HLDGS INC              EQUITY        98956P102        26         410 SH       DEFINED        5         --         --      410
ZIMMER HOLDINGS INC           EQUITY        98956P102     5,416      83,895 SH       SOLE           1     83,895         --       --
ZIMMER HOLDINGS INC           EQUITY        98956P102    20,212     313,079 SH       SOLE           2    313,079         --       --
ZIONS BANCORPORATION          EQUITY        989701107     1,831      47,479 SH       SOLE           1     47,479         --       --
ZOLL MEDICAL CORP.            EQUITY        989922109       623      19,003 SH       SOLE           1     19,003         --       --
ZOLTEK COMPANIES INC          EQUITY        98975W104       428      25,034 SH       SOLE           1     25,034         --       --
ZOLTEK COS INC                EQUITY        98975W104         3         200 SH       DEFINED        4         --         --      200
ZORAN CORP.                   EQUITY        98975F101       385      47,141 SH       SOLE           1     47,141         --       --
ZUMIEZ INC                    EQUITY        989817101       294      17,821 SH       SOLE           1     17,821         --       --
ZWEIG TOTAL RETURN FD INC     EQUITY        989837109        13       3,565 SH       DEFINED        5         --         --    3,565
ZYGO CORP.                    EQUITY        989855101       174      13,868 SH       SOLE           1     13,868         --       --
ZYMOGENETICS INC              EQUITY        98985T109       227      34,011 SH       SOLE           1     34,011         --       --